{"ticker":"ATH-PD","downloaded_at":"2026-08-20","balance_sheet":{"2026-03-31":{"Preferred Shares Number":91300000.0,"Ordinary Shares Number":203800000.0,"Share Issued":203800000.0,"Total Debt":7840000000.0,"Tangible Book Value":13769000000.0,"Invested Capital":25688000000.0,"Net Tangible Assets":13769000000.0,"Common Stock Equity":17848000000.0,"Total Capitalization":25688000000.0,"Total Equity Gross Minority Interest":33700000000.0,"Minority Interest":15852000000.0,"Stockholders Equity":17848000000.0,"Gains Losses Not Affecting Retained Earnings":-3120000000.0,"Other Equity Adjustments":-3120000000.0,"Retained Earnings":1706000000.0,"Additional Paid In Capital":19262000000.0,"Capital Stock":0.0,"Common Stock":0.0,"Preferred Stock":0.0,"Total Liabilities Net Minority Interest":414104000000.0,"Derivative Product Liabilities":5835000000.0,"Long Term Debt And Capital Lease Obligation":7840000000.0,"Long Term Debt":7840000000.0,"Total Assets":447804000000.0,"Investments And Advances":231694000000.0,"Goodwill And Other Intangible Assets":4079000000.0,"Goodwill":4079000000.0,"Receivables":10304000000.0,"Accounts Receivable":10304000000.0,"Cash Cash Equivalents And Short Term Investments":133096000000.0,"Other Short Term Investments":114946000000.0,"Cash And Cash Equivalents":18150000000.0,"Equity Investments":105766000000.0,"Net Loan":96961000000.0},"2025-12-31":{"Preferred Shares Number":91300000.0,"Ordinary Shares Number":203800000.0,"Share Issued":203800000.0,"Total Debt":7848000000.0,"Tangible Book Value":16420000000.0,"Invested Capital":28340000000.0,"Net Tangible Assets":16420000000.0,"Common Stock Equity":20492000000.0,"Total Capitalization":28340000000.0,"Total Equity Gross Minority Interest":35638000000.0,"Minority Interest":15146000000.0,"Stockholders Equity":20492000000.0,"Gains Losses Not Affecting Retained Earnings":-2641000000.0,"Other Equity Adjustments":-2641000000.0,"Retained Earnings":3895000000.0,"Additional Paid In Capital":19238000000.0,"Capital Stock":0.0,"Common Stock":0.0,"Preferred Stock":0.0,"Total Liabilities Net Minority Interest":406567000000.0,"Derivative Product Liabilities":5742000000.0,"Long Term Debt And Capital Lease Obligation":7848000000.0,"Long Term Debt":7848000000.0,"Total Assets":442205000000.0,"Investments And Advances":230305000000.0,"Goodwill And Other Intangible Assets":4072000000.0,"Goodwill":4072000000.0,"Receivables":10282000000.0,"Accounts Receivable":10282000000.0,"Cash Cash Equivalents And Short Term Investments":128032000000.0,"Other Short Term Investments":112469000000.0,"Cash And Cash Equivalents":15563000000.0,"Equity Investments":107853000000.0,"Net Loan":95845000000.0},"2025-09-30":{"Preferred Shares Number":91300000.0,"Ordinary Shares Number":203800000.0,"Share Issued":203800000.0,"Total Debt":7856000000.0,"Tangible Book Value":16339000000.0,"Invested Capital":28267000000.0,"Net Tangible Assets":16339000000.0,"Common Stock Equity":20411000000.0,"Total Capitalization":28267000000.0,"Total Equity Gross Minority Interest":33041000000.0,"Minority Interest":12630000000.0,"Stockholders Equity":20411000000.0,"Gains Losses Not Affecting Retained Earnings":-2486000000.0,"Other Equity Adjustments":-2486000000.0,"Retained Earnings":3710000000.0,"Additional Paid In Capital":19187000000.0,"Capital Stock":0.0,"Common Stock":0.0,"Preferred Stock":0.0,"Total Liabilities Net Minority Interest":396874000000.0,"Derivative Product Liabilities":4853000000.0,"Long Term Debt And Capital Lease Obligation":7856000000.0,"Long Term Debt":7856000000.0,"Total Assets":429915000000.0,"Investments And Advances":229247000000.0,"Goodwill And Other Intangible Assets":4072000000.0,"Goodwill":4072000000.0,"Receivables":9948000000.0,"Accounts Receivable":9948000000.0,"Cash Cash Equivalents And Short Term Investments":234479000000.0,"Other Short Term Investments":219280000000.0,"Cash And Cash Equivalents":15199000000.0,"Equity Investments":1307000000.0,"Net Loan":85650000000.0},"2025-06-30":{"Preferred Shares Number":91300000.0,"Ordinary Shares Number":203800000.0,"Share Issued":203800000.0,"Total Debt":7864000000.0,"Tangible Book Value":14073000000.0,"Invested Capital":26012000000.0,"Net Tangible Assets":14073000000.0,"Common Stock Equity":18148000000.0,"Total Capitalization":26012000000.0,"Total Equity Gross Minority Interest":29204000000.0,"Minority Interest":11056000000.0,"Stockholders Equity":18148000000.0,"Gains Losses Not Affecting Retained Earnings":-3688000000.0,"Other Equity Adjustments":-3688000000.0,"Retained Earnings":2675000000.0,"Additional Paid In Capital":19161000000.0,"Capital Stock":0.0,"Common Stock":0.0,"Preferred Stock":0.0,"Total Liabilities Net Minority Interest":376105000000.0,"Derivative Product Liabilities":4889000000.0,"Long Term Debt And Capital Lease Obligation":7864000000.0,"Long Term Debt":7864000000.0,"Total Assets":405309000000.0,"Investments And Advances":220011000000.0,"Goodwill And Other Intangible Assets":4075000000.0,"Goodwill":4075000000.0,"Receivables":9273000000.0,"Accounts Receivable":9273000000.0,"Cash Cash Equivalents And Short Term Investments":221391000000.0,"Other Short Term Investments":210871000000.0,"Cash And Cash Equivalents":10520000000.0,"Equity Investments":1416000000.0,"Net Loan":81418000000.0},"2025-03-31":{"Preferred Shares Number":115300000.0,"Ordinary Shares Number":203800000.0,"Share Issued":203800000.0,"Total Debt":6301000000.0,"Tangible Book Value":13452000000.0,"Invested Capital":23820000000.0,"Net Tangible Assets":13452000000.0,"Common Stock Equity":17519000000.0,"Total Capitalization":23820000000.0,"Total Equity Gross Minority Interest":27774000000.0,"Minority Interest":10255000000.0,"Stockholders Equity":17519000000.0,"Gains Losses Not Affecting Retained Earnings":-4561000000.0,"Other Equity Adjustments":-4561000000.0,"Retained Earnings":2469000000.0,"Additional Paid In Capital":19611000000.0,"Capital Stock":0.0,"Common Stock":0.0,"Preferred Stock":0.0,"Total Liabilities Net Minority Interest":353704000000.0,"Derivative Product Liabilities":3365000000.0,"Long Term Debt And Capital Lease Obligation":6301000000.0,"Long Term Debt":6301000000.0,"Total Assets":381478000000.0,"Investments And Advances":204757000000.0,"Goodwill And Other Intangible Assets":4067000000.0,"Goodwill":4067000000.0,"Receivables":8790000000.0,"Accounts Receivable":8790000000.0,"Cash Cash Equivalents And Short Term Investments":209102000000.0,"Other Short Term Investments":197904000000.0,"Cash And Cash Equivalents":11198000000.0,"Equity Investments":1299000000.0,"Net Loan":75044000000.0}},"income_stmt":{"2026-03-31":{"Tax Effect Of Unusual Items":-13200000.0,"Tax Rate For Calcs":0.4,"Total Unusual Items":-33000000.0,"Total Unusual Items Excluding Goodwill":-33000000.0,"Net Income From Continuing Operation Net Minority Interest":-1938000000.0,"EBIT":415000000.0,"Net Interest Income":-224000000.0,"Interest Expense":224000000.0,"Normalized Income":-1918200000.0,"Net Income From Continuing And Discontinued Operation":-1938000000.0,"Total Expenses":3477000000.0,"Diluted NI Availto Com Stockholders":-1973000000.0,"Net Income Common Stockholders":-1973000000.0,"Otherunder Preferred Stock Dividend":null,"Preferred Stock Dividends":35000000.0,"Net Income":-1938000000.0,"Minority Interests":-456000000.0,"Net Income Including Noncontrolling Interests":-1482000000.0,"Net Income Continuous Operations":-1482000000.0,"Tax Provision":1673000000.0,"Pretax Income":191000000.0,"Other Income Expense":4000000.0,"Special Income Charges":-33000000.0,"Restructuring And Mergern Acquisition":33000000.0,"Net Non Operating Interest Income Expense":-224000000.0,"Interest Expense Non Operating":224000000.0,"Other Operating Expenses":118000000.0,"Selling General And Administration":10000000.0,"General And Administrative Expense":10000000.0,"Salaries And Wages":10000000.0,"Total Revenue":3668000000.0,"Operating Revenue":3668000000.0,"Loss Adjustment Expense":898000000.0,"Net Policyholder Benefits And Claims":898000000.0,"Policyholder Benefits Gross":898000000.0},"2025-12-31":{"Tax Effect Of Unusual Items":0.0,"Tax Rate For Calcs":0.347858,"Total Unusual Items":null,"Total Unusual Items Excluding Goodwill":null,"Net Income From Continuing Operation Net Minority Interest":523000000.0,"EBIT":null,"Net Interest Income":null,"Interest Expense":null,"Normalized Income":523000000.0,"Net Income From Continuing And Discontinued Operation":523000000.0,"Total Expenses":6757000000.0,"Diluted NI Availto Com Stockholders":488000000.0,"Net Income Common Stockholders":488000000.0,"Otherunder Preferred Stock Dividend":0.0,"Preferred Stock Dividends":35000000.0,"Net Income":523000000.0,"Minority Interests":-375000000.0,"Net Income Including Noncontrolling Interests":898000000.0,"Net Income Continuous Operations":898000000.0,"Tax Provision":479000000.0,"Pretax Income":1377000000.0,"Other Income Expense":9000000.0,"Special Income Charges":null,"Restructuring And Mergern Acquisition":null,"Net Non Operating Interest Income Expense":null,"Interest Expense Non Operating":null,"Other Operating Expenses":null,"Selling General And Administration":null,"General And Administrative Expense":null,"Salaries And Wages":null,"Total Revenue":8134000000.0,"Operating Revenue":8134000000.0,"Loss Adjustment Expense":2799000000.0,"Net Policyholder Benefits And Claims":2799000000.0,"Policyholder Benefits Gross":3073000000.0},"2025-09-30":{"Tax Effect Of Unusual Items":-4440000.0,"Tax Rate For Calcs":0.12,"Total Unusual Items":-37000000.0,"Total Unusual Items Excluding Goodwill":-37000000.0,"Net Income From Continuing Operation Net Minority Interest":1259000000.0,"EBIT":2340000000.0,"Net Interest Income":-196000000.0,"Interest Expense":196000000.0,"Normalized Income":1291560000.0,"Net Income From Continuing And Discontinued Operation":1259000000.0,"Total Expenses":5854000000.0,"Diluted NI Availto Com Stockholders":1223000000.0,"Net Income Common Stockholders":1223000000.0,"Otherunder Preferred Stock Dividend":null,"Preferred Stock Dividends":36000000.0,"Net Income":1259000000.0,"Minority Interests":-619000000.0,"Net Income Including Noncontrolling Interests":1878000000.0,"Net Income Continuous Operations":1878000000.0,"Tax Provision":266000000.0,"Pretax Income":2144000000.0,"Other Income Expense":6000000.0,"Special Income Charges":-37000000.0,"Restructuring And Mergern Acquisition":37000000.0,"Net Non Operating Interest Income Expense":-196000000.0,"Interest Expense Non Operating":196000000.0,"Other Operating Expenses":108000000.0,"Selling General And Administration":13000000.0,"General And Administrative Expense":13000000.0,"Salaries And Wages":13000000.0,"Total Revenue":7998000000.0,"Operating Revenue":7998000000.0,"Loss Adjustment Expense":744000000.0,"Net Policyholder Benefits And Claims":744000000.0,"Policyholder Benefits Gross":744000000.0},"2025-06-30":{"Tax Effect Of Unusual Items":-6510000.0,"Tax Rate For Calcs":0.21,"Total Unusual Items":-31000000.0,"Total Unusual Items Excluding Goodwill":-31000000.0,"Net Income From Continuing Operation Net Minority Interest":464000000.0,"EBIT":830000000.0,"Net Interest Income":-178000000.0,"Interest Expense":178000000.0,"Normalized Income":488490000.0,"Net Income From Continuing And Discontinued Operation":464000000.0,"Total Expenses":4707000000.0,"Diluted NI Availto Com Stockholders":503000000.0,"Net Income Common Stockholders":503000000.0,"Otherunder Preferred Stock Dividend":-84000000.0,"Preferred Stock Dividends":45000000.0,"Net Income":464000000.0,"Minority Interests":-222000000.0,"Net Income Including Noncontrolling Interests":686000000.0,"Net Income Continuous Operations":686000000.0,"Tax Provision":-34000000.0,"Pretax Income":652000000.0,"Other Income Expense":6000000.0,"Special Income Charges":-31000000.0,"Restructuring And Mergern Acquisition":31000000.0,"Net Non Operating Interest Income Expense":-178000000.0,"Interest Expense Non Operating":178000000.0,"Other Operating Expenses":109000000.0,"Selling General And Administration":11000000.0,"General And Administrative Expense":11000000.0,"Salaries And Wages":11000000.0,"Total Revenue":5359000000.0,"Operating Revenue":5359000000.0,"Loss Adjustment Expense":416000000.0,"Net Policyholder Benefits And Claims":416000000.0,"Policyholder Benefits Gross":416000000.0},"2025-03-31":{"Tax Effect Of Unusual Items":-5700000.0,"Tax Rate For Calcs":0.19,"Total Unusual Items":-30000000.0,"Total Unusual Items Excluding Goodwill":-30000000.0,"Net Income From Continuing Operation Net Minority Interest":465000000.0,"EBIT":1101000000.0,"Net Interest Income":-167000000.0,"Interest Expense":167000000.0,"Normalized Income":489300000.0,"Net Income From Continuing And Discontinued Operation":465000000.0,"Total Expenses":3252000000.0,"Diluted NI Availto Com Stockholders":420000000.0,"Net Income Common Stockholders":420000000.0,"Otherunder Preferred Stock Dividend":null,"Preferred Stock Dividends":45000000.0,"Net Income":465000000.0,"Minority Interests":-294000000.0,"Net Income Including Noncontrolling Interests":759000000.0,"Net Income Continuous Operations":759000000.0,"Tax Provision":175000000.0,"Pretax Income":934000000.0,"Other Income Expense":4000000.0,"Special Income Charges":-30000000.0,"Restructuring And Mergern Acquisition":30000000.0,"Net Non Operating Interest Income Expense":-167000000.0,"Interest Expense Non Operating":167000000.0,"Other Operating Expenses":116000000.0,"Selling General And Administration":11000000.0,"General And Administrative Expense":11000000.0,"Salaries And Wages":11000000.0,"Total Revenue":4186000000.0,"Operating Revenue":4186000000.0,"Loss Adjustment Expense":926000000.0,"Net Policyholder Benefits And Claims":926000000.0,"Policyholder Benefits Gross":926000000.0}},"cashflow":{"2026-03-31":{"Free Cash Flow":835000000.0,"Repurchase Of Capital Stock":null,"Issuance Of Debt":null,"Income Tax Paid Supplemental Data":null,"End Cash Position":19309000000.0,"Beginning Cash Position":16895000000.0,"Effect Of Exchange Rate Changes":-1000000.0,"Changes In Cash":2415000000.0,"Financing Cash Flow":9456000000.0,"Cash Flow From Continuing Financing Activities":9456000000.0,"Net Other Financing Charges":9679000000.0,"Cash Dividends Paid":-223000000.0,"Preferred Stock Dividend Paid":-35000000.0,"Common Stock Dividend Paid":-188000000.0,"Net Preferred Stock Issuance":null,"Preferred Stock Payments":null,"Net Issuance Payments Of Debt":null,"Net Long Term Debt Issuance":null,"Long Term Debt Issuance":null,"Investing Cash Flow":-7876000000.0,"Cash Flow From Continuing Investing Activities":-7876000000.0,"Net Other Investing Changes":162000000.0,"Net Investment Purchase And Sale":-6201000000.0,"Sale Of Investment":17988000000.0,"Purchase Of Investment":-24189000000.0,"Net Business Purchase And Sale":null,"Sale Of Business":null,"Purchase Of Business":null,"Operating Cash Flow":835000000.0,"Cash Flow From Continuing Operating Activities":835000000.0,"Change In Working Capital":1099000000.0,"Change In Other Working Capital":1349000000.0,"Change In Other Current Assets":-35000000.0,"Other Non Cash Items":-364000000.0,"Amortization Of Securities":272000000.0,"Operating Gains Losses":1310000000.0,"Gain Loss On Investment Securities":1310000000.0,"Net Income From Continuing Operations":-1482000000.0},"2025-12-31":{"Free Cash Flow":3042000000.0,"Repurchase Of Capital Stock":0.0,"Issuance Of Debt":0.0,"Income Tax Paid Supplemental Data":null,"End Cash Position":16895000000.0,"Beginning Cash Position":17966000000.0,"Effect Of Exchange Rate Changes":-8000000.0,"Changes In Cash":-1063000000.0,"Financing Cash Flow":9396000000.0,"Cash Flow From Continuing Financing Activities":9396000000.0,"Net Other Financing Charges":9620000000.0,"Cash Dividends Paid":-224000000.0,"Preferred Stock Dividend Paid":-35000000.0,"Common Stock Dividend Paid":-189000000.0,"Net Preferred Stock Issuance":0.0,"Preferred Stock Payments":0.0,"Net Issuance Payments Of Debt":0.0,"Net Long Term Debt Issuance":0.0,"Long Term Debt Issuance":0.0,"Investing Cash Flow":-13501000000.0,"Cash Flow From Continuing Investing Activities":-13501000000.0,"Net Other Investing Changes":-1198000000.0,"Net Investment Purchase And Sale":-2357000000.0,"Sale Of Investment":26450000000.0,"Purchase Of Investment":-28807000000.0,"Net Business Purchase And Sale":null,"Sale Of Business":null,"Purchase Of Business":null,"Operating Cash Flow":3042000000.0,"Cash Flow From Continuing Operating Activities":3042000000.0,"Change In Working Capital":3032000000.0,"Change In Other Working Capital":1095000000.0,"Change In Other Current Assets":-214000000.0,"Other Non Cash Items":-383000000.0,"Amortization Of Securities":261000000.0,"Operating Gains Losses":-766000000.0,"Gain Loss On Investment Securities":-766000000.0,"Net Income From Continuing Operations":898000000.0},"2025-09-30":{"Free Cash Flow":636000000.0,"Repurchase Of Capital Stock":0.0,"Issuance Of Debt":0.0,"Income Tax Paid Supplemental Data":null,"End Cash Position":17966000000.0,"Beginning Cash Position":12240000000.0,"Effect Of Exchange Rate Changes":0.0,"Changes In Cash":5726000000.0,"Financing Cash Flow":18533000000.0,"Cash Flow From Continuing Financing Activities":18533000000.0,"Net Other Financing Charges":18757000000.0,"Cash Dividends Paid":-224000000.0,"Preferred Stock Dividend Paid":-36000000.0,"Common Stock Dividend Paid":-188000000.0,"Net Preferred Stock Issuance":0.0,"Preferred Stock Payments":0.0,"Net Issuance Payments Of Debt":0.0,"Net Long Term Debt Issuance":0.0,"Long Term Debt Issuance":0.0,"Investing Cash Flow":-13443000000.0,"Cash Flow From Continuing Investing Activities":-13443000000.0,"Net Other Investing Changes":-148000000.0,"Net Investment Purchase And Sale":-9285000000.0,"Sale Of Investment":19289000000.0,"Purchase Of Investment":-28574000000.0,"Net Business Purchase And Sale":null,"Sale Of Business":null,"Purchase Of Business":null,"Operating Cash Flow":636000000.0,"Cash Flow From Continuing Operating Activities":636000000.0,"Change In Working Capital":1594000000.0,"Change In Other Working Capital":-1284000000.0,"Change In Other Current Assets":-526000000.0,"Other Non Cash Items":-536000000.0,"Amortization Of Securities":310000000.0,"Operating Gains Losses":-2610000000.0,"Gain Loss On Investment Securities":-2610000000.0,"Net Income From Continuing Operations":1878000000.0},"2025-06-30":{"Free Cash Flow":1056000000.0,"Repurchase Of Capital Stock":null,"Issuance Of Debt":1591000000.0,"Income Tax Paid Supplemental Data":null,"End Cash Position":12240000000.0,"Beginning Cash Position":13408000000.0,"Effect Of Exchange Rate Changes":10000000.0,"Changes In Cash":-1178000000.0,"Financing Cash Flow":17912000000.0,"Cash Flow From Continuing Financing Activities":17912000000.0,"Net Other Financing Charges":17153000000.0,"Cash Dividends Paid":-232000000.0,"Preferred Stock Dividend Paid":-45000000.0,"Common Stock Dividend Paid":-187000000.0,"Net Preferred Stock Issuance":null,"Preferred Stock Payments":null,"Net Issuance Payments Of Debt":1591000000.0,"Net Long Term Debt Issuance":null,"Long Term Debt Issuance":1591000000.0,"Investing Cash Flow":-20146000000.0,"Cash Flow From Continuing Investing Activities":-20146000000.0,"Net Other Investing Changes":-1127000000.0,"Net Investment Purchase And Sale":-13486000000.0,"Sale Of Investment":15099000000.0,"Purchase Of Investment":-28585000000.0,"Net Business Purchase And Sale":null,"Sale Of Business":null,"Purchase Of Business":null,"Operating Cash Flow":1056000000.0,"Cash Flow From Continuing Operating Activities":1056000000.0,"Change In Working Capital":1211000000.0,"Change In Other Working Capital":117000000.0,"Change In Other Current Assets":-295000000.0,"Other Non Cash Items":-442000000.0,"Amortization Of Securities":244000000.0,"Operating Gains Losses":-643000000.0,"Gain Loss On Investment Securities":-643000000.0,"Net Income From Continuing Operations":686000000.0},"2025-03-31":{"Free Cash Flow":426000000.0,"Repurchase Of Capital Stock":null,"Issuance Of Debt":0.0,"Income Tax Paid Supplemental Data":280000000.0,"End Cash Position":13408000000.0,"Beginning Cash Position":14259000000.0,"Effect Of Exchange Rate Changes":3000000.0,"Changes In Cash":-854000000.0,"Financing Cash Flow":15435000000.0,"Cash Flow From Continuing Financing Activities":15435000000.0,"Net Other Financing Charges":15668000000.0,"Cash Dividends Paid":-233000000.0,"Preferred Stock Dividend Paid":-45000000.0,"Common Stock Dividend Paid":-188000000.0,"Net Preferred Stock Issuance":null,"Preferred Stock Payments":null,"Net Issuance Payments Of Debt":0.0,"Net Long Term Debt Issuance":null,"Long Term Debt Issuance":0.0,"Investing Cash Flow":-16715000000.0,"Cash Flow From Continuing Investing Activities":-16715000000.0,"Net Other Investing Changes":884000000.0,"Net Investment Purchase And Sale":-11047000000.0,"Sale Of Investment":16414000000.0,"Purchase Of Investment":-27461000000.0,"Net Business Purchase And Sale":null,"Sale Of Business":null,"Purchase Of Business":null,"Operating Cash Flow":426000000.0,"Cash Flow From Continuing Operating Activities":426000000.0,"Change In Working Capital":-444000000.0,"Change In Other Working Capital":-74000000.0,"Change In Other Current Assets":-525000000.0,"Other Non Cash Items":-515000000.0,"Amortization Of Securities":225000000.0,"Operating Gains Losses":401000000.0,"Gain Loss On Investment Securities":401000000.0,"Net Income From Continuing Operations":759000000.0},"2024-12-31":{"Free Cash Flow":null,"Repurchase Of Capital Stock":null,"Issuance Of Debt":600000000.0,"Income Tax Paid Supplemental Data":null,"End Cash Position":null,"Beginning Cash Position":null,"Effect Of Exchange Rate Changes":null,"Changes In Cash":null,"Financing Cash Flow":null,"Cash Flow From Continuing Financing Activities":null,"Net Other Financing Charges":null,"Cash Dividends Paid":null,"Preferred Stock Dividend Paid":null,"Common Stock Dividend Paid":null,"Net Preferred Stock Issuance":null,"Preferred Stock Payments":null,"Net Issuance Payments Of Debt":600000000.0,"Net Long Term Debt Issuance":600000000.0,"Long Term Debt Issuance":600000000.0,"Investing Cash Flow":null,"Cash Flow From Continuing Investing Activities":null,"Net Other Investing Changes":null,"Net Investment Purchase And Sale":null,"Sale Of Investment":null,"Purchase Of Investment":null,"Net Business Purchase And Sale":0.0,"Sale Of Business":1000000.0,"Purchase Of Business":-1000000.0,"Operating Cash Flow":null,"Cash Flow From Continuing Operating Activities":null,"Change In Working Capital":null,"Change In Other Working Capital":null,"Change In Other Current Assets":null,"Other Non Cash Items":null,"Amortization Of Securities":null,"Operating Gains Losses":null,"Gain Loss On Investment Securities":null,"Net Income From Continuing Operations":null}}}