COMBINED ANNUAL STATEMENT For the Year Ended December 31, 2004 of the Condition and Affairs of the. Infinity Property & Casualty Insurance Group

Similar documents
COMBINED ANNUAL STATEMENT For the Year Ended December 31, 2015 of the Condition and Affairs of the

NATIONWIDE MUTUAL INSURANCE COMPANY ASSETS

Metropolitan Property and Casualty Insurance Company ASSETS

Metropolitan Property and Casualty Insurance Company ASSETS

TWIN CITY FIRE INSURANCE COMPANY ASSETS

Annual Statement for the year 2016 of the GENWORTH FINANCIAL ASSURANCE CORPORATION ASSETS

Annual Statement for the year 2016 of the GENWORTH MORTGAGE INSURANCE CORPORATION ASSETS

COMBINED ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2003 OF THE CONDITION AND AFFAIRS OF THE

OFFICERS Name Title Name Title 1. Glorimar Rivero President 2. Mary Letty Hernandez Treasurer 3. Maria S. Toledo Secretary 4.

Puerto Rico Medical Defense Insurance Company ASSETS

Metropolitan Group Property and Casualty Insurance Company ASSETS

NAIC Group Code 0008 NAIC Company Code Combined Statement Contact Lynn Cirrincione, (Area Code) (Telephone Number)

Metropolitan Direct Property and Casualty Insurance Company ASSETS

COMBINED ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2017 OF THE CONDITION AND AFFAIRS OF THE

Statutory Statement Contact Jon Ritchie (Area Code) (Telephone Number) (Extension)

ANNUAL STATEMENT. Missouri Employers Mutual Insurance Company

COMBINED ANNUAL STATEMENT

COMBINED ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2017 OF THE CONDITION AND AFFAIRS OF THE

COMBINED ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2016 OF THE CONDITION AND AFFAIRS OF THE

COMBINED ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2016 OF THE CONDITION AND AFFAIRS OF THE

NAIC Group Code 0008 NAIC Company Code 00086

COMBINED ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2017 OF THE CONDITION AND AFFAIRS OF THE

Hawaii Employers' Mutual Insurance Company, Inc.

Statutory Statement Contact Jennifer Gravelle (Area Code) (Telephone Number) (Extension)

ANNUAL STATEMENT OF THE AMERICAN STATES PREFERRED INSURANCE COMPANY TO THE. Insurance Department OF THE FOR THE YEAR ENDED.

COMBINED ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2004 OF THE CONDITION AND AFFAIRS OF THE

Statutory Statement Contact Priscilla Carter (Area Code) (Telephone Number) (Extension)

OFFICERS Name Title Name Title 1. Victor Jose Salgado Jr President 2. Ana Maria Salgado Secretary 3. Ana Maria Salgado Treasurer 4.

Statutory Statement Contact Priscilla Carter (Area Code) (Telephone Number) (Extension)

ANNUAL STATEMENT OF THE PEERLESS INSURANCE COMPANY

ANNUAL STATEMENT OF THE AMERICAN ECONOMY INSURANCE COMPANY TO THE. Insurance Department OF THE FOR THE YEAR ENDED.

ANNUAL STATEMENT OF THE SAFECO INSURANCE COMPANY OF ILLINOIS TO THE. Insurance Department OF THE FOR THE YEAR ENDED.

COMBINED ANNUAL STATEMENT

ANNUAL STATEMENT OF THE IRONSHORE INDEMNITY INC.

ANNUAL STATEMENT OF THE EMPLOYERS INSURANCE COMPANY OF WAUSAU TO THE. Insurance Department OF THE FOR THE YEAR ENDED.

ANNUAL STATEMENT OF THE PEERLESS INSURANCE COMPANY

ANNUAL STATEMENT OF THE

ANNUAL STATEMENT For the Year Ending December 31, 2016 OF THE CONDITION AND AFFAIRS OF THE MOUNT BEACON INSURANCE COMPANY

ANNUAL STATEMENT OF THE

* * DIRECTORS OR TRUSTEES David Michael Johnson David Mark Znamierowski David Kenneth Zwiener

ANNUAL STATEMENT OF THE THE OHIO CASUALTY INSURANCE COMPANY TO THE. Insurance Department OF THE FOR THE YEAR ENDED.

ANNUAL STATEMENT OF THE GENERAL INSURANCE COMPANY OF AMERICA TO THE. Insurance Department OF THE FOR THE YEAR ENDED.

ANNUAL STATEMENT For the Year Ended DECEMBER 31, 2016 OF THE CONDITION AND AFFAIRS OF THE Safepoint Insurance Company

ANNUAL STATEMENT OF THE LIBERTY COUNTY MUTUAL INSURANCE COMPANY TO THE. Insurance Department OF THE FOR THE YEAR ENDED.

Northern Capital Insurance Company

INSURANCE EXPENSE EXHIBIT

COMBINED ANNUAL STATEMENT

ASSETS ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªª ªªªªªªªªª ªªªªªªª

ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2010 OF THE CONDITION AND AFFAIRS OF THE ADRIATIC INS CO

Q02. Statement for March 31, 2017 of the

ASOCIACION DE SUSCRIPCION CONJUNTA DEL SEGURO DE RESPONSABILIDAD OBLIGATORIO

* * PROPERTY AND CASUALTY COMPANIES ASSOCIATION EDITION

ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2016 OF THE CONDITION AND AFFAIRS OF THE. Guarantee Insurance Company

Erie Insurance Company of New York ASSETS

Q02. Statement for March 31, 2017 of the

Q02. Statement for June 30, 2018 of the

ANNUAL STATEMENT OF THE MONTGOMERY MUTUAL INSURANCE COMPANY TO THE. Insurance Department OF THE FOR THE YEAR ENDED.

ANNUAL STATEMENT OF THE GOLDEN EAGLE INSURANCE CORPORATION TO THE. Insurance Department OF THE FOR THE YEAR ENDED.

ANNUAL STATEMENT FOR THE YEAR 2015 OF THE MGIC INDEMNITY CORPORATION ASSETS

* * PROPERTY AND CASUALTY COMPANIES ASSOCIATION EDITION

ANNUAL STATEMENT OF THE OHIO SECURITY INSURANCE COMPANY TO THE. Insurance Department OF THE FOR THE YEAR ENDED. December 31, 2016

* * PROPERTY AND CASUALTY COMPANIES - ASSOCIATION EDITION

* * PROPERTY AND CASUALTY COMPANIES ASSOCIATION EDITION

ASOCIACION DE SUSCRIPCION CONJUNTA DEL SEGURO DE RESPONSABILIDAD OBLIGATORIO

To accurately reflect adjustments made for deferred income tax pursuant to SSAP 101, additional quota share reinsurance recoverable and capital

* * PROPERTY AND CASUALTY COMPANIES - ASSOCIATION EDITION

* * PROPERTY AND CASUALTY COMPANIES - ASSOCIATION EDITION

ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2016 OF THE CONDITION AND AFFAIRS OF THE ASHMERE INSURANCE COMPANY

ANNUAL STATEMENT FOR THE YEAR 2015 OF THE Berkley Insurance Company ASSETS

ANNUAL STATEMENT OF THE PEERLESS INDEMNITY INSURANCE COMPANY TO THE. Insurance Department OF THE FOR THE YEAR ENDED.

ANNUAL STATEMENT For the Year Ended DECEMBER 31, 2017 OF THE CONDITION AND AFFAIRS OF THE SIMED

* * PROPERTY AND CASUALTY COMPANIES - ASSOCIATION EDITION

* * PROPERTY AND CASUALTY COMPANIES ASSOCIATION EDITION

AMENDED EXPLANATION COVER. QBE Seguros. Amended Explanation 2016

ANNUAL STATEMENT For the Year Ended December 31, 2009 OF THE CONDITION AND AFFAIRS OF THE EASTERN AMERICA INSURANCE COMPANY

ANNUAL STATEMENT For the Year Ended DECEMBER 31, 2016 OF THE CONDITION AND AFFAIRS OF THE FLORIDA PENINSULA INSURANCE COMPANY

* * PROPERTY AND CASUALTY COMPANIES ASSOCIATION EDITION

ANNUAL STATEMENT For the Year Ended DECEMBER 31, 2016 OF THE CONDITION AND AFFAIRS OF THE Anchor Property & Casualty Insurance Company

* * PROPERTY AND CASUALTY COMPANIES - ASSOCIATION EDITION

Reliance Standard Life Insurance Company ASSETS

Great-West Life & Annuity Insurance Company ASSETS

First Reliance Standard Life Insurance Company ASSETS

ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2015 OF THE CONDITION AND AFFAIRS OF THE COVENTRY INSURANCE COMPANY

Continental American Insurance Company ASSETS

Reliance Standard Life Insurance Company ASSETS

AXA EQUITABLE LIFE INSURANCE COMPANY ASSETS

NATIONWIDE LIFE AND ANNUITY INSURANCE COMPANY ASSETS

ANNUAL STATEMENT OF THE STEWART

ANNUAL STATEMENT FOR THE YEAR 2017 OF THE Southern Insurance Company

ANNUAL STATEMENT For the Year Ended December 31, 2009 OF THE CONDITION AND AFFAIRS OF THE SIMED

ANNUAL STATEMENT OF THE

ANNUAL STATEMENT FOR THE YEAR 2016 OF THE WASHINGTON NATIONAL INSURANCE COMPANY ASSETS

AmTrust Title Insurance Company ASSETS

* * PROPERTY AND CASUALTY COMPANIES ASSOCIATION EDITION

* * PROPERTY AND CASUALTY COMPANIES ASSOCIATION EDITION

ANNUAL STATEMENT OF THE

ANNUAL STATEMENT FOR THE YEAR 2013 OF THE PRUDENTIAL INSURANCE COMPANY OF AMERICA ASSETS

ANNUAL STATEMENT FOR THE YEAR 2016 OF THE COLONIAL PENN LIFE INSURANCE COMPANY ASSETS

ANNUAL STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2013 OF THE CONDITION AND AFFAIRS OF THE COOPERATIVA DE SEGUROS MULTIPLES DE PR

ANNUAL STATEMENT. Insurance Department BETHESDA STATE OF MARYLAND STATE OF. in the TO THE OF THE OF THE LIFE AND ACCIDENT AND HEALTH 2012

Transcription:

COMBINED PROPERTY AND CASUALTY COMPANIES ASSOCIATION EDITION *02160200420100100* COMBINED ANNUAL STATEMENT For the Year Ended December 31, 2004 of the Condition and Affairs of the and its affiliated property and casualty insurers NAMES OF COMPANIES INCLUDED IN THIS STATEMENT American Deposit Insurance Company 16802 OK American Premier Insurance Company 37001 IN Atlanta Casualty Company 21792 OH Atlanta Reserve Insurance Company 10968 OH Atlanta Specialty Insurance Company 31925 OH Coventry Insurance Company 35211 OH Great Texas County Mutual Insurance Company 13820 TX Infinity Insurance Company 22268 IN Infinity National Insurance Company 10068 IN Infinity Select Insurance Company 20260 IN Leader Insurance Company 11738 OH Leader Preferred Insurance Company 10195 OH Leader Specialty Insurance Company 10061 IN Regal Insurance Company 38873 IN TICO Insurance Company 39497 OH Windsor Insurance Company 12599 IN This annual statement contains combined data for the property and casualty insurance companies listed above, compiled in accordance with the NAIC instructions for the completion of annual statements. NAIC Group Code...3495 NAIC Combined Company Code... 02160 Mail Address Post Office Box 830189 Birmingham AL 35283 0189 (Street and Number) (City or Town, State and Zip Code) Statutory Statement Contact Vicki Windham Daniell 205 803 8336 (Name) (Area Code) (Telephone Number)

ASSETS Current Year Prior Year 1 2 3 4 Net Admitted Nonadmitted Assets Net Assets Assets (Cols. 1 2) Admitted Assets 1. Bonds (Schedule D)......1,214,824,398...0...1,214,824,398...1,167,051,157 2. Stocks (Schedule D): 2.1 Preferred stocks......11,845,524...0...11,845,524...19,346,109 2.2 Common stocks......15,230,754...0...15,230,754...11,336,460 3. Mortgage loans on real estate (Schedule B): 3.1 First liens......0...0...0...0 3.2 Other than first liens......0...0...0...0 4. Real estate (Schedule A): 4.1 Properties occupied by the company (less $...0 encumbrances)......0...0...0...0 4.2 Properties held for the production of income (less $...0 encumbrances)......0...0...0...0 4.3 Properties held for sale (less $...0 encumbrances)......0...0...0...1,372,720 5. Cash ($...(9,211,128), Sch. E Part 1), cash equivalents ($...0, Sch. E Part 2) and short term investments ($...56,625,292, Sch. DA)......47,414,164...0...47,414,164...65,644,695 6. Contract loans (including $...0 premium notes)......0...0...0...0 7. Other invested assets (Schedule BA)......0...0...0...0 8. Receivable for securities......169,826...0...169,826...113,532 9. Aggregate write ins for invested assets......0...0...0...0 10. Subtotals, cash and invested assets (Lines 1 to 9)......1,289,484,666...0...1,289,484,666...1,264,864,673 11. Investment income due and accrued......16,363,679...155,510...16,208,169...16,515,549 12. Premiums and considerations: 12.1 Uncollected premiums and agents' balances in course of collection......27,863,413...3,932,395...23,931,018...55,016,436 12.2 Deferred premiums, agents' balances and installments booked but deferred and not yet due (including $...0 earned but unbilled premiums)......246,951,083...0...246,951,083...201,699,424 12.3 Accrued retrospective premiums......0...0...0...0 13. Reinsurance: 13.1 Amounts recoverable from reinsurers......2,453,702...0...2,453,702...1,973,587 13.2 Funds held by or deposited with reinsured companies......0...0...0...0 13.3 Other amounts receivable under reinsurance contracts......0...0...0...0 14. Amounts receivable relating to uninsured plans......0...0...0...0 15.1 Current federal and foreign income tax recoverable and interest thereon......0...0...0...0 15.2 Net deferred tax asset......59,110,980...20,338,889...38,772,091...36,205,136 16. Guaranty funds receivable or on deposit......0...0...0...0 17. Electronic data processing equipment and software......459,700...142,718...316,982...839,373 18. Furniture and equipment, including health care delivery assets ($...0)......1,217,419...1,217,419...0...0 19. Net adjustment in assets and liabilities due to foreign exchange rates......0...0...0...0 20. Receivables from parent, subsidiaries and affiliates......1,314,605...0...1,314,605...15,347,043 21. Health care ($...0) and other amounts receivable......0...0...0...0 22. Other assets nonadmitted......101,594...101,594...0...0 23. Aggregate write ins for other than invested assets......5,815,439...2,496,094...3,319,345...987,730 24. Total assets excluding Separate Accounts, Segregated Accounts and Protected Cell Accounts (Lines 10 to 23)......1,651,136,280...28,384,619...1,622,751,661...1,593,448,951 25. From Separate Accounts, Segregated Accounts and Protected Cell Accounts......0...0...0...0 26. TOTALS (Lines 24 and 25)......1,651,136,280...28,384,619...1,622,751,661...1,593,448,951 DETAILS OF WRITE INS 0901.......0...0...0...0 0902.......0...0...0...0 0903.......0...0...0...0 0998. Summary of remaining write ins for Line 9 from overflow page......0...0...0...0 0999. Totals (Lines 0901 thru 0903 plus 0998) (Line 9 above)......0...0...0...0 2301. Accounts receivable and other assets......5,776,522...2,457,177...3,319,345...756,827 2302. Excess cost over market of consolidated subsidiaries......0...0...0...230,903 2303. Special deposits......38,917...38,917...0...0 2398. Summary of remaining write ins for Line 23 from overflow page......0...0...0...0 2399. Totals (Lines 2301 thru 2303 plus 2398) (Line 23 above)......5,815,439...2,496,094...3,319,345...987,730 2

LIABILITIES, SURPLUS AND OTHER FUNDS 1 2 Current Year Prior Year 1. Losses (Part 2A, Line 34, Column 8)......475,515,491...535,228,908 2. Reinsurance payable on paid loss and loss adjustment expenses (Schedule F, Part 1, Column 6)......2,505,185...7,958,606 3. Loss adjustment expenses (Part 2A, Line 34, Column 9)......164,184,456...145,150,516 4. Commissions payable, contingent commissions and other similar charges......25,257,302...22,915,310 5. Other expenses (excluding taxes, licenses and fees)......597,169...1,383,811 6. Taxes, licenses and fees (excluding federal and foreign income taxes)......7,018,321...7,638,206 7.1 Current federal and foreign income taxes (including $...0 on realized capital gains (losses))......1,085,508...4,345,219 7.2 Net deferred tax liability......0...0 8. Borrowed money $...0 and interest thereon $...0......0...0 9. Unearned premiums (Part 1A, Line 37, Column 5) (after deducting unearned premiums for ceded reinsurance of $...12,857,516 and including warranty reserves of $...0)......375,059,363...323,851,365 10. Advance premiums......0...0 11. Dividends declared and unpaid: 11.1 Stockholders......0...0 11.2 Policyholders......0...0 12. Ceded reinsurance premiums payable (net of ceding commissions)......1,447,551...1,431,564 13. Funds held by company under reinsurance treaties (Schedule F, Part 3, Column 19)......0...30,758,359 14. Amounts withheld or retained by company for account of others......816,249...761,900 15. Remittances and items not allocated......2,080...54,001 16. Provision for reinsurance (Schedule F, Part 7)......1,260,629...820,200 17. Net adjustments in assets and liabilities due to foreign exchange rates......0...0 18. Drafts outstanding......24,511,658...28,634,184 19. Payable to parent, subsidiaries and affiliates......6,946,163...13,628,132 20. Payable for securities......0...0 21. Liability for amounts held under uninsured accident and health plans......0...0 22. Capital notes $...0 and interest thereon $...0......0...0 23. Aggregate write ins for liabilities......29,365,140...21,206,564 24. Total liabilities excluding protected cell liabilities (Lines 1 through 23)......1,115,572,265...1,145,766,845 25. Protected cell liabilities......0...0 26. Total liabilities (Lines 24 and 25)......1,115,572,265...1,145,766,845 27. Aggregate write ins for special surplus funds......0...0 28. Common capital stock......8,000,000...10,500,000 29. Preferred capital stock......0...0 30. Aggregate write ins for other than special surplus funds......0...0 31. Surplus notes......0...0 32. Gross paid in and contributed surplus......301,310,760...358,279,856 33. Unassigned funds (surplus)......197,868,636...78,902,250 34. Less treasury stock, at cost: 34.1...0.000 shares common (value included in Line 28 $...0)......0...0 34.2...0.000 shares preferred (value included in Line 29 $...0)......0...0 35. Surplus as regards policyholders (Lines 27 to 33, less 34) (Page 4, Line 38)......507,179,396...447,682,106 36. TOTALS (Page 2, Line 26, Col. 3)......1,622,751,661...1,593,448,951 DETAILS OF WRITE INS 2301. Accounts payable and other liabilities......29,365,140...21,154,194 2302. North Carolina 2002 private passenger auto escrow......0...52,370 2303.......0...0 2398. Summary of remaining write ins for Line 23 from overflow page......0...0 2399. Totals (Lines 2301 thru 2303 plus 2398) (Line 23 above)......29,365,140...21,206,564 2701.......0...0 2702.......0...0 2703.......0...0 2798. Summary of remaining write ins for Line 27 from overflow page......0...0 2799. Totals (Lines 2701 thru 2703 plus 2798) (Line 27 above)......0...0 3001.......0...0 3002.......0...0 3003.......0...0 3098. Summary of remaining write ins for Line 30 from overflow page......0...0 3099. Totals (Lines 3001 thru 3003 plus 3098) (Line 30 above)......0...0 3

UNDERWRITING AND INVESTMENT EXHIBIT 1 2 STATEMENT OF INCOME Current Year Prior Year UNDERWRITING INCOME 1. Premiums earned (Part 1, Line 34, Column 4)......872,323,635...698,713,584 DEDUCTIONS 2. Losses incurred (Part 2, Line 34, Column 7)......430,644,065...382,256,047 3. Loss expenses incurred (Part 3, Line 25, Column 1)......174,501,221...176,487,271 4. Other underwriting expenses incurred (Part 3, Line 25, Column 2)......193,051,454...124,509,171 5. Aggregate write ins for underwriting deductions......0...21,888 6. Total underwriting deductions (Lines 2 through 5)......798,196,740...683,274,377 7. Net income of protected cells......0...0 8. Net underwriting gain (loss) (Line 1 minus Line 6 plus Line 7)......74,126,895...15,439,207 INVESTMENT INCOME 9. Net investment income earned (Exhibit of Net Investment Income, Line 17)......63,408,038...58,045,091 10. Net realized capital gains (losses) (Exhibit of Capital Gains (Losses))......9,643,562...(54,655,579) 11. Net investment gain (loss) (Lines 9 + 10)......73,051,600...3,389,512 OTHER INCOME 12. Net gain (loss) from agents' or premium balances charged off (amount recovered $...648,123 amount charged off $...11,772,770)......(11,124,647)...(11,930,062) 13. Finance and service charges not included in premiums......2,833,707...3,205,151 14. Aggregate write ins for miscellaneous income......(8,004,098)...(3,171,304) 15. Total other income (Lines 12 through 14)......(16,295,038)...(11,896,215) 16. Net income before dividends to policyholders and before federal and foreign income taxes (Lines 8 + 11 + 15)......130,883,457...6,932,504 17. Dividends to policyholders......0...0 18. Net income, after dividends to policyholders but before federal and foreign income taxes (Line 16 minus Line 17)......130,883,457...6,932,504 19. Federal and foreign income taxes incurred......43,511,249...31,148,574 20. Net income (Line 18 minus Line 19) (to Line 22)......87,372,208...(24,216,070) CAPITAL AND SURPLUS ACCOUNT 21. Surplus as regards policyholders, December 31 prior year (Page 4, Line 38, Column 2)......447,682,106...336,066,643 GAINS AND (LOSSES) IN SURPLUS 22. Net income (from Line 20)......87,372,208...(24,216,070) 23. Change in net unrealized capital gains or (losses)......2,067,440...61,989,361 24. Change in net unrealized foreign exchange capital gain (loss)......0...(2,140,264) 25. Change in net deferred income tax......(1,340,420)...(2,630,750) 26. Change in nonadmitted assets (Exhibit of Nonadmitted Assets, Line 26 Column 3)......3,162,172...15,056,786 27. Change in provision for reinsurance (Page 3, Line 16, Column 2 minus Column 1)......(440,429)...(343,600) 28. Change in surplus notes......0...(600,000) 29. Surplus (contributed to) withdrawn from protected cells......0...0 30. Cumulative effect of changes in accounting principles......0...0 31. Capital changes: 31.1 Paid in......(2,500,000)...(3,000,000) 31.2 Transferred from surplus (Stock Dividend)......0...0 31.3 Transferred to surplus......0...0 32. Surplus adjustments: 32.1 Paid in......(56,969,096)...106,500,000 32.2 Transferred to capital (Stock Dividend)......0...0 32.3. Transferred from capital......0...0 33. Net remittances from or (to) Home Office......0...0 34. Dividends to stockholders......(28,500,000)...(39,000,000) 35. Change in treasury stock (Page 3, Lines 34.1 and 34.2, Column 2 minus Column 1)......0...0 36. Aggregate write ins for gains and losses in surplus......56,645,415...0 37. Change in surplus as regards policyholders for the year (Lines 22 through 36)......59,497,290...111,615,463 38. Surplus as regards policyholders, December 31 current year (Line 21 plus Line 37) (Page 3, Line 35)......507,179,396...447,682,106 DETAILS OF WRITE INS 0501. North Carolina 2002 private passenger auto escrow......0...21,888 0502.......0...0 0503.......0...0 0598. Summary of remaining write ins for Line 5 from overflow page......0...0 0599. Totals (Lines 0501 thru 0503 plus 0598) (Line 5 above)......0...21,888 1401. Miscellaneous income or (expense)......(8,004,098)...(3,171,304) 1402.......0...0 1403.......0...0 1498. Summary of remaining write ins for Line 14 from overflow page......0...0 1499. Totals (Lines 1401 thru 1403 plus 1498) (Line 14 above)......(8,004,098)...(3,171,304) 3601. Surplus reclass due to consolidation of Atlanta Casualty Companies into Infinity Insurance Company......59,469,096...0 3602. Sale of company previously combined......(2,823,681)...0 3603.......0...0 3698. Summary of remaining write ins for Line 36 from overflow page......0...0 3699. Totals (Lines 3601 thru 3603 plus 3698) (Line 36 above)......56,645,415...0 4

CASH FROM OPERATIONS CASH FLOW 1 2 Current Year Prior Year 1. Premiums collected net of reinsurance......908,067,214...760,692,011 2. Net investment income......69,010,300...59,893,727 3. Miscellaneous income......(16,295,038)...(11,896,215) 4. Total (Lines 1 through 3)......960,782,476...808,689,523 5. Benefit and loss related payments......496,286,455...298,932,419 6. Net transfers to Separate, Segregated Accounts and Protected Cell Accounts......0...0 7. Commissions, expenses paid and aggregate write ins for deductions......347,646,226...248,770,725 8. Dividends paid to policyholders......0...0 9. Federal and foreign income taxes paid (recovered) $...289,688 net of tax on capital gains (losses)......47,393,387...24,689,566 10. Total (Lines 5 through 9)......891,326,068...572,392,710 11. Net cash from operations (Line 4 minus Line 10)......69,456,408...236,296,813 CASH FROM INVESTMENTS 12. Proceeds from investments sold, matured or repaid: 12.1 Bonds......369,351,376...290,790,794 12.2 Stocks......34,818,016...15,387,604 12.3 Mortgage loans......0...0 12.4 Real estate......2,500,963...0 12.5 Other invested assets......0...0 12.6 Net gains or (losses) on cash, cash equivalents and short term investments......0...0 12.7 Miscellaneous proceeds......54,925...4,693 12.8 Total investment proceeds (Lines 12.1 to 12.7)......406,725,280...306,183,091 13. Cost of investments acquired (long term only): 13.1 Bonds......427,150,761...541,900,543 13.2 Stocks......14,188,998...24,088,513 13.3 Mortgage loans......0...0 13.4 Real estate......0...0 13.5 Other invested assets......0...600,000 13.6 Miscellaneous applications......169,826...72,907 13.7 Total investments acquired (Lines 13.1 to 13.6)......441,509,585...566,661,963 14. Net increase (decrease) in policy loans and premium notes......0...0 15. Net cash from investments (Line 12.8 minus Lines 13.7 and 14)......(34,784,305)...(260,478,872) 16. Cash provided (applied): CASH FROM FINANCING AND MISCELLANEOUS SOURCES 16.1 Surplus notes, capital notes......0...0 16.2 Capital and paid in surplus, less treasury stock......(59,469,096)...110,000,000 16.3 Borrowed funds received......0...0 16.4 Net deposits on deposit type contracts and other insurance liabilities......0...0 16.5 Dividends to stockholders......28,500,000...39,000,000 16.6 Other cash provided (applied)......35,066,462...(56,304,454) 17. Net cash from financing and miscellaneous sources (Lines 16.1 to 16.4 minus Line 16.5 plus Line 16.6)......(52,902,634)...14,695,546 RECONCILIATION OF CASH AND SHORT TERM INVESTMENTS 18. Net change in cash and short term investments (Line 11 plus Line 15 plus Line 17)......(18,230,531)...(9,486,513) 19. Cash and short term investments: 19.1 Beginning of year......65,644,695...75,131,208 19.2 End of period (Line 18 plus Line 19.1)......47,414,164...65,644,695 Note: Supplemental disclosures of cash flow information for non cash transactions: 20.0001......0...0 5

UNDERWRITING AND INVESTMENT EXHIBIT PART 1 PREMIUMS EARNED 1 2 3 4 Unearned Premiums Unearned Premiums Net December 31 December 31 Premiums Premiums Prior Year Current Year Earned Written per per Col. 3 Last per Col. 5 During Year Line of Business Column 6, Part 1B Year's Part 1 Part 1A (Cols. 1 + 2 3) 1. Fire......21,678...115,546...56,386...80,838 2. Allied lines......20,392...38,032...11,476...46,948 3. Farmowners multiple peril......0...0...0...0 4. Homeowners multiple peril......965,622...2,202,629...533,004...2,635,247 5. Commercial multiple peril......0...0...0...0 6. Mortgage guaranty......0...0...0...0 8. Ocean marine......0...0...0...0 9. Inland marine......479,556...403,687...217,159...666,084 10. Financial guaranty......0...0...0...0 11.1 Medical malpractice occurrence......0...0...0...0 11.2 Medical malpractice claims made......0...0...0...0 12. Earthquake......3,242...20,014...3,825...19,431 13. Group accident and health......0...0...0...0 14. Credit accident and health (group and individual)......0...0...0...0 15. Other accident and health......0...0...0...0 16. Workers' compensation......0...0...0...0 17.1 Other liability occurrence......385,782...583,467...147,982...821,267 17.2 Other liability claims made......0...0...0...0 18.1 Products liability occurrence......0...0...0...0 18.2 Products liability claims made......0...0...0...0 19.1, 19.2 Private passenger auto liability......556,905,490...206,849,997...214,931,058...548,824,429 19.3, 19.4 Commercial auto liability......30,431,499...14,567,165...13,450,255...31,548,409 21. Auto physical damage......334,318,371...99,070,828...145,708,218...287,680,981 22. Aircraft (all perils)......0...0...0...0 23. Fidelity......0...0...0...0 24. Surety......0...0...0...0 26. Burglary and theft......0...0...0...0 27. Boiler and machinery......0...0...0...0 28. Credit......0...0...0...0 29. International......0...0...0...0 30. Reinsurance nonproportional assumed property......0...0...0...0 31. Reinsurance nonproportional assumed liability......0...0...0...0 32. Reinsurance nonproportional assumed financial lines......0...0...0...0 33. Aggregate write ins for other lines of business......0...0...0...0 34. TOTALS......923,531,632...323,851,365...375,059,363...872,323,634 DETAILS OF WRITE INS 3301.......0...0...0...0 3302.......0...0...0...0 3303.......0...0...0...0 3398. Summary of remaining write ins for Line 33 from overflow page......0...0...0...0 3399. Totals (Lines 3301 thru 3303 plus 3398) (Line 33 above)......0...0...0...0 6

UNDERWRITING AND INVESTMENT EXHIBIT PART 1A RECAPITULATION OF ALL PREMIUMS (a) Gross premiums (less reinsurance) and unearned premiums on all unexpired risks and reserve for return premiums under rate credit or retrospective rating plans based upon experience, viz: 1 2 3 4 5 Amount Unearned Amount Unearned Reserve for (Running One Year (Running more than Rate Credits Total Reserve or Less from Date One Year from and Retrospective for Unearned of Policy) Date of Policy) Earned But Adjustments Based Premiums Line of Business (b) (b) Unbilled Premium on Experience Cols. 1 + 2 + 3 + 4 1. Fire......56,386...0...0...0...56,386 2. Allied lines......11,476...0...0...0...11,476 3. Farmowners multiple peril......0...0...0...0...0 4. Homeowners multiple peril......533,004...0...0...0...533,004 5. Commercial multiple peril......0...0...0...0...0 6. Mortgage guaranty......0...0...0...0...0 8. Ocean marine......0...0...0...0...0 9. Inland marine......217,159...0...0...0...217,159 10. Financial guaranty......0...0...0...0...0 11.1 Medical malpractice occurrence......0...0...0...0...0 11.2 Medical malpractice claims made......0...0...0...0...0 12. Earthquake......3,825...0...0...0...3,825 13. Group accident and health......0...0...0...0...0 14. Credit accident and health (group and individual)......0...0...0...0...0 15. Other accident and health......0...0...0...0...0 16. Workers' compensation......0...0...0...0...0 17.1 Other liability occurrence......147,982...0...0...0...147,982 17.2 Other liability claims made......0...0...0...0...0 18.1 Products liability occurrence......0...0...0...0...0 18.2 Products liability claims made......0...0...0...0...0 19.1, 19.2 Private passenger auto liability......214,931,058...0...0...0...214,931,058 19.3, 19.4 Commercial auto liability......13,450,255...0...0...0...13,450,255 21. Auto physical damage......145,708,218...0...0...0...145,708,218 22. Aircraft (all perils)......0...0...0...0...0 23. Fidelity......0...0...0...0...0 24. Surety......0...0...0...0...0 26. Burglary and theft......0...0...0...0...0 27. Boiler and machinery......0...0...0...0...0 28. Credit......0...0...0...0...0 29. International......0...0...0...0...0 30. Reinsurance nonproportional assumed property......0...0...0...0...0 31. Reinsurance nonproportional assumed liability......0...0...0...0...0 32. Reinsurance nonproportional assumed financial lines......0...0...0...0...0 33. Aggregate write ins for other lines of business......0...0...0...0...0 34. TOTALS......375,059,363...0...0...0...375,059,363 35. Accrued retrospective premiums based on experience......0 36. Earned but unbilled premiums......0 37. Balance (sum of Lines 34 through 36)......375,059,363 DETAILS OF WRITE INS 3301.......0...0...0...0...0 3302.......0...0...0...0...0 3303.......0...0...0...0...0 3398. Summary of remaining write ins for Line 33 from overflow page......0...0...0...0...0 3399. Totals (Lines 3301 thru 3303 plus 3398) (Line 33 above)......0...0...0...0...0 (a) By gross premiums is meant the aggregate of all the premiums written in the policies or renewals in force. Are they so returned in this statement? Yes [ X ] No [ ]. (b) State here basis of computation used in each case: Pro rata 7

UNDERWRITING AND INVESTMENT EXHIBIT PART 1B PREMIUMS WRITTEN Gross Premiums (Less Return Premiums), Including Policy and Membership Fees Written and Renewed During Year 1 Reinsurance Assumed Reinsurance Ceded 6 2 3 4 5 Net Premiums Direct Written Business (Cols. 1 + 2 + 3 Line of Business (a) From Affiliates From Non Affiliates To Affiliates To Non Affiliates 4 5) 1. Fire......0...0...21,678...0...0...21,678 2. Allied lines......0...0...20,392...0...0...20,392 3. Farmowners multiple peril......0...0...0...0...0...0 4. Homeowners multiple peril......0...0...965,622...0...0...965,622 5. Commercial multiple peril......0...0...0...0...0...0 6. Mortgage guaranty......0...0...0...0...0...0 8. Ocean marine......0...0...0...0...0...0 9. Inland marine......85...0...479,556...0...85...479,556 10. Financial guaranty......0...0...0...0...0...0 11.1 Medical malpractice occurrence......0...0...0...0...0...0 11.2 Medical malpractice claims made......0...0...0...0...0...0 12. Earthquake......0...0...3,242...0...0...3,242 13. Group accident and health......0...0...0...0...0...0 14. Credit accident and health (group and individual)......0...0...0...0...0...0 15. Other accident and health......0...0...0...0...0...0 16. Workers' compensation......0...0...0...0...0...0 17.1 Other liability occurrence......181,310...0...385,782...0...181,310...385,782 17.2 Other liability claims made......0...0...0...0...0...0 18.1 Products liability occurrence......0...0...0...0...0...0 18.2 Products liability claims made......0...0...0...0...0...0 19.1, 19.2 Private passenger auto liability......511,366,342...0...52,913,317...0...7,374,169...556,905,490 19.3, 19.4 Commercial auto liability......34,810,783...0...(66)...0...4,379,218...30,431,499 21. Auto physical damage......314,297,667...0...47,956,150...0...27,935,446...334,318,371 22. Aircraft (all perils)......0...0...0...0...0...0 23. Fidelity......0...0...0...0...0...0 24. Surety......0...0...0...0...0...0 26. Burglary and theft......0...0...0...0...0...0 27. Boiler and machinery......0...0...0...0...0...0 28. Credit......0...0...0...0...0...0 29. International......0...0...0...0...0...0 30. Reinsurance nonproportional assumed property......xxx......0...0...0...0...0 31. Reinsurance nonproportional assumed liability......xxx......0...0...0...0...0 32. Reinsurance nonproportional assumed financial lines......xxx......0...0...0...0...0 33. Aggregate write ins for other lines of business......354,888...0...0...0...354,888...0 34. TOTALS......861,011,075...0...102,745,673...0...40,225,116...923,531,632 DETAILS OF WRITE INS 3301. Collateral protection......354,888...0...0...0...354,888...0 3302.......0...0...0...0...0...0 3303.......0...0...0...0...0...0 3398. Summary of remaining write ins for Line 33 from overflow page....0...0...0...0...0...0 3399. Totals (Lines 3301 thru 3303 plus 3398) (Line 33 above)......354,888...0...0...0...354,888...0 (a) Does the company's direct premiums written include premiums recorded on an installment basis? Yes [ ] No [ X ] If yes: 1. The amount of such installment premiums $...0. 2. Amount at which such installment premiums would have been reported had they been recorded on an annualized basis $...0. 8

9 Combined Statement for the year 2004 of the UNDERWRITING AND INVESTMENT EXHIBIT PART 2 LOSSES PAID AND INCURRED Losses Paid Less Salvage 5 6 7 8 1 2 3 4 Percentage of Net Losses Losses Losses Incurred Unpaid Net Losses Incurred (Col. 7, Part 2) Direct Reinsurance Reinsurance Net Payments Current Year Unpaid Current Year to Premiums Earned Line of Business Business Assumed Recovered (Cols. 1 + 2 3) (Part 2A, Col. 8) Prior Year (Cols. 4 + 5 6) (Col. 4, Part 1) 1. Fire......0...80,212...0...80,212...57,901...73,177...64,936...80.3 2. Allied lines......0...34,955...0...34,955...295,030...202,235...127,750...272.1 3. Farmowners multiple peril......0...0...0...0...0...0...0...0.0 4. Homeowners multiple peril......0...2,277,765...0...2,277,765...1,819,260...3,423,696...673,329...25.6 5. Commercial multiple peril......0...0...0...0...0...0...0...0.0 6. Mortgage guaranty......0...0...0...0...0...0...0...0.0 8. Ocean marine......0...0...0...0...0...0...0...0.0 9. Inland marine......0...68,549...0...68,549...1,113,377...1,079,971...101,955...15.3 10. Financial guaranty......0...0...0...0...0...0...0...0.0 11.1 Medical malpractice occurrence......0...0...0...0...0...0...0...0.0 11.2 Medical malpractice claims made......0...0...0...0...0...0...0...0.0 12. Earthquake......0...11,163...0...11,163...8,675...45,807...(25,969)...(133.7) 13. Group accident and health......0...0...0...0...0...0...0...0.0 14. Credit accident and health (group and individual)......0...0...0...0...0...0...0...0.0 15. Other accident and health......0...0...0...0...0...0...0...0.0 16. Workers' compensation......222,161...0...222,161...0...0...0...0...0.0 17.1 Other liability occurrence......2,148...824,178...2,148...824,178...2,682,113...3,202,549...303,742...40.9 17.2 Other liability claims made......0...0...0...0...0...0...0...0.0 18.1 Products liability occurrence......0...0...0...0...0...0...0...0.0 18.2 Products liability claims made......0...0...0...0...0...0...0...0.0 19.1, 19.2 Private passenger auto liability......293,207,337...33,896,279...(20,560,196)...347,663,812...422,765,134...486,480,481...283,948,465...51.7 19.3, 19.4 Commercial auto liability......16,087,045...(16,735,090)...(16,987,362)...16,339,317...25,512,305...24,196,631...17,654,991...56.0 21. Auto physical damage......138,754,967...24,129,536...39,867,880...123,016,623...21,261,696...16,515,699...127,762,620...44.4 22. Aircraft (all perils)......0...(7,432,480)...(7,432,480)...0...0...0...0...0.0 23. Fidelity......0...0...0...0...0...0...0...0.0 24. Surety......0...0...0...0...0...0...0...0.0 26. Burglary and theft......0...0...0...0...0...0...0...0.0 27. Boiler and machinery......0...0...0...0...0...0...0...0.0 28. Credit......0...0...0...0...0...0...0...0.0 29. International......0...0...0...0...0...0...0...0.0 30. Reinsurance nonproportional assumed property......xxx......0...0...0...0...0...0...0.0 31. Reinsurance nonproportional assumed liability......xxx......0...0...0...0...0...0...0.0 32. Reinsurance nonproportional assumed financial lines......xxx......0...0...0...0...0...0...0.0 33. Aggregate write ins for other lines of business......40,906...40,906...40,906...40,906...0...8,662...32,244...0.0 34. TOTALS......448,314,564...37,195,973...(4,846,943)...490,357,480...475,515,491...535,228,908...430,644,063...49.4 DETAILS OF WRITE INS 3301. Collateral protection......40,906...40,906...40,906...40,906...0...8,662...32,244...0.0 3302.......0...0...0...0...0...0...0...0.0 3303.......0...0...0...0...0...0...0...0.0 3398. Summary of remaining write ins for Line 33 from overflow page......0...0...0...0...0...0...0...xxx... 3399. Totals (Lines 3301 thru 3303 plus 3398) (Line 33 above)......40,906...40,906...40,906...40,906...0...8,662...32,244...0.0

10 Combined Statement for the year 2004 of the UNDERWRITING AND INVESTMENT EXHIBIT PART 2A UNPAID LOSSES AND LOSS ADJUSTMENT EXPENSES Reported Losses Incurred But Not Reported 8 9 1 2 3 4 5 6 7 Deduct Reinsurance Net Losses Excluding Recoverable from Incurred but Net Losses Unpaid Loss Authorized and not Reported Reinsurance Reinsurance Unpaid Adjustment Line of Business Direct Reinsurance Assumed Unauthorized Companies (Cols. 1 + 2 3) Direct Assumed Ceded (Cols. 4 + 5 + 6 7) Expenses 1. Fire......0...5,448...0...5,448...0...52,453...0...57,901...(23,724) 2. Allied lines......0...784...0...784...0...294,246...0...295,030...66,047 3. Farmowners multiple peril......0...0...0...0...0...0...0...0...0 4. Homeowners multiple peril......0...1,137,893...0...1,137,893...0...681,367...0...1,819,260...524,481 5. Commercial multiple peril......0...0...0...0...0...0...0...0...0 6. Mortgage guaranty......0...0...0...0...0...0...0...0...0 8. Ocean marine......0...0...0...0...0...0...0...0...0 9. Inland marine......0...8,537...0...8,537...161...1,104,840...161...1,113,377...67,656 10. Financial guaranty......0...0...0...0...0...0...0...0...0 11.1 Medical malpractice occurrence......0...0...0...0...0...0...0...0...0 11.2 Medical malpractice claims made......0...0...0...0...0...0...0...0...0 12. Earthquake......0...0...0...0...0...8,675...0...8,675...1,516 13. Group accident and health......0...0...0...0...0...0...0 (a)...0...0 14. Credit accident and health (group and individual)......0...0...0...0...0...0...0...0...0 15. Other accident and health......0...0...0...0...0...0...0 (a)...0...0 16. Workers' compensation......3,319,815...0...3,319,815...0...175,525...0...175,525...0...0 17.1 Other liability occurrence......0...704,379...0...704,379...15...1,977,734...15...2,682,113...284,508 17.2 Other liability claims made......0...0...0...0...0...0...0...0...0 18.1 Products liability occurrence......0...0...0...0...0...0...0...0...0 18.2 Products liability claims made......0...0...0...0...0...0...0...0...0 19.1, 19.2 Private passenger auto liability......234,544,070...52,872,624...6,615,076...280,801,618...104,444,475...40,099,061...2,580,020...422,765,134...141,335,166 19.3, 19.4 Commercial auto liability......14,031,756...25,179...901,074...13,155,861...13,687,584...10...1,331,150...25,512,305...9,554,519 21. Auto physical damage......9,206,030...895,073...401,894...9,699,209...9,749,250...2,679,744...866,507...21,261,696...12,374,287 22. Aircraft (all perils)......0...0...0...0...0...0...0...0...0 23. Fidelity......0...0...0...0...0...0...0...0...0 24. Surety......0...0...0...0...0...0...0...0...0 26. Burglary and theft......0...0...0...0...0...0...0...0...0 27. Boiler and machinery......0...0...0...0...0...0...0...0...0 28. Credit......0...0...0...0...0...0...0...0...0 29. International......0...0...0...0...0...0...0...0...0 30. Reinsurance nonproportional assumed property......xxx......0...0...0...xxx......0...0...0...0 31. Reinsurance nonproportional assumed liability......xxx......0...0...0...xxx......0...0...0...0 32. Reinsurance nonproportional assumed financial lines......xxx......0...0...0...xxx......0...0...0...0 33. Aggregate write ins for other lines of business......53...0...53...0...30,617...0...30,617...0...0 34. TOTALS......261,101,724...55,649,917...11,237,912...305,513,729...128,087,627...46,898,130...4,983,995...475,515,491...164,184,456 DETAILS OF WRITE INS 3301. Collateral protection......53...0...53...0...30,617...0...30,617...0...0 3302.......0...0...0...0...0...0...0...0...0 3303.......0...0...0...0...0...0...0...0...0 3398. Summary of remaining write ins for Line 33 from overflow page......0...0...0...0...0...0...0...0...0 3399. Totals (Lines 3301 thru 3303 plus 3398) (Line 33 above)......53...0...53...0...30,617...0...30,617...0...0 (a) Including $...0 for present value of life indemnity claims.

1. Claim adjustment services: UNDERWRITING AND INVESTMENT EXHIBIT PART 3 EXPENSES 1 2 3 4 Other Loss Adjustment Underwriting Investment Expenses Expenses Expenses Total 1.1 Direct......52,295,063...0...0...52,295,063 1.2 Reinsurance assumed......10,581,484...0...0...10,581,484 1.3 Reinsurance ceded......2,222,198...0...0...2,222,198 1.4 Net claim adjustment services (1.1 + 1.2 1.3)......60,654,349...0...0...60,654,349 2. Commission and brokerage: 2.1 Direct excluding contingent......0...97,663,229...0...97,663,229 2.2 Reinsurance assumed excluding contingent......0...15,323,041...0...15,323,041 2.3 Reinsurance ceded excluding contingent......0...22,935,008...0...22,935,008 2.4 Contingent direct......0...555,182...0...555,182 2.5 Contingent reinsurance assumed......0...(156,322)...0...(156,322) 2.6 Contingent reinsurance ceded......0...0...0...0 2.7 Policy and membership fees......0...0...0...0 2.8 Net commission and brokerage (2.1 + 2.2 2.3 + 2.4 + 2.5 2.6 + 2.7)......0...90,450,122...0...90,450,122 3. Allowances to managers and agents......1,589...366,386...0...367,975 4. Advertising......62,658...3,292,993...0...3,355,651 5. Boards, bureaus and associations......355,888...1,784,735...0...2,140,623 6. Surveys and underwriting reports......1,268,257...7,648,913...0...8,917,170 7. Audit of assureds' records......0...0...0...0 8. Salary and related items: 8.1 Salaries......57,462,455...51,267,630...0...108,730,085 8.2 Payroll taxes......4,457,934...3,420,771...0...7,878,705 9. Employee relations and welfare......9,670,703...7,827,186...0...17,497,889 10. Insurance......348,931...155,011...0...503,942 11. Directors' fees......0...0...0...0 12. Travel and travel items......4,872,267...1,419,290...0...6,291,557 13. Rent and rent items......7,431,463...5,210,858...0...12,642,321 14. Equipment......2,195,450...4,311,075...0...6,506,525 15. Cost or depreciation of EDP equipment and software......12,310,810...9,019,506...0...21,330,316 16. Printing and stationery......707,253...1,930,575...0...2,637,828 17. Postage, telephone and telegraph, exchange and express......4,245,641...9,199,918...0...13,445,559 18. Legal and auditing......478,635...2,709,730...0...3,188,365 19. Totals (Lines 3 to 18)......105,869,934...109,564,577...0...215,434,511 20. Taxes, licenses and fees: 20.1 State and local insurance taxes deducting guaranty association credits of $...65,983......0...22,031,659...0...22,031,659 20.2. Insurance department licenses and fees......465,672...3,062,674...0...3,528,346 20.3. Gross guaranty association assessments......0...866,272...0...866,272 20.4. All other (excluding federal and foreign income and real estate)......127,382...1,050,223...0...1,177,605 20.5. Total taxes, licenses and fees (20.1 + 20.2 + 20.3 + 20.4)......593,054...27,010,828...0...27,603,882 21. Real estate expenses......0...0...0...0 22. Real estate taxes......0...0...0...0 23. Reimbursements by uninsured accident and health plans......0...0...0...0 24. Aggregate write ins for miscellaneous expenses......7,383,884...(33,974,073)...2,377,458...(24,212,731) 25. Total expenses incurred......174,501,221...193,051,454...2,377,458 (a)...369,930,133 26. Less unpaid expenses current year......164,184,456...32,275,625...597,169...197,057,250 27. Add unpaid expenses prior year......145,150,515...31,403,116...534,211...177,087,842 28. Amounts receivable relating to uninsured accident and health plans, prior year......0...0...0...0 29. Amounts receivable relating to uninsured accident and health plans, current year......0...0...0...0 30. TOTAL EXPENSES PAID (Lines 25 26 + 27 28 + 29)......155,467,280...192,178,945...2,314,500...349,960,725 DETAILS OF WRITE INS 2401. Other expenses......7,383,884...(33,974,073)...0...(26,590,189) 2402. Investment expenses......0...0...2,377,458...2,377,458 2403.......0...0...0...0 2498. Summary of remaining write ins for Line 24 from overflow page......0...0...0...0 2499. Totals (Lines 2401 thru 2403 plus 2498) (Line 24 above)......7,383,884...(33,974,073)...2,377,458...(24,212,731) (a) Includes management fees of $...192,286,818 to affiliates and $...0 to non affiliates. 11

EXHIBIT OF NET INVESTMENT INCOME 1 2 Collected Earned During Year During Year 1. U.S. government bonds... (a)...4,209,359...4,203,799 1.1 Bonds exempt from U.S. tax... (a)...5,942,411...6,061,391 1.2 Other bonds (unaffiliated)... (a)...54,523,794...54,427,884 1.3 Bonds of affiliates... (a)...0...0 2.1 Preferred stocks (unaffiliated)... (b)...1,336,509...1,113,042 2.11 Preferred stocks of affiliates... (b)...0...0 2.2 Common stocks (unaffiliated)......334,616...339,234 2.21 Common stocks of affiliates......0...0 3. Mortgage loans... (c)...0...0 4. Real estate... (d)...0...0 5. Contract loans......0...0 6. Cash, cash equivalents and short term investments... (e)...864,483...904,550 7. Derivative instruments... (f)...0...0 8. Other invested assets......0...0 9. Aggregate write ins for investment income......1,220...1,220 10. Total gross investment income......67,212,392...67,051,120 11. Investment expenses... (g)...2,377,458 12. Investment taxes, licenses and fees, excluding federal income taxes... (g)...0 13. Interest expense... (h)...1,252,050 14. Depreciation on real estate and other invested assets... (i)...13,574 15. Aggregate write ins for deductions from investment income......0 16. Total deductions (Lines 11 through 15)......3,643,082 17. Net investment income (Line 10 minus Line 16)......63,408,038 DETAILS OF WRITE INS 0901. Miscellaneous investment income......1,220...1,220 0902.......0...0 0903.......0...0 0998. Summary of remaining write ins for Line 9 from overflow page......0...0 0999. Totals (Lines 0901 thru 0903 plus 0998) (Line 9 above)......1,220...1,220 1501.......0 1502.......0 1503.......0 1598. Summary of remaining write ins for Line 15 from overflow page......0 1599. Totals (Lines 1501 thru 1503 plus 1598) (Line 15 above)......0 (a) Includes $...853,881 accrual of discount less $...7,888,061 amortization of premium and less $...3,063,156 paid for accrued interest on purchases. (b) Includes $...97,903 accrual of discount less $...31,572 amortization of premium and less $...0 paid for accrued dividends on purchases. (c) Includes $...0 accrual of discount less $...0 amortization of premium and less $...0 paid for accrued interest on purchases. (d) Includes $...0 for company's occupancy of its own buildings; and excludes $...0 interest on encumbrances. (e) Includes $...0 accrual of discount less $...0 amortization of premium and less $...0 paid for accrued interest on purchases. (f) Includes $...0 accrual of discount less $...0 amortization of premium. (g) Includes $...0 investment expenses and $...0 investment taxes, licenses and fees, excluding federal income taxes, attributable to Segregated and Separate Accounts. (h) Includes $...0 interest on surplus notes and $...0 interest on capital notes. (i) Includes $...13,574 depreciation on real estate and $...0 depreciation on other invested assets. EXHIBIT OF CAPITAL GAINS (LOSSES) 1 2 3 4 Realized Gain (Loss) Other Increases on Sales Realized (Decreases) by or Maturity Adjustments Adjustment Total 1. U.S. government bonds......(72,186)...0...0...(72,186) 1.1 Bonds exempt from U.S. tax......327,776...0...0...327,776 1.2 Other bonds (unaffiliated)......3,089,578...(758,212)...697,080...3,028,446 1.3 Bonds of affiliates......0...0...0...0 2.1 Preferred stocks (unaffiliated)......1,471,260...(348,000)...187,840...1,311,100 2.11 Preferred stocks of affiliates......0...0...(12,780)...(12,780) 2.2 Common stocks (unaffiliated)......3,534,916...(23,975)...1,129,098...4,640,039 2.21 Common stocks of affiliates......1,280,588...0...0...1,280,588 3. Mortgage loans......0...0...0...0 4. Real estate......1,141,817...0...0...1,141,817 5. Contract loans......0...0...0...0 6. Cash, cash equivalents and short term investments......0...0...0...0 7. Derivative instruments......0...0...0...0 8. Other invested assets......0...0...0...0 9. Aggregate write ins for capital gains (losses)......0...0...0...0 10. Total capital gains (losses)......10,773,749...(1,130,187)...2,001,238...11,644,800 DETAILS OF WRITE INS 0901.......0...0...0...0 0902.......0...0...0...0 0903.......0...0...0...0 0998. Summary of remaining write ins for Line 9 from overflow page......0...0...0...0 0999. Totals (Lines 0901 thru 0903 plus 0998) (Line 9 above)......0...0...0...0 12

SCHEDULE D SUMMARY BY COUNTRY Long Term Bonds and Stocks OWNED December 31 of Current Year 1 2 3 4 Book/Adjusted Par Value Description Carrying Value Fair Value Actual Cost of Bonds BONDS 1. United States......92,856,571...93,846,420...93,304,740...91,721,457 Governments 2. Canada......0...0...0...0 (Including all obligations guaranteed 3. Other Countries......0...0...0...0 by governments) 4. Totals......92,856,571...93,846,420...93,304,740...91,721,457 5. United States......83,378,799...84,412,874...85,144,480...76,805,000 States, Territories and Possessions 6. Canada......0...0...0...0 (Direct and guaranteed) 7. Other Countries......0...0...0...0 8. Totals......83,378,799...84,412,874...85,144,480...76,805,000 Political Subdivisions of States, 9. United States......40,952,309...41,625,751...41,604,418...37,830,000 Territories and Possessions 10. Canada......0...0...0...0 (Direct and guaranteed) 11. Other Countries......0...0...0...0 12. Totals......40,952,309...41,625,751...41,604,418...37,830,000 Special Revenue and Special Assessment 13. United States......200,782,002...205,058,343...202,565,343...195,184,228 Obligations and all Non guaranteed Obligations 14. Canada......0...0...0...0 of Agencies and Authorities of Governments 15. Other Countries......0...0...0...0 and their Political Subdivisions 16. Totals......200,782,002...205,058,343...202,565,343...195,184,228 17. United States......76,037,747...80,497,542...76,805,452...74,217,611 Public Utilities 18. Canada......0...0...0...0 (unaffiliated) 19. Other Countries......0...0...0...0 20. Totals......76,037,747...80,497,542...76,805,452...74,217,611 Industrial and Miscellaneous and 21. United States......686,271,879...715,713,455...696,422,315...684,766,043 Credit Tenant Loans 22. Canada......14,362,149...14,833,938...14,819,027...14,088,000 (Unaffiliated) 23. Other Countries......20,182,942...20,971,440...20,482,248...20,753,000 24. Totals......720,816,970...751,518,833...731,723,590...719,607,043 Parent, Subsidiaries and Affiliates 25. Totals......0...0...0...0 26. Total Bonds......1,214,824,398...1,256,959,763...1,231,148,023...1,195,365,339 PREFERRED STOCKS 27. United States......6,753,250...6,753,250...6,845,305 Public Utilities 28. Canada......0...0...0 (Unaffiliated) 29. Other Countries......0...0...0 30. Totals......6,753,250...6,753,250...6,845,305 31 United States......0...0...0 Banks, Trust and Insurance Companies 32. Canada......0...0...0 (Unaffiliated) 33. Other Countries......0...0...0 34. Totals......0...0...0 35. United States......5,092,274...5,161,500...5,384,300 Industrial and Miscellaneous 36. Canada......0...0...0 (Unaffiliated) 37. Other Countries......0...0...0 38. Totals......5,092,274...5,161,500...5,384,300 Parent, Subsidiaries and Affiliates 39. Totals......0...0...0 40. Total Preferred Stocks......11,845,524...11,914,750...12,229,605 COMMON STOCKS 41. United States......251,100...251,100...149,600 Public Utilities 42. Canada......0...0...0 (Unaffiliated) 43. Other Countries......0...0...0 44. Totals......251,100...251,100...149,600 45. United States......4,895,823...4,895,823...3,924,060 Banks, Trust and Insurance Companies 46. Canada......0...0...0 (Unaffiliated) 47. Other Countries......0...0...0 48. Totals......4,895,823...4,895,823...3,924,060 49. United States......10,083,831...10,083,831...13,717,806 Industrial and Miscellaneous 50. Canada......0...0...0 (Unaffiliated) 51. Other Countries......0...0...0 52. Totals......10,083,831...10,083,831...13,717,806 Parent, Subsidiaries and Affiliates 53. Totals......0...0...0 54. Total Common Stocks......15,230,754...15,230,754...17,791,466 55. Total Stocks......27,076,278...27,145,504...30,021,071 56. Total Bonds and Stocks......1,241,900,676...1,284,105,267...1,261,169,094 22

23 Combined Statement for the year 2004 of the SCHEDULE D PART 1A SECTION 1 Quality and Maturity Distribution of All Bonds Owned December 31, At Book/Adjusted Carrying Values By Major Types of Issues and NAIC Designations 1 2 3 4 5 6 7 8 9 10 11 Quality Rating per the 1 Year Over 1 Year Over 5 Years Over 10 Years Over 20 Total Column 6 as a Total from Column % from Col. 7 Total Total NAIC Designation or Less Through 5 Years Through 10 Years Through 20 Years Years Current Year % of Line 10.7 6 Prior Year Prior Year Publicly Traded Privately Placed (a) 1. U.S. Governments, Schedules D & DA (Group 1) 1.1 Class 1......9,732,232...29,183,648...45,413,072...2,365,959...15,893,892...102,588,803...8.1...109,935,083...8.9...102,588,803...0 1.2 Class 2......0...0...0...0...0...0...0.0...0...0.0...0...0 1.3 Class 3......0...0...0...0...0...0...0.0...0...0.0...0...0 1.4 Class 4......0...0...0...0...0...0...0.0...0...0.0...0...0 1.5 Class 5......0...0...0...0...0...0...0.0...0...0.0...0...0 1.6 Class 6......0...0...0...0...0...0...0.0...0...0.0...0...0 1.7 Totals......9,732,232...29,183,648...45,413,072...2,365,959...15,893,892...102,588,803...8.1...109,935,083...8.9...102,588,803...0 2. All Other Governments, Schedules D & DA (Group 2) 2.1 Class 1......0...0...0...0...0...0...0.0...2,261,099...0.2...0...0 2.2 Class 2......0...0...0...0...0...0...0.0...0...0.0...0...0 2.3 Class 3......0...0...0...0...0...0...0.0...0...0.0...0...0 2.4 Class 4......0...0...0...0...0...0...0.0...0...0.0...0...0 2.5 Class 5......0...0...0...0...0...0...0.0...0...0.0...0...0 2.6 Class 6......0...0...0...0...0...0...0.0...0...0.0...0...0 2.7 Totals......0...0...0...0...0...0...0.0...2,261,099...0.2...0...0 3. States, Territories and Possessions, etc., Guaranteed, Schedules D & DA (Group 3) 3.1 Class 1......0...43,304,083...40,074,716...0...0...83,378,799...6.6...81,100,241...6.6...83,378,799...0 3.2 Class 2......0...0...0...0...0...0...0.0...2,125,922...0.2...0...0 3.3 Class 3......0...0...0...0...0...0...0.0...0...0.0...0...0 3.4 Class 4......0...0...0...0...0...0...0.0...0...0.0...0...0 3.5 Class 5......0...0...0...0...0...0...0.0...0...0.0...0...0 3.6 Class 6......0...0...0...0...0...0...0.0...0...0.0...0...0 3.7 Totals......0...43,304,083...40,074,716...0...0...83,378,799...6.6...83,226,163...6.7...83,378,799...0 4. Political Subdivisions of States, Territories and Possessions, Guaranteed, Schedules D & DA (Group 4) 4.1 Class 1......0...15,852,988...25,099,321...0...0...40,952,309...3.2...34,044,793...2.8...40,952,309...0 4.2 Class 2......0...0...0...0...0...0...0.0...0...0.0...0...0 4.3 Class 3......0...0...0...0...0...0...0.0...0...0.0...0...0 4.4 Class 4......0...0...0...0...0...0...0.0...0...0.0...0...0 4.5 Class 5......0...0...0...0...0...0...0.0...0...0.0...0...0 4.6 Class 6......0...0...0...0...0...0...0.0...0...0.0...0...0 4.7 Totals......0...15,852,988...25,099,321...0...0...40,952,309...3.2...34,044,793...2.8...40,952,309...0 5. Special Revenue & Special Assessment Obligations, etc., Non Guaranteed, Schedules D & DA (Group 5) 5.1 Class 1......1,795,000...65,652,228...80,135,564...47,819,239...3,368,202...198,770,233...15.6...204,584,622...16.6...198,770,233...0 5.2 Class 2......0...2,011,769...0...0...0...2,011,769...0.2...2,014,111...0.2...2,011,769...0 5.3 Class 3......0...0...0...0...0...0...0.0...0...0.0...0...0 5.4 Class 4......0...0...0...0...0...0...0.0...0...0.0...0...0 5.5 Class 5......0...0...0...0...0...0...0.0...0...0.0...0...0 5.6 Class 6......0...0...0...0...0...0...0.0...0...0.0...0...0 5.7 Totals......1,795,000...67,663,997...80,135,564...47,819,239...3,368,202...200,782,002...15.8...206,598,733...16.7...200,782,002...0

24 Combined Statement for the year 2004 of the SCHEDULE D PART 1A SECTION 1 (continued) Quality and Maturity Distribution of All Bonds Owned December 31, At Book/Adjusting Carrying Values By Major Types of Issues and NAIC Designations 1 2 3 4 5 6 7 8 9 10 11 Quality Rating per the 1 Year Over 1 Year Over 5 Years Over 10 Years Over 20 Total Column 6 as a Total from Column % from Col. 7 Total Total NAIC Designation or Less Through 5 Years Through 10 Years Through 20 Years Years Current Year % of Line 10.7 6 Prior Year Prior Year Publicly Traded Privately Placed (a) 6. Public Utilities (Unaffiliated), Schedules D & DA (Group 6) 6.1 Class 1......999,543...11,444,358...11,842,737...7,005,910...0...31,292,548...2.5...32,627,059...2.6...31,292,548...0 6.2 Class 2......1,501,068...16,050,723...9,008,453...0...0...26,560,244...2.1...56,454,413...4.6...26,560,244...0 6.3 Class 3......0...6,493,232...5,251,345...0...0...11,744,577...0.9...10,789,274...0.9...11,744,577...0 6.4 Class 4......0...999,398...0...0...5,440,980...6,440,378...0.5...9,840,251...0.8...6,440,378...0 6.5 Class 5......0...0...0...0...0...0...0.0...471,875...0.0...0...0 6.6 Class 6......0...0...0...0...0...0...0.0...0...0.0...0...0 6.7 Totals......2,500,611...34,987,711...26,102,535...7,005,910...5,440,980...76,037,747...6.0...110,182,872...8.9...76,037,747...0 7. Industrial & Miscellaneous (Unaffiliated), Schedules D & DA (Group 7) 7.1 Class 1......72,085,385...195,912,214...235,235,349...38,092,285...13,475,430...554,800,663...43.6...440,650,264...35.7...554,800,663...0 7.2 Class 2......15,543,955...83,801,053...45,454,405...8,059,821...11,868,476...164,727,710...13.0...186,171,466...15.1...164,727,710...0 7.3 Class 3......6,695,858...14,599,961...6,379,317...1,610,898...1,840,000...31,126,034...2.4...40,556,603...3.3...31,126,034...0 7.4 Class 4......1,316,805...3,816,417...6,914,116...0...0...12,047,338...0.9...18,490,446...1.5...12,047,338...0 7.5 Class 5......0...2,297,932...190,742...0...0...2,488,674...0.2...1,590,925...0.1...2,488,674...0 7.6 Class 6......1,074,842...1,016,971...427,798...0...0...2,519,611...0.2...1,016,076...0.1...2,519,611...0 7.7 Totals......96,716,845...301,444,548...294,601,727...47,763,004...27,183,906...767,710,030...60.4...688,475,780...55.8...767,710,030...0 8. Credit Tenant Loans, Schedules D & DA (Group 8) 8.1 Class 1......0...0...0...0...0...0...0.0...0...0.0...0...0 8.2 Class 2......0...0...0...0...0...0...0.0...0...0.0...0...0 8.3 Class 3......0...0...0...0...0...0...0.0...0...0.0...0...0 8.4 Class 4......0...0...0...0...0...0...0.0...0...0.0...0...0 8.5 Class 5......0...0...0...0...0...0...0.0...0...0.0...0...0 8.6 Class 6......0...0...0...0...0...0...0.0...0...0.0...0...0 8.7 Totals......0...0...0...0...0...0...0.0...0...0.0...0...0 9. Parent, Subsidiaries and Affiliates, Schedules D & DA (Group 9) 9.1 Class 1......0...0...0...0...0...0...0.0...0...0.0...0...0 9.2 Class 2......0...0...0...0...0...0...0.0...0...0.0...0...0 9.3 Class 3......0...0...0...0...0...0...0.0...0...0.0...0...0 9.4 Class 4......0...0...0...0...0...0...0.0...0...0.0...0...0 9.5 Class 5......0...0...0...0...0...0...0.0...0...0.0...0...0 9.6 Class 6......0...0...0...0...0...0...0.0...0...0.0...0...0 9.7 Totals......0...0...0...0...0...0...0.0...0...0.0...0...0