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Consolidated Statements Of Cash Flows - USD ($)
$ in Millions
6 Months Ended
Jun. 30, 2019
Jun. 30, 2018
Cash flows from operating activities    
Net income $ 2,190 $ 2,376
Adjustments to reconcile net income to net cash flows from operating activities    
Net realized (gains) losses 320 (16)
Amortization of premiums/discounts on fixed maturities 209 311
Amortization of purchased intangibles 153 170
Deferred income taxes (133) (71)
Unpaid losses and loss expenses 240 (267)
Unearned premiums 808 635
Future policy benefits 101 144
Insurance and reinsurance balances payable (94) 675
Accounts payable, accrued expenses, and other liabilities (357) (489)
Income taxes payable 16 224
Insurance and reinsurance balances receivable (843) (1,129)
Reinsurance recoverable 565 178
Deferred policy acquisition costs (194) (213)
Other (273) (331)
Net cash flows from operating activities 2,708 2,197
Cash flows from investing activities    
Purchases of fixed maturities available for sale (12,566) (12,297)
Purchases of fixed maturities held to maturity (73) (337)
Purchases of equity securities (147) (85)
Sales of fixed maturities available for sale 7,832 6,858
Sales of to be announced mortgage-backed securities 6 0
Sales of equity securities 266 83
Maturities and redemptions of fixed maturities available for sale 3,963 3,920
Maturities and redemptions of fixed maturities held to maturity 598 732
Net change in short-term investments (763) 401
Net derivative instruments settlements (536) 5
Private equity contribution (920) (813)
Private equity distribution 780 413
Other (727) (140)
Net cash flows used for investing activities (2,287) (1,260)
Cash flows from financing activities    
Dividends paid on Common Shares (671) (661)
Common Shares repurchased (741) (347)
Proceeds from issuance of long-term debt 1,289 2,171
Repayment of long-term debt (500) (1,900)
Proceeds from issuance of repurchase agreements 1,984 1,014
Repayment of repurchase agreements (1,986) (1,009)
Proceeds from share-based compensation plans 95 60
Policyholder contract deposits 237 192
Policyholder contract withdrawals (138) (169)
Net cash flows used for financing activities (431) (649)
Effect of foreign currency rate changes on cash and restricted cash 38 (38)
Net increase (decrease) in cash and restricted cash 28 250
Cash and restricted cash - beginning of period 1,340 851
Cash and restricted cash - end of period 1,368 1,101
Supplemental cash flow information    
Taxes paid 522 223
Interest paid $ 286 $ 332