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Notes To Consolidated Financial Statements
114 UNUM 2012 ANNUAL REPORT
As of December 31, 2012 and 2011, we held no fixed maturity securities for which a portion of an other-than-temporary impairment
had previously been recognized in other comprehensive income.
The following charts indicate the length of time ourxed maturity securities have been in a gross unrealized loss position.
December 31, 2012
Less Than 12 Months 12 Months or Greater
Gross Gross
Unrealized Unrealized
(in millions of dollars) Fair Value Loss Fair Value Loss
United States Government and
Government Agencies and Authorities $ $ $ 6.5 $ 1.1
States, Municipalities, and Political Subdivisions 30.8 0.9 42.1 6.9
Public Utilities 110.3 3.9 147.6 11.2
Mortgage/Asset-Backed Securities 4.4 3.8 0.5
All Other Corporate Bonds 441.3 7.0 396.8 24.5
Total Fixed Maturity Securities $586.8 $11.8 $596.8 $44.2
December 31, 2011
Less Than 12 Months 12 Months or Greater
Gross Gross
Unrealized Unrealized
(in millions of dollars) Fair Value Loss Fair Value Loss
United States Government and
Government Agencies and Authorities $ $ $ 6.3 $ 1.1
States, Municipalities, and Political Subdivisions 51.6 1.3 75.3 7.5
Public Utilities 192.0 7.9 142.2 20.7
Mortgage/Asset-Backed Securities 94.2 4.8 19.6 0.7
All Other Corporate Bonds 1,703.9 65.5 684.9 110.8
Redeemable Preferred Stocks 20.9 1.9
Total Fixed Maturity Securities $2,041.7 $79.5 $949.2 $142.7