Quarterly Report — Form 10-Q — Sect. 13 / 15(d) – SEA’34 Filing Table of Contents
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1: 10-Q Quarterly Report HTML 2.63M
2: EX-15 Letter re: Unaudited Interim Financial Info HTML 27K
3: EX-31.I Certification -- §302 - SOA'02 HTML 34K
4: EX-32 Certification -- §906 - SOA'02 HTML 23K
26: R1 Document and Entity Information HTML 70K
67: R2 Condensed Consolidated Statements of Operations HTML 102K
and Comprehensive Income (Unaudited)
43: R3 Condensed Consolidated Statements of Financial HTML 146K
Position (Unaudited)
15: R4 Condensed Consolidated Statements of Financial HTML 45K
Position (Unaudited) (Parenthetical)
25: R5 Condensed Consolidated Statements of Shareholder's HTML 49K
Equity (Unaudited)
66: R6 Condensed Consolidated Statements of Cash Flows HTML 120K
(Unaudited)
42: R7 General HTML 69K
14: R8 Supplemental Cash Flow Information HTML 41K
27: R9 Investments HTML 611K
33: R10 Fair Value of Assets and Liabilities HTML 894K
22: R11 Derivative Financial Instruments HTML 538K
45: R12 Reinsurance HTML 102K
68: R13 Guarantees and Contingent Liabilities HTML 31K
35: R14 Other Comprehensive Income HTML 84K
23: R15 General (Tables) HTML 54K
46: R16 Supplemental Cash Flow Information (Tables) HTML 39K
69: R17 Investments (Tables) HTML 622K
32: R18 Fair Value of Assets and Liabilities (Tables) HTML 868K
24: R19 Derivative Financial Instruments (Tables) HTML 568K
50: R20 Reinsurance (Tables) HTML 103K
59: R21 Other Comprehensive Income (Tables) HTML 84K
36: R22 General (Details) HTML 63K
10: R23 Supplemental Cash Flow Information - Narrative HTML 24K
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51: R24 Supplemental Cash Flow Information - Net change HTML 33K
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60: R25 Investments - Fair Values (Details) HTML 58K
37: R26 Investments - Scheduled Maturities (Details) HTML 57K
11: R27 Investments - Net Investment Income (Details) HTML 46K
52: R28 Investments - Realized Capital Gains and Losses HTML 39K
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58: R29 Investments - Realized Capital Gains and Losses by HTML 33K
Transaction Type (Details)
71: R30 Investments - Narrative (Details) HTML 57K
49: R31 Investments - Valuation Changes Included in Net HTML 29K
Income for Investments (Details)
21: R32 Investments - Other-than-temporary impairment HTML 57K
losses (Details)
31: R33 Investments - Other-than-temporary Losses Included HTML 36K
in AOCI (Details)
70: R34 Investments - Rollforward of Cumulative Credit HTML 36K
Losses (Details)
48: R35 Investments - Unrealized Net Capital Gains and HTML 62K
Losses (Details)
19: R36 Investments - Change in Unrealized Net Capital HTML 43K
Gains and Losses (Details)
30: R37 Investments - Portfolio Monitoring (Details) HTML 92K
72: R38 Investments - Gross Unrealized Losses by HTML 41K
Unrealized Loss Position and Credit Quality
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47: R39 Investments - Carrying Value of Non-impaired Fixed HTML 56K
Rate and Variable Rate Mortgage Loans (Details)
62: R40 Investments - Other investments by type (Details) HTML 32K
55: R41 Fair Value of Assets and Liabilities - Narrative HTML 51K
(Details)
13: R42 Fair Value of Assets and Liabilities - Assets and HTML 170K
Liabilities Measured at Fair Value (Details)
39: R43 Fair Value of Assets and Liabilities - Level 3 HTML 36K
Fair Value Measurement (Details)
61: R44 Fair Value of Assets and Liabilities - Level 3 HTML 152K
Assets and Liabilities (Details)
54: R45 Fair Value of Assets and Liabilities - Gains and HTML 47K
Losses included in Net Income for Level 3
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12: R46 Fair Value of Assets and Liabilities - Carrying HTML 50K
Values and Fair Value Estimates of Financial
Instruments (Details)
38: R47 Derivative Financial Instruments - Narrative HTML 46K
(Details)
63: R48 Derivative Financial Instruments - Volume and Fair HTML 136K
Value Positions of Derivative Instruments
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53: R49 Derivative Financial Instruments - Gross and Net HTML 69K
Amounts Derivatives (Details)
40: R50 Derivative Financial Instruments - Foreign HTML 28K
Currency Contracts in Cash Flow Hedging
Relationships (Details)
64: R51 Derivative Financial Instruments - Impacts on HTML 80K
Operations and AOCI (Details)
28: R52 Derivative Financial Instruments - Derivative HTML 35K
Netting (Details)
17: R53 Derivative Financial Instruments - Fair Value of HTML 30K
Derivative Instruments (Details)
41: R54 Derivative Financial Instruments - CDS Notional HTML 44K
Amounts by Credit Rating (Details)
65: R55 Reinsurance - Effects of Reinsurance (Details) HTML 62K
29: R56 Reinsurance - Narrative (Details) HTML 27K
18: R57 Other Comprehensive Income (Details) HTML 61K
44: R9999 Uncategorized Items - allstatelife-93019x10q.htm HTML 24K
20: XML IDEA XML File -- Filing Summary XML 129K
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56: EXCEL IDEA Workbook of Financial Reports XLSX 99K
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‘EX-15’ — Letter re: Unaudited Interim Financial Info
We have reviewed, in accordance with the standards of the Public Company Accounting Oversight Board (United States), the unaudited interim financial information of Allstate Life Insurance Company and subsidiaries
for the periods ended September 30, 2019 and 2018, as indicated in our report dated November 5, 2019; because we did not perform an audit, we expressed no opinion on that information.
We are aware that our report referred to above, which is included in your Quarterly Report on Form 10-Q for the quarter ended September 30, 2019, is incorporated by reference in the following Registration Statements:
We also are aware that the aforementioned report, pursuant to Rule 436(c) under the Securities Act of 1933, is not considered a part of the Registration Statement prepared or certified by an accountant or a report prepared or certified by an accountant within the meaning of Sections 7 and 11 of that Act.