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ASSURANT, INC. – 2015 Form 10-K F-59
21 Retirement and Other Employee Benets
The fair value hierarchy for the Company’s qualied pension plan and other post retirement benet plan assets at December 31,
2014 by asset category, is as follows:
Qualied Pension Benets
Financial Assets
December 31, 2014
Total Level 1 Level 2 Level 3
Cash and cash equivalents:
Short-term investment funds $ 41,165 $ — $ 41,165 $ —
Equity securities:
Common stock- U�S� listed small cap 63,761 63,761 — —
Preferred stock 4,209 4,209 — —
Mutual funds- U�S� listed large cap 191,240 191,240 — —
Common/collective trust- foreign listed 59,249 59,249
Fixed maturity securities:
U�S� & foreign government and government agencies and authorities 121,694 121,694
Corporate- U�S� & foreign investment grade 226,078 226,078
Corporate- U�S� & foreign high yield 55,759 55,759
Investment fund:
Multi-strategy hedge fund 63,132 63,132
Commingled real estate fund 43,471 43,471
Private equity fund 4,614 4,614
Derivatives:
Interest rate swap 14,242 14,242
TOTAL FINANCIAL ASSETS $ 888,614(1) $ 259,210 $ 561,658 $ 67,746
(1) The difference between the fair value of plan assets above and the amount used in determining the funded status is due to interest receivable
which is not required to be included in the fair value hierarchy.
Retirement Health Benets
Financial Assets
December 31, 2014
Total Level 1 Level 2 Level 3
Cash and cash equivalents:
Short-term investment funds $ 2,344 $ — $ 2,344 $ —
Equity securities:
Common stock- U�S� listed small cap 3,631 3,631 — —
Preferred stock 240 240
Mutual funds- U�S� listed large cap 10,890 10,890 — —
Common/collective trust- foreign listed 3,374 3,374
Fixed maturity securities:
U�S� & foreign government and government agencies and authorities 6,930 6,930
Corporate- U�S� & foreign investment grade 12,874 12,874
Corporate- U�S� & foreign high yield 3,175 3,175
Investment fund:
Multi-strategy hedge fund 3,595 3,595
Commingled real estate fund 2,476 2,476
Private equity fund 263 — 263
Derivatives:
Interest rate swap 811 811
TOTAL FINANCIAL ASSETS $ 50,603(1) $ 14,761 $ 31,984 $ 3,858
(1) The difference between the fair value of plan assets above and the amount used in determining the funded status is due to interest receivable
which is not required to be included in the fair value hierarchy.