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ProtectionAs of or for the years ended
December 31,(Dollar amounts in millions)200520042003RevenuesLife insuranceLong-term care insurancePayment protection insurance(1)Group life and health insuranceTotal revenuesSegment net earningsPayment protection insuranceTotal segment net earningsTotal segment assetsOverviewAs of or for the years ended
December 31,Spread-based retail productsSpread-based institutional productsFee-based productsInside Mortgage FinanceU.S. mortgage insuranceInternational mortgage insuranceLoan portfolioDecember 31,Primary risk-in-force lender concentration (by original applicant)Top 10 lendersTop 20 lendersLoan-to-value ratio95.01% and above90.01% to 95.00%80.01% to 90.00%80.00% and belowTotalLoan gradePrimeA minus and sub-primeLoan type(1)Fixed rate mortgageAdjustable rate mortgageType of documentationAlt AStandardMortgage term15 years and underMore than 15 yearsLoans in default and claimsPrimary InsuranceInsured loans in-forceLoans in defaultPercentage of loans in default (default rate)3.7%3.4%Flow loans in-forceFlow loans in defaultPercentage of flow loans in default (default rate)4.1%3.5%Bulk loans in-forceBulk loans in defaultPercentage of bulk loans in default (default rate)1.2%1.6%2.2%A minus and sub-prime loans in-forceA minus and sub-prime loans in defaultPercentage of A minus and sub-prime loans in default (default rate)10.5%10.1%9.1%Pool Insurance3.1%2.3%Percent of primary risk in- force as of December 31, 2005Default rate December 31,U.S. RegionsSoutheast(1)25%4.03%3.87%3.59%South Central(2)4.91%3.82%3.65%Northeast(3)3.66%3.79%3.88%North Central(4)2.84%2.80%2.71%Great Lakes(5)4.96%4.61%4.33%Pacific(6)1.79%2.11%2.54%Plains(7)2.60%2.57%Mid-Atlantic(8)2.52%2.85%2.94%New England(9)2.56%2.46%2.79%100%3.68%3.43%3.38%Default Rate
December 31,Florida8.92%2.43%2.75%Texas7.14%5.09%4.70%4.15%New York6.26%2.87%3.06%3.47%Illinois5.44%3.16%3.26%3.23%Georgia4.23%4.51%4.92%4.68%North Carolina4.05%4.12%Pennsylvania3.85%4.83%4.79%4.38%Ohio5.40%5.13%4.64%New Jersey3.36%3.52%3.89%California3.27%1.14%1.39%1.91%Average ratePrimary insurance in-forcePercent of totalPrimary risk in- forcePolicy Year1996 and Prior8.18%3.08%3.40%19977.83%19987.12%19997.24%20008.15%20017.38%20026.54%5.62%5.80%5.97%Total portfolio6.19%100.00%$Primary insurance0.4%0.3%0.5%Portfolio credit enhancement loans in-forcePortfolio credit enhancement loans in defaultPercentage of portfolio credit enhancement loans in default (default rate)0.1%Year ended December 31, 2005Year ended December 31, 2004Financial
intermediariesIndependent
producersDedicated
sales
specialistsAnnualized first-year premiums and deposits(1)Retirement Income and InvestmentsWritten premiums(2)Carrying
value% of
totalFixed-maturities, available-for-salePublic59%60%PrivateCommercial mortgage loansOther investmentsPolicy loansRestricted investments held by securitization entitiesEquity securities, available for saleCash, cash equivalents and short-term investmentsTotal cash and invested assetsFixed maturitiesPublic fixed maturitiesNAIC ratingRating agency equivalent designationAmortized
costEstimated fair valueAmortized costAaa/Aa/A72%71%BaaBaBCaa and lowerIn or near defaultNot ratedTotal public fixed maturitiesPrivate fixed maturitiesNAIC Rating% of total56%53%Total private fixed maturitiesTotal fixed maturities69%67%Estimated
fair valueU.S. government, agencies and government sponsored entities2%1%Tax exemptGovernmentnon-U.S.U.S. corporateCorporatenon-U.S.Mortgage-backedAsset-backedFinance and insurance32%30%Utilities and energyConsumernon cyclicalConsumercyclicalIndustrialCapital goodsTechnology and communicationsTransportationOtherProperty TypeOffice29%RetailApartmentsMixed use/otherGeographic RegionPacificSouth AtlanticMiddle AtlanticEast North CentralMountainWest South CentralWest North CentralEast South CentralNew EnglandNumber of loansPrincipal balanceUnder $5 million45%50%$5 million but less than $10 million$10 million but less than $20 million$20 million but less than $30 millionMore than $30 millionCarrying valueSecurities lending66%80%Derivative assetsLimited partnershipsMarket for Common StockHighLowFirst QuarterSecond QuarterThird QuarterFourth QuarterSecond Quarter (from May 25, 2004)Item 6. Selected Financial DataYears ended December 31,(Amounts in millions, except per share amounts)2003(1)Statement of Earnings InformationRevenues:PremiumsNet investment incomeNet realized investment gains (losses)Policy fees and other incomeBenefits and expenses:Benefits and operating expense(2)Interest expenseTotal benefits and expensesEarnings from continuing operations before income taxesProvision for income taxesNet earnings from continuing operationsNet earnings from continuing operations per share(3):BasicDilutedShares outstanding(3):Cash dividends declared per common share(4)Selected Segment InformationTotal revenues:Mortgage InsuranceAffinity(5)Corporate and OtherNet earnings (loss) from continuing operations:Statement of Financial Position InformationTotal investmentsAll other assets(6)Total assetsPolicyholder liabilitiesNon-recourse funding obligations(7)Short-term borrowings(8)Long-term borrowings(8)All other liabilitiesTotal liabilitiesAccumulated other comprehensive incomeTotal stockholders equityU.S. Statutory Information(9)Statutory capital and surplus(10)Asset valuation reserveReconciliation of net earnings from continuing operations to net operating earningsYears ended
December 31,Net realized investment losses (gains), net of taxesNet tax benefit related to initial public offeringGain on outsourcing services agreement, net of taxesNet operating earningsResults of OperationsIncrease (Decrease) and
Percentage Change2005 vs. 20042004 vs. 2003(4)%(2(3(10(108160%(18(5Benefits and other changes in policy reserves(12(9Interest credited%Acquisition and operating expenses, net of deferrals5%Amortization of deferred acquisition costs and intangibles(25(1635%55%(8Earnings before income taxes before income taxes and accounting change10%19%17%Net earnings from continuing operations before accounting change7%18%Segment results of operations2005 vs. 20042004 vs. 2003(113%(24(15247%400%Earnings before income taxes6%4%8%For the years ended December 31,Increase (decrease) and percentage changeSegment net earnings:12%16%11%27%3%(27As of or for years ended December 31,Increase (decrease) and
percentage changeTerm life insuranceNet earned premiums9%Annualized first-year premiumsRevenue, net of reinsuranceLife insurance in-force, net of reinsurance (face amount)15%Life insurance in-force before reinsurance (face amount)Universal and whole life insuranceNet earned premiums and deposits(7Annualized first-year deposits74%(26Total life insuranceFor the years ended December 31,Increase (decrease) and percentage change(6(33For the years ended December 31,Gross written premiums22%(31Increase (decrease) and percentage changeIncrease (decrease) and
percentage change(22(21(13(32(23(11200%NM49%61%91%(2823%34%238%As of or for years ended
December 31,Fixed annuitiesAccount value net of reinsurance, beginning of periodDepositsSurrenders, benefits and product chargesAccount value net of reinsurance, end of periodIncome annuitiesStructured settlementsCeded to UFLIC, effective as of January 1, 2004Total annualized first-year premiums from spread-based retail productsTotal deposits on spread-based retail productsGICs and funding agreementsAccount value, beginning of periodDeposits (1)Surrenders and benefits (1)Account value, end of periodVariable annuitiesInterest credited and investment performanceVariable life insuranceThird-party asset management43%38%Years ended December 31,0%33%40%Mortgage Insurance selected operating performance measuresPrimary insurance in-force:41%Total primary insurance in-force14%Risk in force:Total risk in-forceNet premiums written:Total net premiums writtenNet premiums earned:28%58%Total net premium earnedNew insurance written:(5852%Total new insurance writtenLoss and expense ratiosAs of or for the years ended
December 31,Increase (decrease)Loss ratio:26%20%Total loss ratio21%Expense ratio:44%Total expense ratioAffinity segment(100(64(60(61(59(50(55(54Earnings (loss) before income taxes(252Provision (benefit) for income taxes(460Segment net earnings (loss)(188Corporate and Other segment143%Net realized investment gains(losses)(67575%Expenses:(5347%(92(37294%(196Investment resultsIncrease (Decrease)YieldAmountFixed maturitiestaxable5.6%5.7%6.2%(0.1(0.5Fixed maturitiesnon-taxable4.5%4.0%6.7%6.4%7.2%(0.8Equity securities8.9%5.1%2.8%3.8%8.1%2.4%6.5%8.6%8.2%8.3%6.6%4.9%(0.21.7%2.5%1.0%1.5%(0.6Gross investment income before expenses and fees5.9%(0.3Expenses and fees5.5%5.8%(Dollar amounts in millions)Gross realized investmentGains on saleLosses on saleImpairment lossesMortgage loansBalance as of January 1ProvisionReleaseAmounts written off, net of recoveriesBalance as of December 31Investment portfolioImpairments of investment securitiesLess Than 12 Months12 Months or moreGross
unrealized
losses# of
securitiesDescription of SecuritiesFixed maturities:Governmentnon U.S.Corporatenon U.S.Mortgage and asset backedSubtotal, fixed maturitiesTotal temporarily impaired securities% Below costfixed maturities:<20% Below cost20-50% Below cost>50% Below cost% Below costequity securities:Total equity securitiesInvestment gradeBelow investment gradeNot RatedFixed maturitiesNot RatedEquitiesGenworth Financial and Subsidiaries(Revised)Net cash from operating activitiesNet cash from investing activitiesNet cash from financing activitiesGenworth Financial, Inc.—holding companyPeriod from
October 23, 2003
to December 31, 2003Contractual obligations and commercial commitmentsPayments due by period20062007-20082009-20102011 and
thereafterBorrowings(1)Operating lease obligationsPurchase obligations(2)Securities lending and repurchase obligations(3)Insurance liabilities(4)Other contractual liabilities(5)Total contractual obligationsSecuritization EntitiesAssets:Other assetsTotal(1)Liabilities:Borrowings related to securitization entitiesOther liabilitiesDerivative counterparty credit riskS&P ratingMoodys ratingLong-term (exposures over one year) net of collateralAggregate limits (including those
under one year)
net of collateralAggregate Limit
(gross of collateral)AAAAaaAA-Aa3AA2Index to Financial StatementsPageAnnual Financial Statements:Report of KPMG LLP, Independent Registered Public Accounting FirmStatement of Earnings for the years ended December 31, 2005, 2004 and 2003Statement of Financial Position as of December 31, 2005 and 2004Statement of Changes in Stockholders Equity for the years ended December 31, 2005, 2004 and 2003Statement of Cash Flows for the years ended December 31, 2005, 2004 and 2003Notes to Financial StatementsStatement of EarningsEarnings from continuing operations before income taxes and accounting changeNet earnings from discontinued operations, net of taxesGain (loss) on sale of discontinued operations, net of taxesNet earnings before accounting changeCumulative effect of accounting change, net of taxesNet earningsBasic earnings per common shareDiluted earnings per common shareStatement of Financial PositionAssetsInvestments:Fixed maturity securities available-for-sale, at fair valueEquity securities available-for-sale, at fair valueShort-term investmentsOther invested assetsCash and cash equivalentsAccrued investment incomeDeferred acquisition costsIntangible assetsGoodwillReinsurance recoverableOther assets ($44 and $24 restricted in securitization entities)Separate account assetsLiabilities and stockholders equityFuture annuity and contract benefitsLiability for policy and contract claimsUnearned premiumsOther policyholder liabilitiesOther liabilities ($15 and $3 restricted in securitization entities)Non-recourse funding obligationsShort-term borrowingsLong-term borrowingsSenior notes underlying equity unitsMandatorily redeemable preferred stockDeferred tax liabilitySeparate account liabilitiesCommitments and contingenciesStockholders equity:Class A common stock, $0.001 par value; 1.5 billion shares authorized; 404 million and 147 million shares issued as of December
31, 2005 and 2004, respectively; 385 million and 147 million shares outstanding as of December 31, 2005 and 2004, respectivelyClass B common stock, $0.001 par value; 700 million shares authorized; 86 million and 343 million shares issued and outstanding
as of December 31, 2005 and 2004, respectivelyAdditional paid-in capitalAccumulated other comprehensive income:Net unrealized investment gainsDerivatives qualifying as hedgesForeign currency translation and other adjustmentsTotal accumulated other comprehensive incomeRetained earningsTreasury stock, at cost (19 million shares as of December 31, 2005)Total liabilities and stockholders equityStatement of Changes in Stockholders’ EquityAdditional
Paid in
capitalAccumulated
other
comprehensive
incomeRetained
earningsTreasury
stock, at
costTotal
stockholders
equityBalances as of December 31, 2002Comprehensive income:Net unrealized gains (losses) on investment securitiesTotal comprehensive incomeDividends and other transactions with GEBalances as of December 31, 2003Dividends and other transactions with GE prior to our corporate reorganizationTransactions subsequent to our corporate reorganization:Dividends to stockholdersStock-based compensationCapital contributions from GEBalances as of December 31, 2004Acquisition of treasury stockBalances as of December 31, 2005Statement of Cash Flows(Revised
see note 15)Cash flows from operating activities:Adjustments to reconcile net earnings to net cash provided by operating activities:Amortization of fixed maturity discounts and premiumsNet realized investment (gains) lossesCharges assessed to policyholdersAcquisition costs deferredDeferred income taxesCorporate overhead allocationCumulative effect of accounting changes, net of taxesNet (earnings) from discontinued operationsNet (gain) loss from sale of discontinued operationsOperating cash flows from discontinued operationsChange in certain assets and liabilities:Accrued investment income and other assetsInsurance reservesCurrent tax liabilitiesOther liabilities and other policy-related balancesCash flows from investing activities:Proceeds from maturities and repayments of investments:Mortgage and policy loansProceeds from sales and securitizations of investments:Fixed maturities and equity securitiesPurchases and originations of investments:Other invested assets, netPayments for businesses purchased, net of cash acquiredProceeds from sale of discontinued operations, net of cash disposalInvesting cash flows from discontinued operationsShort-term investment activity, netCash flows from financing activities:Proceeds from issuance of investment contractsRedemption and benefit payments on investment contractsFinancing cash flows from discontinued operationsShort-term borrowings activity, netProceeds from issuance of non-recourse funding obligationsProceeds from long-term borrowingsNet commercial paper borrowingsRepayment of contingent noteCash transferred in connection with our corporate reorganizationDividends paid to stockholdersCapital contribution received from GEEffect of exchange rate changes on cash and cash equivalentsNet change in cash and cash equivalentsCash and cash equivalents at beginning of yearCash and cash equivalents at end of yearAccounting for Stock-Based CompensationNet earnings, as reportedStock option expense included in net earningsTotal stock option expense per SFAS 123Years Ended December 31, 2005, 2004 and 2003(Amounts in millions except for per share data)Basic earnings per common share:Diluted earnings per common share:Weighted-average shares used in basic earnings per common share calculationsDilutive securities:Stock purchase contracts underlying equity unitsStock options and stock appreciation rightsRestricted stock unitsWeighted-average shares used in diluted earnings per common share calculations(a) Net Investment IncomeFixed maturitiesnon-taxableCash, cash equivalents, and short-termsGross realized investment:Gains on dispositionLosses on disposition(c) Unrealized Gains and LossesNet unrealized gains on available-for-sale investment securities:Restricted fixed maturitiesSubtotalAdjustments to present value of future profits, deferred acquisition costs and sales inducementsDeferred income taxes, netNet unrealized gains on available-for-sale investment securitiesNet unrealized gains on investment securities as of January 1Unrealized gains (losses) on investment arising during the period:Unrealized gain (losses) on investment securitiesAdjustment to deferred acquisition costsAdjustment to present value of future profitsAdjustment to sales inducementsProvision for deferred income taxesChange in unrealized gains (losses) on investment securitiesUnrealized gains associated with securities transferred in connection with our reorganization, net of deferred taxes of $0, $317 and
$0Reclassification adjustments to net realized investment gains (losses) net of deferred taxes of $1, $(9) and $9Unrealized gains (losses) on investment securities included in assets associated with discontinued operations arising during the period, net
of deferred taxes of $0, $0 and $293Reclassification adjustment to net earnings from discontinued operations, net of deferred taxes of $0, $0 and $(2)Net unrealized gains on investment securities as of December 31(d) Fixed Maturities and Equity SecuritiesAmortized
cost or
costGross
unrealized
gainsMortgage and asset-backedTotal available-for-sale securities12 Months or MoreEstimated fair
valueDue one year or lessDue after one year through five yearsDue after five years through ten yearsDue after ten yearsBalance as of January 1Balance as of December 31Unamortized balance as of January 1Amounts transferred in connection with our corporate reorganizationImpact of foreign currency translationCosts deferredAmortizationUnamortized balance as of December 31Accumulated effect of net unrealized investment gains(7) Intangible AssetsGross
carrying
amountAccumulated
amortizationPresent value of future profitsCapitalized softwareDeferred sales inducements to contractholdersPresent Value of Future ProfitsAmounts transferred in connection with corporate reorganizationAcquisitionsInterest accreted at 5.5%, 5.8%, 6.0%, respectively11.0%20079.9%20088.8%20097.4%2010(8) GoodwillRetirement
Income and
InvestmentsMortgage
InsuranceAffinityBalance as of December 31, 2003Foreign exchange translationBalance as of December 31, 2004Pre acquisition tax contingency releaseBalance as of December 31, 2005Direct life insurance in-forceAmounts assumed from other companiesAmounts ceded to other companiesNet life insurance in-forcePercentage of amount assumed to netWrittenEarnedDirect:Accident and health insuranceProperty and casualty insuranceMortgage insuranceTotal DirectAssumed:Total AssumedCededTotal CededNet premiumsMortality/ morbidity assumptionInterest rate
assumptionFuture annuity and
contract benefit
liabilitiesInvestment contractsAccount balanceN/AUniversal life-type contractsLimited-payment contracts(a)3.0% 11.3%Traditional life insurance contracts(b)6.0% 7.5%Accident and health(c)2.5% 7.0%Long-term care(d)4.5% 7.5%Total future annuity and contract benefitsLess reinsurance recoverablesNet balance as of January 1Incurred related to insured events of:Current yearPrior yearsTotal incurredPaid related to insured events of:Total paidForeign currency translationNet balance as of December 31Add reinsurance recoverablesCommercial paperCanadian Tax Matters AgreementRevolving Credit Facilities1.6% Notes (Japanese Yen), due 2011LIBOR Floating Rate Senior Notes, due 20074.75% Senior Notes, due 20095.75% Senior Notes, due 20144.95% Senior Notes, due 20156.50% Senior Notes, due 2034IssuanceRiver Lake I (a), due 2033River Lake I (b), due 2033River Lake II (a), due 2035River Lake II (b), due 2035Total non-recourse Funding Obligations2010 and thereafter(1)(14) Income TaxesCurrent federal income taxesDeferred federal income taxesTotal federal income taxesCurrent state income taxesDeferred state income taxesTotal state income taxesCurrent foreign income taxesDeferred foreign income taxesTotal foreign income taxesTotal provision for income taxesStatutory U.S. federal income tax rate35.0%Increase (reduction) in rate resulting from:State income tax, net of federal income tax effectNet tax benefit related to IPO(a)Tax exempt incomeOther, netEffective rate32.1%30.1%29.9%InvestmentsAccrued commission and general expensesDeferred tax benefits related to IPONOL carryforwardsGross deferred income tax assetsValuation allowanceTotal deferred income tax assetsNet unrealized gains on investment securitiesNet unrealized gains on derivativesTotal deferred income tax liabilitiesNet deferred income tax liabilityShares Subject to OptionAverage per share(Shares in thousands)Exercise PriceMarket PriceBalance as of January 1, 2003Options grantedOptions transferred inOptions exercisedOptions transferred outOptions terminatedBalance as of May 24, 2004Shares
Subject
to
OptionExercise
PriceMarket
PriceBalance as of May 25, 2004Balance as of January 1, 2005OutstandingExercisableExercise price rangeShares in
thousandsAverage
life(1)Average
exercise
priceShares in
thousands$14.11 $18.51$19.45 $22.67$23.20 $27.95$28.00 $36.62$37.89 $39.60Fair value per option and stock appreciation rightValuation Assumptions:Expected option term (years)Expected volatility30.0%34.2%34.7%Expected dividend yield1.1%1.3%Risk-free interest rateFair value per restricted stock unit at grant dateMandatorily redeemable preferred stock.Notional
amountCarrying
amount$(a)Other financial instrumentsBorrowings and related instruments(b):BorrowingsInvestment contract benefitsInsurancecredit lifePerformance guarantees, principally letters of creditInsurancemortgageOther firm commitments:Ordinary course of business lending commitmentsCommitments to fund limited partnershipsDerivatives qualifying as effective accounting hedges as of January 1Current period increases in fair value, net of deferred taxes of $42 and $105Reclassification to net earnings, net of deferred taxes of $23 and $(5)Transferred to GE in connection with our corporate reorganization, net of deferred taxesPositions in derivative instruments.Notional
valueEstimated
Fair
ValueInterest rate swapsForeign currency swapsEquity index optionsForeign currency forward contractsFinancial futuresReceivables secured by:Total securitized assetsConsolidated assets held by securitization entitiesOff-balance sheet:Sponsored and supportedAssetscollateralized by:Other receivablesCostFair
valueRetained interestsassetsServicing assetRecourse liabilityTotal(a)LiabilitiesPublic utilitiesTotal restricted fixed maturitiesAmortized cost or costDue 2006Due 2007-2010Due 2011-2015Due 2016 and laterRegionCorporate
and OtherEarnings (loss) from continuing operations before income taxesNet earnings (loss) from continuing operationsTotal Protection segment revenuesTotal Retirement Income and Investments segment revenuesTotal Mortgage Insurance segment revenuesAffinity segment revenuesCorporate and Other segment revenues(c) Net Earnings (Loss) from Continuing OperationsTotal Protection segment net earningsTotal Retirement Income and Investments segment net earningsTotal Mortgage Insurance segment net earningsAffinity segment net earnings (loss)Corporate and Other segment net earnings (loss)United StatesInternationalThree months endedMarch 31,
2005June 30,
2005September 30,
2005December 31,
2005Earnings per share:Diluted earnings per shareShares outstanding:March 31,
2004June 30,
2004September 30,
2004December 31,
2004Gain on sale of discontinued operations, net of taxesNumberDescription10.55.5§General Electric 1997 Executive Deferred Salary Plan (incorporated by reference to Exhibit 10(t) to General Electric Companys Annual Report on Form 10-K (Commission file number 1-35)
for the fiscal year ended December 31, 1997)10.55.6§General Electric 1990 Long Term Incentive Plan as restated and amended effective August 1, 1997 (incorporated by reference to Exhibit 10(u) to General Electric Companys Annual Report on
Form 10-K (Commission file number 1-35) for the fiscal year ended December 31, 1997)10.55.7§General Electric 2000 Executive Deferred Salary Plan (incorporated by reference to Exhibit 10(u) to General Electric Companys Annual Report on Form 10-K (Commission file number 1-35)
for the fiscal year ended December 31, 2000)10.55.8§General Electric Supplementary Pension Plan, as amended effective July 1, 2000 (incorporated by reference to Exhibit 10(v) to General Electric Companys Annual Report on Form 10-K
(Commission file number 1-35) for the fiscal year ended December 31, 2000)10.55.9§Form of GE Executive Life Insurance Agreement provided to GE officers, as revised September 2000 (incorporated by reference to Exhibit 10(w) to General Electric Companys Annual Report
on Form 10-K (Commission file number 1-35) for the fiscal year ended December 31, 2000)10.55.10§General Electric 2003 Executive Deferred Salary Plan (incorporated by reference to Exhibit 10(x) to General Electric Companys Annual Report on Form 10-K (Commission file number 1-35)
for the fiscal year ended December 31, 2002)10.55.11§Amendment No. 1 to General Electric 1990 Long Term Incentive Plan as restated and amended effective August 1, 1997 (incorporated by reference to Exhibit 10(y) to General Electric
Companys Annual Report on Form 10-K (Commission file number 1-35) for the fiscal year ended December 31, 2002)10.56§Genworth Financial, Inc. 2005 Change in Control Plan (incorporated by reference to Exhibit 10.60 to the Current Report on Form 8-K dated February 7, 2005)Consideration Agreement, dated as of December 30, 2004, by and between Genworth Financial, Inc. and GE Capital International (Mauritius) (incorporated by reference to Exhibit 10.57 to the
Annual Report on Form 10-K for fiscal year ended December 31, 2004)Outsourcing Services Amendment Agreement, dated as of December 30, 2004, by and between Gecis International Holdings, Luxembourg, Swiss Branch Zug, and Genworth Financial, Inc. (incorporated
by reference to Exhibit 10.58 to the Annual Report on Form 10-K for fiscal year ended December 31, 2004)Guaranty, dated as of December 30, 2004, by Gecis Global Holdings in favor of Genworth Financial, Inc. (incorporated by reference to Exhibit 10.59 to the Annual Report on Form 10-K for fiscal
year ended December 31, 2004)Stock Purchase Agreement, dated as of March 14, 2005, between GE Financial Assurance Holdings, Inc., General Electric Capital Corporation, GEI, Inc. and Genworth Financial Inc. (incorporated
by reference to Exhibit 10 to the Current Report on Form 8-K dated March 14, 2005)10.61§Schedule of base salaries (incorporated by reference to Exhibit 10 to the Current Report on Form 8-K dated March 21, 2005)Irrevocable Proxy and Irrevocable Consent, dated March 30, 2005, between Genworth Financial Inc. and GE Financial Assurance Holdings, Inc. (incorporated by reference to Exhibit 10.2 to the
Current Report on Form 8-K dated April 4, 2005)Summary of investments—other than investments in related partiesType of investmentAmortized cost
or costCarrying valueBonds:U.S. government, agencies and authoritiesAll other corporate bondsxxxxxRestricted investments held by securitization entities(1)Other invested assets(2)Year ended
December 31,Period from
October 23,
2003 to
December 31,
2003Gain on outsourcing services agreementNet investment and other incomeOperating expensesLoss before income taxes and equity in earnings of subsidiariesBenefit for income taxesEquity in earnings of subsidiariesFixed maturities available-for-sale, at fair valueInvestment in subsidiariesDeferred tax assetTax receivable from subsidiaryTax payable to GEBorrowings from subsidiaryClass A common stock, $0.001 par value; 1.5 billion shares authorized; 404 million and 147 million shares issued as of December 31,
2005 and 2004 respectively; 385 million and 147 million shares outstanding as of December 31, 2005 and 2004, respectivelyTreasury Stock (19 million shares as of December 31, 2005)Period from
October 23, 2003 to
December 31, 2003Equity in earnings from subsidiariesDividends from subsidiariesAmortization of investment premiumsProceeds from fixed maturitiesPurchases of fixed maturitiesCapital contribution paid to subsidiaryPayment of contingent notePayments on short-term borrowings, netCapital contributions received from shareholderAcquisition of treasury stock from GEDividend paid to stockholdersSupplemental Insurance InformationSegmentDeferred
Acquisition
CostsFuture Annuity
and
Contract Benefits
&
Liability for Policy
and Contract
ClaimsUnearned
PremiumsOther
Policyholder
LiabilitiesPremium RevenueDecember 31, 2005December 31, 2004December 31, 2003Net
Investment
IncomeInterest
Credited &
Benefits and
Other
Changes in
Policy
ReservesAmortization
of Deferred
Acquisition
CostsOther
Operating
ExpensesPremiums
WrittenStatement Of Ratio Of Earnings To Fixed ChargesNet earnings from continuing operations before income taxes and accounting changesFixed charges included in earnings from continuing operations:Interest portion of rental expenseInterest credited to investment contractholdersFixed charges included in earnings from discontinued operations:Total fixed charges from discontinued operationsTotal fixed chargesEarnings available for fixed charges (including interest credited to investment contractholders)Earnings available for fixed charges (excluding interest credited to investment contractholders)Ratio of earnings to fixed charges (including interest credited to investment contractholders)Ratio of earnings to fixed charges (excluding interest credited to investment contractholders)Exhibit 21NameDomicileAmerican Agriculturist Services, Inc.American Mayflower Life Insurance Company of New YorkAssigned Settlement, Inc.VirginiaAssocred SAFranceBrookfield Life Assurance Company LimitedBermudaCalifornia Benefits Dental PlanCapital Brokerage Corporation (also doing business as Genworth Financial Brokerage Corporation (Indiana) (Minnesota) (New Mexico)
(Texas)WashingtonCenturion Capital Group Inc.ArizonaCenturion Financial Advisers Inc.DelawareCenturion-Hesse Investment Management Corp.Centurion-Hinds Investment Management Corp.CFI Administrators LimitedIrelandCFI Pensions Trustees LimitedEnglandConsolidated Insurance Group LimitedDental Holdings, Inc.ConnecticutF.I.G. Ireland LimitedFederal Home Life Insurance CompanyFee For Service, Inc. (also doing business as Fee For Service Insurance Agency (Texas))FFRL Re Corp.Financial Assurance Company LimitedFinancial Insurance Company LimitedFinancial Insurance Group Services Ltd.Financial Insurance Guernsey PCC LimitedGuernseyFirst Colony Life Insurance CompanyGE Financial Assurance, Compania de Seguros y Reaseguros de Vida S.A.SpainGE Financial Insurance, Compania de Seguros y Reaseguros S.A.GE Financial Trust CompanyGE Group Administrators, Inc. (also doing business as GE Administrators (California))GE Group Life Assurance CompanyGE Group Retirement, Inc.GE Private Asset Management, Inc.GE Seguros S.A. de C.V. (1)MexicoGECLANY Real Estate Holding, LLCGEFA Special Purpose Five, LLCGEFA Special Purpose Four, LLCGEFA Special Purpose One, LLCGEFA Special Purpose Six, LLCGEFA Special Purpose Three, LLCGEFA Special Purpose Two, LLCGEMIC Holdings CompanyCanadaGenworth Center for Financial Learning, LLCGenworth Financial Advisers CorporationGenworth Financial Asset Management, LLCGenworth Financial European Group Holdings LimitedGenworth Financial International Holdings, Inc.Genworth Financial Investment Services, Inc.Genworth Financial Mortgage Funding CorporationGenworth Financial Mortgage Insurance Company CanadaGenworth Financial Mortgage Insurance Pty LtdAustraliaGenworth Financial Mortgage Insurance Finance Holdings Pty LtdGenworth Financial Mortgage Insurance Finance Pty LtdGenworth Financial Mortgage Insurance Holdings Pty LtdGenworth Financial Mortgage Insurance LimitedGenworth Financial Mortgage Services LimitedGenworth Financial Mortgage Solutions LimitedGenworth Financial Planning CorporationGenworth Financial Securities Corporation (also doing business as IAN of Illinois Corporation (Texas))Genworth Financial Services, Inc.Genworth Financial UK Finance LimitedGenworth Financial UK Holdings LimitedGenworth FoundationGenworth Home Equity Insurance CorporationGenworth Life and Annuity Insurance CompanyGenworth Life Insurance Company (also doing business as GECA (New York))Genworth Life Insurance Company of New YorkGenworth Mortgage Holdings, LLCNorth CarolinaGenworth Mortgage Insurance CorporationGenworth Mortgage Insurance Corporation of North CarolinaGenworth Mortgage Insurance LimitedGenworth Mortgage Reinsurance CorporationGenworth Mortgage Services, LLCGenworth Residential Mortgage Insurance Corporation of North CarolinaGenworth Servicios, S. de R. L. de C. V.GFCM LLCGNA CorporationGNA Distributors, Inc.GNWLAAC Real Estate Holding LLCHGI Annuity Service CorporationHochman & Baker Insurance Services, Inc.Hochman & Baker Securities, Inc.Hochman & Baker, Inc.IFN Insurance Agency, Inc.Jamestown Life Insurance CompanyLTC, IncorporatedMayflower Assignment CorporationNewco Properties, Inc.Oriole CDO Inc.Private Residential Mortgage Insurance CorporationProfessional Insurance Company (also doing business as PIC Life Insurance Company (California))River Lake Insurance CompanySouth CarolinaRiver Lake Insurance Company IIRiver Lake Insurance Company IIISecurity Funding CorporationSponsored Captive Re, Inc.VermontUnited Pacific Structured Settlement CompanyVerex Assurance, Inc.WisconsinViking Insurance Company, Ltd.WorldCover Direct LimitedPOWER OF ATTORNEY/S/ MICHAEL D.
FRAIZER Michael D.
FraizerChairman of the Board of Directors, President and Chief Executive Officer (Principal Executive Officer and Director)/S/ RICHARD P.
MCKENNEY Richard P.
McKenneySenior Vice President and Chief Financial Officer (Principal Financial Officer)/S/ SCOTT R.
LINDQUIST Scott R.
LindquistVice President and Controller (Principal Accounting Officer)/S/ FRANK J.
BORELLI Frank J.
Borelli Director/S/ SAIYID T.
NAQVI Saiyid T.
Naqvi Director/S/ ELIZABETH J.
COMSTOCK Elizabeth J.
Comstock Director/S/ DAVID R.
NISSEN David R.
Nissen Director/S/ PAMELA
DALEY Pamela Daley Director/S/ JAMES A.
PARKE James A.
Parke Director/S/ NANCY J.
KARCH Nancy J. Karch Director/S/ THOMAS B.
WHEELER Thomas B.
Wheeler Director/S/ J. ROBERT
KERREY J. Robert Kerrey
DirectorCERTIFICATIONS/S/ MICHAEL D.
FRAIZERMichael D. FraizerChairman, President and Chief Executive Officer/S/ RICHARD P.
MCKENNEYRichard P. McKenneySenior Vice PresidentChief Financial Officer(AS ADOPTED PURSUANT TO SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002)PK ! +㈄ docProps/app.xml
Microsoft Excel0falseWorksheets127protectionoverviewinside mortgage financeloan portfolioloans in default and claimsloans in default and claims-1loans in default and claims-2loans in default and claims-3loan portfolio-1loans in default and claims-4loans in default and claims-5overview-1fixed maturitiesfixed maturities-1fixed maturities-2fixed maturities-3fixed maturities-4commercial mortgage loanscommercial mortgage loans-1other investmentsmarket for common stockmarket for common stock-1item 6 selected financialitem 6 selected financial -1item 6 selected financial -2reconciliation of net earnresults of operationssegment results of operatisegment results of operati-1life insurancelongterm care insurancepayment protection insurancegroup life and health insusegment results of operati-2segment results of operati-3spreadbased retail productsspreadbased institutionalfeebased productssegment net earningssegment net earnings-1mortgage insurance selecteloss and expense ratiosaffinity segmentcorporate and other segmentinvestment resultsinvestment results-1mortgage loansinvestment portfolioimpairments of investmentgenworth financial and subgenworth financial incholdcontractual obligations ansecuritization entitiesderivative counterparty crindex to financial statemestatement of earningsstatement of financial posstatement of changes in ststatement of cash flowsaccounting for stockbasedyears ended december 31 20a net investment incomeyears ended december 31 20-1c unrealized gains and losyears ended december 31 20-2d fixed maturities and equyears ended december 31 20-3years ended december 31 20-4years ended december 31 20-5years ended december 31 20-6years ended december 31 20-7years ended december 31 20-8years ended december 31 20-97 intangible assetspresent value of future prpresent value of future pr-18 goodwillyears ended december 31 20-10years ended december 31 20-11years ended december 31 20-12years ended december 31 20-13years ended december 31 20-14revolving credit facilitiesyears ended december 31 20-15years ended december 31 20-1614 income taxesyears ended december 31 20-17years ended december 31 20-18years ended december 31 20-19years ended december 31 20-20years ended december 31 20-21years ended december 31 20-22years ended december 31 20-23mandatorily redeemable preyears ended december 31 20-24positions in derivative inyears ended december 31 20-25years ended december 31 20-26years ended december 31 20-27years ended december 31 20-28years ended december 31 20-29years ended december 31 20-30years ended december 31 20-31years ended december 31 20-32years ended december 31 20-33years ended december 31 20-34years ended december 31 20-35c net earnings loss from cyears ended december 31 20-36years ended december 31 20-37years ended december 31 20-38years ended december 31 20-39summary of investmentsothestatement of earnings-1statement of financial pos-1statement of cash flows-1supplemental insurance infsupplemental insurance inf-1statement of ratio of earnexhibit 21exhibit 21-1exhibit 21-2power of attorneycertificationscertifications-1as adopted pursuant to secas adopted pursuant to sec-1falsefalsefalse12.0000PK ! 3(P P docProps/core.xml
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