ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2008 OF THE CONDITION AND AFFAIRS OF THE. Penn Treaty Network America Insurance Company

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1 LIFE AND ACCIDENT AND HEALTH COMPANIES - ASSOCIATION EDITION ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2008 OF THE CONDITION AND AFFAIRS OF THE Penn Treaty Network America Insurance Company NAIC Group Code 0810, 0810 NAIC Company Code Employer's ID Number (Current Period) (Prior Period) * * Organized under the Laws of Pennsylvania, State of Domicile or Port of Entry Pennsylvania Country of Domicile US Incorporated/Organized February 26, 1954 Commenced Business March 23, 1954 Statutory Home Office 3440 Lehigh Street, Allentown, Pennsylvania (Street and Number, City or Town, State and Zip Code) Main Administrative Office 3440 Lehigh Street, Allentown, Pennsylvania (Street and Number, City or Town, State and Zip Code) (Area Code) (Telephone Number) Mail Address 3440 Lehigh Street, Allentown, Pennsylvania (Street and Number or P.O. Box, City or Town, State and Zip Code) Primary Location of Books and Records 3440 Lehigh Street, Allentown, Pennsylvania (Area Code) (Telephone Number) (Street and Number, City or Town, State and Zip Code) Internet Website Address penntreaty.com Statutory Statement Contact Mark David Cloutier (Name) (Area Code) (Telephone Number) (Extension) mcloutier@penntreaty.com ( Address) (Fax Number) OFFICERS William Walter Hunt, Jr (President) Jane Menin Bagley (Secretary) Mark David Cloutier (Treasurer) OTHER OFFICERS Cameron Barclay Waite (Executive Vice President) Stephen Robert La Pierre (Executive Vice President) James Edward Von Bruchhaeuser (Executive Vice President) DIRECTORS OR TRUSTEES William Walter Hunt, Jr., Chairman Mark David Cloutier Patrick Eugene Falconio Emile Gene Ilchuk Peter Moodey Ross Cameron Barclay Waite Eugene Joseph Woznicki State of County of Pennsylvania Lehigh } SS The officers of this reporting entity being duly sworn, each depose and say that they are the described officers of said reporting entity, and that on the reporting period stated above, all of the herein described assets were the absolute property of the said reporting entity, free and clear from any liens or claims thereon, except as herein stated, and that this statement, together with related exhibits, schedules and explanations therein contained, annexed or referred to, is a full and true statement of all the assets and liabilities and of the condition and affairs of the said reporting entity as of the reporting period stated above, and of its income and deductions therefrom for the period ended, and have been completed in accordance with the NAIC Annual Statement Instructions and Accounting Practices and Procedures manual except to the extent that: (1) state law may differ; or, (2) that state rules or regulations require differences in reporting not related to accounting practices and procedures, according to the best of their information, knowledge and belief, respectively. Furthermore, the scope of this attestation by the described officers also includes the related corresponding electronic filing with the NAIC, when required, that is an exact copy (except for formatting differences due to electronic filing) of the enclosed statement. The electronic filing may be requested by various regulators in lieu of or in addition to the enclosed statement. Subscribed and sworn to before me this 26th day of February, 2009 William Walter Hunt, Jr Jane Menin Bagley Mark David Cloutier CEO/President Corporate Secretary CFO/Treasurer a. Is this an original filing? b. If no: 1. State the amendment number 2. Date filed 3. Number of pages attached Yes ( ) No ( )

2 ASSETS Current Year Prior Year Net Admitted Nonadmitted Assets (Column 1 Net Admitted Assets Assets minus Column 2) Assets ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªª 1. Bonds (Schedule D) 830,923, ,923, ,002, Stocks (Schedule D): ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 2.1 Preferred stocks ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªª 2.2 Common stocks 8,067,076 8,067,076 23,862, Mortgage loans on real estate (Schedule B): ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 3.1 First liens ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 3.2 Other than first liens 4. Real estate (Schedule A): ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªª 4.1 Properties occupied by the company (less $ ªªªªªªªªªªªªªªªªªencumbrances) 4,328,262 4,328,262 4,438,016 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 4.2 Properties held for the production of income (less $ ªªªªªªªªªªªªªªªªªencumbrances) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 4.3 Properties held for sale (less $ ªªªªªªªªªªªªªªªªªencumbrances) 5. Cash ($ ªªªªªªªª (63,027), Schedule E - Part 1), cash equivalents ($ ªªªªª 27,884,238, Schedule E - Part 2) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªª and short-term investments ($ ªªªªªª 6,901,941,Schedule DA) 34,723,152 34,723, ,831,343 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 6. Contract loans (including $ ªªªªªªªªªªªªªªªªªpremium notes) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªª 7. Other invested assets (Schedule BA) 4,381,417 4,381,417 4,652,000 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 8. Receivables for securities ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 9. Aggregate write-ins for invested assets ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªª 10. Subtotals, cash and invested assets (Line 1 through Line 9) 882,423, ,423, ,787,131 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 11. Title plants less $ ªªªªªªªªªªªªªªªªªcharged off (for Title insurers only) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 12. Investment income due and accrued 10,053,346 10,053,346 10,012, Premiums and considerations: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª 13.1 Uncollected premiums and agents' balances in the course of collection 333, , , Deferred premiums, agents' balances and installments booked but deferred and not yet due ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª (including $ ªªªªªªªªªªªªªªªªªearned but unbilled premiums) 33,416 33,416 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 13.3 Accrued retrospective premiums 14. Reinsurance: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª 14.1 Amounts recoverable from reinsurers 316, , ,146 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 14.2 Funds held by or deposited with reinsured companies ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 14.3 Other amounts receivable under reinsurance contracts ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 15. Amounts receivable relating to uninsured plans ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªª 16.1 Current federal and foreign income tax recoverable and interest thereon 5,525,692 5,525,692 11,345,249 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªª 16.2 Net deferred tax asset 63,771,542 63,771,542 5,067,565 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 17. Guaranty funds receivable or on deposit ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª 18. Electronic data processing equipment and software 466, , ,680 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 19. Furniture and equipment, including health care delivery assets ($ ªªªªªªªªªªªªªªªªª) 5,209,981 5,209,981 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 20. Net adjustment in assets and liabilities due to foreign exchange rates ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª 21. Receivables from parent, subsidiaries and affiliates 33,513 33,513 79,683 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªª 22. Health care ($ ªªªªªªªªªªªªªªªªª) and other amounts receivable 13,331 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªªª ªªªªªª ªªªªªªª 23. Aggregate write-ins for other than invested assets 104,518,605 2,479, ,039,310 51,810,165 ªªªªªªªªªªªª ªªªª ªªªªªªª ªªªª ªªªª 24. Total assets excluding Separate Accounts, Segregated Accounts and Protected Cell Accounts (Line 10 to Line 23) 1,072,685,224 71,494,234 1,001,190,990 1,039,140,838 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 25. From Separate Accounts, Segregated Accounts and Protected Cell Accounts ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªª ªªªªªªª ªªªª ªªªª 26. Total (Line 24 and Line 25) 1,072,685,224 71,494,234 1,001,190,990 1,039,140,838 DETAILS OF WRITE-INS ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 9 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Totals (Line 0901 through Line 0903 plus Line 0998) (Line 9 above) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªª Cash Value of Life Insurance 101,439, ,439,310 50,610,165 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Prepaid Expense 260, ,086 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªª Goodwill 600, ,000 1,200,000 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 23 from overflow page 2,219,209 2,219,209 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªªª ªªªªªª ªªªªªªª Totals (Line 2301 through Line 2303 plus Line 2398) (Line 23 above) 104,518,605 2,479, ,039,310 51,810,165 2

3 LIABILITIES, SURPLUS AND OTHER FUNDS 1 2 Current Year Prior Year 1. Aggregate reserve for life contracts $ ªªªªªªªªªªªªªªªª(Exhibit 5, Line ) less $ ªªªªªªªªªªªªªªªªincluded ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª in Line 6.3 (including $ ªªªªªªªªªªªªªªªªModco Reserve) ªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªª 2. Aggregate reserve for accident and health contracts (Exhibit 6, Line 17, Column 1) (including $ ªªªªªªªªªªªªªªªªModco Reserve) 71,266,702 59,492,018 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 3. Liability for deposit-type contracts (Exhibit 7, Line 14, Column 1) (including $ ªªªªªªªªªªªªªªªªModco Reserve) 4. Contract claims: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 4.1 Life (Exhibit 8, Part 1, Line 4.4, Column 1 less sum of Columns 9, 10 and 11) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªª 4.2 Accident and health (Exhibit 8, Part 1, Line 4.4, sum of Columns 9, 10 and 11) 2,479,465 2,244,856 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 5. Policyholders' dividends $ ªªªªªªªªªªªªªªªªand coupons $ ªªªªªªªªªªªªªªªªdue and unpaid (Exhibit 4, Line 10) 6. Provision for policyholders' dividends and coupons payable in following calendar year - estimated amounts: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 6.1 Dividends apportioned for payment (including $ ªªªªªªªªªªªªªªªªModco) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 6.2 Dividends not yet apportioned (including $ ªªªªªªªªªªªªªªªªModco) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 6.3 Coupons and similar benefits (including $ ªªªªªªªªªªªªªªªªModco) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 7. Amount provisionally held for deferred dividend policies not included in Line 6 8. Premiums and annuity considerations for life and accident and health contracts received in advance less $ ªªªªªªªªªªªªªªªªdiscount; ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª including $ ªªªªªªªªªªªªªªªªaccident and health premiums (Exhibit 1, Part 1, Column 1, sum of Line 4 and Line 14) 9. Contract liabilities not included elsewhere: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 9.1 Surrender values on cancelled contracts ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 9.2 Provision for experience rating refunds, including $ ªªªªªªªªªªªªªªªªaccident and health experience rating refunds ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 9.3 Other amounts payable on reinsurance, including $ ªªªªªªªªªªªªªªªªassumed and $ ªªªªªªªªªªªªªªªªceded ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ª ªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 9.4 Interest Maintenance Reserve (IMR, Line 6) 278, Commissions to agents due or accrued-life and annuity contracts $ªªªªªªªªªªªªªªªª, accident and health $ ªªªªªªªªªªªªªªªªand deposit-type ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªªª contract funds $ 99,936 48,272 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 11. Commissions and expense allowances payable on reinsurance assumed ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªª 12. General expenses due or accrued (Exhibit 2, Line 12, Column 6) 4,200,716 8,579, Transfers to Separate Accounts due or accrued (net) (including $ ªªªªªªªªªªªªªªªªaccrued for expense allowances recognized in reserves, ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª net of reinsured allowances) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªª 14. Taxes, licenses and fees due or accrued, excluding federal income taxes (Exhibit 3, Line 9, Column 5) 527, ,397 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 15.1 Current federal and foreign income taxes, including $ ªªªªªªªªªªªªªªªªon realized capital gains (losses) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 15.2 Net deferred tax liability ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 16. Unearned investment income ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªªªªª 17. Amounts withheld or retained by company as agent or trustee (1,218) (686) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªª 18. Amounts held for agents' account, including $ ªªªªªªªªªªªªªªªªagents' credit balances 1,943,241 2,224,015 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª 19. Remittances and items not allocated 16, ,829 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 20. Net adjustment in assets and liabilities due to foreign exchange rates ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 21. Liability for benefits for employees and agents if not included above ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 22. Borrowed money $ ªªªªªªªªªªªªªªªªand interest thereon $ ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 23. Dividends to stockholders declared and unpaid 24. Miscellaneous liabilities: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªª 24.1 Asset valuation reserve (AVR, Line 16, Column 7) 1,317,832 3,152,387 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªªªªªªªªªªªªªª 24.2 Reinsurance in unauthorized companies 231,534,230 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªª 24.3 Funds held under reinsurance treaties with unauthorized reinsurers 908,547, ,171,616 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª 24.4 Payable to parent, subsidiaries and affiliates 35,324 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 24.5 Drafts outstanding ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 24.6 Liability for amounts held under uninsured plans ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªªª 24.7 Funds held under coinsurance 1,302, ,346 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 24.8 Payable for securities ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 24.9 Capital notes $ ªªªªªªªªªªªªªªªªand interest thereon $ ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªª 25. Aggregate write-ins for liabilities 1,715,343 8,801,093 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªª ªªªªª 26. Total liabilities excluding Separate Accounts business (Line 1 to Line 25) 1,225,228,645 1,014,049,860 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 27. From Separate Accounts statement ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªª ªªªªª 28. Total liabilities (Line 26 and Line 27) 1,225,228,645 1,014,049,860 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªª 29. Common capital stock 2,500,800 2,500,800 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 30. Preferred capital stock ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 31. Aggregate write-ins for other than special surplus funds ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 32. Surplus notes ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªª 33. Gross paid in and contributed surplus (Page 3, Line 33, Column 2 plus Page 4, Line 51.1, Column 1) 144,383, ,383,806 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 34. Aggregate write-ins for special surplus funds ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªª ªªªªªª 35. Unassigned funds (surplus) (370,922,261) (121,793,628) 36. Less treasury stock, at cost: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 36.1 ªªªªªªªªªªªªªªªªshares common (value included in Line 29 $ ªªªªªªªªªªªªªªªª) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 36.2 ªªªªªªªªªªªªªªªªshares preferred (value included in Line 30 $ ªªªªªªªªªªªªªªªª) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªª ªªªªªªªª 37. Surplus (Total Lines ) (including $ ªªªªªªªªªªªªªªªªin Separate Accounts Statement) (226,538,455) 22,590,178 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªª ªªªªªªªª 38. Totals of Lines 29, 30 and 37 (Page 4, Line 55) (224,037,655) 25,090,978 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªª ªªªªª 39. Totals of Lines 28 and 38 (Page 2, Line 26, Column 3) 1,001,190,990 1,039,140,838 DETAILS OF WRITE-INS ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª Due Reinsurance 660,738 3,255,910 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªª Accounts Payable 1,053,886 2,903,378 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªª ªªªªªªªªªªª Escheat ,419 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªª Summary of remaining write-ins for Line 25 from overflow page 2,625,386 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªª Totals (Line 2501 through Line 2503 plus Line 2598) (Line 25 above) 1,715,343 8,801,093 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 31 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Totals (Line 3101 through Line 3103 plus Line 3198) (Line 31 above) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 34 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Totals (Line 3401 through Line 3403 plus Line 3498) (Line 34 above) 3

4 SUMMARY OF OPERATIONS 1 2 Current Year Prior Year ªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 1. Premiums and annuity considerations for life and accident and health contracts (Exhibit 1, Part 1, Line 20.4, Column 1, less Column 11) 32,399,726 36,896,340 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 2. Considerations for supplementary contracts with life contingencies ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªª 3. Net investment income (Exhibit of Net Investment Income, Line 17) 17,069,857 2,914,612 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªª 4. Amortization of Interest Maintenance Reserve (IMR, Line 5) 73,395 (4,310) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 5. Separate Accounts net gain from operations excluding unrealized gains or losses ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 6. Commissions and expense allowances on reinsurance ceded (Exhibit 1, Part 2, Line 26.1, Column 1) 55,381,002 55,664,117 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 7. Reserve adjustments on reinsurance ceded 8. Miscellaneous Income: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 8.1 Income from fees associated with investment management, administration and contract guarantees from Separate Accounts ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 8.2 Charges and fees for deposit-type contracts ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 8.3 Aggregate write-ins for miscellaneous income ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªª 9. Totals (Line 1 to Line 8.3) 104,923,980 95,470,759 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 10. Death benefits 277,084 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 11. Matured endowments (excluding guaranteed annual pure endowments) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 12. Annuity benefits (Exhibit 8, Part 2, Line 6.4, Column 4 plus Column 8) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 13. Disability benefits and benefits under accident and health contracts 10,805,097 12,738,608 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 14. Coupons, guaranteed annual pure endowments and similar benefits ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 15. Surrender benefits and withdrawals for life contracts ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 16. Group conversions ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 17. Interest and adjustments on contract or deposit-type contract funds ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 18. Payments on supplementary contracts with life contingencies ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 19. Increase in aggregate reserves for life and accident and health contracts 11,774,684 14,892,726 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 20. Totals (Line 10 to Line 19) 22,856,865 27,631,334 ªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 21. Commissions on premiums, annuity considerations and deposit-type contract funds (direct business only) (Exhibit 1, Part 2, Line 31, Column 1) 29,052,140 31,673,102 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª 22. Commissions and expense allowances on reinsurance assumed (Exhibit 1, Part 2, Line 26.2, Column 1) 508, ,267 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 23. General insurance expenses (Exhibit 2, Line 10, Columns 1, 2, 3 and 4) 41,718,973 47,552,977 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªª 24. Insurance taxes, licenses and fees, excluding federal income taxes (Exhibit 3, Line 7, Column 1 plus Column 2 plus Column 3) 6,642,653 6,756,811 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 25. Increase in loading on deferred and uncollected premiums ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 26. Net transfers to or (from) Separate Accounts net of reinsurance ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªªªªªªªªªªªª 27. Aggregate write-ins for deductions 2,604,446 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªª 28. Totals (Line 20 to Line 27) 103,383, ,180,491 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªª 29. Net gain from operations before dividends to policyholders and federal income taxes (Line 9 minus Line 28) 1,540,360 (18,709,732) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 30. Dividends to policyholders ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªª 31. Net gain from operations after dividends to policyholders and before federal income taxes (Line 29 minus Line 30) 1,540,360 (18,709,732) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 32. Federal and foreign income taxes incurred (excluding tax on capital gains) (2,066,883) (3,222,543) 33. Net gain from operations after dividends to policyholders and federal income taxes and before realized capital gains or (losses) (Line 31 minus ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªª Line 32) 3,607,243 (15,487,189) 34. Net realized capital gains (losses) (excluding gains (losses) transferred to the IMR) less capital gains tax of $ ªªªª (1,765,321)(excluding taxes of ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªªªªªª $ ªªªªªªªªªªªªªªªªtransferred to the IMR) (3,426,801) 5,044 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªª 35. Net Income (Line 33 plus Line 34) 180,442 (15,482,145) CAPITAL AND SURPLUS ACCOUNT ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 36. Capital and surplus, December 31, prior year (Page 3, Line 38, Column 2) 25,090,978 39,263,554 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªª 37. Net income (Line 35) 180,442 (15,482,145) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªªª 38. Change in net unrealized capital gains (losses) less capital gains tax of $ (15,810,284) 3,170,363 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 39. Change in net unrealized foreign exchange capital gain (loss) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª 40. Change in net deferred income tax 254, ,837 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªªª 41. Change in nonadmitted assets (4,539,907) (555,006) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªª ªªªªªªªªªªªªªªªªªªª 42. Change in liability for reinsurance in unauthorized companies (231,534,230) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 43. Change in reserve on account of change in valuation basis, (increase) or decrease (Exhibit 5A, Line , Column 4) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªª 44. Change in asset valuation reserve 1,834,555 (1,253,225) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 45. Change in treasury stock (Page 3, Lines 36.1 and 36.2 Column 2 minus Column 1) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 46. Surplus (contributed to) withdrawn from Separate Accounts during period ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 47. Other changes in surplus in Separate Accounts statement ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 48. Change in surplus notes ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 49. Cumulative effects of changes in accounting principles 50. Capital changes: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 50.1 Paid in ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 50.2 Transferred from surplus (Stock Dividend) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 50.3 Transferred to surplus 51. Surplus adjustment: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªªªªªªªªªªªª 51.1 Paid in 3,000,000 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 51.2 Transferred to capital (Stock Dividend) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 51.3 Transferred from capital ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 51.4 Change in surplus as a result of reinsurance ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 52. Dividends to stockholders ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªªª 53. Aggregate write-ins for gains and losses in surplus (2,513,369) (373,400) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªª ªªªªªª 54. Net change in capital and surplus for the year (Line 37 through Line 53) (249,128,633) (14,172,576) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªª ªªªªªªª 55. Capital and surplus, December 31, current year (Line 36 plus Line 54) (Page 3, Line 38) (224,037,655) 25,090,978 DETAILS OF WRITE-INS ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Prior Year Refund of Excise Tax ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 8.3 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Totals(Line through Line plus Line )(Line 8.3 above) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªªªªªªªªªªªª Loss on Sale Leaseback 2,604,446 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 27 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªªªªªªªªªªªª Totals(Line 2701 through Line 2703 plus Line 2798)(Line 27 above) 2,604,446 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª Amortization of Goodwill (600,000) (600,000) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªªªªªªªªªªªªª Prior Year Surplus Adjustment Due to Reinsurance (1,913,369) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª Prior Year Surplus Adjustment Due to Escheat 226,600 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 53 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªªª Totals(Line 5301 through Line 5303 plus Line 5398)(Line 53 above) (2,513,369) (373,400) 4

5 CASH FLOW 1 2 Current Year Prior Year Cash from Operations ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª 1. Premiums collected net of reinsurance 32,309,997 36,810,639 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª 2. Net investment income 17,825,193 (2,446,555) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª 3. Miscellaneous income 55,381,002 55,664,117 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª 4. Total (Line 1 through Line 3) 105,516,192 90,028,201 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª 5. Benefit and loss related payments 10,815,478 12,575,658 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 6. Net transfers to Separate Accounts, Segregated Accounts and Protected Cell Accounts ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª 7. Commissions, expenses paid and aggregate write-ins for deductions 81,396,662 85,883,670 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 8. Dividends paid to policyholders ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªª 9. Federal and foreign income taxes paid (recovered) net of $ ªªªªªªªªªªªªªªªªªªtax on capital gains (losses) 2,400,000 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª 10. Total (Line 5 through Line 9) 92,212, ,859,328 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª 11. Net cash from operations (Line 4 minus Line 10) 13,304,052 (10,831,127) Cash from Investments 12. Proceeds from investments sold, matured or repaid: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª 12.1 Bonds 12,930, ,645,077 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 12.2 Stocks ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 12.3 Mortgage loans ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 12.4 Real estate ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 12.5 Other invested assets ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªª 12.6 Net gains or (losses) on cash, cash equivalants and short-term investments 5,044 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 12.7 Miscellaneous proceeds ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª 12.8 Total investment proceeds (Line 12.1 through Line 12.7) 12,930, ,650, Cost of investments acquired (long-term only): ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª 13.1 Bonds 41,203,310 64,586,679 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 13.2 Stocks ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 13.3 Mortgage loans ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 13.4 Real estate ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 13.5 Other invested assets ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 13.6 Miscellaneous applications ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª 13.7 Total investments acquired (Line 13.1 through Line 13.6) 41,203,310 64,586,679 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 14. Net increase (decrease) in contract loans and premium notes ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª ªªªªªªªªªªªªªª 15. Net cash from investments (Line 12.8 minus Line 13.7 minus Line 14) (28,272,917) 111,063,442 Cash from Financing and Miscellaneous Sources 16. Cash provided (applied): ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 16.1 Surplus notes, capital notes ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 16.2 Capital and paid in surplus, less treasury stock 3,000,000 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 16.3 Borrowed funds ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 16.4 Net deposits on deposit-type contracts and other insurance liabilities ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª 16.5 Dividends to stockholders ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª 16.6 Other cash provided (applied) (71,139,326) 11,778,022 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª 17. Net cash from financing and miscellaneous sources (Line 16.1 through Line 16.4 minus Line 16.5 plus Line 16.6) (68,139,326) 11,778,022 RECONCILIATION OF CASH, CASH EQUIVALENTS AND SHORT-TERM INVESTMENTS ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª ªªªªªªªªªªªªªª 18. Net change in cash, cash equivalents and short-term investments (Line 11 plus Line 15 plus Line 17) (83,108,191) 112,010, Cash, cash equivalents and short-term investments: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªª 19.1 Beginning of year 117,831,343 5,821,006 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª 19.2 End of year (Line 18 plus Line 19.1) 34,723, ,831,343 Note: Supplemental disclosures of cash flow information for non-cash transactions: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªª

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