Missouri (State or Other Jurisdiction of Incorporation) |
1-11848 (Commission File Number) |
43-1627032 (IRS Employer Identification Number) |
o | Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425) | ||
o | Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12) | ||
o | Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b)) | ||
o | Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c)) |
Item 2.02 Results of Operations and Financial Condition | ||||||||
Item 9.01 Financial Statements and Exhibits | ||||||||
SIGNATURE | ||||||||
Exhibit Index | ||||||||
EX-99.1 |
(d) | Exhibits |
Exhibit No. | Exhibit | |
99.1
|
Investment Supplement of Reinsurance Group of America, Incorporated for the quarter ended September 30, 2008. |
REINSURANCE GROUP OF AMERICA, INCORPORATED |
|||||
Date: October 24, 2008 | By: | /s/ Jack B. Lay | |||
Jack B. Lay | |||||
Senior Executive Vice President and Chief Financial Officer |
|||||
Exhibit No. | Exhibit | |
99.1
|
Investment Supplement of Reinsurance Group of America, Incorporated for the quarter ended September 30, 2008. |
September 30, 2008 | December 31, 2007 | |||||||||||
Fixed maturity securities, available-for-sale |
$ | 9,121,953 | $ | 9,397,916 | ||||||||
Mortgage loans on real estate |
782,282 | 831,557 | ||||||||||
Policy loans |
1,048,517 | 1,059,439 | ||||||||||
Funds withheld at interest |
4,806,642 | 4,749,496 | ||||||||||
Short-term investments |
32,520 | 75,062 | ||||||||||
Other invested assets |
432,982 | 284,220 | ||||||||||
Cash and cash equivalents |
412,255 | 404,351 | ||||||||||
Total cash and invested assets |
$ | 16,637,151 | $ | 16,802,041 | ||||||||
Three months ended September 30, | Nine months ended September 30, | |||||||||||||||||||||||
2008 | 2007 | Increase | 2008 | 2007 | Increase | |||||||||||||||||||
Average invested
assets at amortized
cost |
$ | 12,185,216 | $ | 10,996,941 | 10.8 | % | $ | 11,632,451 | $ | 10,497,605 | 10.8 | % | ||||||||||||
Net investment income |
179,193 | 161,311 | 11.1 | % | 523,681 | 466,449 | 12.3 | % | ||||||||||||||||
Investment yield
(ratio of net
investment income to
average invested
assets) |
6.01 | % | 6.00 | % | 1 | bp | 6.05 | % | 5.97 | % | 8 | bps |
1
Estimated | ||||||||||||||||||||
Amortized | Unrealized | Unrealized | Fair | % of | ||||||||||||||||
September 30, 2008 | Cost | Gains | Losses | Value | Total | |||||||||||||||
Available-for-sale: |
||||||||||||||||||||
U.S. corporate securities |
$ | 3,565,074 | $ | 5,682 | $ | (469,436 | ) | $ | 3,101,320 | 34.0 | % | |||||||||
Canadian and Canadian provincial
governments |
1,678,671 | 330,369 | (40,926 | ) | 1,968,114 | 21.6 | % | |||||||||||||
Residential mortgage-backed
securities |
1,302,991 | 6,776 | (47,052 | ) | 1,262,715 | 13.9 | % | |||||||||||||
Foreign corporate securities |
1,185,038 | 11,588 | (108,371 | ) | 1,088,255 | 11.9 | % | |||||||||||||
Asset-backed securities |
483,308 | 1,316 | (88,717 | ) | 395,907 | 4.3 | % | |||||||||||||
Commercial mortgage-backed
securities |
1,029,457 | 891 | (124,917 | ) | 905,431 | 9.9 | % | |||||||||||||
U.S. government and agencies |
8,250 | 298 | | 8,548 | 0.1 | % | ||||||||||||||
State and political subdivisions |
46,630 | 25 | (4,587 | ) | 42,068 | 0.5 | % | |||||||||||||
Other foreign government
securities |
343,905 | 7,032 | (1,342 | ) | 349,595 | 3.8 | % | |||||||||||||
Total fixed maturity securities |
$ | 9,643,324 | $ | 363,977 | $ | (885,348 | ) | $ | 9,121,953 | 100.0 | % | |||||||||
Non-redeemable preferred stock |
$ | 187,966 | $ | 14 | $ | (72,830 | ) | $ | 115,150 | 77.5 | % | |||||||||
Common stock |
35,571 | 336 | (2,464 | ) | 33,443 | 22.5 | % | |||||||||||||
Total equity securities |
$ | 223,537 | $ | 350 | $ | (75,294 | ) | $ | 148,593 | 100.0 | % | |||||||||
Estimated | ||||||||||||||||||||
Amortized | Unrealized | Unrealized | Fair | % of | ||||||||||||||||
December 31, 2007 | Cost | Gains | Losses | Value | Total | |||||||||||||||
Available-for-sale: |
||||||||||||||||||||
U.S. corporate securities |
$ | 3,382,944 | $ | 27,350 | $ | 96,679 | $ | 3,313,615 | 35.3 | % | ||||||||||
Canadian and Canadian provincial
governments |
1,561,700 | 570,691 | 1,163 | 2,131,228 | 22.7 | % | ||||||||||||||
Residential mortgage-backed
securities |
1,414,187 | 12,306 | 12,216 | 1,414,277 | 15.0 | % | ||||||||||||||
Foreign corporate securities |
1,040,817 | 35,159 | 25,971 | 1,050,005 | 11.2 | % | ||||||||||||||
Asset-backed securities |
494,458 | 1,252 | 31,456 | 464,254 | 4.9 | % | ||||||||||||||
Commercial mortgage-backed
securities |
641,479 | 8,835 | 5,087 | 645,227 | 6.9 | % | ||||||||||||||
U.S. government and agencies |
3,244 | 209 | 1 | 3,452 | | % | ||||||||||||||
State and political subdivisions |
52,254 | 152 | 945 | 51,461 | 0.5 | % | ||||||||||||||
Other foreign government
securities |
325,609 | 3,300 | 4,512 | 324,397 | 3.5 | % | ||||||||||||||
Total fixed maturity securities |
$ | 8,916,692 | $ | 659,254 | $ | 178,030 | $ | 9,397,916 | 100.0 | % | ||||||||||
Non-redeemable preferred stock |
$ | 144,942 | $ | 986 | $ | 19,953 | $ | 125,975 | 91.8 | % | ||||||||||
Common stock |
11,483 | 2 | 232 | 11,253 | 8.2 | % | ||||||||||||||
Total equity securities |
$ | 156,425 | $ | 988 | $ | 20,185 | $ | 137,228 | 100.0 | % | ||||||||||
2
September 30, 2008 | ||||||||||||||||
Estimated | Average Credit | |||||||||||||||
Amortized Cost | Fair Value | % of Total | Ratings | |||||||||||||
Finance |
$ | 1,433,689 | $ | 1,176,929 | 28.1 | % | A- | |||||||||
Industrial |
1,161,833 | 1,043,016 | 24.9 | % | BBB | |||||||||||
Foreign (1) |
1,185,038 | 1,088,255 | 26.0 | % | A | |||||||||||
Utility |
531,564 | 487,337 | 11.6 | % | BBB | |||||||||||
Other |
437,988 | 394,038 | 9.4 | % | BBB+ | |||||||||||
Total |
$ | 4,750,112 | $ | 4,189,575 | 100.0 | % | A | |||||||||
December 31, 2007 | ||||||||||||||||
Estimated | Average Credit | |||||||||||||||
Amortized Cost | Fair Value | % of Total | Ratings | |||||||||||||
Finance |
$ | 1,394,562 | $ | 1,343,539 | 30.8 | % | A | |||||||||
Industrial |
1,069,727 | 1,060,236 | 24.3 | % | BBB+ | |||||||||||
Foreign (1) |
1,040,817 | 1,050,005 | 24.1 | % | A | |||||||||||
Utility |
504,678 | 503,969 | 11.5 | % | BBB | |||||||||||
Other |
413,977 | 405,871 | 9.3 | % | BBB+ | |||||||||||
Total |
$ | 4,423,761 | $ | 4,363,620 | 100.0 | % | A- | |||||||||
(1) | Includes U.S. dollar-denominated debt obligations of foreign obligors and other foreign investments. |
September 30, 2008 | December 31, 2007 | |||||||||||||||||||||||||||
NAIC | Rating Agency | Amortized | Estimated | % of | Amortized | Estimated | % of | |||||||||||||||||||||
Designation | Designation | Cost | Fair Value | Total | Cost | Fair Value | Total | |||||||||||||||||||||
1 |
AAA/AA/A | $ | 7,479,538 | $ | 7,183,940 | 78.8 | % | $ | 7,022,497 | $ | 7,521,177 | 80.0 | % | |||||||||||||||
2 |
BBB | 1,817,281 | 1,632,806 | 17.9 | % | 1,628,431 | 1,617,983 | 17.2 | % | |||||||||||||||||||
3 |
BB | 253,665 | 231,706 | 2.5 | % | 201,868 | 198,487 | 2.1 | % | |||||||||||||||||||
4 |
B | 58,868 | 43,503 | 0.5 | % | 47,013 | 43,680 | 0.5 | % | |||||||||||||||||||
5 |
CCC and lower | 31,336 | 27,361 | 0.3 | % | 16,800 | 16,502 | 0.2 | % | |||||||||||||||||||
6 |
In or near default | 2,636 | 2,637 | | % | 83 | 87 | | % | |||||||||||||||||||
Total | $ | 9,643,324 | $ | 9,121,953 | 100.0 | % | $ | 8,916,692 | $ | 9,397,916 | 100.0 | % | ||||||||||||||||
3
September 30, 2008 | December 31, 2007 | |||||||||||||||
Amortized | Estimated | Amortized | Estimated | |||||||||||||
(dollars in thousands) | Cost | Fair Value | Cost | Fair Value | ||||||||||||
Residential mortgage-backed securities: |
||||||||||||||||
Collateralized mortgage obligations |
$ | 932,046 | $ | 892,959 | $ | 1,018,597 | $ | 1,016,195 | ||||||||
Pass-through securities |
370,945 | 369,756 | 395,590 | 398,081 | ||||||||||||
Total residential mortgage-backed securities |
1,302,991 | 1,262,715 | 1,414,187 | 1,414,276 | ||||||||||||
Commercial mortgage-backed securities |
1,029,457 | 905,431 | 641,479 | 645,227 | ||||||||||||
Asset-backed securities |
483,308 | 395,907 | 494,458 | 464,254 | ||||||||||||
Total |
$ | 2,815,756 | $ | 2,564,053 | $ | 2,550,124 | $ | 2,523,757 | ||||||||
September 30, 2008 | ||||||||||||||||||||||||
AAA | AA | A | ||||||||||||||||||||||
Estimated | Estimated | Estimated | ||||||||||||||||||||||
Underwriting Year | Amortized Cost | Fair Value | Amortized Cost | Fair Value | Amortized Cost | Fair Value | ||||||||||||||||||
2003 & Prior |
$ | 11,419 | $ | 10,586 | $ | 6,580 | $ | 4,746 | $ | 1,868 | $ | 1,337 | ||||||||||||
2004 |
| | 39,335 | 30,741 | 13,560 | 10,791 | ||||||||||||||||||
2005 |
48,481 | 40,885 | 57,019 | 38,337 | 6,516 | 3,362 | ||||||||||||||||||
2006 |
5,018 | 3,135 | 9,498 | 5,480 | | | ||||||||||||||||||
2007 |
2,250 | 1,820 | 888 | 615 | 10,490 | 5,175 | ||||||||||||||||||
Total |
$ | 67,168 | $ | 56,426 | $ | 113,320 | $ | 79,919 | $ | 32,434 | $ | 20,665 | ||||||||||||
BBB | Below Investment Grade | Total | ||||||||||||||||||||||
Estimated | Estimated | Estimated | ||||||||||||||||||||||
Underwriting Year | Amortized Cost | Fair Value | Amortized Cost | Fair Value | Amortized Cost | Fair Value | ||||||||||||||||||
2003 & Prior |
$ | 1,221 | $ | 217 | $ | | $ | | $ | 21,088 | $ | 16,886 | ||||||||||||
2004 |
| | 9,071 | 6,610 | 61,966 | 48,142 | ||||||||||||||||||
2005 |
1,323 | 1,323 | 4,173 | 4,168 | 117,512 | 88,075 | ||||||||||||||||||
2006 |
3,223 | 1,823 | | | 17,739 | 10,438 | ||||||||||||||||||
2007 |
| | 7,639 | 6,288 | 21,267 | 13,898 | ||||||||||||||||||
Total |
$ | 5,767 | $ | 3,363 | $ | 20,883 | $ | 17,066 | $ | 239,572 | $ | 177,439 | ||||||||||||
4
December 31, 2007 | ||||||||||||||||||||||||
AAA | AA | A | ||||||||||||||||||||||
Estimated | Estimated | Estimated | ||||||||||||||||||||||
Underwriting Year | Amortized Cost | Fair Value | Amortized Cost | Fair Value | Amortized Cost | Fair Value | ||||||||||||||||||
2003 & Prior |
$ | 16,520 | $ | 16,531 | $ | 2,111 | $ | 1,910 | $ | 3,749 | $ | 3,246 | ||||||||||||
2004 |
26,520 | 26,286 | 33,757 | 31,465 | 16,151 | 14,614 | ||||||||||||||||||
2005 |
41,638 | 40,190 | 60,233 | 55,041 | 21,593 | 18,140 | ||||||||||||||||||
2006 |
13,964 | 11,957 | 5,002 | 3,763 | | | ||||||||||||||||||
2007 |
20,274 | 18,351 | | | | | ||||||||||||||||||
Total |
$ | 118,916 | $ | 113,315 | $ | 101,103 | $ | 92,179 | $ | 41,493 | $ | 36,000 | ||||||||||||
BBB | Below Investment Grade | Total | ||||||||||||||||||||||
Estimated | Estimated | Estimated | ||||||||||||||||||||||
Underwriting Year | Amortized Cost | Fair Value | Amortized Cost | Fair Value | Amortized Cost | Fair Value | ||||||||||||||||||
2003 & Prior |
$ | 1,186 | $ | 1,046 | $ | | $ | | $ | 23,566 | $ | 22,733 | ||||||||||||
2004 |
| | | | 76,428 | 72,365 | ||||||||||||||||||
2005 |
5,026 | 4,250 | | | 128,490 | 117,621 | ||||||||||||||||||
2006 |
| | | | 18,966 | 15,720 | ||||||||||||||||||
2007 |
| | | | 20,274 | 18,351 | ||||||||||||||||||
Total |
$ | 6,212 | $ | 5,296 | $ | | $ | | $ | 267,724 | $ | 246,790 | ||||||||||||
September 30, 2008 | December 31, 2007 | |||||||||||||||
Gross | Gross | |||||||||||||||
Unrealized | Unrealized | |||||||||||||||
Losses | % of Total | Losses | % of Total | |||||||||||||
Less than 20% |
$ | 472,148 | 49.1 | % | $ | 159,563 | 80.5 | % | ||||||||
20% or more for
less than six
months |
381,221 | 39.7 | % | 35,671 | 18.0 | % | ||||||||||
20% or more for six
months or greater |
107,273 | 11.2 | % | 2,981 | 1.5 | % | ||||||||||
Total |
$ | 960,642 | 100.0 | % | $ | 198,215 | 100.0 | % | ||||||||
5
As of September 30, 2008 | ||||||||||||||||||||||||
Equal to or greater than | ||||||||||||||||||||||||
Less than 12 months | 12 months | Total | ||||||||||||||||||||||
Gross | Gross | Gross | ||||||||||||||||||||||
Estimated | Unrealized | Estimated | Unrealized | Estimated | Unrealized | |||||||||||||||||||
(dollars in thousands) | Fair Value | Losses | Fair Value | Losses | Fair Value | Losses | ||||||||||||||||||
Investment grade securities: |
||||||||||||||||||||||||
U.S. corporate securities |
$ | 2,136,005 | $ | 289,078 | $ | 481,672 | $ | 139,996 | $ | 2,617,677 | $ | 429,074 | ||||||||||||
Canadian and Canadian provincial
governments |
483,226 | 33,670 | 55,046 | 7,256 | 538,272 | 40,926 | ||||||||||||||||||
Residential mortgage-backed
securities |
497,433 | 26,121 | 253,224 | 20,931 | 750,657 | 47,052 | ||||||||||||||||||
Foreign corporate securities |
573,499 | 72,645 | 191,346 | 31,944 | 764,845 | 104,589 | ||||||||||||||||||
Asset-backed securities |
159,077 | 20,269 | 201,503 | 66,944 | 360,580 | 87,213 | ||||||||||||||||||
Commercial mortgage-backed
securities |
801,793 | 105,354 | 59,865 | 19,563 | 861,658 | 124,917 | ||||||||||||||||||
State and political subdivisions |
27,468 | 4,587 | 8,000 | | 35,468 | 4,587 | ||||||||||||||||||
Other foreign government securities |
45,207 | 534 | 47,494 | 808 | 92,701 | 1,342 | ||||||||||||||||||
Investment grade securities |
4,723,708 | 552,258 | 1,298,150 | 287,442 | 6,021,858 | 839,700 | ||||||||||||||||||
Non-investment grade securities: |
||||||||||||||||||||||||
U.S. corporate securities |
193,333 | 31,385 | 42,473 | 8,977 | 235,806 | 40,362 | ||||||||||||||||||
Asset-backed securities |
1,226 | 79 | 5,126 | 1,425 | 6,352 | 1,504 | ||||||||||||||||||
Foreign corporate securities |
16,964 | 2,455 | 3,164 | 1,327 | 20,128 | 3,782 | ||||||||||||||||||
Non-investment grade securities |
211,523 | 33,919 | 50,763 | 11,729 | 262,286 | 45,648 | ||||||||||||||||||
Total fixed maturity securities |
$ | 4,935,231 | $ | 586,177 | $ | 1,348,913 | $ | 299,171 | $ | 6,284,144 | $ | 885,348 | ||||||||||||
Equity securities |
$ | 95,030 | $ | 60,555 | $ | 21,226 | $ | 14,739 | $ | 116,256 | $ | 75,294 | ||||||||||||
Total number of securities in
an unrealized loss position |
1,426 | 550 | 1,976 | |||||||||||||||||||||
6
As of December 31, 2007 | ||||||||||||||||||||||||
Equal to or greater than | ||||||||||||||||||||||||
Less than 12 months | 12 months | Total | ||||||||||||||||||||||
Gross | Gross | Gross | ||||||||||||||||||||||
Estimated | Unrealized | Estimated | Unrealized | Estimated | Unrealized | |||||||||||||||||||
(dollars in thousands) | Fair Value | Losses | Fair Value | Losses | Fair Value | Losses | ||||||||||||||||||
Investment grade securities: |
||||||||||||||||||||||||
U.S. corporate securities |
$ | 1,185,664 | $ | 63,368 | $ | 487,626 | $ | 25,541 | $ | 1,673,290 | $ | 88,909 | ||||||||||||
Canadian and Canadian provincial
governments |
78,045 | 1,077 | 4,313 | 86 | 82,358 | 1,163 | ||||||||||||||||||
Residential mortgage-backed
securities |
299,655 | 5,473 | 348,632 | 6,743 | 648,287 | 12,216 | ||||||||||||||||||
Foreign corporate securities |
293,783 | 17,880 | 155,445 | 5,995 | 449,228 | 23,875 | ||||||||||||||||||
Asset-backed securities |
341,337 | 24,958 | 72,445 | 5,722 | 413,782 | 30,680 | ||||||||||||||||||
Commercial mortgage-backed
securities |
110,097 | 4,499 | 46,647 | 588 | 156,744 | 5,087 | ||||||||||||||||||
U.S. government and agencies |
700 | 1 | | | 700 | 1 | ||||||||||||||||||
State and political subdivisions |
27,265 | 605 | 14,518 | 339 | 41,783 | 944 | ||||||||||||||||||
Other foreign government securities |
127,397 | 1,635 | 75,354 | 2,878 | 202,751 | 4,513 | ||||||||||||||||||
Investment grade securities |
2,463,943 | 119,496 | 1,204,980 | 47,892 | 3,668,923 | 167,388 | ||||||||||||||||||
Non-investment grade securities: |
||||||||||||||||||||||||
U.S. corporate securities |
106,842 | 6,044 | 30,105 | 1,727 | 136,947 | 7,771 | ||||||||||||||||||
Asset-backed securities |
1,996 | 776 | | | 1,996 | 776 | ||||||||||||||||||
Foreign corporate securities |
9,692 | 1,930 | 3,524 | 165 | 13,216 | 2,095 | ||||||||||||||||||
Non-investment grade securities |
118,530 | 8,750 | 33,629 | 1,892 | 152,159 | 10,642 | ||||||||||||||||||
Total fixed maturity securities |
$ | 2,582,473 | $ | 128,246 | $ | 1,238,609 | $ | 49,784 | $ | 3,821,082 | $ | 178,030 | ||||||||||||
Equity securities |
$ | 83,166 | $ | 16,764 | $ | 19,073 | $ | 3,421 | $ | 102,239 | $ | 20,185 | ||||||||||||
Total number of securities in
an unrealized loss position |
691 | 414 | 1,105 | |||||||||||||||||||||
7
September 30, | December 31, | |||||||
2008 | 2007 | |||||||
Sector: |
||||||||
U.S. corporate securities |
58 | % | 59 | % | ||||
Canadian and Canada provincial governments |
4 | % | 1 | % | ||||
Residential mortgage-backed securities |
5 | % | 6 | % | ||||
Foreign corporate securities |
11 | % | 13 | % | ||||
Asset-backed securities |
9 | % | 16 | % | ||||
Commercial mortgage-backed securities |
13 | % | 3 | % | ||||
State and political subdivisions |
| % | | % | ||||
Other foreign government securities |
| % | 2 | % | ||||
Total |
100 | % | 100 | % | ||||
Industry: |
||||||||
Finance |
40 | % | 49 | % | ||||
Asset-backed |
9 | % | 16 | % | ||||
Industrial |
17 | % | 12 | % | ||||
Mortgage-backed |
18 | % | 9 | % | ||||
Government |
5 | % | 3 | % | ||||
Utility |
6 | % | 4 | % | ||||
Other |
5 | % | 7 | % | ||||
Total |
100 | % | 100 | % | ||||
Amortized | Estimated | |||||||
Corporate Exposures | Cost | Fair Value | ||||||
JP Morgan |
$ | 85,305 | $ | 74,614 | ||||
Bank of America |
82,708 | 71,376 | ||||||
Citigroup |
78,036 | 61,825 | ||||||
General Electric Co. |
67,940 | 58,011 | ||||||
AT&T, Inc. |
64,293 | 57,605 | ||||||
Toronto Dominion |
48,816 | 46,577 | ||||||
Verizon |
41,480 | 37,208 | ||||||
American International Group |
48,367 | 32,760 | ||||||
HSBC |
36,755 | 32,102 | ||||||
Wells Fargo |
35,330 | 31,887 | ||||||
Deutsche Telekom |
30,380 | 27,786 | ||||||
Merrill Lynch |
34,418 | 27,506 | ||||||
Power Corp of Canada |
25,314 | 27,299 | ||||||
Morgan Stanley |
36,957 | 27,041 | ||||||
Time Warner Cable |
30,245 | 26,539 | ||||||
Kraft Foods, Inc. |
27,943 | 25,976 | ||||||
Wachovia |
42,957 | 24,909 | ||||||
Goldman Sachs |
36,304 | 24,866 | ||||||
Enbridge, Inc. |
20,718 | 23,841 | ||||||
Banco Santander |
35,805 | 23,460 | ||||||
Total |
$ | 910,071 | $ | 763,188 | ||||
8
(dollars in thousands) | ||||
Asset Class / Institution | Impairment | |||
Subprime / Alt-A |
$ | 25,727 | ||
Lehman Brothers Holdings |
24,232 | |||
Washington Mutual |
22,075 | |||
Morgan Stanley |
8,214 | |||
American International Group |
7,500 | |||
Fannie Mae |
7,231 | |||
Freddie Mac |
4,680 | |||
Bell Canada Enterprises |
3,499 | |||
Other |
6,123 | |||
Total |
$ | 109,281 | ||
9