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As Of Filer Filing For·On·As Docs:Size 8/04/20 Allstate Corp. 10-Q 6/30/20 106:34M |
Document/Exhibit Description Pages Size 1: 10-Q Quarterly Report HTML 4.52M 2: EX-15 Letter re: Unaudited Interim Financial Info HTML 34K 3: EX-31.I Certification -- §302 - SOA'02 HTML 40K 4: EX-32 Certification -- §906 - SOA'02 HTML 32K 11: R1 Document and Entity Information HTML 100K 12: R2 Condensed Consolidated Statements of Operations HTML 130K (Unaudited) 13: R3 Condensed Consolidated Statements of Comprehensive HTML 55K Income (Unaudited) 14: R4 Condensed Consolidated Statements of Financial HTML 157K Position (Unaudited) 15: R5 Condensed Consolidated Statements of Financial HTML 58K Position (Parenthetical) 16: R6 Condensed Consolidated Statements of Shareholders? HTML 105K Equity (Unaudited) 17: R7 Condensed Consolidated Statements of Cash Flows HTML 146K (Unaudited) 18: R8 General HTML 111K 19: R9 Earnings per Common Share HTML 87K 20: R10 Acquisitions HTML 37K 21: R11 Reportable Segments HTML 338K 22: R12 Investments HTML 741K 23: R13 Fair Value of Assets and Liabilities HTML 918K 24: R14 Derivative Financial Instruments HTML 675K 25: R15 Reserve for Property and Casualty Insurance Claims HTML 121K and Claims Expense 26: R16 Reinsurance and indemnification HTML 103K 27: R17 Capital Structure HTML 36K 28: R18 Company Restructuring HTML 52K 29: R19 Guarantees and Contingent Liabilities HTML 64K 30: R20 Benefit Plans HTML 151K 31: R21 Supplemental Cash Flow Information HTML 63K 32: R22 Other Comprehensive Income HTML 111K 33: R23 General (Policies) HTML 137K 34: R24 General (Tables) HTML 123K 35: R25 Earnings per Common Share (Tables) HTML 85K 36: R26 Reportable Segments (Tables) HTML 328K 37: R27 Investments (Tables) HTML 903K 38: R28 Fair Value of Assets and Liabilities (Tables) HTML 895K 39: R29 Derivative Financial Instruments (Tables) HTML 666K 40: R30 Reserve for Property and Casualty Insurance Claims HTML 110K and Claims Expense (Tables) 41: R31 Reinsurance and indemnification (Tables) HTML 81K 42: R32 Company Restructuring (Tables) HTML 47K 43: R33 Benefit Plans (Tables) HTML 143K 44: R34 Supplemental Cash Flow Information (Tables) HTML 57K 45: R35 Other Comprehensive Income (Tables) HTML 109K 46: R36 General - Additional Information (Details) HTML 58K 47: R37 General Allowance for Credit Losses (Details) HTML 69K 48: R38 Earnings per Common Share - Computation earnings HTML 73K per common share (Details) 49: R39 Acquisitions (Details) HTML 54K 50: R40 Reportable Segments - Revenue information HTML 110K (Details) 51: R41 Reportable Segments - Financial performance HTML 87K (Details) 52: R42 Investments - Portfolio composition (Details) HTML 46K 53: R43 Investments - Amortized cost, gross unrealized HTML 60K gains and losses and fair value for fixed income securities (Details) 54: R44 Investments - Scheduled maturities for fixed HTML 65K income securities (Details) 55: R45 Investments - Net investment income (Details) HTML 53K 56: R46 Investments - Realized capital gains and losses by HTML 48K asset type (Details) 57: R47 Investments - Realized capital gains and losses by HTML 41K transaction type (Details) 58: R48 Investments - Narrative (Details) HTML 76K 59: R49 Investments - Net appreciation (Decline) HTML 38K Recognized in Net Income (Details) 60: R50 Investments - OTTI losses by asset type (Details) HTML 59K 61: R51 Investments - Rollforward of credit loss allowance HTML 54K for fixed income securities (Details) 62: R52 Investments - Unrealized net capital gains and HTML 78K losses included in AOCI (Details) 63: R53 Investments - Change in unrealized net capital HTML 56K gains and losses (Details) 64: R54 Investments - Carrying value for limited HTML 50K partnership interests (Details) 65: R55 Investments - Gross unrealized losses and fair HTML 96K value by the type and length of time held in continuous unrealized loss position (Details) 66: R56 Investments Investments - Gross unrealized losses HTML 48K by unrealized loss position and credit quality (Details) 67: R57 Investments - Commercial mortgage loans amortized HTML 33K cost by debt service coverage ratio distribution and year of acquisition (Details) 68: R58 Investments - Other investments by type (Details) HTML 43K 69: R59 Investments Investments - Mortgage loans amortized HTML 87K cost by debt service coverage ratio distribution and year of origination (Details) 70: R60 Investments Investments - Rollforward of credit HTML 41K loss allowance for mortgage loans (Details) 71: R61 Investments Investments - Bank loans amortized HTML 86K cost by credit quality and year of acquisition (Details) 72: R62 Investments Investments - Rollforward of credit HTML 44K loss allowance for bank loans (Details) 73: R63 Fair Value of Assets and Liabilities - Narrative HTML 55K (Details) 74: R64 Fair Value of Assets and Liabilities - Assets and HTML 158K liabilities measured at fair value on a recurring and non-recurring basis (Details) 75: R65 Fair Value of Assets and Liabilities - HTML 45K Quantitative information about the significant unobservable inputs used in level 3 fair value measurements (Details) 76: R66 Fair Value of Assets and Liabilities - Rollforward HTML 157K of level 3 assets and liabilities held at fair value on a recurring basis during the period (Details) 77: R67 Fair Value of Assets and Liabilities - Change in HTML 73K unrealized gains and losses included in net income for level 3 assets and liabilities (Details) 78: R68 Fair Value of Assets and Liabilities - Carrying HTML 58K values and fair value estimates of financial instruments not carried at fair value (Details) 79: R69 Derivative Financial Instruments - Narrative HTML 42K (Details) 80: R70 Derivative Financial Instruments - Summary of the HTML 146K volume and fair value positions of derivative instruments (Details) 81: R71 Derivative Financial Instruments - Gross and net HTML 69K amounts for OTC derivatives (Details) 82: R72 Derivative Financial Instruments - Gains and HTML 101K losses from valuation and settlements reported on derivatives not designated as accounting hedges (Details) 83: R73 Derivative Financial Instruments - OTC derivatives HTML 44K counterparty credit exposure by counterparty credit rating (Details) 84: R74 Derivative Financial Instruments - Fair value of HTML 39K instruments with credit-risk-contingent features (Details) 85: R75 Derivative Financial Instruments - CDS notional HTML 66K amount by credit rating and fair value of protection sold (Details) 86: R76 Reserve for Property and Casualty Insurance Claims HTML 57K and Claims Expense - Narrative (Details) 87: R77 Reserve for Property and Casualty Insurance Claims HTML 59K and Claims Expense - Rollforward of the reserve for property and casualty insurance claims and claims expense (Details) 88: R78 Reserve for Property and Casualty Insurance Claims HTML 66K and Claims Expense Reserve for Property and Casualty Insurance Claims and Claims Expense - Prior year reserve reestimates included in claims and claims expense (Details) 89: R79 Reinsurance and indemnification - Premiums earned HTML 40K and life premiums and contract charges (Details) 90: R80 Reinsurance and indemnification - Claims expense, HTML 39K life contract benefits and interest credited to contractholder funds (Details) 91: R81 Reinsurance and indemnification Reinsurance and HTML 46K indemnification recoverables, net (Details) 92: R82 Reinsurance and indemnification Reinsurance and HTML 46K indemnification - Additional Information (Details) 93: R83 Capital Structure (Details) HTML 45K 94: R84 Company Restructuring - Narrative (Details) HTML 41K 95: R85 Company Restructuring - Changes in the HTML 43K restructuring liability (Details) 96: R86 Guarantees and Contingent Liabilities (Details) HTML 35K 97: R87 Benefit Plans (Details) HTML 67K 98: R88 Benefit Plans - Narrative (Details) HTML 37K 99: R89 Benefit Plans - Pension and postretirement HTML 40K benefits remeasurement gains and losses (Details) 100: R90 Supplemental Cash Flow Information - Narrative HTML 43K (Details) 101: R91 Supplemental Cash Flow Information - Activities HTML 46K resulting from management of proceeds (Details) 102: R92 Other Comprehensive Income (Details) HTML 78K 104: XML IDEA XML File -- Filing Summary XML 207K 10: XML XBRL Instance -- allcorp-6302010xq_htm XML 10.58M 103: EXCEL IDEA Workbook of Financial Reports XLSX 180K 6: EX-101.CAL XBRL Calculations -- all-20200630_cal XML 420K 7: EX-101.DEF XBRL Definitions -- all-20200630_def XML 1.33M 8: EX-101.LAB XBRL Labels -- all-20200630_lab XML 2.60M 9: EX-101.PRE XBRL Presentations -- all-20200630_pre XML 1.75M 5: EX-101.SCH XBRL Schema -- all-20200630 XSD 311K 105: JSON XBRL Instance as JSON Data -- MetaLinks 581± 900K 106: ZIP XBRL Zipped Folder -- 0000899051-20-000054-xbrl Zip 942K
Exhibit |
Form
S-3 Registration Statement Nos. | Form S-8 Registration Statement Nos. |
This ‘10-Q’ Filing | Date | Other Filings | ||
---|---|---|---|---|
Filed on: | 8/4/20 | 8-K | ||
For Period end: | 6/30/20 | 13F-HR | ||
6/30/19 | 10-Q, 13F-HR | |||
List all Filings |
As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 11/20/20 Allstate Corp. 424B2 1:1.5M Toppan Merrill/FA 11/19/20 Allstate Corp. 424B2 1:1.5M Toppan Merrill/FA |
As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 7/08/20 Allstate Corp. 8-K:1,7,9 7/07/20 14:1.1M Toppan Merrill/FA |