v3.25.2
Condensed Consolidated Balance Sheets - USD ($)
$ in Thousands
Jun. 30, 2025
Dec. 31, 2024
Investments:    
Fixed maturities—available for sale, at fair value (amortized cost: 2025—$18,959,797; 2024—$18,835,809, allowance for credit losses: 2025— $10,355; 2024— $10,395) $ 17,365,354 $ 17,155,012
Mortgage loans 455,767 396,088
Policy loans 718,621 699,669
Other long-term investments (includes: 2025—$1,022,425; 2024—$986,766 under the fair value option) 1,268,624 1,235,759
Short-term investments 116,724 85,035
Total investments 19,925,090 19,571,563
Cash 239,122 165,325
Accrued investment income 271,670 269,791
Other receivables 690,705 691,907
Deferred acquisition costs 6,754,821 6,495,589
Goodwill 490,446 490,446
Other assets 1,437,494 1,391,560
Total assets 29,809,348 29,076,181
Liabilities:    
Future policy benefits at current discount rates: (at original discount rates: 2025—$17,901,979; 2024—$17,552,564) 18,846,755 18,457,263
Unearned and advance premium 273,195 257,631
Policy claims and other benefits payable 532,179 532,832
Other policyholders' funds 492,146 468,604
Total policy liabilities 20,144,275 19,716,330
Current and deferred income taxes 816,135 731,255
Short-term debt 464,540 415,401
Long-term debt (estimated fair value: 2025—$2,172,267; 2024—$2,122,772) 2,325,642 2,324,251
Other liabilities 639,726 583,424
Total liabilities 24,390,318 23,770,661
Commitments and Contingencies (Note 5)
Shareholders' equity:    
Preferred stock, par value $1 per share—5,000,000 shares authorized; outstanding: 0 in 2025 and 2024 0 0
Common stock, par value $1 per share—320,000,000 shares authorized; outstanding: (2025—97,218,183 issued; 2024—97,218,183 issued) 97,218 97,218
Additional paid-in-capital 538,050 527,795
Accumulated other comprehensive income (loss) (1,983,868) (2,029,720)
Retained earnings 8,453,893 8,002,521
Treasury stock, at cost: (2025—16,206,643 shares; 2024—13,240,616 shares) (1,686,263) (1,292,294)
Total shareholders' equity 5,419,030 5,305,520
Total liabilities and shareholders' equity $ 29,809,348 $ 29,076,181