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Condensed Consolidated Balance Sheets - USD ($)
$ in Millions
Mar. 31, 2024
Dec. 31, 2023
Investments:    
Company-Owned Life Insurance $ 515.7 $ 513.5
Loans to Policyholders   281.2
Other Investments 213.6 241.9
Receivables from Policyholders (Allowance for Credit Losses: 2024 - $6.4; 2023 - $13.9) 953.1  
Deferred Policy Acquisition Costs 595.3 591.6
Total Assets 12,625.9 12,742.7
Insurance Reserves:    
Policyholder Obligations 660.9 655.7
Total Liabilities 10,037.2 10,237.7
Kemper Corporation Shareholders’ Equity:    
Common Stock, $0.10 Par Value, 100,000,000 Shares Authorized; 64,357,521 Shares Issued and Outstanding at March 31, 2024 and 64,111,555 Shares Issued and Outstanding at December 31, 2023 6.4 6.4
Paid-in Capital 1,852.3 1,845.3
Retained Earnings 1,066.1 1,014.3
Accumulated Other Comprehensive Loss (335.0) (360.8)
Total Shareholders’ Equity 2,589.8 2,505.2
Noncontrolling Interest (1.1) (0.2)
Total Shareholders’ Equity 2,588.7 2,505.0
Total Liabilities and Shareholders’ Equity 12,625.9 12,742.7
Consolidated Entity, Excluding VIE    
Investments:    
Debt Securities, Available-for-Sale 6,771.6 6,881.9
Equity Securities, FV-NI, Current 230.1 225.8
Short-term Investments at Cost which Approximates Fair Value 520.7 520.9
Company-Owned Life Insurance 515.7 513.5
Loans to Policyholders 280.5 281.2
Other Investments 213.6 241.9
Total Investments 8,764.6 8,904.2
Cash 125.9 64.1
Receivables from Policyholders (Allowance for Credit Losses: 2024 - $6.4; 2023 - $13.9) 953.1 959.5
Other Receivables 195.4 200.5
Deferred Policy Acquisition Costs 595.3 591.6
Goodwill 1,250.7 1,250.7
Current Income Tax Assets 52.6 64.5
Deferred Income Tax Assets 199.1 210.4
Other Assets 479.1 492.6
Insurance Reserves:    
Insurance Reserves 5,891.5 6,102.9
Unearned Premiums 1,274.1 1,300.8
Policyholder Obligations 660.9 655.7
Deferred Income Tax Liabilities 61.7 50.6
Accrued Expenses and Other Liabilities 754.8 737.7
Long-term Debt, Current, at Amortized Cost (Fair Value: 2024 - $443.4; 2023 - $—) 449.7 0.0
Long-term Debt, Non-Current, at Amortized Cost (Fair Value: 2024 - $803.4; 2023 - $1,213.4) 940.1 1,389.2
Variable Interest Entity, Primary Beneficiary    
Investments:    
Debt Securities, Available-for-Sale 1.7 1.7
Short-term Investments at Cost which Approximates Fair Value 4.0 2.0
Cash 0.8 0.0
Receivables from Policyholders (Allowance for Credit Losses: 2024 - $6.4; 2023 - $13.9) 2.7 0.7
Deferred Policy Acquisition Costs 0.6 0.1
Other Assets 0.3 0.1
Insurance Reserves:    
Insurance Reserves 0.7 0.0
Unearned Premiums 3.1 0.5
Accrued Expenses and Other Liabilities 0.6 0.3
Life and Health | Consolidated Entity, Excluding VIE    
Insurance Reserves:    
Insurance Reserves 3,294.3 3,422.4
Property and Casualty | Consolidated Entity, Excluding VIE    
Insurance Reserves:    
Insurance Reserves 2,597.2 2,680.5
Equity Method Limited Liability Investments | Consolidated Entity, Excluding VIE    
Investments:    
Equity Method Investments 215.2 221.7
Alternative Energy Partnership Investments | Consolidated Entity, Excluding VIE    
Investments:    
Equity Method Investments $ 17.2 $ 17.3