2022 Statutory Financial Results – Q2
QUARTERLY STATEMENT
OF THE
TO THE
OF THE
STATE OF
FOR THE QUARTER ENDED
[ ] LIFE, ACCIDENT AND HEALTH |
[ ] FRATERNAL BENEFIT SOCIETIES |
2022
STATEMENT AS OF
ASSETS
Current Statement Date |
4 |
|||||
1 |
2 |
3 |
|
|||
Net Admitted Assets |
Prior Year Net |
|||||
Assets |
Nonadmitted Assets |
(Cols. 1 - 2) |
Admitted Assets |
|||
1. |
Bonds |
11,810,756,542 |
0 |
11,810,756,542 |
11,362,401,770 |
|
2. |
Stocks: |
|||||
2.1 Preferred stocks |
0 |
0 |
0 |
0 |
||
2.2 Common stocks |
444,528,487 |
0 |
444,528,487 |
402,220,198 |
3. Mortgage loans on real estate:
3.1 First liens |
1,757,664,007 |
0 |
1,757,664,007 |
1,692,080,258 |
|||||
3.2 Other than first liens |
0 |
0 |
0 |
0 |
|||||
4. |
Real estate: |
||||||||
4.1 Properties occupied by the company (less $ |
0 |
||||||||
encumbrances) |
20,669,859 |
0 |
20,669,859 |
21,440,712 |
|||||
4.2 Properties held for the production of income (less |
|||||||||
$ |
0 |
encumbrances) |
0 |
0 |
0 |
0 |
|||
4.3 Properties held for sale (less $ |
0 |
||||||||
encumbrances) |
0 |
0 |
0 |
0 |
|||||
5. |
Cash ($ |
26,648,704 |
), cash equivalents |
||||||
($ |
191,573,125 |
) and short-term |
|||||||
investments ($ |
3,124,764 ) |
221,346,593 |
0 |
221,346,593 |
276,615,078 |
||||
6. |
Contract loans (including $ |
0 |
premium notes) |
14,404,508 |
0 |
14,404,508 |
12,625,021 |
||
7. |
Derivatives |
488,291 |
0 |
488,291 |
0 |
||||
8. |
Other invested assets |
456,441,849 |
0 |
456,441,849 |
430,479,891 |
||||
9. |
Receivables for securities |
6,338,135 |
0 |
6,338,135 |
3,479,935 |
||||
10. |
Securities lending reinvested collateral assets |
357,069,705 |
0 |
357,069,705 |
407,379,797 |
||||
11. |
Aggregate write-ins for invested assets |
42,790,490 |
0 |
42,790,490 |
7,783,647 |
||||
12. |
Subtotals, cash and invested assets (Lines 1 to 11) |
15,132,498,466 |
0 |
15,132,498,466 |
14,616,506,307 |
||||
13. |
Title plants less $ |
0 charged off (for Title insurers |
|||||||
only) |
0 |
0 |
0 |
0 |
|||||
14. |
Investment income due and accrued |
158,373,158 |
0 |
158,373,158 |
155,269,511 |
||||
15. |
Premiums and considerations: |
||||||||
15.1 Uncollected premiums and agents' balances in the course of collection |
413,796,787 |
50,918,616 |
362,878,171 |
386,645,249 |
|||||
15.2 Deferred premiums, agents' balances and installments booked but |
|||||||||
deferred and not yet due (including $ |
0 |
||||||||
earned but unbilled premiums) |
6,491,148 |
0 |
6,491,148 |
7,018,567 |
|||||
15.3 Accrued retrospective premiums ($ |
0 ) and |
||||||||
contracts subject to redetermination ($ |
0 ) |
0 |
0 |
0 |
0 |
16. Reinsurance:
16.1 |
Amounts recoverable from reinsurers |
5,329,191 |
0 |
5,329,191 |
7,373,314 |
|
16.2 |
Funds held by or deposited with reinsured companies |
0 |
0 |
0 |
0 |
|
16.3 |
Other amounts receivable under reinsurance contracts |
4,080,671 |
0 |
4,080,671 |
1,055,665 |
|
17. |
Amounts receivable relating to uninsured plans |
706,173 |
0 |
706,173 |
981,953 |
|
18.1 |
Current federal and foreign income tax recoverable and interest thereon |
67,780,122 |
0 |
67,780,122 |
52,117,342 |
|
18.2 |
Net deferred tax asset |
803,113,898 |
502,732,856 |
300,381,042 |
304,416,065 |
|
19. |
Guaranty funds receivable or on deposit |
31,818,930 |
0 |
31,818,930 |
34,740,553 |
|
20. |
Electronic data processing equipment and software |
7,535,848 |
3,771,487 |
3,764,361 |
4,539,507 |
21. Furniture and equipment, including health care delivery assets
($ |
0 ) |
16,668,474 |
16,668,474 |
0 |
0 |
|
22. |
Net adjustment in assets and liabilities due to foreign exchange rates |
0 |
0 |
0 |
0 |
|
23. |
Receivables from parent, subsidiaries and affiliates |
52,239,160 |
0 |
52,239,160 |
35,889,314 |
|
24. |
Health care ($ |
0 ) and other amounts receivable |
3,757,876 |
3,757,876 |
0 |
0 |
25. |
Aggregate write-ins for other than invested assets |
182,671,061 |
164,719,628 |
17,951,433 |
20,061,154 |
26. Total assets excluding Separate Accounts, Segregated Accounts and
Protected Cell Accounts (Lines 12 to 25) |
16,886,860,963 |
742,568,937 |
16,144,292,026 |
15,626,614,501 |
27. From Separate Accounts, Segregated Accounts and Protected Cell
Accounts |
0 |
0 |
0 |
0 |
|||
28. |
Total (Lines 26 and 27) |
16,886,860,963 |
742,568,937 |
16,144,292,026 |
15,626,614,501 |
||
DETAILS OF WRITE-INS |
|||||||
1101. |
Receivable for Cash Collateral Pledged |
0 |
42,790,490 |
7,783,647 |
|||
42,790,490 |
|||||||
1102. |
|||||||
1103. |
|||||||
1198. |
Summary of remaining write-ins for Line 11 from overflow page |
0 |
0 |
0 |
0 |
||
1199. |
Totals (Lines 1101 through 1103 plus 1198)(Line 11 above) |
42,790,490 |
0 |
42,790,490 |
7,783,647 |
||
2501. |
Prepaid Premium Tax Recoverable |
17,951,433 |
0 |
17,951,433 |
20,061,154 |
||
2502. |
Other Assets |
126,382,468 |
126,382,468 |
0 |
0 |
||
2503. |
Prepaid Expenses |
20,658,012 |
20,658,012 |
0 |
0 |
||
2598. |
Summary of remaining write-ins for Line 25 from overflow page |
17,679,148 |
17,679,148 |
0 |
0 |
||
2599. |
Totals (Lines 2501 through 2503 plus 2598)(Line 25 above) |
182,671,061 |
164,719,628 |
17,951,433 |
20,061,154 |
2
STATEMENT AS OF
LIABILITIES, SURPLUS AND OTHER FUNDS
1 |
2 |
|||||
Current |
|
|||||
Statement Date |
Prior Year |
|||||
1. |
Aggregate reserve for life contracts $ |
833,886,971 less $ |
0 included in Line 6.3 |
|||
(including $ |
1,652,489 |
Modco Reserve) |
833,886,971 |
803,613,158 |
||
2. |
Aggregate reserve for accident and health contracts (including $ |
0 Modco Reserve) |
8,941,512,559 |
8,889,136,845 |
||
3. |
Liability for deposit-type contracts (including $ |
0 Modco Reserve) |
603,143,572 |
400,904,776 |
4. Contract claims:
4.1 |
Life |
55,347,491 |
52,951,669 |
||
4.2 |
Accident and health |
1,468,220,957 |
1,440,679,290 |
||
5. Policyholders' dividends/refunds to members $ |
0 and coupons $ |
0 due |
|||
and unpaid |
0 |
0 |
6. Provision for policyholders' dividends, refunds to members and coupons payable in following calendar year - estimated amounts:
6.1 |
Policyholders' dividends and refunds to members apportioned for payment (including $ |
0 |
|||
|
0 |
0 |
|||
6.2 |
Policyholders' dividends and refunds to members not yet apportioned (including $ |
0 |
0 |
0 |
|
6.3 |
Coupons and similar benefits (including $ |
0 |
0 |
0 |
|
7. Amount provisionally held for deferred dividend policies not included in Line 6 |
0 |
0 |
8. Premiums and annuity considerations for life and accident and health contracts received in advance less
$ |
0 discount; including $ |
40,381,430 accident and health premiums |
41,335,333 |
24,931,537 |
9. Contract liabilities not included elsewhere:
9.1 |
Surrender values on canceled contracts |
0 |
0 |
|||||
9.2 |
Provision for experience rating refunds, including the liability of $ |
0 accident and health |
||||||
experience rating refunds of which $ |
0 is for medical loss ratio rebate per the Public Health |
|||||||
Service Act |
0 |
0 |
||||||
9.3 Other amounts payable on reinsurance, including $ |
83,646,457 |
assumed and $ |
284,745 |
|||||
ceded |
83,931,202 |
87,550,922 |
||||||
9.4 Interest Maintenance Reserve |
49,571,744 |
57,009,169 |
||||||
10. |
Commissions to agents due or accrued-life and annuity contracts $ |
3,813,715 , accident and health |
||||||
$ |
62,734,362 and deposit-type contract funds $ |
0 |
66,548,077 |
69,340,665 |
||||
11. |
Commissions and expense allowances payable on reinsurance assumed |
598,511 |
1,167,043 |
|||||
12. |
General expenses due or accrued |
164,782,915 |
224,038,124 |
|||||
13. |
Transfers to Separate Accounts due or accrued (net) (including $ |
0 accrued for expense |
||||||
allowances recognized in reserves, net of reinsured allowances) |
0 |
0 |
||||||
14. |
Taxes, licenses and fees due or accrued, excluding federal income taxes |
43,465,792 |
36,115,426 |
|||||
15.1 |
Current federal and foreign income taxes, including $ |
665,966 |
on realized capital gains (losses) |
0 |
0 |
|||
15.2 |
Net deferred tax liability |
0 |
0 |
|||||
16. |
Unearned investment income |
0 |
0 |
|||||
17. |
Amounts withheld or retained by reporting entity as agent or trustee |
2,785,914 |
2,498,974 |
|||||
18. |
Amounts held for agents' account, including $ |
4,302,995 agents' credit balances |
5,371,691 |
4,314,374 |
||||
19. |
Remittances and items not allocated |
28,506,216 |
43,953,835 |
|||||
20. |
Net adjustment in assets and liabilities due to foreign exchange rates |
0 |
0 |
|||||
21. |
Liability for benefits for employees and agents if not included above |
0 |
0 |
|||||
22. |
Borrowed money $ |
0 and interest thereon $ |
0 |
0 |
0 |
|||
23. |
Dividends to stockholders declared and unpaid |
0 |
0 |
24. Miscellaneous liabilities:
24.01 |
Asset valuation reserve |
197,684,317 |
177,055,038 |
||||
24.02 Reinsurance in unauthorized and certified ($ |
0 ) companies |
0 |
0 |
||||
24.03 Funds held under reinsurance treaties with unauthorized and certified ($ |
0 ) reinsurers |
0 |
0 |
||||
24.04 |
Payable to parent, subsidiaries and affiliates |
193,839,269 |
184,635,862 |
||||
24.05 |
Drafts outstanding |
0 |
0 |
||||
24.06 |
Liability for amounts held under uninsured plans |
0 |
0 |
||||
24.07 |
Funds held under coinsurance |
0 |
0 |
||||
24.08 |
Derivatives |
41,256,849 |
7,806,821 |
||||
24.09 |
Payable for securities |
3,936,693 |
3,419,465 |
||||
24.10 |
Payable for securities lending |
357,069,705 |
407,379,797 |
||||
24.11 Capital notes $ |
0 and interest thereon $ |
0 |
0 |
0 |
|||
25. |
Aggregate write-ins for liabilities |
68,097,037 |
81,557,692 |
||||
26. |
Total liabilities excluding Separate Accounts business (Lines 1 to 25) |
13,250,892,815 |
13,000,060,482 |
||||
27. |
From Separate Accounts Statement |
0 |
0 |
||||
28. |
Total liabilities (Lines 26 and 27) |
13,250,892,815 |
13,000,060,482 |
||||
29. |
Common capital stock |
7,025,039 |
7,025,039 |
||||
30. |
Preferred capital stock |
0 |
0 |
||||
31. |
Aggregate write-ins for other than special surplus funds |
0 |
0 |
||||
32. |
Surplus notes |
130,000,000 |
|||||
130,000,000 |
|||||||
33. |
Gross paid in and contributed surplus |
588,508,552 |
588,508,552 |
||||
34. |
Aggregate write-ins for special surplus funds |
0 |
0 |
||||
35. |
Unassigned funds (surplus) |
2,167,865,620 |
1,901,020,428 |
36. Less treasury stock, at cost:
36.1 |
0 |
shares common (value included in Line 29 |
$ |
0 |
) |
0 |
0 |
|
36.2 |
0 |
shares preferred (value included in Line 30 |
$ |
0 |
) |
0 |
0 |
|
37. |
Surplus (Total Lines 31+32+33+34+35-36) (including $ |
0 in Separate Accounts Statement) |
2,886,374,172 |
2,619,528,980 |
||||
38. |
Totals of Lines 29, 30 and 37 |
2,893,399,211 |
2,626,554,019 |
|||||
39. |
Totals of Lines 28 and 38 (Page 2, Line 28, Col. 3) |
16,144,292,026 |
15,626,614,501 |
|||||
DETAILS OF WRITE-INS |
||||||||
2501. |
Other liabilities |
37,643,345 |
46,224,728 |
|||||
2502. |
Funds held for escheat |
24,963,478 |
29,842,750 |
|||||
2503. |
Pension liability |
5,490,214 |
5,490,214 |
|||||
2598. |
Summary of remaining write-ins for Line 25 from overflow page |
0 |
0 |
|||||
2599. |
Totals (Lines 2501 through 2503 plus 2598)(Line 25 above) |
|||||||
68,097,037 |
81,557,692 |
|||||||
3101. |
||||||||
3102. |
||||||||
3103. |
||||||||
3198. |
Summary of remaining write-ins for Line 31 from overflow page |
0 |
0 |
|||||
3199. |
Totals (Lines 3101 through 3103 plus 3198)(Line 31 above) |
0 |
0 |
|||||
3401. |
||||||||
3402. |
||||||||
3403. |
||||||||
3498. |
Summary of remaining write-ins for Line 34 from overflow page |
0 |
0 |
|||||
3499. |
Totals (Lines 3401 through 3403 plus 3498)(Line 34 above) |
0 |
0 |
3
STATEMENT AS OF
SUMMARY OF OPERATIONS
1 |
2 |
3 |
||
Current Year |
Prior Year |
Prior Year Ended |
||
To Date |
To Date |
|
||
1. |
Premiums and annuity considerations for life and accident and health contracts |
2,411,554,151 |
2,529,417,119 |
4,936,425,218 |
2. |
Considerations for supplementary contracts with life contingencies |
0 |
0 |
0 |
3. |
Net investment income |
340,805,297 |
402,164,894 |
741,587,746 |
4. |
Amortization of Interest Maintenance Reserve (IMR) |
1,107,082 |
1,553,243 |
3,379,064 |
5. |
Separate Accounts net gain from operations excluding unrealized gains or losses |
0 |
0 |
0 |
6. |
Commissions and expense allowances on reinsurance ceded |
62,910 |
69,305 |
138,296 |
7. |
Reserve adjustments on reinsurance ceded |
(32,311) |
6,140 |
(26,500) |
8. Miscellaneous Income:
8.1 Income from fees associated with investment management, administration and contract |
||||
guarantees from Separate Accounts |
0 |
0 |
0 |
|
8.2 Charges and fees for deposit-type contracts |
0 |
0 |
0 |
|
8.3 Aggregate write-ins for miscellaneous income |
42,959,997 |
17,840,893 |
31,669,548 |
|
9. |
Totals (Lines 1 to 8.3) |
2,796,457,126 |
2,951,051,593 |
5,713,173,371 |
10. |
Death benefits |
67,092,210 |
65,725,358 |
139,982,799 |
11. |
Matured endowments (excluding guaranteed annual pure endowments) |
2,745 |
14,747 |
50,226 |
12. |
Annuity benefits |
0 |
0 |
0 |
13. |
Disability benefits and benefits under accident and health contracts |
951,269,388 |
841,852,151 |
1,799,156,029 |
14. |
Coupons, guaranteed annual pure endowments and similar benefits |
0 |
0 |
0 |
15. |
Surrender benefits and withdrawals for life contracts |
3,241,145 |
3,009,834 |
6,721,792 |
16. |
Group conversions |
0 |
0 |
0 |
17. |
Interest and adjustments on contract or deposit-type contract funds |
2,019,218 |
1,003,332 |
2,137,944 |
18. |
Payments on supplementary contracts with life contingencies |
0 |
0 |
0 |
19. |
Increase in aggregate reserves for life and accident and health contracts |
119,633,169 |
||
181,674,231 |
321,849,923 |
|||
20. |
Totals (Lines 10 to 19) |
1,143,257,875 |
1,093,279,653 |
2,269,898,712 |
21. Commissions on premiums, annuity considerations, and deposit-type contract funds (direct
business only) |
317,914,167 |
324,912,690 |
647,671,346 |
|
22. |
Commissions and expense allowances on reinsurance assumed |
111,135,216 |
116,562,660 |
231,822,903 |
23. |
General insurance expenses and fraternal expenses |
455,426,887 |
473,077,958 |
1,029,231,714 |
24. |
Insurance taxes, licenses and fees, excluding federal income taxes |
65,099,254 |
66,443,061 |
121,817,175 |
25. |
Increase in loading on deferred and uncollected premiums |
(940,683) |
88,886 |
(804,794) |
26. |
Net transfers to or (from) Separate Accounts net of reinsurance |
0 |
0 |
0 |
27. |
Aggregate write-ins for deductions |
8,298,921 |
2,495,858 |
7,138,147 |
28. |
Totals (Lines 20 to 27) |
2,100,191,637 |
2,076,860,766 |
4,306,775,203 |
29. Net gain from operations before dividends to policyholders and federal income taxes (Line 9 minus
Line 28) |
696,265,490 |
874,190,827 |
1,406,398,168 |
30. Dividends to policyholders and refunds to members |
855 |
833 |
2,540 |
31. Net gain from operations after dividends to policyholders, refunds to members and before federal
income taxes (Line 29 minus Line 30) |
696,264,635 |
874,189,994 |
1,406,395,628 |
32. Federal and foreign income taxes incurred (excluding tax on capital gains) |
151,912,613 |
169,638,009 |
281,246,423 |
33. Net gain from operations after dividends to policyholders, refunds to members and federal income
taxes and before realized capital gains or (losses) (Line 31 minus Line 32) |
544,352,022 |
704,551,985 |
1,125,149,205 |
|||
34. |
Net realized capital gains (losses) (excluding gains (losses) transferred to the IMR) less capital |
|||||
gains tax of $ |
(1,039,844) (excluding taxes of $ |
23,061 |
||||
transferred to the IMR) |
2,315,703 |
7,553,240 |
20,925,645 |
|||
35. |
Net income (Line 33 plus Line 34) |
546,667,724 |
712,105,225 |
1,146,074,850 |
||
CAPITAL AND SURPLUS ACCOUNT |
||||||
36. |
Capital and surplus, |
2,626,554,019 |
2,088,047,686 |
2,088,047,686 |
||
37. |
Net income (Line 35) |
546,667,724 |
712,105,225 |
1,146,074,850 |
||
38. |
Change in net unrealized capital gains (losses) less capital gains tax of $ |
(614,796) |
9,243,515 |
(11,185,360) |
42,058,755 |
|
39. |
Change in net unrealized foreign exchange capital gain (loss) |
0 |
0 |
0 |
||
40. |
Change in net deferred income tax |
6,326,000 |
3,310,625 |
(22,605,087) |
||
41. |
Change in nonadmitted assets |
25,256,902 |
34,183,629 |
89,340,870 |
||
42. |
Change in liability for reinsurance in unauthorized and certified companies |
0 |
0 |
0 |
||
43. |
Change in reserve on account of change in valuation basis, (increase) or decrease |
0 |
0 |
0 |
||
44. |
Change in asset valuation reserve |
(20,629,279) |
(30,992,380) |
(67,116,188) |
||
45. |
Change in treasury stock |
0 |
0 |
0 |
||
46. |
Surplus (contributed to) withdrawn from Separate Accounts during period |
0 |
0 |
0 |
||
47. |
Other changes in surplus in Separate Accounts Statement |
0 |
0 |
0 |
||
48. |
Change in surplus notes |
0 |
0 |
0 |
||
49. |
Cumulative effect of changes in accounting principles |
0 |
0 |
0 |
50. Capital changes:
50.1 |
Paid in |
0 |
0 |
0 |
|
50.2 |
Transferred from surplus (Stock Dividend) |
0 |
0 |
0 |
|
50.3 |
Transferred to surplus |
0 |
0 |
0 |
|
51. |
Surplus adjustment: |
||||
51.1 |
Paid in |
0 |
0 |
0 |
|
51.2 |
Transferred to capital (Stock Dividend) |
0 |
0 |
0 |
|
51.3 |
Transferred from capital |
0 |
0 |
0 |
|
51.4 |
Change in surplus as a result of reinsurance |
0 |
0 |
0 |
|
52. |
Dividends to stockholders |
(299,998,670) |
(149,998,633) |
(653,653,184) |
|
53. |
Aggregate write-ins for gains and losses in surplus |
(21,000) |
(21,000) |
4,406,317 |
|
54. |
Net change in capital and surplus for the year (Lines 37 through 53) |
266,845,192 |
557,402,106 |
538,506,333 |
|
55. |
Capital and surplus, as of statement date (Lines 36 + 54) |
2,893,399,211 |
2,645,449,792 |
2,626,554,019 |
|
DETAILS OF WRITE-INS |
|||||
08.301. Realized Foreign Exchange Gain (Loss) |
37,220,306 |
||||
13,257,671 |
21,972,962 |
||||
08.302. Administrative Service Fees from Affiliates |
2,838,864 |
2,462,341 |
4,690,233 |
||
08.303. Other Income from Reinsurance Assumed |
2,091,541 |
2,173,232 |
4,311,020 |
||
08.398. Summary of remaining write-ins for Line 8.3 from overflow page |
809,286 |
(52,351) |
695,333 |
||
08.399. Totals (Lines 08.301 through 08.303 plus 08.398) (Line 8.3 above) |
42,959,997 |
17,840,893 |
31,669,548 |
||
2701. |
Reserve Adjustment from Reinsurance Assumed |
8,298,921 |
2,495,858 |
7,138,147 |
|
2702. |
|||||
2703. |
|||||
2798. |
Summary of remaining write-ins for Line 27 from overflow page |
0 |
0 |
0 |
|
2799. |
Totals (Lines 2701 through 2703 plus 2798)(Line 27 above) |
8,298,921 |
2,495,858 |
7,138,147 |
|
5301. |
Minimum Pension Liability |
0 |
0 |
4,427,317 |
|
5302. |
Other Surplus Adjustment |
(21,000) |
(21,000) |
(21,000) |
|
5303. |
|||||
5398. |
Summary of remaining write-ins for Line 53 from overflow page |
0 |
0 |
0 |
|
5399. |
Totals (Lines 5301 through 5303 plus 5398)(Line 53 above) |
(21,000) |
(21,000) |
4,406,317 |
4
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