Post-Effective Amendment of a Registration Statement
Filing Table of Contents
Document/Exhibit Description Pages Size
1: POS AM Alic of New York HTML 3.46M
2: EX-23 Consent of Independent Registered Public HTML 31K
Accounting Firm
3: EX-24 Powers of Attorney HTML 54K
4: EX-99.(B) Experts HTML 30K
11: R1 Document and Entity Information HTML 44K
12: R2 Statements of Operations and Comprehensive Income HTML 97K
13: R3 Statements of Operations and Comprehensive Income HTML 41K
(Parenthetical)
14: R4 Statements of Financial Position HTML 143K
15: R5 Statements of Financial Position (Parenthetical) HTML 47K
16: R6 Statements of Shareholder's Equity HTML 53K
17: R7 Statements of Cash Flows HTML 113K
18: R8 General HTML 55K
19: R9 Summary of Significant Accounting Policies HTML 80K
20: R10 Supplemental Cash Flow Information HTML 46K
21: R11 Related Party Transactions HTML 45K
22: R12 Investments HTML 410K
23: R13 Fair Value of Assets and Liabilities HTML 446K
24: R14 Derivative Financial Instruments and Off-balance HTML 198K
sheet Financial Instruments
25: R15 Reserve for Life-Contingent Contract Benefits and HTML 135K
Contractholder Funds
26: R16 Reinsurance HTML 67K
27: R17 Deferred Policy Acquisition and Sales Inducement HTML 50K
Costs
28: R18 Guarantees and Contingent Liabilities HTML 40K
29: R19 Income Taxes HTML 65K
30: R20 Statutory Financial Information and Dividend HTML 38K
Limitations
31: R21 Benefit Plans HTML 36K
32: R22 Other Comprehensive Income HTML 64K
33: R23 Summary of Investments Other Than Investments in HTML 67K
Related Parties
34: R24 Reinsurance HTML 72K
35: R25 Valuation Allowances and Qualifying Accounts HTML 47K
36: R26 Summary of Significant Accounting Policies HTML 115K
(Policies)
37: R27 General (Tables) HTML 47K
38: R28 Supplemental Cash Flow Information (Tables) HTML 43K
39: R29 Investments (Tables) HTML 379K
40: R30 Fair Value of Assets and Liabilities (Tables) HTML 376K
41: R31 Derivative Financial Instruments and Off-balance HTML 191K
sheet Financial Instruments (Tables)
42: R32 Reserve for Life-Contingent Contract Benefits and HTML 142K
Contractholder Funds (Tables)
43: R33 Reinsurance (Tables) HTML 63K
44: R34 Deferred Policy Acquisition and Sales Inducement HTML 52K
Costs (Tables)
45: R35 Income Taxes (Tables) HTML 65K
46: R36 Other Comprehensive Income (Tables) HTML 61K
47: R37 Summary of Premiums and Contract Charges by HTML 53K
Product (Detail)
48: R38 Summary of Significant Accounting Policies - HTML 60K
Additional Information (Detail)
49: R39 Supplemental Cash Flow Information - Additional HTML 42K
Information (Detail)
50: R40 Schedule of Supplemental Cash Flow Information HTML 43K
(Detail)
51: R41 Related Party Transactions - Additional HTML 62K
Information (Detail)
52: R42 Schedule for Fixed Income Securities at Amortized HTML 73K
Cost, Gross Unrealized Gains and Losses and Fair
Value (Detail)
53: R43 Schedule for Fixed Income Securities Based on HTML 78K
Contractual Maturities (Detail)
54: R44 Schedule of Net Investment Income (Detail) HTML 54K
55: R45 Schedule of Realized Capital Gains and Losses by HTML 50K
Asset Type (Detail)
56: R46 Schedule of Realized Capital Gains and Losses by HTML 48K
Transaction Type (Detail)
57: R47 Investments - Additional Information (Detail) HTML 95K
58: R48 Schedule of Other-Than-Temporary Impairment Losses HTML 65K
by Asset Type (Detail)
59: R49 Schedule of Other-Than-Temporary Impairment Losses HTML 43K
on Fixed Income Securities included in Accumulated
Other Comprehensive Income (Detail)
60: R50 Schedule of Rollforwards of Cumulative Credit HTML 47K
Losses Recognized in Earnings for Fixed Income
Securities Held (Detail)
61: R51 Schedule of Unrealized Net Capital Gains and HTML 88K
Losses (Detail)
62: R52 Schedule of Change in Unrealized net Capital Gains HTML 60K
and Losses (Detail)
63: R53 Summary of Gross Unrealized Losses and Fair Value HTML 96K
of Fixed Income and Equity Securities by Length of
Time (Detail)
64: R54 Schedule of Commercial Mortgage Loans by HTML 45K
Geographic Distribution (Detail)
65: R55 Schedule of Types of Properties Collateralizing HTML 46K
Commercial Mortgage Loans (Detail)
66: R56 Schedule of Contractual Maturities of Mortgage HTML 62K
Loans (Detail)
67: R57 Summary of Carrying Value of Non-Impaired Fixed HTML 47K
and Variable Rate Mortgage Loans by Debt Service
Coverage Ration Distribution (Detail)
68: R58 Schedule of Rollforward of Valuation Allowance on HTML 40K
Impaired Mortgage Loans (Detail)
69: R59 Schedule of Municipal Bonds Held For Investment by HTML 42K
Geographic Distribution (Detail)
70: R60 Summary of Assets and Liabilities Measured at Fair HTML 140K
Value on Recurring and Non-Recurring Basis
(Detail)
71: R61 Summary of Assets and Liabilities Measured at Fair HTML 35K
Value on Recurring and Non-Recurring Basis
(Parenthetical) (Detail)
72: R62 Summary of Quantitative Information About HTML 47K
Significant Unobservable Inputs Used in Level
Three Fair Value Measurements (Detail)
73: R63 Fair Value of Assets and Liabilities - Additional HTML 56K
Information (Detail)
74: R64 Schedule of Rollforward of Level 3 Assets and HTML 168K
Liabilities Held at Fair Value on Recurring Basis
(Detail)
75: R65 Schedule of Rollforward of Level 3 Assets and HTML 52K
Liabilities Held at Fair Value on Recurring Basis
(Parenthetical) (Detail)
76: R66 Schedule of Change in Unrealized Gains and Losses HTML 59K
Included in Net Income for Level Three Assets and
Liabilities Held (Detail)
77: R67 Schedule of Carrying Values and Fair Value HTML 52K
Estimates of Financial Instruments not Carried at
Fair Value (Detail)
78: R68 Derivative Financial Instruments and Off-balance HTML 41K
sheet Financial Instruments - Additional
Information (Detail)
79: R69 Summary of Volume and Fair Value Positions of HTML 105K
Derivative Instruments and Reporting Location in
Statement of Financial Position (Detail)
80: R70 Schedule of Gross and Net Amount for Company's OTC HTML 75K
Derivatives Subject to Enforceable Master Netting
Arrangements (Detail)
81: R71 Summary of Gains and Losses from Valuation and HTML 63K
Settlements For Derivatives Not Designated As
Hedges (Detail)
82: R72 Summary of Counterparty Credit Exposure by HTML 52K
Counterparty Credit Rating (Detail)
83: R73 Schedule of Reserve for Life-Contingent Contract HTML 48K
Benefits (Detail)
84: R74 Schedule of Key Assumptions Used In Calculation HTML 82K
Reserve for Life-Contingent Contract Benefits
(Detail)
85: R75 Reserve for Life-Contingent Contract Benefits and HTML 42K
Contractholder Funds - Additional Information
(Detail)
86: R76 Schedule of Contractholder Funds (Detail) HTML 44K
87: R77 Schedule of Contract Provisions Related to HTML 76K
Contractholder Funds (Detail)
88: R78 Schedule of Contractholder Funds Activity (Detail) HTML 50K
89: R79 Summary of Variable Annuity Contracts with HTML 56K
Guarantees (Detail)
90: R80 Summary of Liabilities for Guarantees (Detail) HTML 70K
91: R81 Summary of Liabilities for Guarantees HTML 55K
(Parenthetical) (Detail)
92: R82 Reinsurance - Additional Information (Detail) HTML 66K
93: R83 Schedule of Effects of Reinsurance on Premiums and HTML 46K
Contract Charges (Detail)
94: R84 Schedule of Effects of Reinsurance on Contract HTML 46K
Benefits (Detail)
95: R85 Schedule of Effect of Reinsurance on Interest HTML 45K
Credited to Contractholder Funds (Detail)
96: R86 Schedule of Deferred Policy Acquisition Costs HTML 47K
(Detail)
97: R87 Schedule of Deferred Sales Inducement Activity HTML 41K
(Detail)
98: R88 Guarantees and Contingent Liabilities - Additional HTML 38K
Information (Detail)
99: R89 Income Taxes - Additional Information (Detail) HTML 49K
100: R90 Components of Deferred Income Tax Assets and HTML 66K
Liabilities (Detail)
101: R91 Components of Income Tax Expense (Detail) HTML 43K
102: R92 Reconciliation of Statutory Federal Income Tax HTML 45K
Rate to Effective Income Tax Rate (Detail)
103: R93 Statutory Financial Information - Additional HTML 48K
Information (Detail)
104: R94 Benefit Plans - Additional Information (Detail) HTML 39K
105: R95 Schedule of Components of Other Comprehensive HTML 80K
Income on Pre-Tax and After-Tax Basis (Detail)
106: R96 Schedule I - Summary of Investments Other Than HTML 95K
Investments in Related Parties (Detail)
107: R97 Schedule IV - Reinsurance (Detail) HTML 67K
108: R98 Schedule V - Valuation Allowances and Qualifying HTML 44K
Accounts (Detail)
110: XML IDEA XML File -- Filing Summary XML 217K
109: EXCEL IDEA Workbook of Financial Reports XLSX 153K
5: EX-101.INS XBRL Instance -- ck0000839759-20161231 XML 4.95M
7: EX-101.CAL XBRL Calculations -- ck0000839759-20161231_cal XML 339K
8: EX-101.DEF XBRL Definitions -- ck0000839759-20161231_def XML 1.63M
9: EX-101.LAB XBRL Labels -- ck0000839759-20161231_lab XML 2.08M
10: EX-101.PRE XBRL Presentations -- ck0000839759-20161231_pre XML 1.85M
6: EX-101.SCH XBRL Schema -- ck0000839759-20161231 XSD 336K
111: ZIP XBRL Zipped Folder -- 0001193125-17-107829-xbrl Zip 366K
‘EXCEL’ — IDEA Workbook of Financial Reports
This is an IDEA Workbook.
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Filing Submission 0001193125-17-107829 – Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)
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