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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)......6,412,091,877......6,412,091,877...5,035,014,958 2. Stocks (Schedule D): 2.1 Preferred stocks......50,565,744......50,565,744...21,858,975 2.2 Common stocks......220,584,244......220,584,244...165,920,124 3. Mortgage loans on real estate (Schedule B): 3.1 First liens......63,661,174...876,437...62,784,737...31,586,285 3.2 Other than first liens......73,559,402...2,092,461...71,466,941...41,022,014 4. Real estate (Schedule A): 4.1 Properties occupied by the company (less $...0 encumbrances)............0... 4.2 Properties held for the production of income (less $...0 encumbrances)......499...499...0... 4.3 Properties held for sale (less $...0 encumbrances)............0... 5. Cash ($...18,420,700, Schedule E-Part 1), cash equivalents ($...0, Schedule E-Part 2) and short-term investments ($...71,436,069, Schedule DA)......89,856,769......89,856,769...129,517,726 6. Contract loans (including $...0 premium notes)......251,169......251,169...237,283 7. Derivatives (Schedule DB)......22,636,289......22,636,289...18,869,954 8. Other invested assets (Schedule BA)......284,483,641......284,483,641...170,286,438 9. Receivables for securities......14,843,371......14,843,371...51,546,080 10. Securities lending reinvested collateral assets (Schedule DL)............0... 11. Aggregate write-ins for invested assets......0...0...0...0 12. Subtotals, cash and invested assets (Lines 1 to 11)......7,232,534,179...2,969,397...7,229,564,782...5,665,859,837 13. Title plants less $...0 charged off (for Title insurers only)............0... 14. Investment income due and accrued......64,622,178......64,622,178...44,644,253 15. Premiums and considerations: 15.1 Uncollected premiums and agents' balances in the course of collection......77,206,874...1,978,582...75,228,292...68,504,376 15.2 Deferred premiums, agents' balances and installments booked but deferred and not yet due (including $...0 earned but unbilled premiums)......279,783......279,783...262,952 15.3 Accrued retrospective premiums............0... 16. Reinsurance: 16.1 Amounts recoverable from reinsurers......3,884,289......3,884,289...5,071,530 16.2 Funds held by or deposited with reinsured companies............0... 16.3 Other amounts receivable under reinsurance contracts......2,013,715......2,013,715...1,977,866 17. Amounts receivable relating to uninsured plans............0... 18.1 Current federal and foreign income tax recoverable and interest thereon......30,065,089......30,065,089...22,776,545 18.2 Net deferred tax asset......40,186,747...12,191,435...27,995,312...23,864,099 19. Guaranty funds receivable or on deposit......1,239,079......1,239,079...1,340,505 20. Electronic data processing equipment and software......8,398,957...6,380,033...2,018,924...1,051,738 21. Furniture and equipment, including health care delivery assets ($...0)......5,671,216...5,671,216...0... 22. Net adjustment in assets and liabilities due to foreign exchange rates............0... 23. Receivables from parent, subsidiaries and affiliates......1,856,616...1,855,879...737...327,855 24. Health care ($...0) and other amounts receivable............0... 25. Aggregate write-ins for other than invested assets......5,805,726...5,805,726...0...0 26. Total assets excluding Separate Accounts, Segregated Accounts and Protected Cell Accounts (Lines 12 to 25)......7,473,764,448...36,852,268...7,436,912,180...5,835,681,556 27. From Separate Accounts, Segregated Accounts and Protected Cell Accounts......146,840,147......146,840,147...144,676,987 28. TOTALS (Lines 26 and 27)......7,620,604,595...36,852,268...7,583,752,327...5,980,358,543 DETAILS OF WRITE-INS 1101.............0... 1102.............0... 1103.............0... 1198. Summary of remaining write-ins for Line 11 from overflow page......0...0...0...0 1199. Totals (Lines 1101 thru 1103 plus 1198) (Line 11 above)......0...0...0...0 2501. Other expenses and suspense debits......4,673,947...4,673,947...0... 2502. Other than invested assets nonadmitted......244,241...244,241...0... 2503. Other assets nonadmitted......887,538...887,538...0... 2598. Summary of remaining write-ins for Line 25 from overflow page......0...0...0...0 2599. Totals (Lines 2501 thru 2503 plus 2598) (Line 25 above)......5,805,726...5,805,726...0...0 2

LIABILITIES, SURPLUS AND OTHER FUNDS 1 2 Current Year Prior Year 1. Aggregate reserve for life contracts $...3,831,576,119 (Exhibit 5, Line 9999999) less $...0 included in Line 6.3 (including $...0 Modco Reserve)......3,831,576,119...3,142,404,629 2. Aggregate reserve for accident and health contracts (including $...0 Modco Reserve)......980,486,806...956,424,008 3. Liability for deposit-type contracts (Exhibit 7, Line 14, Col. 1) (including $...0 Modco Reserve)......851,320,944...44,624,824 4. Contract claims: 4.1 Life (Exhibit 8, Part 1, Line 4.4, Col. 1 less sum of Cols. 9, 10 and 11)......51,738,982...50,024,664 4.2 Accident and health (Exhibit 8, Part 1, Line 4.4, sum of Cols. 9, 10 and 11)......588,221,803...567,873,034 5. Policyholders' dividends $...0 and coupons $...0 due and unpaid (Exhibit 4, Line 10)......... 6. Provision for policyholders' dividends and coupons payable in following calendar year - estimated amounts: 6.1 Dividends apportioned for payment (including $...0 Modco)......... 6.2 Dividends not yet apportioned (including $...0 Modco)......... 6.3 Coupons and similar benefits (including $...0 Modco)......... 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 $...0 discount; including $...172,107 accident and health premiums (Exhibit 1, Part 1, Col. 1, sum of Lines 4 and 14)......191,648...252,169 9. Contract liabilities not included elsewhere: 9.1 Surrender values on canceled contracts......... 9.2 Provision for experience rating refunds, including the liability of $...0 accident and health experience rating refunds of which $...0 is for medical loss ratio rebate per the Public Health Service Act......... 9.3 Other amounts payable on reinsurance, including $...455,219 assumed and $...877,603 ceded......1,332,822...1,308,215 9.4 Interest Maintenance Reserve (IMR, Line 6)......107,660,702...105,954,847 10. Commissions to agents due or accrued - life and annuity contracts $...0, accident and health $...0 and deposit-type contract funds $...0......... 11. Commissions and expense allowances payable on reinsurance assumed......... 12. General expenses due or accrued (Exhibit 2, Line 12, Col. 6)......45,024,521...47,300,572 13. Transfers to Separate Accounts due or accrued (net) (including $...0 accrued for expense allowances recognized in reserves, net of reinsured allowances)......(85,747)...(187,850) 14. Taxes, licenses and fees due or accrued, excluding federal income taxes (Exhibit 3, Line 9, Col. 5)......3,021,915...2,231,659 15.1 Current federal and foreign income taxes, including $...0 on realized capital gains (losses)......... 15.2 Net deferred tax liability......... 16. Unearned investment income......... 17. Amounts withheld or retained by company as agent or trustee......6,715,041...5,836,730 18. Amounts held for agents' account, including $...4,148,534 agents' credit balances......4,148,534...4,686,074 19. Remittances and items not allocated......54,942,886...51,404,976 20. Net adjustment in assets and liabilities due to foreign exchange rates......... 21. Liability for benefits for employees and agents if not included above......... 22. Borrowed money $...55,000,000 and interest thereon $...342,146......55,342,146...55,342,146 23. Dividends to stockholders declared and unpaid.........82,000,000 24. Miscellaneous liabilities: 24.01 Asset valuation reserve (AVR Line 16, Col. 7)......69,138,368...67,499,547 24.02 Reinsurance in unauthorized and certified ($...0) companies......... 24.03 Funds held under reinsurance treaties with unauthorized and certified ($...0) reinsurers......... 24.04 Payable to parent, subsidiaries and affiliates......110,147...322,087 24.05 Drafts outstanding......... 24.06 Liability for amounts held under uninsured plans......... 24.07 Funds held under coinsurance......... 24.08 Derivatives.........101,879 24.09 Payable for securities......23,607,434...11,699,061 24.10 Payable for securities lending......... 24.11 Capital notes $...0 and interest thereon $...0......... 25. Aggregate write-ins for liabilities......49,085,324...40,195,292 26. Total liabilities excluding Separate Accounts business (Lines 1 to 25)......6,723,580,395...5,237,298,563 27. From Separate Accounts Statement......146,840,147...144,676,987 28. Total liabilities (Line 26 and 27)......6,870,420,542...5,381,975,550 29. Common capital stock......6,003,113...6,003,113 30. Preferred capital stock......50,000,000...50,000,000 31. Aggregate write-ins for other than special surplus funds......0...0 32. Surplus notes......... 33. Gross paid in and contributed surplus (Page 3, Line 33, Col. 2 plus Page 4, Line 51.1, Col. 1)......124,950,189...124,950,189 34. Aggregate write-ins for special surplus funds......1,035,884...0 35. Unassigned funds (surplus)......531,342,599...417,429,691 36. Less treasury stock, at cost: 36.1...0.000 shares common (value included in Line 29 $...0)......... 36.2...0.000 shares preferred (value included in Line 30 $...0)......... 37. Surplus (Total Lines 31 + 32 + 33 + 34 + 35-36) (including $...0 in Separate Accounts Statement)......657,328,672...542,379,880 38. Totals of Lines 29, 30 and 37 (Page 4, Line 55)......713,331,785...598,382,993 39. Totals of Lines 28 and 38 (Page 2, Line 28, Col. 3)......7,583,752,327...5,980,358,543 DETAILS OF WRITE-INS 2501. Retained assets program liability to claimants and other miscellaneous liabilities......26,315,812...32,228,267 2502. Liability for pension and postretirement benefits......22,769,512...7,967,025 2503.......... 2598. Summary of remaining write-ins for Line 25 from overflow page......0...0 2599. Totals (Lines 2501 thru 2503 plus 2598) (Line 25 above)......49,085,324...40,195,292 3101.......... 3102.......... 3103.......... 3198. Summary of remaining write-ins for Line 31 from overflow page......0...0 3199. Totals (Lines 3101 thru 3103 plus 3198) (Line 31 above)......0...0 3401. Affordable Care Act 9010 fee assessment......1,035,884... 3402.......... 3403.......... 3498. Summary of remaining write-ins for Line 34 from overflow page......0...0 3499. Totals (Lines 3401 thru 3403 plus 3498) (Line 34 above)......1,035,884...0 3

SUMMARY OF OPERATIONS 1 2 Current Year Prior Year 1. Premiums and annuity considerations for life and accident and health contracts (Exhibit 1, Part 1, Line 20.4, Col. 1, less Col. 11)...1,787,186,956...1,642,451,632 2. Considerations for supplementary contracts with life contingencies......1,290,993...657,452 3. Net investment income (Exhibit of Net Investment Income, Line 17)......364,764,017...243,276,352 4. Amortization of Interest Maintenance Reserve (IMR) (Line 5)......15,774,923...10,828,906 5. Separate Accounts net gain from operations excluding unrealized gains or losses......... 6. Commissions and expense allowances on reinsurance ceded (Exhibit 1, Part 2, Line 26.1, Col. 1)......2,687,690...2,606,070 7. Reserve adjustments on reinsurance ceded......... 8. Miscellaneous Income: 8.1 Income from fees associated with investment management, administration and contract guarantees from Separate Accounts...1,052,187...2,120,137 8.2 Charges and fees for deposit-type contracts......... 8.3 Aggregate write-ins for miscellaneous income......5,368,002...5,960,873 9. Totals (Lines 1 to 8.3)......2,178,124,768...1,907,901,422 10. Death benefits......64,484,936...60,702,319 11. Matured endowments (excluding guaranteed annual pure endowments)......... 12. Annuity benefits (Exhibit 8, Part 2, Line 6.4, Cols. 4 + 8)......53,583,768...52,305,286 13. Disability benefits and benefits under accident and health contracts......539,701,643...520,107,010 14. Coupons, guaranteed annual pure endowments and similar benefits......... 15. Surrender benefits and withdrawals for life contracts......183,150,469...190,218,688 16. Group conversions......... 17. Interest and adjustments on contract or deposit-type contract funds......17,531,695...2,109,328 18. Payments on supplementary contracts with life contingencies......1,874,248...2,046,810 19. in aggregate reserves for life and accident and health contracts......713,330,104...608,340,300 20. Totals (Lines 10 to 19)......1,573,656,863...1,435,829,741 21. Commissions on premiums, annuity considerations and deposit-type contract funds (direct business only) (Exhibit 1, Part 2, Line 31, Col. 1)......163,544,583...151,781,350 22. Commissions and expense allowances on reinsurance assumed (Exhibit 1, Part 2, Line 26.2, Col. 1)......1,971,623...2,127,854 23. General insurance expenses (Exhibit 2, Line 10, Columns 1, 2, 3 and 4)......162,897,087...160,786,364 24. Insurance taxes, licenses and fees, excluding federal income taxes (Exhibit 3, Line 7, Cols. 1 + 2 + 3)......34,512,034...31,597,899 25. in loading on deferred and uncollected premiums......1,752,272...(255,845) 26. Net transfers to or (from) Separate Accounts net of reinsurance......(4,232)...(4,176) 27. Aggregate write-ins for deductions......0...0 28. Totals (Lines 20 to 27)......1,938,330,230...1,781,863,187 29. Net gain from operations before dividends to policyholders and federal income taxes (Line 9 minus Line 28)......239,794,538...126,038,235 30. Dividends to policyholders......... 31. Net gain from operations after dividends to policyholders and before federal income taxes (Line 29 minus Line 30)......239,794,538...126,038,235 32. Federal and foreign income taxes incurred (excluding tax on capital gains)......64,724,740...(9,475,693) 33. Net gain from operations after dividends to policyholders and federal income taxes and before realized capital gains or (losses) (Line 31 minus Line 32)......175,069,798...135,513,928 34. Net realized capital gains (losses) (excluding gains (losses) transferred to the IMR) less capital gains tax of $...(5,706,530) (excluding taxes of $...9,412,727 transferred to the IMR)......(8,125,651)...(962,132) 35. Net income (Line 33 plus Line 34)......166,944,147...134,551,796 CAPITAL AND SURPLUS ACCOUNT 36. Capital and surplus, December 31, prior year (Page 3, Line 38, Col. 2)......598,382,993...561,533,548 37. Net income (Line 35)......166,944,147...134,551,796 38. net unrealized capital gains (losses) less capital gains tax of $...(11,894,125)......(8,040,450)...7,217,846 39. net unrealized foreign exchange capital gain (loss)......(11,884,943)...(4,603,959) 40. net deferred income tax......(7,224,764)...(31,874,517) 41. nonadmitted assets......(11,584,760)...36,192,525 42. liability for reinsurance in unauthorized and certified companies......... 43. reserve on account of change in valuation basis, (increase) or decrease......... 44. asset valuation reserve......(1,638,821)...(30,428,129) 45. treasury stock, (Page 3, Lines 36.1 and 36.2 Col. 2 minus Col. 1)......... 46. Surplus (contributed to) withdrawn from Separate Accounts during period......... 47. Other changes in surplus in Separate Accounts Statement......... 48. surplus notes......... 49. Cumulative effect of changes in accounting principles......... 50. Capital changes: 50.1 Paid in......... 50.2 Transferred from surplus (Stock Dividend)......... 50.3 Transferred to surplus......... 51. Surplus adjustment: 51.1 Paid in......... 51.2 Transferred to capital (Stock Dividend)......... 51.3 Transferred from capital......... 51.4 surplus as a result of reinsurance......... 52. Dividends to stockholders......(2,000,000)...(84,000,000) 53. Aggregate write-ins for gains and losses in surplus......(9,621,617)...9,793,883 54. Net change in capital and surplus for the year (Lines 37 through 53)......114,948,792...36,849,445 55. Capital and surplus, December 31, current year (Lines 36 + 54) (Page 3, Line 38)......713,331,785...598,382,993 DETAILS OF WRITE-INS 08.301. Miscellaneous income......5,368,002...5,960,873 08.302.......... 08.303.......... 08.398. Summary of remaining write-ins for Line 8.3 from overflow page......0...0 08.399. Totals (Lines 08.301 thru 08.303 plus 08.398) (Line 8.3 above)......5,368,002...5,960,873 2701.......... 2702.......... 2703.......... 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 5301. Unassigned funds - pension and postretirement benefits......(9,621,617)...9,793,883 5302. Affordable Care Act 9010 fee assessment......1,035,884... 5303. Reclassification of Affordable Care Act 9010 fee assessment to special surplus funds......(1,035,884)... 5398. Summary of remaining write-ins for Line 53 from overflow page......0...0 5399. Totals (Lines 5301 thru 5303 plus 5398) (Line 53 above)......(9,621,617)...9,793,883 4

CASH FROM OPERATIONS CASH FLOW 1 2 Current Year Prior Year 1. Premiums collected net of reinsurance......1,779,924,409...1,640,400,247 2. Net investment income......261,867,157...204,433,756 3. Miscellaneous income......9,209,989...10,665,349 4. Total (Lines 1 through 3)......2,051,001,555...1,855,499,352 5. Benefit and loss related payments......832,405,812...793,446,370 6. Net transfers to Separate Accounts, Segregated Accounts and Protected Cell Accounts......(4,224)...(4,168) 7. Commissions, expenses paid and aggregate write-ins for deductions......362,488,588...347,173,732 8. Dividends paid to policyholders......... 9. Federal and foreign income taxes paid (recovered) net of $...0 tax on capital gains (losses)......65,410,390...52,639,484 10. Total (Lines 5 through 9)......1,260,300,566...1,193,255,418 11. Net cash from operations (Line 4 minus Line 10)......790,700,989...662,243,934 CASH FROM INVESTMENTS 12. Proceeds from investments sold, matured or repaid: 12.1 Bonds......2,953,292,410...3,330,126,585 12.2 Stocks......124,462,878...225,251,861 12.3 Mortgage loans......56,044,081...39,003,983 12.4 Real estate......... 12.5 Other invested assets......69,763,218...43,302,712 12.6 Net gains or (losses) on cash, cash equivalents and short-term investments......10,946...(271,405) 12.7 Miscellaneous proceeds......72,966,923...(40,286,789) 12.8 Total investment proceeds (Lines 12.1 to 12.7)......3,276,540,456...3,597,126,947 13. Cost of investments acquired (long-term only): 13.1 Bonds......4,200,727,015...3,721,003,924 13.2 Stocks......225,631,908...284,282,131 13.3 Mortgage loans......120,542,633...67,067,744 13.4 Real estate......... 13.5 Other invested assets......187,201,683...48,663,213 13.6 Miscellaneous applications......72,934,320...4,009,488 13.7 Total investments acquired (Lines 13.1 to 13.6)......4,807,037,559...4,125,026,500 14. Net increase (decrease) in contract loans and premium notes......13,886...(69,112) 15. Net cash from investments (Line 12.8 minus Lines 13.7 minus Line 14)......(1,530,510,989)...(527,830,441) 16. Cash provided (applied): CASH FROM FINANCING AND MISCELLANEOUS SOURCES 16.1 Surplus notes, capital notes......... 16.2 Capital and paid in surplus, less treasury stock......... 16.3 Borrowed funds......(4,105,750)...(4,105,750) 16.4 Net deposits on deposit-type contracts and other insurance liabilities......802,189,398...187,286 16.5 Dividends to stockholders......84,000,000...74,000,000 16.6 Other cash provided (applied)......(13,934,605)...3,842,457 17. Net cash from financing and miscellaneous sources (Lines 16.1 to 16.4 minus Line 16.5 plus Line 16.6)......700,149,043...(74,076,007) RECONCILIATION OF CASH, CASH UIVALENTS AND SHORT-TERM INVESTMENTS 18. Net change in cash, cash equivalents and short-term investments (Line 11 plus Line 15 plus Line 17)......(39,660,957)...60,337,486 19. Cash, cash equivalents and short-term investments: 19.1 Beginning of year......129,517,726...69,180,240 19.2 End of year (Line 18 plus Line 19.1)......89,856,769...129,517,726 Note: Supplemental disclosures of cash flow information for non-cash transactions: 20.0001......... 5

6 Annual Statement for the year 2014 of the ANALYSIS OF OPERATIONS BY LINES OF BUSINESS 1 2 Ordinary 6 Group Accident and Health 12 3 4 5 Credit Life 7 8 9 10 11 Aggregate of Industrial Life Individual Supplementary (Group and Life Credit (Group All Other Lines Total Life Insurance Annuities Contracts Individual) Insurance(a) Annuities Group and Individual) Other of Business 1. Premiums and annuity considerations for life and accident and health contracts......1,787,186,956......977,687...652,897,138.........177,642,029...203,651,706...751,863,877......154,519... 2. Considerations for supplementary contracts with life contingencies......1,290,993............1,290,993..................... 3. Net investment income......364,764,017......(474,660)...148,310,107...3,756,751......16,297,532...47,619,769...107,070,518........42,184,000 4. Amortization of Interest Maintenance Reserve (IMR)......15,774,923......(23,212)...7,252,714...183,714......796,988...2,328,719...5,236,000......... 5. Separate Accounts net gain from operations excluding unrealized gains or losses......0................................. 6. Commissions and expense allowances on reinsurance ceded......2,687,690......30,629............(1,710,673)......4,367,734......... 7. Reserve adjustments on reinsurance ceded......0................................. 8. Miscellaneous Income: 8.1 Fees associated with income from investment management, administration and contract guarantees from S/A......1,052,187......1,052,187........................... 8.2 Charges and fees for deposit-type contracts......0................................. 8.3 Aggregate write-ins for miscellaneous income......5,368,002...0...0...0...0...0...0...0...5,368,002...0...0...0 9. Totals (Lines 1 to 8.3)......2,178,124,768...0...1,562,631...808,459,959...5,231,458...0...193,025,876...253,600,194...873,906,131...0...154,519..42,184,000 10. Death benefits......64,484,936......3,908,043............60,576,893............... 11. Matured endowments (excluding guaranteed annual pure endowments)......0................................. 12. Annuity benefits......53,583,768.........39,654,502............13,929,266............ 13. Disability benefits and benefits under accident and health contracts......539,701,643......11,745..................539,666,401......23,497... 14. Coupons, guaranteed annual pure endowments and similar benefits......0................................. 15. Surrender benefits and withdrawals for life contracts......183,150,469......47,244...129,574,161............53,529,064............ 16. Group conversions......0................................. 17. Interest and adjustments on contract or deposit-type contract funds......17,531,695......8,631...349,624...1,672,713......292,317...2,961...203,692........15,001,757 18. Payments on supplementary contracts with life contingencies......1,874,248............1,874,248..................... 19. in aggregate reserves for life and accident and health contracts......713,330,104......(81,525)...535,746,222...1,006,786......(781,652)...153,377,475...24,062,798......... 20. Totals (Lines 10 to 19)......1,573,656,863...0...3,894,138...705,324,509...4,553,747...0...60,087,558...220,838,766...563,932,891...0...23,497..15,001,757 21. Commissions on premiums, annuity considerations and deposit-type contract funds (direct business only)......163,544,583......43,454...35,795,548.........34,933,665...10,851,412...78,920,470......34...3,000,000 22. Commissions and expense allowances on reinsurance assumed......1,971,623.........1,298,224............212,500...460,899......... 23. General insurance expenses......162,897,087......527,829...7,873,097...155,717......39,392,328...2,683,151...109,912,273.........2,352,692 24. Insurance taxes, licenses and fees, excluding federal income taxes......34,512,034......10,281...1,028,225.........11,771,431......21,702,097......... 25. in loading on deferred and uncollected premiums......1,752,272......5,209............829,574......917,489......... 26. Net transfers to or (from) Separate Accounts net of reinsurance......(4,232)......(4,232)........................... 27. Aggregate write-ins for deductions......0...0...0...0...0...0...0...0...0...0...0...0 28. Totals (Lines 20 to 27)......1,938,330,230...0...4,476,679...751,319,603...4,709,464...0...147,014,556...234,585,829...775,846,119...0...23,531..20,354,449 29. Net gain from operations before dividends to policyholders and federal income taxes (Line 9 minus Line 28)......239,794,538...0...(2,914,048)...57,140,356...521,994...0...46,011,320...19,014,365...98,060,012...0...130,988..21,829,551 30. Dividends to policyholders......0................................. 31. Net gain from operations after dividends to policyholders and before federal income taxes (Line 29 minus Line 30)......239,794,538...0...(2,914,048)...57,140,356...521,994...0...46,011,320...19,014,365...98,060,012...0...130,988..21,829,551 32. Federal income taxes incurred (excluding tax on capital gains)......64,724,740......(786,552)...15,423,181...140,895......12,419,260...5,132,310...26,468,112......35,356...5,892,178 33. Net gain from operations after dividends to policyholders and federal income taxes and before realized capital gains or (losses) (Line 31 minus Line 32)......175,069,798...0...(2,127,496)...41,717,175...381,099...0...33,592,060...13,882,055...71,591,900...0...95,632..15,937,373 DETAILS OF WRITE-INS 08.301. Miscellaneous income......5,368,002........................5,368,002......... 08.302.......0................................. 08.303.......0................................. 08.398. Summary of remaining write-ins for Line 8.3 from overflow page......0...0...0...0...0...0...0...0...0...0...0...0 08.399. Total (Lines 08.301 thru 08.303 plus 08.398) (Line 8.3 above)......5,368,002...0...0...0...0...0...0...0...5,368,002...0...0...0 2701.......0................................. 2702.......0................................. 2703.......0................................. 2798. Summary of remaining write-ins for Line 27 from overflow page......0...0...0...0...0...0...0...0...0...0...0...0 2799. Total (Lines 2701 thru 2703 plus 2798) (Line 27 above)......0...0...0...0...0...0...0...0...0...0...0...0 (a) Includes the following amounts for FEGLI/SGLI: Line 1...0 Line 10...0 Line 16...0 Line 23...0 Line 24...0.

Involving Life or Disability Contingencies (Reserves) (Net of Reinsurance Ceded) ANALYSIS OF INCREASE IN RESERVES DURING THE YEAR 1 2 Ordinary 6 Group 3 4 5 Credit Life 7 8 Industrial Supplementary (Group and Total Life Life Insurance Individual Annuities Contracts Individual) Life Insurance Annuities 1. Reserve December 31, prior year......3,142,404,629......4,545,822...2,235,630,793...11,787,938......136,425,683...754,014,393 2. Tabular net premiums or considerations......1,014,693,184......905,809...652,897,138...1,290,993......155,947,538...203,651,706 3. Present value of disability claims incurred......(125,743)............xxx.........(125,743)... 4. Tabular interest......145,434,806......203,075...107,465,740...916,045......130,371...36,719,575 5. Tabular less actual reserve released......(257,448,515).........(184,907,293)...673,996.........(73,215,218) 6. in reserve on account of change in valuation basis......0..................... 7. Other increases (net)......0..................... 8. Totals (Lines 1 to 7)......4,044,958,361...0...5,654,706...2,811,086,378...14,668,972...0...292,377,849...921,170,456 7 9. Tabular cost......154,660,991......349,809......xxx.........154,311,182... 10. Reserves released by death......902,741......781,609...xxx......xxx.........121,132...xxx... 11. Reserves released by other terminations (net)......2,348,750......47,244............2,301,506... 12. Annuity, supplementary contract, and disability payments involving life contingencies......55,469,762......11,745...39,654,503...1,874,248.........13,929,266 13. Net transfers to or (from) Separate Accounts......0..................... 14. Total deductions (Lines 9 to 13)......213,382,244...0...1,190,407...39,654,503...1,874,248...0...156,733,820...13,929,266 15. Reserve December 31, current year......3,831,576,117...0...4,464,299...2,771,431,875...12,794,724...0...135,644,029...907,241,190

EXHIBIT OF NET INVESTMENT INCOME 1 2 Collected Earned During Year During Year 1. U.S. government bonds... (a)...3,741,108...3,572,536 1.1 Bonds exempt from U.S. tax... (a)...... 1.2 Other bonds (unaffiliated)... (a)...359,873,692...375,096,730 1.3 Bonds of affiliates... (a)...... 2.1 Preferred stocks (unaffiliated)... (b)...6,278,442...6,404,316 2.11 Preferred stocks of affiliates... (b)...... 2.2 Common stocks (unaffiliated)......14,606,379...16,116,985 2.21 Common stocks of affiliates......5,500,000...5,500,000 3. Mortgage loans... (c)...12,168,331...15,354,013 4. Real estate... (d)...... 5. Contract loans......553...553 6. Cash, cash equivalents and short-term investments... (e)...364,717...466,013 7. Derivative instruments... (f)...... 8. Other invested assets......10,431,487...10,431,487 9. Aggregate write-ins for investment income......153,632...153,632 10. Total gross investment income......413,118,340...433,096,266 11. Investment expenses... (g)...64,018,758 12. Investment taxes, licenses and fees, excluding federal income taxes... (g)...195,623 13. Interest expense... (h)...4,117,868 14. Depreciation on real estate and other invested assets... (i)...0 15. Aggregate write-ins for deductions from investment income......0 16. Total deductions (Lines 11 through 15)......68,332,249 17. Net investment income (Line 10 minus Line 16)......364,764,016 DETAILS OF WRITE-INS 0901. Miscellaneous......153,632...153,632 0902.......... 0903.......... 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)......153,632...153,632 1501....... 1502....... 1503....... 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 $...104,799,619 accrual of discount less $...26,224,377 amortization of premium and less $...18,680,771 paid for accrued interest on purchases. (b) Includes $...1,168,748 accrual of discount less $...0 amortization of premium and less $...0 paid for accrued dividends on purchases. (c) Includes $...513,229 accrual of discount less $...399,502 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 $...145,228 accrual of discount less $...159,427 amortization of premium and less $...368,063 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 $...0 depreciation on real estate and $...0 depreciation on other invested assets. EXHIBIT OF CAPITAL GAINS (LOSSES) 1 2 3 4 5 Realized Gain (Loss) Other Total Realized on Sales Realized Capital Gain (Loss) Foreign or Maturity Adjustments (Columns 1 + 2) Capital Gain (Loss) Capital Gain (Loss) 1. U.S. government bonds......48,748......48,748...(447)... 1.1 Bonds exempt from U.S. tax............0...... 1.2 Other bonds (unaffiliated)......74,959,248...(13,076,405)...61,882,843...(1,222,009)...(9,642,071) 1.3 Bonds of affiliates............0...... 2.1 Preferred stocks (unaffiliated)......886,420......886,420...(50,194)... 2.11 Preferred stocks of affiliates............0...... 2.2 Common stocks (unaffiliated)......1,089,459......1,089,459...(23,056,269)... 2.21 Common stocks of affiliates............0...2,163,701... 3. Mortgage loans............0...... 4. Real estate............0...... 5. Contract loans............0...... 6. Cash, cash equivalents and short-term investments......11,158......11,158...218,374...(1,632,462) 7. Derivative instruments......(35,105,397)......(35,105,397)...(174,960)... 8. Other invested assets......(11,950,094)......(11,950,094)...2,187,227... 9. Aggregate write-ins for capital gains (losses)......0...(3,801,812)...(3,801,812)...0...0 10. Total capital gains (losses)......29,939,542...(16,878,217)...13,061,325...(19,934,577)...(11,274,533) DETAILS OF WRITE-INS 0901. Miscellaneous.........(3,801,812)...(3,801,812)...... 0902.............0...... 0903.............0...... 0998. Summary of remaining write-ins for Line 9 from overflow page......0...0...0...0...0 0999. Totals (Lines 0901 thru 0903 plus 0998) (Line 9 above)......0...(3,801,812)...(3,801,812)...0...0 8

9 Annual Statement for the year 2014 of the EXHIBIT 1 - PART 1 - PREMIUMS AND ANNUITY CONSIDERATIONS FOR LIFE AND ACCIDENT AND HEALTH CONTRACTS 1 2 Ordinary 5 Group Accident and Health 11 3 4 Credit Life 6 7 8 9 10 Aggregate of Industrial Individual (Group and Credit All Other Lines Total Life Life Insurance Annuities Individual) Life Insurance Annuities Group (Group & Individual) Other of Business FIRST YEAR (other than single) 1. Uncollected......0.............................. 2. Deferred and accrued......0.............................. 3. Deferred, accrued and uncollected: 3.1 Direct......0.............................. 3.2 Reinsurance assumed......0.............................. 3.3 Reinsurance ceded......0.............................. 3.4 Net (Line 1 + Line 2)......0...0...0...0...0...0...0...0...0...0...0 4. Advance......0.............................. 5. Line 3.4 - Line 4......0...0...0...0...0...0...0...0...0...0...0 6. Collected during year: 6.1 Direct......622,208......622,208........................ 6.2 Reinsurance assumed......0.............................. 6.3 Reinsurance ceded......400,947......400,947........................ 6.4 Net......221,261...0...221,261...0...0...0...0...0...0...0...0 7. Line 5 + Line 6.4......221,261...0...221,261...0...0...0...0...0...0...0...0 8. Prior year (uncollected + deferred and accrued - advance)......0.............................. 9. First year premiums and considerations: 9.1 Direct......622,208......622,208........................ 9.2 Reinsurance assumed......0.............................. 9.3 Reinsurance ceded......400,947......400,947........................ 9.4 Net (Line 7 - Line 8)......221,261...0...221,261...0...0...0...0...0...0...0...0 SINGLE 10. Single premiums and considerations: 10.1 Direct......853,765,034.........651,558,123.........202,206,911............ 10.2 Reinsurance assumed......0.............................. 10.3 Reinsurance ceded......0.............................. 10.4 Net......853,765,034...0...0...651,558,123...0...0...202,206,911...0...0...0...0 RENEWAL 11. Uncollected......84,693,302......33,021.........28,254,651......56,405,630......... 12. Deferred and accrued......320,907......320,907........................ 13. Deferred, accrued and uncollected: 13.1 Direct......84,033,441......1,217,795.........30,229,964......52,585,682......... 13.2 Reinsurance assumed......10,682,052......54,976...............10,627,076......... 13.3 Reinsurance ceded......9,701,284......918,843.........1,975,313......6,807,128......... 13.4 Net (Line 11 + Line 12)......85,014,209...0...353,928...0...0...28,254,651...0...56,405,630...0...0...0 14. Advance......191,648......19,541...............172,107......... 15. Line 13.4 - Line 14......84,822,561...0...334,387...0...0...28,254,651...0...56,233,523...0...0...0 16. Collected during year: 16.1 Direct......1,204,960,293......4,409,117...1,431,563......430,435,192...562,906...767,964,879......156,636... 16.2 Reinsurance assumed......70,607,629......174,643...911,577......16,343...881,889...68,623,177......... 16.3 Reinsurance ceded......350,920,802......3,888,337...1,004,125......259,146,645......86,881,695......... 16.4 Net......924,647,120...0...695,423...1,339,015...0...171,304,890...1,444,795...749,706,361...0...156,636...0 17. Line 15 + Line 16.4......1,009,469,681...0...1,029,810...1,339,015...0...199,559,541...1,444,795...805,939,884...0...156,636...0 18. Prior year (uncollected + deferred and accrued - advance)......76,269,021......273,384.........21,917,512......54,076,007......2,118... 19. Renewal premiums and considerations: 19.1 Direct......1,217,414,490......4,279,604...1,431,563......436,837,716...562,906...774,148,183......154,518... 19.2 Reinsurance assumed......66,705,912......168,162...911,577......16,343...881,889...64,727,941......... 19.3 Reinsurance ceded......350,919,742......3,691,340...1,004,125......259,212,030......87,012,247......... 19.4 Net (Line 17 - Line 18)......933,200,660...0...756,426...1,339,015...0...177,642,029...1,444,795...751,863,877...0...154,518...0 TOTAL 20. Total premiums and annuity considerations: 20.1 Direct......2,071,801,732...0...4,901,812...652,989,686...0...436,837,716...202,769,817...774,148,183...0...154,518...0 20.2 Reinsurance assumed......66,705,912...0...168,162...911,577...0...16,343...881,889...64,727,941...0...0...0 20.3 Reinsurance ceded......351,320,689...0...4,092,287...1,004,125...0...259,212,030...0...87,012,247...0...0...0 20.4 Net (Lines 9.4 + 10.4 + 19.4)......1,787,186,955...0...977,687...652,897,138...0...177,642,029...203,651,706...751,863,877...0...154,518...0

DIVIDENDS AND COUPONS APPLIED (included in Part 1) EXHIBIT 1 - PART 2 - DIVIDENDS AND COUPONS APPLIED, REINSURANCE COMMISSIONS AND EXPENSE ALLOWANCES AND COMMISSIONS INCURRED (direct business only) 1 2 Ordinary 5 Group Accident and Health 11 3 4 Credit Life 6 7 8 9 10 Aggregate of Industrial Individual (Group and Credit All Other Lines Total Life Life Insurance Annuities Individual) Life Insurance Annuities Group (Group & Individual) Other of Business 21. To pay renewal premiums......0.............................. 22. All other......0.............................. 10 REINSURANCE COMMISSIONS AND EXPENSE ALLOWANCES INCURRED 23. First year (other than single): 23.1 Reinsurance ceded......26,887......26,887........................ 23.2 Reinsurance assumed......408,000.........408,000..................... 23.3 Net ceded less assumed......(381,113)...0...26,887...(408,000)...0...0...0...0...0...0...0 24. Single: 24.1 Reinsurance ceded......0.............................. 24.2 Reinsurance assumed......1,092,724.........890,224.........202,500............ 24.3 Net ceded less assumed......(1,092,724)...0...0...(890,224)...0...0...(202,500)...0...0...0...0 25. Renewal: 25.1 Reinsurance ceded......2,660,803......3,742.........(1,710,673)......4,367,734......... 25.2 Reinsurance assumed......470,899..................10,000...460,899......... 25.3 Net ceded less assumed......2,189,904...0...3,742...0...0...(1,710,673)...(10,000)...3,906,835...0...0...0 26. Totals: 26.1 Reinsurance ceded (Page 6, Line 6)......2,687,690...0...30,629...0...0...(1,710,673)...0...4,367,734...0...0...0 26.2 Reinsurance assumed (Page 6, Line 22)......1,971,623...0...0...1,298,224...0...0...212,500...460,899...0...0...0 26.3 Net ceded less assumed......716,067...0...30,629...(1,298,224)...0...(1,710,673)...(212,500)...3,906,835...0...0...0 COMMISSIONS INCURRED (direct business only) 27. First year (other than single)......243,712......39,712...204,000..................... 28. Single......35,545,102.........35,545,102..................... 29. Renewal......124,755,769......3,742...46,446......34,933,665...10,851,412...78,920,470......34... 30. Deposit-type contract funds......3,000,000..............................3,000,000 31. Totals (to agree with Page 6, Line 21)......163,544,583...0...43,454...35,795,548...0...34,933,665...10,851,412...78,920,470...0...34...3,000,000

EXHIBIT 2 - GENERAL EXPENSES Insurance 5 6 1 Accident and Health 4 2 3 All Other Lines Life Cost Containment All Other of Business Investment Total 1. Rent......3,170,518......6,784,023......10,752,012...20,706,553 2. Salaries and wages......31,043,837...1,789,093...57,085,334...457,218...38,001,461...128,376,943 3.11 Contributions for benefit plans for employees......3,442,762...198,410...6,329,487...50,705...3,155,941...13,177,305 3.12 Contributions for benefit plans for agents.....................0 3.21 Payments to employees under non-funded benefit plans.....................0 3.22 Payments to agents under non-funded benefit plans.....................0 3.31 Other employee welfare......599,146...34,529...1,109,798...8,824...1,185,787...2,938,084 3.32 Other agent welfare.....................0 4.1 Legal fees and expenses......33,369......255,572...1,226,229...149,180...1,664,350 4.2 Medical examination fees......139,639...............139,639 4.3 Inspection report fees......13,931......87,201.........101,132 4.4 Fees of public accountants and consulting actuaries......412,378......1,268,149...200,000...407,355...2,287,882 4.5 Expense of investigation and settlement of policy claims......633,749...2,575,560...3,470,971.........6,680,280 5.1 Traveling expenses......1,351,865......3,002,051......1,967,978...6,321,894 5.2 Advertising......504,281......630,442......125...1,134,848 5.3 Postage, express, telegraph and telephone......1,203,788...207...1,802,663......425,809...3,432,467 5.4 Printing and stationery......665,654...5,326...783,036......174,088...1,628,104 5.5 Cost or depreciation of furniture and equipment......1,650,271......3,636,584......330,361...5,617,216 5.6 Rental of equipment......198,326......198,130......3,331,094...3,727,550 5.7 Cost or depreciation of EDP equipment and software......271,469......598,003......22,131...891,603 6.1 Books and periodicals......10,981...1,115...69,811......42,772...124,679 6.2 Bureau and association fees......61,852...9,491...207,975......68,357...347,675 6.3 Insurance, except on real estate......88,054......467,977......86,733...642,764 6.4 Miscellaneous losses.....................0 6.5 Collection and bank service charges......179,609......283,124...30,000...554,692...1,047,425 6.6 Sundry general expenses......48,654......252,663......58,487...359,804 6.7 Group service and administration fees......2,491,275......11,546,869......1,453...14,039,597 6.8 Reimbursements by uninsured plans.....................0 7.1 Agency expense allowance.....................0 7.2 Agents' balances charged off (less $...0 recovered).....................0 7.3 Agency conferences other than local meetings......612,199......743,214.........1,355,413 9.1 Real estate expenses.....................0 9.2 Investment expenses not included elsewhere.....................0 9.3 Aggregate write-ins for expenses......1,804,516...273,676...4,411,786...379,716...3,302,942...10,172,636 10. General expenses Incurred......50,632,123...4,887,407...105,024,863...2,352,692...64,018,758 (a)...226,915,843 11. General expenses unpaid December 31, prior year......7,265,363...11,701...9,381,527......30,641,980...47,300,571 12. General expenses unpaid December 31, current year......7,614,000...25,000...9,831,712......27,553,809...45,024,521 13. Amounts receivable relating to uninsured plans, prior year.....................0 14. Amounts receivable relating to uninsured plans, current year.....................0 15. General expenses paid during year (Lines 10+11-12-13+14)......50,283,486...4,874,108...104,574,678...2,352,692...67,106,929...229,191,893 DETAILS OF WRITE-INS 09.301. Computer Services......1,583,528...953...3,522,149......1,568,368...6,674,998 09.302. Other Consulting......220,988...272,723...889,637...379,716...1,734,574...3,497,638 09.303......................0 09.398. Summary of remaining write-ins for Line 9.3 from overflow page......0...0...0...0...0...0 09.399. Totals (Lines 09.301 thru 09.303 plus 09.398)(Line 9.3 above)......1,804,516...273,676...4,411,786...379,716...3,302,942...10,172,636 (a) Includes management fees of $...0 to affiliates and $...0 to non-affiliates. EXHIBIT 3 - TAXES, LICENSES AND FEES (EXCLUDING FEDERAL INCOME TAXES) Insurance 4 5 1 2 3 Accident All Other Lines Life and Health of Business Investment Total 1. Real estate taxes..................0 2. State insurance department licenses and fees......1,215,636...1,689,744.........2,905,380 3. State taxes on premiums......7,350,988...12,755,398.........20,106,386 4. Other state taxes, including $...0 for employee benefits......2,001,553...2,886,998......15,092...4,903,643 5. U.S. Social Security taxes......1,862,456...3,842,722......180,531...5,885,709 6. All other taxes......379,304...527,235.........906,539 7. Taxes, licenses and fees incurred......12,809,937...21,702,097...0...195,623...34,707,657 8. Taxes, licenses and fees unpaid December 31, prior year......417,679...1,814,904......(923)...2,231,660 9. Taxes, licenses and fees unpaid December 31, current year......408,393...2,613,809......(286)...3,021,916 10. Taxes, licenses and fees paid during year (Lines 7 + 8-9)......12,819,223...20,903,192...0...194,986...33,917,401 EXHIBIT 4 - DIVIDENDS OR REFUNDS 1 2 Life Accident and Health 1. Applied to pay renewal premiums......... 2. Applied to shorten the endowment or premium-paying period......... 3. Applied to provide paid-up additions......33,034... 4. Applied to provide paid-up annuities......... 5. Total Lines 1 through 4......33,034...0 6. Paid-in cash......4,712... 7. Left on deposit......... 8. Aggregate write-ins for dividend or refund options......(37,746)...0 9. Total Lines 5 through 8......0...0 10. Amount due and unpaid......... 11. Provision for dividends or refunds payable in the following calendar year......... 12. Terminal dividends......... 13. Provision for deferred dividend contracts......... 14. Amount provisionally held for deferred dividend contracts not included in Line 13......... 15. Total Lines 10 through 14......0...0 16. Total from prior year......... 17. Total dividends or refunds (Lines 9 + 15-16)......0...0 DETAILS OF WRITE-INS 0801. Dividends - reinsurance ceded......(37,746)... 0802.......... 0803.......... 0898. Summary of remaining write-ins for Line 8 from overflow page......0...0 0899. Totals (Line 0801 thru 0803 plus 0898) (Line 8 above)......(37,746)...0 11

Life Insurance: EXHIBIT 5 - AGGREGATE RESERVE FOR LIFE CONTRACTS 1 2 3 4 5 6 Credit (Group and Standard Total Industrial Ordinary Individual) Group 0100001. AE 2.25% NLP......53......53...... 0100002. AE 3.00% NLP......422,037......422,037...... 0100003. AE 3.50% NLP......2,843,237......2,843,237...... 0100004. AM MEN 3.50% NLP......91,664...91,664......... 0100005. 41 CSO 2.50% NLP......3,897,765......3,897,765...... 0100006. 41 CSO 3.00% NLP......840,004......840,004...... 0100007. 58 CET 2.25% NLP......21,186......21,186...... 0100008. 58 CET 2.75% NLP......17,177......17,177...... 0100009. 58 CET 3.00% NLP......153,885......153,885...... 0100010. 58 CET 3.50% NLP......459,795......459,795...... 0100011. 58 CET 3.75% NLP......326......326...... 0100012. 58 CET 4.00% NLP......42,766......42,766...... 0100013. 58 CET 4.25% NLP......103,157......103,157...... 0100014. 58 CET 4.50% NLP......3,650......3,650...... 0100015. 58 CSO 2.25% NLP......1,049,771......1,049,771...... 0100016. 58 CSO 2.25% CRVM......1,078,294......1,078,294...... 0100017. 58 CSO 2.75% NLP......66,367......66,367...... 0100018. 58 CSO 3.00% NLP......3,670,252......3,670,252...... 0100019. 58 CSO 3.00% CRVM......5,381,631......5,381,631...... 0100020. 58 CSO 3.50% NLP......398,459......398,459...... 0100021. 58 CSO 3.50% CRVM......6,899,848......6,899,848...... 0100022. 58 CSO 3.75% NLP......1,091......1,091...... 0100023. 58 CSO 3.75% CRVM......107,236......107,236...... 0100024. 58 CSO 4.00% NLP......264,787......264,787...... 0100025. 58 CSO 4.00% CRVM......4,516,925......4,516,925...... 0100026. 58 CSO 4.25% NLP......152,982......152,982...... 0100027. 58 CSO 4.25% CRVM......6,756,000......6,756,000...... 0100028. 58 CSO 4.50% NLP......67,602......67,602...... 0100029. 58 CSO 4.50% CRVM......363,335......363,335...... 0100030. 58 CSO 5.50% CRVM......9,809,501......9,809,501...... 0100031. 58 CSO 6.00% CRVM......1,451,826......1,451,826...... 0100032. 80 CET 4.00% NLP......12,415......12,415...... 0100033. 80 CET 4.50% NLP......30,974......30,974...... 0100034. 80 CET 5.50% NLP......35,731......35,731...... 0100035. 80 CSO 4.00% NLP......604,736......52,057......552,679 0100036. 80 CSO 4.00% CRVM......246,904......246,904...... 0100037. 80 CSO 4.50% NLP......1,558,044......40,323......1,517,721 0100038. 80 CSO 4.50% CRVM......2,343,147......2,343,147...... 0100039. 80 CSO 5.00% CRVM......2,583,503......2,583,503...... 0100040. 80 CSO 5.00% NLP......4,400......4,400...... 0100041. 80 CSO 5.50% CRVM......10,892,032......10,892,032...... 0100042. 80 CSO 5.50% NLP......12,564......12,564...... 0100043. 80 CSO 6.00% CRVM......790,841......790,841...... 0100044. 80 CSO 6.50% CRVM......187,351......187,351...... 0100045. 2001 CSO 3.50% NLP (NB)......94,844............94,844 0100046. 2001 CSO 4.00% CRVM(NB)......261,004......261,004...... 0100047. 2001 CSO 4.00% NLP......207,814............207,814 0100048. 2001 CSO 4.25% NLP......426,645............426,645 0100049. 2001 CSO 4.50% NLP......880,693............880,693 0100050. UNEARNED PREMIUM......1,923,065............1,923,065 0100051. STD IND 3.00% NLP......60,055...60,055......... 0100052. STD IND 3.50% NLP......311,672...311,672......... 0100053. SUB STD IND 3.50% NLP......118,098...118,098......... 0100054. 41 STD IND 3.00% NLP......1,392,607...1,392,607......... 0100055. 41 STD IND 3.50% NLP......18,070...18,070......... 0100056. SUB STD IND 3.00% NLP......290,769...290,769......... 0100057. 61 CSI 3.00% NLP......823,682...823,682......... 0100058. 1960 BASIC GROUP TABLE 6%......3,504,324............3,504,324 0199997. Totals (Gross)......80,548,593...3,106,617...68,334,191...0...9,107,785 0199998. Reinsurance ceded......67,094,139...3,106,617...63,987,522...... 0199999. Totals (Net)......13,454,454...0...4,346,669...0...9,107,785 Annuities (excluding supplementary contracts with life contingencies): 0200001. 37 SA 3.50% IMM......731,486...XXX......731,486...XXX...... 0200002. A - 1949 3.50% DEF......172,562...XXX......172,562...XXX...... 0200003. 71 IAM 4.00% DEF......1,387,269...XXX......1,387,269...XXX...... 0200004. 71 IAM 4.50% DEF(NB)......37,382,256...XXX......37,382,256...XXX...... 0200005. 71 IAM 5.50% DEF......88,430,217...XXX......88,430,217...XXX...... 0200006. 71 IAM 8.25% DEF......16,950,391...XXX......1,688,169...XXX......15,262,222 0200007. 71 IAM 9.25% DEF(NB)......11,390,327...XXX......11,390,327...XXX...... 0200008. 71 IAM 5.00% IMM......3,407,646...XXX......3,407,646...XXX...... 0200009. 71 IAM 5.25% IMM......1,713,029...XXX......1,713,029...XXX...... 0200010. 71 IAM 5.50% IMM......31,391...XXX......31,391...XXX...... 12