FB_Life_2Q11Stat_Stmt

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					                     STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                   ASSETS
                                                                                                           Current Statement Date                               4
                                                                                              1                       2                     3
                                                                                                                                                           December 31
                                                                                                                                    Net Admitted Assets    Prior Year Net
                                                                                           Assets           Nonadmitted Assets          (Cols. 1 - 2)     Admitted Assets
   1. Bonds                                                                                5,128,284,764                                 5,128,284,764       4,798,744,909
   2. Stocks:
        2.1 Preferred stocks                                                                 38,624,877                                     38,624,877          38,754,691
        2.2 Common stocks                                                                    25,552,728                                     25,552,728          24,553,163
   3. Mortgage loans on real estate:
        3.1 First liens                                                                     430,698,120                                    430,698,120         442,249,995
        3.2 Other than first liens                                                                                                                   0                   0
   4. Real estate:
        4.1 Properties occupied by the company (less
        $                            encumbrances)                                                                                                    0                     0
        4.2 Properties held for the production of income
        (less $                              encumbrances)                                    6,235,777                                      6,235,777           6,838,365
        4.3 Properties held for sale (less
        $                            encumbrances)                                                                                                    0                     0
   5. Cash ($                 75,331,771 ),
        cash equivalents ($                        0 )
        and short-term investments ($                      2,755 )                           75,334,526                                     75,334,526         162,795,798
   6. Contract loans (including $                               premium notes)              169,370,317                                    169,370,317         169,105,062
   7. Derivatives                                                                               377,044                                        377,044           1,610,610
   8. Other invested assets                                                                 100,833,026                 245,155            100,587,871          71,105,069
   9. Receivables for securities                                                                249,964                                        249,964             712,746
  10. Securities lending reinvested collateral assets                                                                                                0                   0
  11. Aggregate write-ins for invested assets                                                          0                      0                      0                   0
  12. Subtotals, cash and invested assets (Lines 1 to 11)                                  5,975,561,143                245,155          5,975,315,988       5,716,470,408
  13. Title plants less $                            charged off (for Title insurers
        only)                                                                                                                                        0                   0
  14. Investment income due and accrued                                                      66,251,628                                     66,251,628          61,701,732
  15. Premiums and considerations:
        15.1 Uncollected premiums and agents’ balances in the course of
        collection                                                                            2,525,111                                      2,525,111              732,786
        15.2 Deferred premiums, agents’ balances and installments booked but
        deferred and not yet due (including $                             earned
        but unbilled premiums)                                                               71,910,875                                     71,910,875          71,568,868
        15.3 Accrued retrospective premiums                                                                                                          0                   0
  16. Reinsurance:
        16.1 Amounts recoverable from reinsurers                                              1,494,187                                      1,494,187           1,334,578
        16.2 Funds held by or deposited with reinsured companies                                662,444                                        662,444             662,444
        16.3 Other amounts receivable under reinsurance contracts                               446,582                                        446,582             529,973
  17. Amounts receivable relating to uninsured plans                                                                                                 0                   0
  18.1 Current federal and foreign income tax recoverable and interest thereon                1,980,829                                      1,980,829          13,733,276
  18.2 Net deferred tax asset                                                                82,749,072               5,263,659             77,485,413          77,092,222
  19. Guaranty funds receivable or on deposit                                                 2,606,079                                      2,606,079           2,822,359
  20. Electronic data processing equipment and software                                                                                              0                   0
  21. Furniture and equipment, including health care delivery assets
        ($                           )                                                        2,252,016               2,252,016                       0                   0
  22. Net adjustment in assets and liabilities due to foreign exchange rates                                                                          0                   0
  23. Receivables from parent, subsidiaries and affiliates                                                                                            0                   0
  24. Health care ($                              ) and other amounts receivable                567,961                 567,961                       0                   0
  25. Aggregate write-ins for other than invested assets                                     16,466,120              15,784,979                 681,141             626,539
  26. Total assets excluding Separate Accounts, Segregated Accounts and
        Protected Cell Accounts (Lines 12 to 25)                                           6,225,474,047             24,113,770          6,201,360,277       5,947,275,185
  27. From Separate Accounts, Segregated Accounts and Protected
        Cell Accounts                                                                        681,996,498                                   681,996,498         675,586,333
  28. Total (Lines 26 and 27)                                                              6,907,470,545             24,113,770          6,883,356,775       6,622,861,518
        DETAILS OF WRITE-INS
1101.                                                                                                                                                 0                     0
1102.                                                                                                                                                 0                     0
1103.                                                                                                                                                 0                     0
1198. Summary of remaining write-ins for Line 11 from overflow page                                   0                       0                       0                     0
1199. Totals (Lines 1101 through 1103 plus 1198) (Line 11 above)                                      0                       0                       0                     0
2501. Other assets                                                                           13,951,834              13,270,693                 681,141             626,539
2502. Airplanes                                                                               2,514,286               2,514,286                       0                   0
2503.
2598. Summary of remaining write-ins for Line 25 from overflow page                                   0                       0                       0                   0
2599. Totals (Lines 2501 through 2503 plus 2598) (Line 25 above)                             16,466,120              15,784,979                 681,141             626,539




                                                                                       2
                   STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY


                                   LIABILITIES, SURPLUS AND OTHER FUNDS
                                                                                                                                           1                    2
                                                                                                                                         Current          December 31
                                                                                                                                     Statement Date        Prior Year
   1. Aggregate reserve for life contracts $            4,566,515,163 less $                            included in Line 6.3
        (including $                               Modco Reserve)                                                                       4,566,515,163      4,403,559,930
   2. Aggregate reserve for accident and health contracts (including $                              Modco Reserve)                            377,218            369,592
   3. Liability for deposit-type contracts (including $                          Modco Reserve)                                           971,080,177        925,830,364
   4. Contract claims:
       4.1 Life                                                                                                                            18,016,414         18,719,771
       4.2 Accident and health                                                                                                                 29,560             29,560
   5. Policyholders' dividends $                    104,925 and coupons $                            due and unpaid                           104,925            110,214
   6. Provision for policyholders' dividends and coupons payable in following calendar year—estimated amounts:
       6.1 Dividends apportioned for payment (including $                               Modco)                                              4,071,706         13,452,648
       6.2 Dividends not yet apportioned (including $                               Modco)                                                 13,414,151          4,235,584
       6.3 Coupons and similar benefits (including $                               Modco)                                                                              0
   7. Amount provisionally held for deferred dividend policies not included in Line 6                                                                                  0
   8. Premiums and annuity considerations for life and accident and health contracts received in advance less $
                                  discount; including $                          accident and health premiums                               2,726,829          1,069,529
   9. Contract liabilities not included elsewhere:
       9.1 Surrender values on canceled contracts                                                                                                                       0
       9.2 Provision for experience rating refunds, including $                            accident and health experience rating
              refunds                                                                                                                                                  0
       9.3 Other amounts payable on reinsurance, including $                          assumed and $                          ceded                  0          1,382,276
       9.4 Interest Maintenance Reserve                                                                                                    32,876,014         32,312,306
  10. Commissions to agents due or accrued-life and annuity contracts $                       5,959,847 ,
       accident and health $                      43,265 and deposit-type contract funds $                   255,513                        6,258,625          6,862,589
  11. Commissions and expense allowances payable on reinsurance assumed                                                                                                0
  12. General expenses due or accrued                                                                                                       9,156,100         11,750,319
  13. Transfers to Separate Accounts due or accrued (net) (including $                 (8,089,102) accrued for expense
       allowances recognized in reserves, net of reinsured allowances)                                                                     (8,089,102)        (9,465,357)
  14. Taxes, licenses and fees due or accrued, excluding federal income taxes                                                                 728,528          1,057,715
  15.1 Current federal and foreign income taxes, including $                           on realized capital gains (losses)                                              0
  15.2 Net deferred tax liability                                                                                                                                      0
  16. Unearned investment income                                                                                                            4,236,661          4,203,490
  17. Amounts withheld or retained by company as agent or trustee                                                                           1,007,609            714,934
  18. Amounts held for agents' account, including $                               agents' credit balances                                                              0
  19. Remittances and items not allocated                                                                                                   3,683,406          3,913,175
  20. Net adjustment in assets and liabilities due to foreign exchange rates                                                                                           0
  21. Liability for benefits for employees and agents if not included above                                                                                            0
  22. Borrowed money $                                   and interest thereon $                                                                                        0
  23. Dividends to stockholders declared and unpaid                                                                                                                    0
  24. Miscellaneous liabilities:
       24.01 Asset valuation reserve                                                                                                       38,534,928         34,834,541
       24.02 Reinsurance in unauthorized companies                                                                                                                     0
       24.03 Funds held under reinsurance treaties with unauthorized reinsurers                                                                                        0
       24.04 Payable to parent, subsidiaries and affiliates                                                                                 2,312,815            731,761
       24.05 Drafts outstanding                                                                                                                                        0
       24.06 Liability for amounts held under uninsured plans                                                                                                          0
       24.07 Funds held under coinsurance                                                                                                                              0
       24.08 Derivatives                                                                                                                                               0
       24.09 Payable for securities                                                                                                        42,596,314         27,082,473
       24.10 Payable for securities lending                                                                                                                            0
       24.11 Capital notes $                              and interest thereon $                                                                                       0
  25. Aggregate write-ins for liabilities                                                                                                  10,701,109         10,886,290
  26. Total liabilities excluding Separate Accounts business (Lines 1 to 25)                                                            5,720,339,150      5,493,643,704
  27. From Separate Accounts statement                                                                                                    681,996,498        675,586,333
  28. Total liabilities (Lines 26 and 27)                                                                                               6,402,335,648      6,169,230,037
  29. Common capital stock                                                                                                                  2,500,000          2,500,000
  30. Preferred capital stock                                                                                                                                          0
  31. Aggregate write-ins for other than special surplus funds                                                                                        0                0
  32. Surplus notes                                                                                                                                                    0
  33. Gross paid in and contributed surplus                                                                                               130,982,867        130,982,867
  34. Aggregate write-ins for special surplus funds                                                                                        15,082,301         14,833,561
  35. Unassigned funds (surplus)                                                                                                          332,455,959        305,315,053
  36. Less treasury stock, at cost:
       36.1                              shares common (value included in Line 29 $                            )                                                       0
       36.2                             shares preferred (value included in Line 30 $                          )                                                       0
  37. Surplus (Total Lines 31 + 32 + 33 + 34 + 35 - 36) (including $                            in Separate Accounts Statement)           478,521,127        451,131,481
  38. Totals of Lines 29, 30 and 37                                                                                                       481,021,127        453,631,481
  39. Totals of Lines 28 and 38 (Page 2, Line 28, Col. 3)                                                                               6,883,356,775      6,622,861,518
       DETAILS OF WRITE-INS
2501. Deferred compensation                                                                                                                 6,973,435          7,084,194
2502. Other liabilities                                                                                                                     3,727,674          3,802,096
2503.
2598. Summary of remaining write-ins for Line 25 from overflow page                                                                                 0                  0
2599. Totals (Lines 2501 through 2503 plus 2598) (Line 25 above)                                                                           10,701,109         10,886,290
3101.                                                                                                                                                                  0
3102.                                                                                                                                                                  0
3103.                                                                                                                                                                  0
3198. Summary of remaining write-ins for Line 31 from overflow page                                                                                 0                  0
3199. Totals (Lines 3101 through 3103 plus 3198) (Line 31 above)                                                                                    0                  0
3401. Deferred tax asset - special surplus funds                                                                                           15,082,301         14,833,561
3402.
3403.
3498. Summary of remaining write-ins for Line 34 from overflow page                                                                                 0                  0
3499. Totals (Lines 3401 through 3403 plus 3498) (Line 34 above)                                                                           15,082,301         14,833,561




                                                                                       3
                       STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                          SUMMARY OF OPERATIONS
                                                                                                                          1                   2                    3
                                                                                                                     Current Year        Prior Year        Prior Year Ended
                                                                                                                       To Date          Year to Date        December 31
    1.    Premiums and annuity considerations for life and accident and health contracts                                 378,245,373        314,668,420          610,708,511
    2.    Considerations for supplementary contracts with life contingencies                                              14,092,600         10,881,396           23,219,519
    3.    Net investment income                                                                                          168,736,762        158,055,984          320,400,389
    4.    Amortization of Interest Maintenance Reserve (IMR)                                                               2,208,067          1,345,597            3,341,811
    5.    Separate Accounts net gain from operations excluding unrealized gains or losses                                                             0                    0
    6.    Commissions and expense allowances on reinsurance ceded                                                          2,380,792          3,172,880            5,453,952
    7.    Reserve adjustments on reinsurance ceded                                                                                                    0                    0
    8.    Miscellaneous Income:
          8.1 Income from fees associated with investment management, administration and contract guarantees
               from Separate Accounts                                                                                     14,857,020         14,781,760           29,405,847
          8.2 Charges and fees for deposit-type contracts                                                                                             0                    0
          8.3 Aggregate write-ins for miscellaneous income                                                                 1,968,770          1,110,416            1,989,938
   9.     Totals (Lines 1 to 8.3)                                                                                        582,489,384        504,016,453          994,519,967
  10.     Death benefits                                                                                                  63,160,594         53,957,915          106,808,350
  11.     Matured endowments (excluding guaranteed annual pure endowments)                                                 1,103,984          1,190,026            2,256,956
  12.     Annuity benefits                                                                                                36,804,812         24,740,428           52,019,776
  13.     Disability benefits and benefits under accident and health contracts                                               152,334            155,846              327,836
  14.     Coupons, guaranteed annual pure endowments and similar benefits                                                                             0                    0
  15.     Surrender benefits and withdrawals for life contracts                                                          157,268,407        137,568,919          282,143,535
  16.     Group conversions                                                                                                                           0                    0
  17.     Interest and adjustments on contract or deposit-type contract funds                                             12,126,910         10,880,869           23,235,501
  18.     Payments on supplementary contracts with life contingencies                                                     11,282,569          9,674,634           19,467,936
  19.     Increase in aggregate reserves for life and accident and health contracts                                      162,962,858        149,445,628          278,581,609
  20.     Totals (Lines 10 to 19)                                                                                        444,862,468        387,614,265          764,841,499
  21.     Commissions on premiums, annuity considerations, and deposit-type contract funds (direct business only)         31,543,975         27,723,518           55,255,376
  22.     Commissions and expense allowances on reinsurance assumed                                                               18                445                 (239)
  23.     General insurance expenses                                                                                      37,929,158         40,263,798           78,463,604
  24.     Insurance taxes, licenses and fees, excluding federal income taxes                                               3,259,087          3,013,335            6,071,373
  25.     Increase in loading on deferred and uncollected premiums                                                         2,841,798         (2,204,218)          (3,731,823)
  26.     Net transfers to or (from) Separate Accounts net of reinsurance                                                (11,650,806)        (2,323,823)         (16,517,966)
  27.     Aggregate write-ins for deductions                                                                                  71,388            212,259              266,173
  28.     Totals (Lines 20 to 27)                                                                                        508,857,086        454,299,579          884,647,997
  29.     Net gain from operations before dividends to policyholders and federal income taxes (Line 9 minus
               Line 28)                                                                                                   73,632,298         49,716,874          109,871,970
  30.     Dividends to policyholders                                                                                       9,093,523          8,722,824           16,929,534
  31.     Net gain from operations after dividends to policyholders and before federal income taxes (Line 29 minus
               Line 30)                                                                                                   64,538,775         40,994,050           92,942,436
  32.     Federal and foreign income taxes incurred (excluding tax on capital gains)                                      13,753,304         11,882,445           27,793,084
  33.     Net gain from operations after dividends to policyholders and federal income taxes and before realized
               capital gains or (losses) (Line 31 minus Line 32)                                                          50,785,471         29,111,605           65,149,352
  34.     Net realized capital gains (losses) (excluding gains (losses) transferred to the IMR)
               less capital gains tax of $                 943,049 (excluding taxes of $                1,492,494
               transferred to the IMR)                                                                                    (9,885,908)        (2,113,244)           7,146,712
  35.     Net income (Line 33 plus Line 34)                                                                               40,899,563         26,998,361           72,296,064
                                              CAPITAL AND SURPLUS ACCOUNT
  36.     Capital and surplus, December 31, prior year                                                                   453,631,481        428,457,619          428,457,619
  37.     Net income (Line 35)                                                                                            40,899,563         26,998,361           72,296,064
  38.     Change in net unrealized capital gains (losses) less capital gains tax of $               575,809                  897,273          4,045,313            5,056,625
  39.     Change in net unrealized foreign exchange capital gain (loss)                                                                               0                    0
  40.     Change in net deferred income tax                                                                                 (873,892)        (1,078,448)         (10,273,148)
  41.     Change in nonadmitted assets                                                                                       (81,651)        (1,934,962)           1,271,604
  42.     Change in liability for reinsurance in unauthorized companies                                                                               0                    0
  43.     Change in reserve on account of change in valuation basis, (increase) or decrease                                                           0                    0
  44.     Change in asset valuation reserve                                                                               (3,700,387)       (10,214,752)         (21,745,873)
  45.     Change in treasury stock                                                                                                                    0                    0
  46.     Surplus (contributed to) withdrawn from Separate Accounts during period                                                                     0                    0
  47.     Other changes in surplus in Separate Accounts Statement                                                                                     0                    0
  48.     Change in surplus notes                                                                                                                     0                    0
  49.     Cumulative effect of changes in accounting principles                                                                                       0                    0
  50.     Capital changes:
          50.1 Paid in                                                                                                                                 0                      0
          50.2 Transferred from surplus (Stock Dividend)                                                                                               0                      0
          50.3 Transferred to surplus                                                                                                                  0                      0
  51.     Surplus adjustment:
          51.1 Paid in                                                                                                                                0                    0
          51.2 Transferred to capital (Stock Dividend)                                                                                                0                    0
          51.3 Transferred from capital                                                                                                               0                    0
          51.4 Change in surplus as a result of reinsurance                                                                                           0                    0
  52.     Dividends to stockholders                                                                                      (10,000,000)       (10,000,000)         (20,000,000)
  53.     Aggregate write-ins for gains and losses in surplus                                                                248,740         (1,295,535)          (1,431,410)
  54.     Net change in capital and surplus (Lines 37 through 53)                                                         27,389,646          6,519,977           25,173,862
  55.     Capital and surplus, as of statement date (Lines 36 + 54)                                                      481,021,127        434,977,596          453,631,481
          DETAILS OF WRITE-INS
08.301.   Other income                                                                                                     1,968,770          1,110,416            1,989,938
08.302.
08.303.
08.398.   Summary of remaining write-ins for Line 8.3 from overflow page                                                           0                  0                    0
08.399.   Totals (Lines 08.301 through 08.303 plus 08.398) (Line 8.3 above)                                                1,968,770          1,110,416            1,989,938
 2701.    Other expense                                                                                                       71,388            212,259              266,173
 2702.
 2703.
 2798.    Summary of remaining write-ins for Line 27 from overflow page                                                            0                  0                    0
 2799.    Totals (Lines 2701 through 2703 plus 2798) (Line 27 above)                                                          71,388            212,259              266,173
 5301.    Deferred tax asset - three year reversal                                                                           248,740         (1,295,535)          (1,431,410)
 5302.
 5303.
 5398.    Summary of remaining write-ins for Line 53 from overflow page                                                            0                  0                    0
 5399.    Totals (Lines 5301 through 5303 plus 5398) (Line 53 above)                                                         248,740         (1,295,535)          (1,431,410)




                                                                                            4
                     STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY


                                                                          CASH FLOW
                                                                                                                  1                  2                    3
                                                                                                             Current Year       Prior Year        Prior Year Ended
                                                                                                               To Date           To Date           December 31
                                                  Cash from Operations
    1.   Premiums collected net of reinsurance                                                                   387,636,870       326,216,735          632,263,259
    2.   Net investment income                                                                                   162,548,139       152,294,667          313,499,735
    3.   Miscellaneous income                                                                                     19,319,271        19,575,348           37,162,982
    4.   Total (Lines 1 to 3)                                                                                    569,504,280       498,086,750          982,925,976
    5.   Benefit and loss related payments                                                                       283,764,419       241,643,517          483,928,758
    6.   Net transfers to Separate Accounts, Segregated Accounts and Protected Cell Accounts                     (13,024,624)       (3,764,672)         (18,037,082)
    7.   Commissions, expenses paid and aggregate write-ins for deductions                                        74,803,955        71,545,469          133,076,223
    8.   Dividends paid to policyholders                                                                           9,301,186        10,206,480           18,656,847
    9.   Federal and foreign income taxes paid (recovered) net of $               2,435,543 tax on capital
         gains (losses)                                                                                            4,436,400        30,500,000           45,626,280
   10.   Total (Lines 5 through 9)                                                                               359,281,336       350,130,794          663,251,026
   11.   Net cash from operations (Line 4 minus Line 10)                                                         210,222,944       147,955,956          319,674,950
                                                 Cash from Investments
   12.   Proceeds from investments sold, matured or repaid:
         12.1 Bonds                                                                                              227,672,755       187,758,315          476,561,615
         12.2 Stocks                                                                                                       0                 0               20,318
         12.3 Mortgage loans                                                                                      17,155,921         9,391,438           31,034,530
         12.4 Real estate                                                                                                  0           753,376              753,376
         12.5 Other invested assets                                                                                   12,100         4,333,003            6,118,042
         12.6 Net gains or (losses) on cash, cash equivalents and short-term investments                                   0                 0               39,661
         12.7 Miscellaneous proceeds                                                                              17,244,106         2,548,055           22,601,769
         12.8 Total investment proceeds (Lines 12.1 to 12.7)                                                     262,084,882       204,784,187          537,129,311
   13.   Cost of investments acquired (long-term only):
         13.1 Bonds                                                                                              560,890,318      544,471,164           977,020,631
         13.2 Stocks                                                                                               1,015,726        9,735,900            10,558,114
         13.3 Mortgage loans                                                                                      20,450,000       18,300,000            21,844,078
         13.4 Real estate                                                                                                  0                0                     0
         13.5 Other invested assets                                                                               11,726,550           23,062             5,282,726
         13.6 Miscellaneous applications                                                                                   0                0                     0
         13.7 Total investments acquired (Lines 13.1 to 13.6)                                                    594,082,594      572,530,126         1,014,705,549
   14.   Net increase (or decrease) in contract loans and premium notes                                              265,255          398,452             1,502,199
   15.   Net cash from investments (Line 12.8 minus Line 13.7 and Line 14)                                      (332,262,967)    (368,144,391)         (479,078,437)
                                  Cash from Financing and Miscellaneous Sources
   16.   Cash provided (applied):
         16.1 Surplus notes, capital notes                                                                                 0                 0                    0
         16.2 Capital and paid in surplus, less treasury stock                                                             0                 0                    0
         16.3 Borrowed funds                                                                                               0                 0                    0
         16.4 Net deposits on deposit-type contracts and other insurance liabilities                              46,251,655       224,399,847          246,568,023
         16.5 Dividends to stockholders                                                                           10,000,000        10,000,000           20,000,000
         16.6 Other cash provided (applied)                                                                       (1,672,904)       (1,041,729)          (3,133,219)
   17.   Net cash from financing and miscellaneous sources (Line 16.1 through Line 16.4 minus Line 16.5
         plus Line 16.6)                                                                                          34,578,751       213,358,118          223,434,804
              RECONCILIATION OF CASH, CASH EQUIVALENTS AND SHORT-TERM INVESTMENTS
   18.   Net change in cash, cash equivalents and short-term investments (Line 11, plus Lines 15 and 17)         (87,461,272)       (6,830,317)          64,031,317
   19.   Cash, cash equivalents and short-term investments:
         19.1 Beginning of year                                                                                  162,795,798        98,764,481           98,764,481
         19.2 End of period (Line 18 plus Line 19.1)                                                              75,334,526        91,934,164          162,795,798


Note:       Supplemental disclosures of cash flow information for non-cash transactions:

 20.0001.   Tax-free exchange of securities                                                                       22,314,327                 0           16,402,469
 20.0002.   Amortization of goodwill                                                                                                 2,083,744            4,167,494
 20.0003.   Transfer mortgage loans to other invested assets on schedule BA                                       14,845,954         2,900,782            4,034,782
 20.0004.   Transfer bonds to other invested assets on schedule BA                                                 1,915,689         1,405,034            1,405,034
 20.0005.   New partnership created from existing assets on schedule BA                                                                 17,199               43,699
 20.0006.   Interest capitalization                                                                                                          0               23,607




                                                                                      5
                    STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY




                                                                      EXHIBIT 1

                                                        DIRECT PREMIUMS AND DEPOSIT-TYPE CONTRACTS
                                                                                                   1                  2                   3
                                                                                              Current Year       Prior Year       Prior Year Ended
                                                                                                to Date           to Date           December 31



   1. Industrial life                                                                                                         0                      0


   2. Ordinary life insurance                                                                      148,453,913     138,947,538          279,442,600


   3. Ordinary individual annuities                                                                231,529,544     179,533,300          340,614,714


   4. Credit life (group and individual)                                                                                      0                      0


   5. Group life insurance                                                                            863,385           815,898           1,670,334


   6. Group annuities                                                                                6,888,741        5,545,579           9,818,906


   7. A & H - group                                                                                   252,254           257,747             395,577


   8. A & H - credit (group and individual)                                                                                   0                      0


   9. A & H - other                                                                                  4,860,686        5,080,857           9,518,982


  10. Aggregate of all other lines of business                                                               0                0                      0


  11. Subtotal                                                                                     392,848,523     330,180,919          641,461,113


  12. Deposit-type contracts                                                                         6,852,177     213,133,530          231,811,246


  13. Total                                                                                        399,700,700     543,314,449          873,272,359


        DETAILS OF WRITE-INS



1001.                                                                                                                         0


1002.                                                                                                                         0


1003.                                                                                                                         0


1098. Summary of remaining write-ins for Line 10 from overflow page                                          0                0                      0


1099. Totals (Lines 1001 through 1003 plus 1098) (Line 10 above)                                             0                0                      0




                                                                           6
STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                  NOTES TO FINANCIAL STATEMENTS
1.   Summary of Significant Accounting Policies
     A. Accounting Practices
         The accompanying financial statements of Farm Bureau Life Insurance Company (we or the Company) are presented on the basis of accounting practices
         prescribed or permitted by the Insurance Division, Department of Commerce, of the State of Iowa. Accordingly, they do not include all of the
         information and notes required for an Annual Statement. Operating results for the six-month period ended June 30, 2011 are not necessarily indicative of
         the results that may be expected for the year ended December 31, 2011. We encourage you to refer to the Notes to Financial Statements included in our
         Annual Statement for the year ended December 31, 2010 for a complete description of our material accounting policies.

          The National Association of Insurance Commissioners' (NAIC) Accounting Practices and Procedures manual (NAIC SAP) has been adopted by the State
          of Iowa. The state has the right to prescribe practices that differ from those found in NAIC SAP. In addition, the Commissioner of Insurance has the
          right to permit other specific practices that deviate from prescribed practices.

          NAIC SAP requires that the change in unrealized gain/loss on call options hedging index annuity products be recorded in capital and surplus. However,
          as allowed by Bulletin 06-01 from the Insurance Division, Department of Commerce, of the State of Iowa, the Company reports this change in net
          investment income. As a result, net income is $22,186 higher as of June 30, 2011 and $99,316 lower in 2010 than it would have been without this
          permitted practice. This practice does not have any impact on total capital and surplus.

          There are no other differences in the Company's net income or capital and surplus between NAIC SAP and practices prescribed and permitted by the
          State of Iowa.

                          Net Income                                                              State of Domicile          6/30/2011       12/31/2010
                 (1)      Farm Bureau Life Insurance Company state basis                                 Iowa              $ 40,899,563     $ 72,296,064
                 (2)      State Prescribed Practices that increase (decrease) NAIC SAP                                                -                 -
                 (3)      State Permitted Practices that increase/(decrease) NAIC SAP
                          Unrealized gain/loss on call options                                            Iowa                   22,186         (99,316)
                 (4)      NAIC SAP (1-2-3 = 4)                                                            Iowa             $ 40,877,377     $ 72,395,380

                          Surplus
                 (5)      Farm Bureau Life Insurance Company state basis                                  Iowa             $481,021,127     $453,631,481
                 (6)      State Prescribed Practices that increase (decrease) NAIC SAP                                                -                -
                 (7)      State Permitted Practices that increase/(decrease) NAIC SAP                                                 -                -
                 (8)      NAIC SAP (5-6-7 = 8)                                                            Iowa             $481,021,127     $453,631,481


2.   Accounting Changes and Corrections of Errors: There were no accounting changes or corrections of errors in 2011 or 2010.

3.   Business Combinations and Goodwill: The Company had no business combinations during the periods covered by this statement.

4.   Discontinued Operations: The Company had no discontinued operations during the periods covered by this statement.

5.   Investments:
     A-C No material changes since the prior annual statement.

     D. Loan-Backed Securities

         (1) Prepayment assumptions for single class and multi-class mortgage-backed/asset-backed securities were obtained from broker dealer values or historical
             six- month prepayment speeds from Bloomberg. The retrospective adjustment methodology is used for all mortgage-backed/asset-backed securities.

         (2) Securities owned by the Company with a recognized other-than-temporary (OTTI) impairment, disclosed in aggregate, classified on the basis for the
             OTTI:

                                                                      Amortized             OTTI          OTTI Recognized             Estimated
                                                                     Cost Before        Recognized in      in Loss (Non-                 Fair
          OTTI recognized 1st Quarter                                Impairment         Loss (Interest)        interest)                Value
            a. Intent to sell                                        $         -         $          -        $           -          $         -
            b. Inability or lack of intent to retain the
                investment in the security for a period
                sufficient to recover the amortized cost basis                   -                  -                  -                     -
            c. Total 1st Quarter                                     $           -       $          -        $         -           $          -

          OTTI recognized 2nd Quarter
            d. Intent to sell                                        $           -       $          -        $         -            $        -
            e. Inability or lack of intent to retain the
                investment in the security for a period
                sufficient to recover the amortized cost basis        11,978,048                    -         (6,628,446)             5,349,602
            f. Total 2nd Quarter                                     $11,978,048         $          -        $(6,628,446)           $ 5,349,602

         (3) There were no securities, with a recognized OTTI, held by the Company in which the present value of cash flow expected to be collected is less than
             the amortized cost basis of the security during the period covered by this statement.

         (4) Securities owned by the Company for which fair value is less than amortized cost for which an other-than-temporary impairment has not been
             recognized:

                a.     The aggregate amount of unrealized losses
                       1. Less than 12 months $ (2,858,612)
                       2. 12 Months or longer $ (33,971,994)

                b.     The aggregate related fair value of securities with unrealized losses
                       1. Less than 12 months $121,376,277
                       2. 12 Months or longer $156,802,179

         (5) In determining whether or not an unrealized loss is other-than-temporary, we review factors such as:
               • historical operating trends;
               • business prospects;
               • status of the industry in which the company operates;
               • analyst ratings on the issuer and sector;
               • quality of management;
               • size of the unrealized loss;
               • level of current market interest rates compared to market interest rates when the security was purchased;
               • length of time the security has been in an unrealized loss position; and
               • our intent and ability to hold the security.

     E-G. No material changes since the prior annual statement.




                                                                             7
STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY
6.   Joint Ventures, Partnerships and Limited Liability Companies: No material changes since the prior annual statement.

7.   Investment income: No material changes since the prior annual statement.

8.   Derivative Instruments: No material changes since the prior annual statement.

9.   Income Taxes: No material changes since the prior annual statement.

10. Information Concerning Parent, Subsidiaries and Affiliates: No material changes since the prior annual statement.

11. Debt:
    A. The Company has no capital notes or other debt outstanding.

     B.    FHLB (Federal Home Loan Bank) funding agreements: No material changes since the prior annual statement.

12. Retirement Plans, Deferred Compensation, Postemployment Benefits and Compensated Absences and other Postretirement Benefit Plans: No material
    changes since the prior annual statement.

13. Capital and Surplus, Shareholders’ Dividend Restrictions and Quasi-Reorganizations: No material changes since the prior annual statement.

14. Contingencies: No material changes since the prior annual statement.

15. Leases: No material changes since the prior annual statement.

16. Information About Financial Instruments With Off-Balance Sheet Risk and Financial Instruments With Concentrations of Credit Risk: No material changes
    since the prior annual statement.

17. Sale, Transfer and Servicing of Financial Assets and Extinguishments of Liabilities: The Company has not sold or transferred financial assets.
    17 C. Wash Sales: The Company had no wash sales during the period covered by this statement.

18. Gain or Loss to the Reporting Entity from Uninsured Plans and the Uninsured Portion of Partially Insured Plans: The Company does not serve as administrator
    for any uninsured or partially insured A&H plans.

19. Direct Premium Written/Produced by Managing General Agents/Third Party Administrators: The Company does not write direct premiums through Managing
    General Agents/Third Party Administrators.

20. Fair Value Measurements: The Company's financial assets and liabilities carried at fair value have been classified, for disclosure purposes, based on a
    hierarchy defined by STAT SSAP #100. The hierarchy gives the highest ranking to fair values determined using unadjusted quoted prices in active markets for
    identical assets and liabilities (Level 1) and the lowest ranking to fair values determined using methodologies and models with unobservable inputs (Level 3).
    An asset’s or a liability’s classification is based on the lowest level input that is significant to its measurement. For example, a Level 3 fair value measurement
    may include inputs that are both observable (Levels 1 and 2) and unobservable (Level 3). The levels of the fair value hierarchy are as follows:

     Level 1 – Quoted prices are available in active markets for identical financial instruments as of the reporting date. The types of financial instruments included
     in Level 1 are listed equities, mutual funds, money market funds, and separate account assets.

     Level 2 – Pricing inputs are other than quoted prices in active markets which are either directly or indirectly observable as of the reporting date, and fair value
     is determined through the use of models or other valuation methods. Financial instruments which are generally included in this category include fixed maturity
     securities, less liquid and restricted equity securities and over-the-counter derivatives that are priced by third-party pricing services or internal systems using
     observable inputs.

     Fair values of all Level 2 fixed maturity public securities are obtained primarily from a variety of independent pricing sources, whose results we evaluate
     internally. We generally obtain one or two prices per security, which are compared to relevant credit information, perceived market movements and sector
     news. Market indices of similar rated asset class spreads are consulted for valuations and broker indications of similar securities are compared. If the issuer
     has had trades in similar debt outstanding but not necessarily the same rank in the capital structure, spread information is used to support fair value. If
     discrepancies are identified additional quotes are obtained and the quote that best reflects a fair value exit price at the reporting date is selected. Fair value of
     most of our private investments are determined using matrix pricing with substantially all observable inputs, such as industry classification, duration and
     rating.

     Level 3 – Pricing inputs are unobservable for the financial instrument and include situations where there is little, if any, market activity for the financial
     instrument. The inputs into the determination of fair value require significant management judgment or estimation. Financial instruments that are included in
     this category generally include non-binding broker and internally priced mortgage or other asset-backed securities and other publicly traded issues, private
     corporate securities, and private equity securities.

     Fair values of private investments in Level 3 are determined by reference to public market, private transactions or valuations for comparable companies or
     assets in the relevant asset class when such amounts are available. For other securities where an exit price based on relevant observable inputs is not obtained,
     the fair value is determined using an enhanced matrix calculation.

     The matrix pricing we and pricing services perform include a discounted cash flow analysis using a spread, including the specific creditors’ credit default swap
     spread (if available), over U.S. Treasury bond yields, adjusted for the maturity/average life differences. Spread adjustments are intended to reflect an
     illiquidity premium and take into account a variety of factors including but not limited to: senior unsecured versus secured status, par amount outstanding,
     number of holders, maturity, average life, composition of lending group and debt rating. These valuation methodologies involve a significant degree of
     judgment.

     In certain cases, the inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, a financial instrument’s level
     within the fair value hierarchy is based on the lowest level of input that is significant to the fair value measurement. Our assessment of the significance of a
     particular input to the fair value measurement in its entirety requires judgment and considers factors specific to the financial instrument. From time to time
     there may be movements between levels as inputs become more or less observable, which may depend on several factors including the activity of the market
     for the specific security, the activity of the market for similar securities, the level of risk spreads and the source of the information from which we obtain the
     information. Transfers in or out of any level are measured as of the beginning of the period.

     Fair Value Measurements at Reporting Date

                                                                                                      June 30, 2011
                                                              Quoted prices in
                                                             active markets for       Significant other             Significant
                                                              identical assets        observable inputs         unobservable inputs
                                                                  (Level 1)               (Level 2)                  (Level 3)               Total

                 Assets at fair value
                 Bonds
                   Loan-backed and structured securities    $                     –   $       9,494,602         $                 –   $         9,494,602
                   Industrial and Misc                                            –              31,322                           –                31,322
                   Hybrids                                                        –           9,112,500                           –             9,112,500
                      Total Bonds                           $                     –   $      18,638,424         $                 –   $        18,638,424

                 Preferred Stock                            $                 –       $               –         $          475,984    $           475,984
                 Common Stock                                         5,250,323              20,147,400                    155,004             25,552,728
                 Derivative instruments -call options       $                 –       $         377,044         $                –    $           377,044
                 Separate account assets                    $       681,996,498       $               –         $                –    $       681,996,498
                 Total assets at fair value                 $       687,246,821       $      39,162,868         $          630,988    $       727,040,677




                                                                             7.1
STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY
     Fair Value Measurements in (Level 3) of the Fair Value Hierarchy

                                                                                                                                      June 30, 2011
                                                                                                         Realized and                                  Included in
                                                    Balance,                                            unrealized gains     Net transfers in       earnings (amort-     Balance,
                                               December 31, 2010        (Sales)         Purchases         (losses), net    (out) of Level 3 (1)          ization)      March 31, 2011
                                                                                                                                  (Dollars in thousands)
     Assets
     Corporate securities                     $                  – $              – $               –    $ (1,000,000) $            1,000,000 $                    – $              –
     Loan-backed and structured securities                 460,000                –                 –                –              (460,000)                      –                –
     Preferred stocks                                      605,798                –                 –        (129,814)                      –                      –          475,984
     Common stocks                                         197,278                –                 –         (42,274)                      –                      –          155,004
      Total                                   $          1,263,076 $              – $               –    $ (1,172,088) $              540,000 $                    – $        630,988

     The transfers out above includes two NAIC 6 securities where the fair value increased above the book value, therefore the securities were no longer required to
     be carried at fair value.

21. Other Items: No material changes since the prior annual statement.

22. Events Subsequent: There have been no events occurring subsequent to the close of the books and accounts for this statement that have a material effect on the
    financial conditions of the Company.

23. Reinsurance: No material changes since the prior annual statement.

24. Retrospectively Rated Contracts & Contracts Subject to Redetermination: The Company has no retrospectively rated contracts or contracts subject to
    redetermination.

25. Change in Incurred Losses and Loss Adjustment Expenses: The accident and health business retained by the Company has a minimal volume and as such no
    provision is made for loss/claim adjustment expenses for accident and health contracts.

26. Intercompany Pooling Arrangements: The Company does not pool insurance risks.

27. Structured Settlements: The Company does not purchase structured settlements.

28. Health Care Receivables: The Company has no health care receivables.

29. Participating Policies: No material changes since the prior annual statement.

30. Premium Deficiency Reserves: The Company does not write health insurance.

31. Reserves for Life Contracts and Deposit-Type Contracts: During the second quarter 2011, the Company refined its estimate of the policy reserve for universal
    life insurance contracts. The refinement resulted in a $12,400,000 reduction in reserves. There were no other material changes since the prior annual
    statement.

32. Analysis of Annuity Actuarial Reserves and Deposit Liabilities by Withdrawal Characteristics:
    G. FHLB (Federal Home Loan Bank) Agreements – See disclosures in Note 11 B above.

33. Premium and Annuity Considerations Deferred and Uncollected: No material changes since the prior annual statement.

34. Separate Accounts: No material changes since the prior annual statement.

35. Loss/Claim Adjustment Expenses: The Company does not have any loss/claim adjustment expenses.




                                                                                   7.2
                   STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                   GENERAL INTERROGATORIES
                                                     PART 1 - COMMON INTERROGATORIES
                                                                 GENERAL
1.1   Did the reporting entity experience any material transactions requiring the filing of Disclosure of Material Transactions with the State of                Yes [ ] No [X]
      Domicile, as required by the Model Act?

1.2   If yes, has the report been filed with the domiciliary state?                                                                                              Yes [ ] No [ ]


2.1   Has any change been made during the year of this statement in the charter, by-laws, articles of incorporation, or deed of settlement of the                Yes [ ] No [X]
      reporting entity?

2.2   If yes, date of change:



3.    Have there been any substantial changes in the organizational chart since the prior quarter end?                                                           Yes [ ] No [X]
      If yes, complete the Schedule Y - Part 1 - organizational chart.


4.1   Has the reporting entity been a party to a merger or consolidation during the period covered by this statement?                                            Yes [ ] No [X]

4.2   If yes, provide the name of entity, NAIC Company Code, and state of domicile (use two letter state abbreviation) for any entity that has
      ceased to exist as a result of the merger or consolidation.

                                                                1                                               2                           3
                                                           Name of Entity                               NAIC Company Code           State of Domicile




5.    If the reporting entity is subject to a management agreement, including third-party administrator(s), managing general agent(s), attorney-in-
      fact, or similar agreement, have there been any significant changes regarding the terms of the agreement or principals involved?                  Yes [ ] No [X] NA [ ]
      If yes, attach an explanation.

6.1   State as of what date the latest financial examination of the reporting entity was made or is being made.                                                      12/31/2006
6.2   State the as of date that the latest financial examination report became available from either the state of domicile or the reporting entity.
      This date should be the date of the examined balance sheet and not the date the report was completed or released.                                              12/31/2006
6.3   State as of what date the latest financial examination report became available to other states or the public from either the state of domicile
      or the reporting entity. This is the release date or completion date of the examination report and not the date of the examination (balance
      sheet date).                                                                                                                                                   02/12/2008
6.4   By what department or departments?
      Iowa Department of Commerce - Insurance Division

6.5   Have all financial statement adjustments within the latest financial examination report been accounted for in a subsequent financial
      statement filed with Departments?                                                                                                                 Yes [X] No [ ] NA [ ]

6.6   Have all of the recommendations within the latest financial examination report been complied with?                                                Yes [X] No [ ] NA [ ]

7.1   Has this reporting entity had any Certificates of Authority, licenses or registrations (including corporate registration, if applicable)
      suspended or revoked by any governmental entity during the reporting period?                                                                               Yes [ ] No [X]

7.2   If yes, give full information:



8.1   Is the company a subsidiary of a bank holding company regulated by the Federal Reserve Board?                                                              Yes [ ] No [X]

8.2   If response to 8.1 is yes, please identify the name of the bank holding company.



8.3   Is the company affiliated with one or more banks, thrifts or securities firms?                                                                             Yes [X] No [ ]

8.4   If response to 8.3 is yes, please provide below the names and location (city and state of the main office) of any affiliates regulated by a
      federal regulatory services agency [i.e. the Federal Reserve Board (FRB), the Office of the Comptroller of the Currency (OCC), the Office
      of Thrift Supervision (OTS), the Federal Deposit Insurance Corporation (FDIC) and the Securities Exchange Commission (SEC)] and
      identify the affiliate’s primary federal regulator.]

                                 1                                                   2                                 3              4             5      6             7
                                                                                 Location
                          Affiliate Name                                       (City, State)                         FRB            OCC           OTS     FDIC         SEC
      EquiTrust Marketing Services, LLC                    West Des Moines, IA                                        NO             NO            NO      NO           YES




                                                                                         8
                    STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                    GENERAL INTERROGATORIES
9.1    Are the senior officers (principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing
       similar functions) of the reporting entity subject to a code of ethics, which includes the following standards?                                               Yes [X] No [ ]
       (a) Honest and ethical conduct, including the ethical handling of actual or apparent conflicts of interest between personal and professional relationships;
       (b) Full, fair, accurate, timely and understandable disclosure in the periodic reports required to be filed by the reporting entity;
       (c) Compliance with applicable governmental laws, rules and regulations;
       (d) The prompt internal reporting of violations to an appropriate person or persons identified in the code; and
       (e) Accountability for adherence to the code.

9.11 If the response to 9.1 is No, please explain:



9.2    Has the code of ethics for senior managers been amended?                                                                                                      Yes [ ] No [X]

9.21 If the response to 9.2 is Yes, provide information related to amendment(s).


9.3    Have any provisions of the code of ethics been waived for any of the specified officers?                                                                      Yes [ ] No [X]

9.31 If the response to 9.3 is Yes, provide the nature of any waiver(s).



                                                                                      FINANCIAL
10.1 Does the reporting entity report any amounts due from parent, subsidiaries or affiliates on Page 2 of this statement?                                           Yes [ ] No [X]

10.2 If yes, indicate any amounts receivable from parent included in the Page 2 amount:                                                                 $

                                                                                    INVESTMENT
11.1 Were any of the stocks, bonds, or other assets of the reporting entity loaned, placed under option agreement, or otherwise made available
     for use by another person? (Exclude securities under securities lending agreements.)                                                                            Yes [ ] No [X]

11.2 If yes, give full and complete information relating thereto:



12.    Amount of real estate and mortgages held in other invested assets in Schedule BA:                                                                $              40,201,633

13.    Amount of real estate and mortgages held in short-term investments:                                                                              $                       0

14.1    Does the reporting entity have any investments in parent, subsidiaries and affiliates?                                                                       Yes [X] No [ ]

14.2    If yes, please complete the following:

                                                                                                                  1                                    2
                                                                                                           Prior Year-End                       Current Quarter
                                                                                                           Book/Adjusted                        Book/Adjusted
                                                                                                           Carrying Value                       Carrying Value
                  14.21 Bonds                                                                     $                                     $
                  14.22 Preferred Stock                                                           $                                     $
                  14.23 Common Stock                                                              $                                     $
                  14.24 Short-Term Investments                                                    $                                     $
                  14.25 Mortgage Loans on Real Estate                                             $                                     $
                  14.26 All Other                                                                 $               6,164,723             $              22,160,904
                  14.27 Total Investment in Parent, Subsidiaries and Affiliates
                        (Subtotal Lines 14.21 to 14.26)                                           $               6,164,723             $              22,160,904
                  14.28 Total Investment in Parent included in Lines 14.21 to 14.26
                        above                                                                     $                                     $

15.1 Has the reporting entity entered into any hedging transactions reported on Schedule DB?                                                                         Yes [X] No [ ]

15.2 If yes, has a comprehensive description of the hedging program been made available to the domiciliary state?                                                    Yes [X] No [ ]

       If no, attach a description with this statement.




                                                                                        8.1
                   STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                  GENERAL INTERROGATORIES
16.   Excluding items in Schedule E – Part 3 – Special Deposits, real estate, mortgage loans and investments held physically in the reporting
      entity’s offices, vaults or safety deposit boxes, were all stocks, bonds and other securities, owned throughout the current year held
      pursuant to a custodial agreement with a qualified bank or trust company in accordance with Section 3, III Conducting Examinations, F -
      Custodial or Safekeeping Agreements of the NAIC Financial Condition Examiners Handbook?                                                   Yes [X] No [ ]

16.1 For all agreements that comply with the requirements of the NAIC Financial Condition Examiners Handbook, complete the following:

                                                         1                                                           2
                                                Name of Custodian(s)                                         Custodian Address
                             JP Morgan Chase                                              New York, NY
                             Federal Home Loan Bank                                       Des Moines, IA
                             Wells Fargo                                                  Des Moines, IA



16.2 For all agreements that do not comply with the requirements of the NAIC Financial Condition Examiners Handbook, provide the name,
     location and a complete explanation:

                                              1                                 2                                        3
                                            Name(s)                         Location(s)                        Complete Explanation(s)



16.3 Have there been any changes, including name changes, in the custodian(s) identified in 16.1 during the current quarter?                    Yes [ ] No [X]

16.4 If yes, give full and complete information relating thereto:

                                      1                             2                            3                          4
                                Old Custodian                  New Custodian              Date of Change                  Reason




16.5 Identify all investment advisors, broker/dealers or individuals acting on behalf of broker/dealers that have access to the investment
     accounts, handle securities and have authority to make investments on behalf of the reporting entity:

                                                   1                                2                                            3
                                    Central Registration Depository               Name(s)                                     Address
                                                                       EquiTrust Investment
                                   050308                              Management Services, LLC            West Des Moines, IA
                                                                       Asset Allocation and Mangement
                                   109875                              Company, LLC                        Chicago, IL
                                                                       Guggenheim Partners Asset
                                   137432                              Management, LLC.                    Santa Monica, CA
                                                                       Goldman Sachs Asset
                                   107738                              Management, L.P.                    New York, NY



17.1 Have all the filing requirements of the Purposes and Procedures Manual of the NAIC Securities Valuation Office been followed?               Yes [ ] No [X]
17.2 If no, list exceptions:
      The following CUSIPs were not filed as they have a carrying value of zero: 0858423*1 Berthel Fisher, 085845204 Commercial
      Power, and 000000000 Edge Technologies.




                                                                                   8.2
            STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY



                                            GENERAL INTERROGATORIES
                                                           PART 2 - LIFE & HEALTH
                                                                                                                          1
1. Report the statement value of mortgage loans at the end of this reporting period for the following categories:       Amount

1.1 Long-Term Mortgages In Good Standing

       1.11 Farm Mortgages                                                                                          $

       1.12 Residential Mortgages                                                                                   $

       1.13 Commercial Mortgages                                                                                    $     429,334,072
       1.14 Total Mortgages in Good Standing                                                                        $     429,334,072
1.2 Long-Term Mortgages In Good Standing with Restructured Terms

       1.21 Total Mortgages in Good Standing with Restructured Terms                                                $       1,364,048
1.3 Long-Term Mortgages Loans upon which Interest is Overdue more than Three Months

       1.31 Farm Mortgages                                                                                          $

       1.32 Residential Mortgages                                                                                   $

       1.33 Commercial Mortgages                                                                                    $

       1.34 Total Mortgages with Interest Overdue more than Three Months                                            $               0
1.4 Long-Term Mortgages Loans in Process of Foreclosure

       1.41 Farm Mortgages                                                                                          $

       1.42 Residential Mortgages                                                                                   $

       1.43 Commercial Mortgages                                                                                    $

       1.44 Total Mortgages in Process of Foreclosure                                                               $               0
1.5 Total Mortgage Loans (Lines 1.14 + 1.21 + 1.34 + 1.44) (Page 2, Column 3, Lines 3.1 + 3.2)                      $     430,698,120
1.6 Long-Term Mortgages Foreclosed, Properties Transferred to Real Estate in Current Quarter

       1.61 Farm Mortgages                                                                                          $

       1.62 Residential Mortgages                                                                                   $

       1.63 Commercial Mortgages                                                                                    $

       1.64 Total Mortgages Foreclosed and Transferred to Real Estate                                               $               0
2. Operating Percentages:

       2.1 A&H loss percent                                                                                                   58.0 %
       2.2 A&H cost containment percent                                                                                        0.0 %
       2.3 A&H expense percent excluding cost containment expenses                                                          (243.6) %
3.1 Do you act as a custodian for health savings accounts?                                                              Yes [ ] No [X]
3.2 If yes, please provide the amount of custodial funds held as of the reporting date.                             $

3.3 Do you act as an administrator for health savings accounts?                                                         Yes [ ] No [X]
3.4 If yes, please provide the balance of the funds administered as of the reporting date.                          $




                                                                               9
                                            STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                       SCHEDULE S - CEDED REINSURANCE
                                                                          Showing All New Reinsurance Treaties


          1            2           3                         4                                                   5                6                7

                                                                                                                                                Is Insurer
        NAIC          Federal   Effective                                                                   Domiciliary         Type of        Authorized?
     Company Code   ID Number     Date                Name of Reinsurer                                     Jurisdiction   Reinsurance Ceded   (Yes or No)
10
                    STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

             SCHEDULE T  PREMIUMS AND ANNUITY CONSIDERATIONS
                                                        Current Year To Date - Allocated by States and Territories
                                                                                                                 Direct Business Only
                                                                                  Life Contracts                   4                  5              6                7
                                                                1             2                    3

                                                                                                              Accident and
                                                                                                            Health Insurance
                                                                                                               Premiums,
                                                                                                            Including Policy,                       Total
                                                             Active     Life Insurance        Annuity       Membership and          Other         Columns       Deposit - Type
                        States, Etc.                         Status       Premiums         Considerations      Other Fees       Considerations   2 Through 5      Contracts
    1.   Alabama                                       AL          N                22,743                900             2,144                  0      25,787               0
    2.   Alaska                                        AK          N                43,930            20,000                457                  0      64,388               0
    3.   Arizona                                       AZ          L             4,862,388         5,383,003             63,162                  0  10,308,553       114,252
    4.   Arkansas                                      AR          N               125,046            15,100              1,397                  0     141,543               0
    5.   California                                    CA          N               323,124            17,827              6,445                  0     347,396          1,980
    6.   Colorado                                      CO          L             3,724,593         3,447,178             51,231                  0   7,223,001               0
    7.   Connecticut                                   CT          N                16,385             1,587                304                  0      18,276               0
    8.   Delaware                                      DE          N                   902                   0                0                  0         902               0
    9.   District of Columbia                          DC          N                 1,837            11,580                  0                  0      13,417               0
   10.   Florida                                       FL          N               230,385            36,322              8,707                  0     275,414               0
   11.   Georgia                                       GA          N                86,181                250             4,530                  0      90,962               0
   12.   Hawaii                                        HI          N                20,362                200             1,000                  0      21,562               0
   13.   Idaho                                         ID          L             7,945,757         7,789,950             98,673                  0  15,834,381               0
   14.   Illinois                                      IL          N               340,988             1,790              8,412                  0     351,189               0
   15.   Indiana                                       IN          N                57,485                   0            5,362                  0      62,847               0
   16.   Iowa                                          IA          L           37,848,598         66,707,588         1,415,498        15,350,000   121,321,683     5,004,435
   17.   Kansas                                        KS          L           18,813,755         54,677,314         1,036,237                   0  74,527,306       250,123
   18.   Kentucky                                      KY          N                37,658            10,568              1,092                  0      49,318               0
   19.   Louisiana                                     LA          N                32,038                   0              738                  0      32,776               0
   20.   Maine                                         ME          N                 9,276                   0               60                  0       9,336               0
   21.   Maryland                                      MD          N                21,821                   0            3,687                  0      25,508               0
   22.   Massachusetts                                 MA          N                11,065                   0              448                  0      11,513               0
   23.   Michigan                                      MI          N                58,774                   0            1,726                  0      60,500               0
   24.   Minnesota                                     MN          L             8,135,965        11,803,625           697,330                   0  20,636,919         20,000
   25.   Mississippi                                   MS          N                16,061                   0                0                  0      16,061               0
   26.   Missouri                                      MO          N               526,758           241,698             31,533                  0     799,989               0
   27.   Montana                                       MT          L             4,505,165         5,530,802             43,345                  0  10,079,311       100,000
   28.   Nebraska                                      NE          L           10,840,555         13,613,048           459,009                   0  24,912,613       547,396
   29.   Nevada                                        NV          L               135,413            37,426              1,830                  0     174,669               0
   30.   New Hampshire                                 NH          N                 8,471                   0              935                  0       9,406               0
   31.   New Jersey                                    NJ          N                24,066             5,000                 81                  0      29,147               0
   32.   New Mexico                                    NM          L             3,686,305         3,532,762             50,079            24,000    7,293,147       125,000
   33.   New York                                      NY          N                54,139                150               126                  0      54,415               0
   34.   North Carolina                                NC          N                81,577             3,450              2,442                  0      87,470       300,000
   35.   North Dakota                                  ND          L             2,251,000         1,694,170             48,344                  0   3,993,513               0
   36.   Ohio                                          OH          N                57,373                150               766                  0      58,289               0
   37.   Oklahoma                                      OK          L           13,299,797         22,141,501             66,971                  0  35,508,269         14,000
   38.   Oregon                                        OR          L               219,277            19,650              8,879                  0     247,806               0
   39.   Pennsylvania                                  PA          N                47,278             1,300                466                  0      49,044               0
   40.   Rhode Island                                  RI          N                 4,023                   0                0                  0       4,023               0
   41.   South Carolina                                SC          N                33,659                   0                0                  0      33,659               0
   42.   South Dakota                                  SD          L             3,224,227         6,236,923             92,302                  0   9,553,452       134,500
   43.   Tennessee                                     TN          N                56,454           156,568              1,389                  0     214,411               0
   44.   Texas                                         TX          N               647,583           244,802             16,156                  0     908,542       149,500
   45.   Utah                                          UT          L             5,191,677        11,120,810             71,226                  0  16,383,713         17,904
   46.   Vermont                                       VT          N                 2,226                   0                0                  0       2,226               0
   47.   Virginia                                      VA          N                86,876           161,150                754                  0     248,781               0
   48.   Washington                                    WA          L               255,621            32,233              6,166                  0     294,020         35,808
   49.   West Virginia                                 WV          N                 7,540             2,000                  0                  0       9,540               0
   50.   Wisconsin                                     WI          L             6,038,501         5,693,455           439,665                   0  12,171,622               0
   51.   Wyoming                                       WY          L             6,281,105        17,966,017             35,841                  0  24,282,964         37,278
   52.   American Samoa                                AS          N                      0                  0                0                  0           0               0
   53.   Guam                                          GU          N                 2,534                   0                0                  0       2,534               0
   54.   Puerto Rico                                   PR          N                   130                   0                0                  0         130               0
   55.   US Virgin Islands                             VI          N                   980                   0                0                  0         980               0
   56.   Northern Mariana Islands                      MP          N                      0                  0                0                  0           0               0
   57.   Canada                                        CN          N                15,674             2,250                  0                  0      17,924               0
   58.   Aggregate Other Alien                         OT         XXX                6,848                   0                0                  0       6,848               0
   59.   Subtotal                                              (a)    18      140,379,950        238,362,097         4,786,946        15,374,000   398,902,992     6,852,176
   90.   Reporting entity contributions for employee benefit
         plans                                                    XXX                                                                                        0
    91. Dividends or refunds applied to purchase paid-up
         additions and annuities                                  XXX            5,804,382            56,189                                         5,860,571
    92. Dividends or refunds applied to shorten endowment
         or premium paying period                                 XXX                                                                                        0
    93. Premium or annuity considerations waived under
         disability or other contract provisions                  XXX              551,486                             165,677                         717,163
    94. Aggregate other amounts not allocable by State            XXX                     0                  0                0                  0           0               0
    95. Totals (Direct Business)                                  XXX         146,735,818        238,418,286         4,952,622        15,374,000   405,480,726     6,852,176
    96. Plus Reinsurance Assumed                                  XXX              (11,233)                                                            (11,233)
    97. Totals (All Business)                                     XXX         146,724,585        238,418,286         4,952,622        15,374,000   405,469,493     6,852,176
    98. Less Reinsurance Ceded                                    XXX          10,318,796                            4,850,153                      15,168,949
    99. Totals (All Business) less Reinsurance Ceded              XXX         136,405,790        238,418,286           102,469        15,374,000   390,300,545     6,852,176
           DETAILS OF WRITE-INS
   5801. Other countries - see note below                         XXX                6,848                                                               6,848
   5802.                                                          XXX                                                                                        0
   5803.                                                          XXX                                                                                        0
   5898. Summary of remaining write-ins for Line 58 from
           overflow page                                          XXX                     0                  0                0                  0           0               0
   5899. Totals (Lines 5801 through 5803 + 5898) (Line 58
           above)                                                 XXX                6,848                   0                0                  0       6,848               0
   9401.                                                          XXX                                                                                        0
   9402.                                                          XXX                                                                                        0
   9403.                                                          XXX                                                                                        0
   9498. Summary of remaining write-ins for Line 94 from
           overflow page                                          XXX                     0                  0                0                  0           0               0
   9499. Totals (Lines 9401 through 9403 + 9498) (Line 94
           above)                                                 XXX                     0                  0                0                  0           0               0
(L) Licensed or Chartered - Licensed Insurance Carrier or Domiciled RRG; (R) Registered - Non-domiciled RRGs; (Q) Qualified - Qualified or Accredited Reinsurer; (E) Eligible -
Reporting Entities eligible or approved to write Surplus Lines in the state; (N) None of the above - Not allowed to write business in the state.
(a) Insert the number of L responses except for Canada and Other Alien.
All individual premiums are allocated to state of residence. All group premiums are allocated by situs of the contract.
Line 5801 consists of immaterial premiums, individually and in the aggregate, that are attributable to no more than ten countries.



                                                                                     11
                             STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

     SCHEDULE Y - INFORMATION CONCERNING ACTIVITIES OF INSURER MEMBERS OF A HOLDING COMPANY GROUP
                                              PART 1 - ORGANIZATIONAL CHART
12
                      STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

          SUPPLEMENTAL EXHIBITS AND SCHEDULES INTERROGATORIES
The following supplemental reports are required to be filed as part of your statement filing. However, in the event that your company does not transact the type of business
for which the special report must be filed, your response of NO to the specific interrogatory will be accepted in lieu of filing a “NONE” report and a bar code will be printed below.
If the supplement is required of your company but is not being filed for whatever reason enter SEE EXPLANATION and provide an explanation following the interrogatory
questions.

                                                                                                                                                                  RESPONSE

     1.   Will the Trusteed Surplus Statement be filed with the state of domicile and the NAIC with this statement?                                                     NO
     2.   Will the Medicare Part D Coverage Supplement be filed with the state of domicile and the NAIC with this statement?                                            NO
     3.   Will the Reasonableness of Assumptions Certification required by Actuarial Guideline XXXV be filed with the state of domicile and
          electronically with the NAIC?                                                                                                                         SEE EXPLANATION
     4.   Will the Reasonableness and Consistency of Assumptions Certification required by Actuarial Guideline XXXV be filed with the state of
          domicile and electronically with the NAIC?                                                                                                                   YES
     5.   Will the Reasonableness of Assumptions Certification for Implied Guaranteed Rate Method required by Actuarial Guideline XXXVI be filed
          with the state of domicile and electronically with the NAIC?                                                                                                  NO
     6.   Will the Reasonableness and Consistency of Assumptions Certification required by Actuarial Guideline XXXVI (Updated Average Market
          Value) be filed with the state of domicile and electronically with the NAIC?                                                                                  NO
     7.   Will the Reasonableness and Consistency of Assumptions Certification required by Actuarial Guideline XXXVI (Updated Market Value) be
          filed with the state of domicile and electronically with the NAIC?                                                                                            NO

Explanation:



1.



2.



3.Not applicable




5.



6.



7.


Bar Code:




1.
          *63088201149000002*

2.
          *63088201136500002*


5.
          *63088201144700002*

6.
          *63088201144800002*

7.
          *63088201144900002*




                                                                                        13
STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY


             OVERFLOW PAGE FOR WRITE-INS




                                 14
                 STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY



                                               SCHEDULE A – VERIFICATION
                                                                             Real Estate
                                                                                                                    1                         2
                                                                                                                                      Prior Year Ended
                                                                                                               Year To Date            December 31
 1. Book/adjusted carrying value, December 31 of prior year                                                              6,838,363              7,855,637
 2. Cost of acquired:
    2.1 Actual cost at time of acquisition                                                                                                              0
    2.2 Additional investment made after acquisition                                                                                                    0
 3. Current year change in encumbrances                                                                                                                 0
 4. Total gain (loss) on disposals                                                                                                               (129,924)
 5. Deduct amounts received on disposals                                                                                                          753,376
 6. Total foreign exchange change in book/adjusted carrying value                                                                                       0
 7. Deduct current year’s other than temporary impairment recognized                                                       544,772                 17,351
 8. Deduct current year’s depreciation                                                                                      57,815                116,623
 9. Book/adjusted carrying value at the end of current period (Lines 1+2+3+4-5+6-7-8)                                    6,235,776              6,838,363
10. Deduct total nonadmitted amounts                                                                                             0                      0
11. Statement value at end of current period (Line 9 minus Line 10)                                                      6,235,776              6,838,363




                                               SCHEDULE B – VERIFICATION
                                                                           Mortgage Loans
                                                                                                                    1                         2
                                                                                                                                      Prior Year Ended
                                                                                                               Year To Date            December 31
 1. Book value/recorded investment excluding accrued interest, December 31 of prior year                                442,249,986           456,295,704
 2. Cost of acquired:
    2.1 Actual cost at time of acquisition                                                                               20,450,000            21,844,078
    2.2 Additional investment made after acquisition                                                                                                    0
 3. Capitalized deferred interest and other                                                                                                        23,607
 4. Accrual of discount                                                                                                                                 0
 5. Unrealized valuation increase (decrease)                                                                                                            0
 6. Total gain (loss) on disposals                                                                                                                (28,704)
 7. Deduct amounts received on disposals                                                                                 32,001,875            35,069,317
 8. Deduct amortization of premium and mortgage interest points and commitment fees                                                                     0
 9. Total foreign exchange change in book value/recorded investment excluding accrued interest                                                          0
10. Deduct current year’s other than temporary impairment recognized                                                                              815,382
11. Book value/recorded investment excluding accrued interest at end of current period (Lines 1+2+3+4+5+6-7-
        8+9-10)                                                                                                         430,698,111           442,249,986
12. Total valuation allowance                                                                                                                           0
13. Subtotal (Line 11 plus Line 12)                                                                                     430,698,111           442,249,986
14. Deduct total nonadmitted amounts                                                                                              0                     0
15. Statement value at end of current period (Line 13 minus Line 14)                                                    430,698,111           442,249,986




                                             SCHEDULE BA – VERIFICATION
                                                                  Other Long-Term Invested Assets
                                                                                                                    1                         2
                                                                                                                                      Prior Year Ended
                                                                                                               Year To Date            December 31
 1. Book/adjusted carrying value, December 31 of prior year                                                              71,338,452            62,219,754
 2. Cost of acquired:
    2.1 Actual cost at time of acquisition                                                                                8,178,455             5,259,664
    2.2 Additional investment made after acquisition                                                                     20,338,210             5,506,576
 3. Capitalized deferred interest and other                                                                                                             0
 4. Accrual of discount                                                                                                        664                  3,040
 5. Unrealized valuation increase (decrease)                                                                             1,145,180              4,812,682
 6. Total gain (loss) on disposals                                                                                                                      0
 7. Deduct amounts received on disposals                                                                                     40,572             6,161,741
 8. Deduct amortization of premium and depreciation                                                                         127,362               244,918
 9. Total foreign exchange change in book/adjusted carrying value                                                                                       0
10. Deduct current year’s other than temporary impairment recognized                                                                               56,605
11. Book/adjusted carrying value at end of current period (Lines 1+2+3+4+5+6-7-8+9-10)                                  100,833,027            71,338,452
12. Deduct total nonadmitted amounts                                                                                        245,155               233,383
13. Statement value at end of current period (Line 11 minus Line 12)                                                    100,587,872            71,105,070




                                               SCHEDULE D – VERIFICATION
                                                                          Bonds and Stocks
                                                                                                                    1                         2
                                                                                                                                      Prior Year Ended
                                                                                                               Year To Date            December 31
 1.   Book/adjusted carrying value of bonds and stocks, December 31 of prior year                                  4,862,052,757            4,331,445,820
 2.   Cost of bonds and stocks acquired                                                                              584,220,370            1,003,981,216
 3.   Accrual of discount                                                                                              5,210,224                5,623,219
 4.   Unrealized valuation increase (decrease)                                                                           327,903                3,152,065
 5.   Total gain (loss) on disposals                                                                                   4,194,628               22,493,978
 6.   Deduct consideration for bonds and stocks disposed of                                                          251,902,771              494,389,436
 7.   Deduct amortization of premium                                                                                   3,312,301                5,502,283
 8.   Total foreign exchange change in book/adjusted carrying value                                                                                     0
 9.   Deduct current year’s other than temporary impairment recognized                                                 8,328,446                4,751,822
10.   Book/adjusted carrying value at end of current period (Lines 1+2+3+4+5-6-7+8-9)                              5,192,462,364            4,862,052,757
11.   Deduct total nonadmitted amounts                                                                                         0                        0
12.   Statement value at end of current period (Line 10 minus Line 11)                                             5,192,462,364            4,862,052,757




                                                                              SI01
                                                                                      STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                           SCHEDULE D - PART 1B
                                                                                                                     Showing the Acquisitions, Dispositions and Non-Trading Activity
                                                                                                               During the Current Quarter for all Bonds and Preferred Stock by Rating Class
                                                                                          1                           2                         3                         4                        5                              6                    7                    8
                                                                                   Book/Adjusted                                                                    Non-Trading             Book/Adjusted                  Book/Adjusted        Book/Adjusted        Book/Adjusted
                                                                                   Carrying Value               Acquisitions              Dispositions                 Activity             Carrying Value                 Carrying Value       Carrying Value       Carrying Value
                                                                                    Beginning of                   During                    During                    During                   End of                         End of               End of           December 31
                                                                                   Current Quarter             Current Quarter          Current Quarter            Current Quarter           First Quarter                 Second Quarter       Third Quarter          Prior Year



               BONDS



           1. Class 1 (a)                                                                  3,299,082,219               333,543,873                 314,497,441                 11,597,547                  3,299,082,219        3,329,726,198                    0        3,274,931,966
           2. Class 2 (a)                                                                  1,418,417,196               100,710,740                  48,102,573                (11,256,663)                 1,418,417,196        1,459,768,700                    0        1,322,976,923
           3. Class 3 (a)                                                                   194,060,224                                              2,087,550                  4,323,383                    194,060,224          196,296,057                    0          210,394,611
           4. Class 4 (a)                                                                   103,091,366                                              4,428,088                 (4,371,497)                   103,091,366           94,291,781                    0           96,975,244
           5. Class 5 (a)                                                                    41,276,380                                                209,153                 (6,181,873)                   41,276,380            34,885,354                    0           44,716,115
           6. Class 6 (a)                                                                    14,082,742                                                300,000                   (463,320)                   14,082,742            13,319,422                    0           11,449,874
           7. Total Bonds                                                                  5,070,010,127               434,254,613                 369,624,805                 (6,352,423)                 5,070,010,127        5,128,287,512                    0        4,961,444,733
SI02




               PREFERRED STOCK



           8. Class 1                                                                         8,000,000                                                                                                       8,000,000             8,000,000                    0            8,000,000
           9. Class 2                                                                        30,148,892                                                                                                      30,148,892            30,148,892                    0           30,148,892
          10. Class 3                                                                                  0                                                                                                              0                     0                    0                    0
          11. Class 4                                                                                  0                                                                                                              0                     0                    0                    0
          12. Class 5                                                                           540,891                                                                            (64,907)                      540,891              475,984                    0              605,798
          13. Class 6                                                                                  0                                                                                                              0                     0                    0                    0
          14. Total Preferred Stock                                                          38,689,783                           0                           0                    (64,907)                  38,689,783            38,624,876                    0           38,754,690
          15. Total Bonds & Preferred Stock                                                5,108,699,910               434,254,613                 369,624,805                 (6,417,330)                 5,108,699,910        5,166,912,388                    0        5,000,199,423
       (a) Book/Adjusted Carrying Value column for the end of the current reporting period includes the following amount of non-rated short-term and cash equivalent bonds by NAIC designation: NAIC 1 $                     ; NAIC 2 $                 ;
       NAIC 3 $                           ; NAIC 4 $                          ; NAIC 5 $                         ; NAIC 6 $
                       STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY



                                                      SCHEDULE DA - PART 1
                                                                        Short-Term Investments


                                                                    1                    2            3                        4                      5
                                                                                                                                              Paid for Accrued
                                                           Book/Adjusted                                             Interest Collected           Interest
                                                           Carrying Value             Par Value   Actual Cost          Year To Date            Year To Date

 9199999                                                                 2,754          XXX                2,754




                                               SCHEDULE DA - VERIFICATION
                                                                        Short-Term Investments

                                                                                                                     1                             2
                                                                                                                                              Prior Year
                                                                                                                Year To Date              Ended December 31

 1. Book/adjusted carrying value, December 31 of prior year                                                              162,699,831                 90,136,209
 2. Cost of short-term investments acquired                                                                              349,311,853              1,014,924,160
 3. Accrual of discount                                                                                                                                          0
 4. Unrealized valuation increase (decrease)                                                                                                                     0
 5. Total gain (loss) on disposals                                                                                                                               0
 6. Deduct consideration received on disposals                                                                           512,008,930                942,360,538
 7. Deduct amortization of premium                                                                                                                               0
 8. Total foreign exchange change in book/adjusted carrying value                                                                                                0
 9. Deduct current year’s other than temporary impairment recognized                                                                                             0
10. Book/adjusted carrying value at end of current period (Lines 1+2+3+4+5-6-7+8-9)                                            2,754                162,699,831
11. Deduct total nonadmitted amounts                                                                                                                             0
12. Statement value at end of current period (Line 10 minus Line 11)                                                           2,754                162,699,831




                                                                                 SI03
                  STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY


                                  SCHEDULE DB - PART A - VERIFICATION
                                                           Options, Caps, Floors, Collars, Swaps and Forwards
 1. Book/Adjusted Carrying Value, December 31, prior year (Line 9, prior year)                                              330,397
 2. Cost Paid/(Consideration Received) on additions                                                                         186,226
 3. Unrealized Valuation increase/(decrease)                                                                                 34,130
 4. Total gain (loss) on termination recognized                                                                              90,035
 5. Considerations received/(paid) on terminations                                                                          263,745
 6. Amortization
 7. Adjustment to the Book/Adjusted Carrying Value of hedged item
 8. Total foreign exchange change in Book/Adjusted Carrying Value
 9. Book/Adjusted Carrying Value at End of Current Period (Lines 1+2+3+4-5+6+7+8)                                           377,043
10. Deduct nonadmitted assets
11. Statement value at end of current period (Line 9 minus Line 10)                                                         377,043




                            SCHEDULE DB - PART B - VERIFICATION
                                                                       Futures Contracts
 1.   Book/Adjusted carrying value, December 31 of prior year                                                           0
 2.   Net cash deposits (Section 1, Broker Name/Net Cash Deposits Footnote)                                             0
 3.1 Change in variation margin on open contracts
 3.2 Add:
                Change in adjustment to basis of hedged item
            3.21 Section 1, Column 17, current year to date minus                          0
            3.22 Section 1, Column 17, prior year                                          0                    0
                Change in amount recognized
            3.23 Section 1, Column 16, current year to date minus                          0
            3.24 Section 1, Column 16, prior year                                          0                    0   0
 3.3 Subtotal (Line 3.1 minus Line 3.2)                                                                                 0
 4.1 Variation margin on terminated contracts during the year
 4.2 Less:
            4.21 Amount used to adjust basis of hedged item
            4.22 Amount recognized                                                                              0
 4.3 Subtotal (Line 4.1 minus Line 4.2)                                                                                 0
 5.   Dispositions gains (losses) on contracts terminated in prior year:
      5.1 Recognized
      5.2 Used to adjust basis of hedged items
 6.   Book/Adjusted carrying value at end of current period (Lines 1+2+3.3-4.3-5.1-5.2)                                 0
 7.   Deduct total nonadmitted amounts
 8.   Statement value at end of current period (Line 6 minus Line 7)                                                    0




                                                                                 SI04
STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY




                  Schedule DB - Part C - Section 1

                             NONE
                  Schedule DB - Part C - Section 2

                             NONE




                             SI05, SI06
                  STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY



                                             SCHEDULE DB - VERIFICATION
                             Verification of Book/Adjusted Carrying Value, Fair Value and Potential Exposure of all Open Derivative Contracts



                                                                                                                                  Book/Adjusted Carrying Value Check
 1.   Part A, Section 1, Column 14                                                                                                         377,043
 2.   Part B, Section 1, Column 14                                                                                                               0
 3.   Total (Line 1 plus Line 2)                                                                                                                                  377,043
 4.   Part D, Column 5                                                                                                                     377,044
 5.   Part D, Column 6                                                                                                                           0
 6.   Total (Line 3 minus Line 4 minus Line 5)                                                                                                                         (1)


                                                                                                                                            Fair Value Check


 7.   Part A, Section 1, Column 16                                                                                                         377,043
 8.   Part B, Section 1, Column 13                                                                                                               0
 9.   Total (Line 7 plus Line 8)                                                                                                                                  377,043
10.   Part D, Column 8                                                                                                                     377,044
11.   Part D, Column 9                                                                                                                           0
12.   Total (Line 9 minus Line 10 minus Line 11)                                                                                                                       (1)


                                                                                                                                       Potential Exposure Check
13.   Part A, Section 1, Column 21                                                                                                               0
14.   Part B, Section 1, Column 19                                                                                                               0
15.   Part D, Column 11                                                                                                                          0
16.   Total (Line 13 plus Line 14 minus Line 15)                                                                                                                       0




                                                                                SI07
                STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY



                                                 SCHEDULE E - VERIFICATION
                                                                       (Cash Equivalents)


                                                                                               1                        2
                                                                                            Year To                Prior Year
                                                                                             Date              Ended December 31

 1. Book/adjusted carrying value, December 31 of prior year                                               0                        0
 2. Cost of cash equivalents acquired                                                           129,987,700               9,998,519
 3. Accrual of discount                                                                               12,300                  1,481
 4. Unrealized valuation increase (decrease)                                                                                       0
 5. Total gain (loss) on disposals                                                                                          39,661
 6. Deduct consideration received on disposals                                                  130,000,000              10,039,661
 7. Deduct amortization of premium                                                                                                 0
 8. Total foreign exchange change in book/adjusted carrying value                                                                  0
 9. Deduct current year’s other than temporary impairment recognized                                                               0
10. Book/adjusted carrying value at end of current period (Lines 1+2+3+4+5-6-7+8-9)                       0                        0
11. Deduct total nonadmitted amounts                                                                                               0
12. Statement value at end of current period (Line 10 minus Line 11)                                      0                        0




                                                                            SI08
                                                                                           STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                                               SCHEDULE A - PART 2
                                                                                                                       Showing All Real Estate ACQUIRED AND ADDITIONS MADE During the Current Quarter
                                     1                                                                                                    4                                        5                                              6                            7                              8                                9
                                                                                            Location
                                                                                 2                              3                                                                                                            Actual Cost                                                                              Additional Investment
                                                                                                                                                                                                                                  at                                             Book/Adjusted Carrying Value              Made After
                           Description of Property                              City                           State            Date Acquired                               Name of Vendor                                Time of Acquisition       Amount of Encumbrances           Less Encumbrances                     Acquisition




      0399999 Totals                                                                                                                                                                                                                            0                            0                                 0                              0



                                                                                                                                                SCHEDULE A - PART 3
                                                                                            Showing All Real Estate DISPOSED During the Quarter, Including Payments During the Final Year on “Sales Under Contract”
                       1                            Location          4                5                   6                   7                    8            Changes in Book/Adjusted Carrying Value Less Encumbrances              14           15               16           17                18                 19              20
                                               2               3                                                           Expended                               9            10           11              12            13
E01




                                                                                                                         for Additions,                                     Current                                                                                                                                    Gross
                                                                                                                          Permanent           Book/Adjusted               Year’s Other                                            Book/Adjusted                                                                       Income
                                                                                                                        Improvements          Carrying Value                 Than                                   Total Foreign Carrying Value                   Foreign                                          Earned Less
                                                                                                                         and Changes               Less        Current     Temporary Current Year’s Total Change Exchange              Less                     Exchange Gain   Realized          Total Gain          Interest  Taxes, Repairs
                                                                   Disposal                                                    in             Encumbrances     Year’s     Impairment     Change in    in B./A. C.V.  Change in    Encumbrances Amounts Received   (Loss) on   Gain(Loss) on       (Loss) on         Incurred on and Expenses
           Description of Property           City         State      Date     Name of Purchaser        Actual Cost      Encumbrances            Prior Year   Depreciation Recognized Encumbrances       (11-9-10)    B./A. C. V.   on Disposal   During Year       Disposal     Disposal           Disposal        Encumbrances    Incurred




      0399999 Totals
                                                                                          STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                             SCHEDULE B - PART 2
                                                                                                          Showing All Mortgage Loans ACQUIRED AND ADDITIONS MADE During the Current Quarter
                    1                                                     Location                                                4                      5                        6                                                       7                             8                               9
                                                               2                                   3

                                                                                                                                                                                                                                   Actual Cost at           Additional Investment Made
              Loan Number                                  City                                   State                           Loan Type                      Date Acquired                       Rate of Interest            Time of Acquisition              After Acquisition       Value of Land and Buildings
      Mortgages in Good Standing - Comm - All Other
      0401098                         ERLANGER                                       KY                                                                            06/14/2011                                            5.530                 3,450,000                                                         5,260,000
      4026001                         HOUSTON                                        TX                                                                            06/21/2011                                            5.750                 6,800,000                                                        10,000,000
      0599999 - Mortgages in Good Standing - Commercial Mortgages - All Other                                                                                                                                                                 10,250,000                            0                           15,260,000
      0899999 - Total Mortgages in Good Standing (sum of 0199999 - 0799999)                                                                                                                                                                   10,250,000                            0                           15,260,000




       3399999 Totals                                                                                                                                                                                                                         10,250,000                            0                           15,260,000



                                                                                                                             SCHEDULE B - PART 3
E02




                                                                                                           Showing All Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter
                    1                                              Location                                  4           5           6         7                      Change in Book Value/Recorded Investment                                               14          15          16            17               18

                                                         2                                 3                                                                        8                  9               10               11       12           13
                                                                                                                                                       Book                                                                                          Book
                                                                                                                                                    Value/Re-                                                                                      Value/Re-
                                                                                                                                                      corded                                         Current                                        corded
                                                                                                                                                   Investment                                        Year’s                              Total    Investment
                                                                                                                                                    Excluding Unrealized           Current         Other Than Capitalized     Total     Foreign    Excluding               Foreign
                                                                                                                                                     Accrued    Valuation          Year’s          Temporary    Deferred    Change in Exchange      Accrued               Exchange    Realized                  Total Gain
                                                                                                           Loan         Date          Disposal       Interest   Increase         (Amortization)/   Impairment Interest and Book Value Change in Interest on              Gain (Loss) Gain (Loss)                (Loss) on
              Loan Number                               City                              State            Type       Acquired          Date        Prior Year (Decrease)         Accretion        Recognized    Other     (8+9-10+11) Book Value Disposal Consideration on Disposal on Disposal                 Disposal
      Mortgages closed by repayment
      0401301                         CUDAHY                                    WI                                   02/28/2003       05/31/2011     1,408,657                                                                        0                    1,389,270   1,389,270                                         0
      0401302                         CUDAHY                                    WI                                   02/28/2003       05/01/2011        23,993                                                                        0                        4,665       4,665                                         0
      0401401                         BIRMINGHAM                                MI                                   04/03/2003       04/15/2011     1,720,641                                                                        0                    1,689,554   1,689,554                                         0
        0199999 - Mortgages closed by repayment                                                                                                      3,153,291              0                0              0                0        0            0       3,083,489   3,083,489           0                0            0
      Mortgages with partial repayments
      0151031                         COLUMBIA                                  MO                                   12/05/2008                      5,348,099                                                                        0                                   18,631                                             0
      0151216                         NAPLES                                    FL                                   10/21/2008                      2,019,513                                                                        0                                   10,506                                             0
      0151414                         INDEPENDENCE TOWNSHIP                     MI                                   10/31/2008                      3,726,188                                                                        0                                   17,251                                             0
      0151415                         AUBURN                                    AL                                   11/18/2008                      2,378,460                                                                        0                                   11,476                                             0
      0151708                         SUNRISE                                   FL                                   08/22/2008                      6,995,046                                                                        0                                   55,420                                             0
      0151811                         MIDDLETON                                 OH                                   05/16/2008                      5,054,170                                                                        0                                   27,082                                             0
      0152003                         OAK CREEK                                 WI                                   06/29/2007                      5,876,056                                                                        0                                   34,938                                             0
      0152111                         DRAPER                                    UT                                   05/07/2008                      3,155,567                                                                        0                                   26,800                                             0
      0152701                         PHOENIX                                   AZ                                   09/05/2008                      3,111,638                                                                        0                                   16,164                                             0
      0154004                         PLEASANT HILL                             CA                                   10/31/2008                      5,009,704                                                                        0                                   24,951                                             0
      0155110                         NAPA                                      CA                                   11/12/2008                      5,587,145                                                                        0                                   28,872                                             0
      0381001                         WHEATLAND                                 WY                                   07/01/1999                         22,614                                                                        0                                      545                                             0
      0381006                         ALBUQUERQUE                               NM                                   07/01/1999                        100,631                                                                        0                                    2,201                                             0
      0381014                         AMERICAN FALLS                            ID                                   07/01/1999                         38,680                                                                        0                                    2,699                                             0
      0381015                         RIVERTON                                  WY                                   07/01/1999                         19,688                                                                        0                                    1,401                                             0
      0381016                         TWIN FALLS                                ID                                   07/01/1999                         43,191                                                                        0                                    3,065                                             0
                                                                         STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY


                                                                                                     SCHEDULE B - PART 3
                                                                                   Showing All Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter
                       1                                 Location                    4           5           6         7                      Change in Book Value/Recorded Investment                             14          15         16          17           18

                                                   2                      3                                                           8             9               10         11          12          13
                                                                                                                         Book                                                                                     Book
                                                                                                                      Value/Re-                                                                                 Value/Re-
                                                                                                                        corded                                    Current                                        corded
                                                                                                                     Investment                                   Year’s                              Total    Investment
                                                                                                                      Excluding Unrealized      Current         Other Than Capitalized     Total     Foreign    Excluding               Foreign
                                                                                                                       Accrued    Valuation     Year’s          Temporary    Deferred    Change in Exchange      Accrued               Exchange    Realized     Total Gain
                                                                                    Loan        Date      Disposal     Interest   Increase    (Amortization)/   Impairment Interest and Book Value Change in Interest on              Gain (Loss) Gain (Loss)   (Loss) on
                  Loan Number                     City                   State      Type      Acquired      Date      Prior Year (Decrease)    Accretion        Recognized    Other     (8+9-10+11) Book Value Disposal Consideration on Disposal on Disposal    Disposal
        0381254                 TUCSON                              AZ                       07/01/1999                   297,233                                                                0                            19,676                                     0
        0400002                 RANCHO CORDOVA                      CA                       03/20/2002                 1,291,974                                                                0                            88,651                                     0
        0400003                 WINDSOR                             CT                       09/17/2002                 3,856,301                                                                0                            30,866                                     0
        0400004                 WINDSOR                             CT                       04/19/2004                   372,721                                                                0                            25,033                                     0
        0400006                 WINDSOR                             CT                       02/10/2005                 2,553,380                                                                0                            19,104                                     0
        0400007                 WINDSOR                             CT                       02/10/2005                 1,338,608                                                                0                            10,015                                     0
        0400008                 ROSWELL                             GA                       01/19/2009                 7,545,268                                                                0                            42,330                                     0
        0400039                 WEST SACRAMENTO                     CA                       05/15/1998                   844,461                                                                0                            29,196                                     0
        0401018                 COLUMBUS                            OH                       05/14/1996                   192,156                                                                0                            64,466                                     0
        0401031                 SPRINGFIELD                         MO                       07/30/1996                   447,757                                                                0                            16,271                                     0
        0401035                 GRAND BLANC                         MI                       02/13/1998                   813,972                                                                0                            22,860                                     0
        0401037                 PINEVILLE                           NC                       03/03/1998                   694,810                                                                0                            19,405                                     0
        0401051                 COLUMBUS                            OH                       01/08/1999                   611,009                                                                0                            44,257                                     0
        0401061                 IDAHO FALLS                         ID                       02/14/2000                    92,521                                                                0                             6,796                                     0
        0401070                 ELK GROVE VILLAGE                   IL                       01/09/2002                 3,194,833                                                                0                            26,761                                     0
        0401081                 KAILUA                              HI                       11/14/2002                 3,152,005                                                                0                            23,466                                     0
        0401084                 MITCHELLVILLE                       MD                       09/24/2002                 1,780,637                                                                0                            25,241                                     0
        0401202                 NAPLES                              FL                       11/07/2002                 1,040,385                                                                0                            14,218                                     0
E02.1




        0401203                 KAPOLEI EWA BEACH                   HI                       07/03/2003                 5,010,683                                                                0                            65,363                                     0
        0401204                 PALM BEACH                          FL                       11/04/2003                 3,817,394                                                                0                            20,408                                     0
        0401205                 PALM BEACH                          FL                       11/04/2003                 2,286,136                                                                0                            12,223                                     0
        0401206                 NAVARRE                             FL                       03/12/2004                 4,220,251                                                                0                            27,011                                     0
        0401207                 FORT MYERS                          FL                       07/01/2004                 4,415,678                                                                0                            45,266                                     0
        0401208                 TALLAHASSEE                         FL                       06/30/2004                 1,845,327                                                                0                            23,340                                     0
        0401209                 BRADENTON                           FL                       07/19/2004                   988,103                                                                0                            12,080                                     0
        0401210                 LAKE CLARK SHORES                   FL                       10/21/2004                   261,662                                                                0                             1,880                                     0
        0401211                 WEST PALM BEACH                     FL                       10/19/2004                 1,531,492                                                                0                            11,001                                     0
        0401212                 JUPITER PARK                        FL                       10/21/2004                 1,268,992                                                                0                             9,113                                     0
        0401213                 LANTANA                             FL                       10/14/2004                   171,088                                                                0                             1,259                                     0
        0401214                 NAPLES                              FL                       10/25/2004                 1,626,275                                                                0                            18,861                                     0
        0401215                 ORLANDO                             FL                       02/28/2005                 1,576,684                                                                0                            18,270                                     0
        0401217                 TALLAHASSEE                         FL                       05/19/2005                 1,054,944                                                                0                            11,917                                     0
        0401218                 LAKELAND                            FL                       03/31/2006                15,900,205                                                                0                          162,916                                      0
        0401220                 PORT ST. LUCIE                      FL                       01/25/2008                 1,536,790                                                                0                            12,572                                     0
        0401224                 INDIANAPOLIS                        IN                       07/16/2008                 2,071,948                                                                0                            15,262                                     0
        0401225                 NAPLES                              FL                       03/03/2011                                                                                          0                            74,556                                     0
        0401301                 CUDAHY                              WI                       02/28/2003                1,408,657                                                                 0                             7,814                                     0
        0401302                 CUDAHY                              WI                       02/28/2003                   23,993                                                                 0                             4,869                                     0
        0401306                 CHATTANOOGA                         TN                       09/28/2004                4,750,562                                                                 0                            35,095                                     0
        0401307                 WEST CHICAGO                        IL                       11/14/2005                1,290,191                                                                 0                            42,078                                     0
        0401369                 CHICAGO                             IL                       12/11/2001                2,538,292                                                                 0                            20,722                                     0
        0401375                 WEST CHICAGO                        IL                       04/18/2002                2,045,744                                                                 0                            64,564                                     0
        0401401                 BIRMINGHAM                          MI                       04/03/2003                1,720,641                                                                 0                             7,832                                     0
        0401402                 PONTIAC                             MI                       10/15/2003                5,166,479                                                                 0                            40,306                                     0
        0401403                 BLOOMFIELD HILLS                    MI                       01/13/2004                3,074,399                                                                 0                            74,158                                     0
        0401404                 GROSS POINTE FARMS                  MI                       11/26/2003                2,422,378                                                                 0                            31,292                                     0
        0401405                 NOVI                                MI                       04/22/2004                3,388,062                                                                 0                            26,599                                     0
        0401406                 NOVI                                MI                       04/22/2004                3,490,731                                                                 0                            27,405                                     0
        0401407                 MONROE                              MI                       06/30/2004                2,078,860                                                                 0                            25,117                                     0
        0401410                 PORTAGE                             MI                       10/21/2005                  559,917                                                                 0                            25,318                                     0
        0401487                 PONTIAC                             MI                       12/02/2002                1,687,778                                                                 0                            13,174                                     0
        0401501                 VADNAIS HEIGHTS                     MN                       04/03/2003                1,784,957                                                                 0                            24,306                                     0
        0401503                 MENDOTA HEIGHTS                     MN                       04/08/2004                1,771,361                                                                 0                            21,080                                     0
        0401504                 OMAHA                               NE                       03/30/2004                9,034,489                                                                 0                            67,205                                     0
                                                                         STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY


                                                                                                     SCHEDULE B - PART 3
                                                                                   Showing All Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter
                       1                                 Location                    4           5           6         7                      Change in Book Value/Recorded Investment                             14          15         16          17           18

                                                   2                      3                                                           8             9               10         11          12          13
                                                                                                                         Book                                                                                     Book
                                                                                                                      Value/Re-                                                                                 Value/Re-
                                                                                                                        corded                                    Current                                        corded
                                                                                                                     Investment                                   Year’s                              Total    Investment
                                                                                                                      Excluding Unrealized      Current         Other Than Capitalized     Total     Foreign    Excluding               Foreign
                                                                                                                       Accrued    Valuation     Year’s          Temporary    Deferred    Change in Exchange      Accrued               Exchange    Realized     Total Gain
                                                                                    Loan        Date      Disposal     Interest   Increase    (Amortization)/   Impairment Interest and Book Value Change in Interest on              Gain (Loss) Gain (Loss)   (Loss) on
                  Loan Number                     City                   State      Type      Acquired      Date      Prior Year (Decrease)    Accretion        Recognized    Other     (8+9-10+11) Book Value Disposal Consideration on Disposal on Disposal    Disposal
        0401505                 VADNAIS HEIGHTS                     MN                       08/24/2004                 1,302,715                                                                0                            15,574                                     0
        0401602                 OKLAHOMA CITY                       OK                       02/28/2005                 1,642,834                                                                0                          188,918                                      0
        0401678                 WALDORF                             MD                       04/03/2003                 2,157,755                                                                0                            26,841                                     0
        0401690                 SMITHFIELD                          NC                       12/06/2002                 1,351,670                                                                0                            18,284                                     0
        0401702                 LOS ALAMITOS                        CA                       02/08/2007                 4,888,048                                                                0                            17,207                                     0
        0401703                 SHERMAN OAKS                        CA                       06/28/2007                 5,695,307                                                                0                            24,868                                     0
        0401801                 COLUMBUS                            OH                       12/22/2005                 3,988,926                                                                0                            23,903                                     0
        0401805                 PETERSBURG                          VA                       01/19/2009                 4,965,365                                                                0                            33,927                                     0
        0401889                 COLUMBUS                            OH                       12/26/2002                 2,267,692                                                                0                            37,198                                     0
        0401923                 ST CLOUD                            MN                       06/30/2003                 4,119,654                                                                0                            55,176                                     0
        0401924                 AMES                                IA                       01/31/2005                 1,747,468                                                                0                            24,475                                     0
        0401927                 CHILLICOTHE                         MO                       11/16/2005                 2,258,656                                                                0                            43,266                                     0
        0402009                 KANSAS CITY                         MO                       10/29/2003                 1,259,464                                                                0                            32,195                                     0
        0402010                 EVERGREEN                           CO                       07/28/2004                 1,427,506                                                                0                            45,344                                     0
        0402012                 MILFORD                             MA                       11/29/2006                 5,338,955                                                                0                            21,399                                     0
        0402015                 LOVELAND                            CO                       03/30/2011                                                                                          0                             4,186                                     0
        0402218                 TOWSON                              MD                       01/19/2009                4,672,706                                                                 0                            23,272                                     0
        0402402                 KISSIMMEE                           FL                       09/24/2008                2,078,224                                                                 0                            16,311                                     0
E02.2




        0402403                 MAPLE SHADE                         NJ                       09/23/2008                1,716,173                                                                 0                            13,364                                     0
        0402404                 EGG HARBOR TOWNSHIP                 NJ                       12/19/2008                1,899,651                                                                 0                            14,262                                     0
        0402602                 HOUSTON                             TX                       01/19/2009                2,253,154                                                                 0                            19,012                                     0
        0402603                 HOUSTON                             TX                       01/19/2009                6,632,786                                                                 0                            50,106                                     0
        0402615                 HOUSTON                             TX                       01/15/1999                2,409,187                                                                 0                            55,378                                     0
        0402620                 HOUSTON                             TX                       07/21/1999                9,440,076                                                                 0                            79,715                                     0
        0402623                 HOUSTON                             TX                       11/02/2001                1,435,529                                                                 0                            49,093                                     0
        0402721                 TEMPE                               AZ                       05/08/2002                4,456,425                                                                 0                          137,842                                      0
        0402726                 PHOENIX                             AZ                       12/31/2003                2,351,857                                                                 0                            20,681                                     0
        0402728                 PHOENIX                             AZ                       12/31/2003                4,233,373                                                                 0                            37,223                                     0
        0403008                 WICHITA                             KS                       04/12/2002                  794,934                                                                 0                            38,967                                     0
        0403010                 MISSION WOODS                       KS                       01/30/2003                3,531,911                                                                 0                          100,911                                      0
        0403015                 ORLANDO                             FL                       07/30/2003                5,028,962                                                                 0                          547,378                                      0
        0404026                 IRVINE                              CA                       02/15/2000                6,115,371                                                                 0                            24,710                                     0
        0404027                 MISSION VIEJO                       CA                       02/17/2000                6,445,658                                                                 0                            26,043                                     0
        0404028                 RANCHO CUCAMONGA                    CA                       11/26/2002                1,920,023                                                                 0                            15,671                                     0
        0405126                 TUKWILA                             WA                       08/17/2005                  537,884                                                                 0                            25,530                                     0
        0405128                 LOVELAND                            CO                       10/31/2006                3,068,335                                                                 0                            29,563                                     0
        0406002                 DALY CITY                           CA                       07/25/2000                7,292,373                                                                 0                            46,267                                     0
        0406003                 NOVATA                              CA                       09/28/2000                1,351,813                                                                 0                            58,482                                     0
        0406004                 SUNNYVALE                           CA                       07/31/2000                4,508,239                                                                 0                            42,900                                     0
        0406005                 MILPITAS                            CA                       04/30/2001                1,256,763                                                                 0                            47,795                                     0
        0406006                 SAN FRANCISCO                       CA                       07/02/2001                7,578,397                                                                 0                            65,736                                     0
        0406007                 SONOMA                              CA                       08/30/2001                1,598,203                                                                 0                            56,561                                     0
        0406008                 LATHROP                             CA                       12/17/2003                7,418,549                                                                 0                            57,584                                     0
        0406019                 EMERYVILLE                          CA                       05/26/1994                1,327,509                                                                 0                            18,425                                     0
        0407004                 LEXINGTON                           MA                       02/16/2000                  543,797                                                                 0                          106,529                                      0
        0407005                 WINDSOR                             CT                       03/14/2001                4,523,583                                                                 0                            72,133                                     0
        0407006                 DAYTON                              NJ                       03/07/2003                4,247,831                                                                 0                            35,505                                     0
        0407022                 HANOVER                             MA                       02/13/1997                  570,094                                                                 0                            18,231                                     0
        0422001                 BRIGHTON                            CO                       12/31/1994                1,657,484                                                                 0                            55,892                                     0
        4010101                 NORTHFIELD                          MN                       05/29/2003                1,936,871                                                                 0                            26,192                                     0
        4010109                 BELLEVUE                            WI                       07/23/2004                1,892,662                                                                 0                            37,403                                     0
        4010115                 CENTERVILLE                         OH                       09/30/2004                1,067,252                                                                 0                             8,012                                     0
        4010120                 CHANTILLY                           VA                       04/07/2005                2,005,966                                                                 0                            14,590                                     0
        4010121                 NORCROSS                            GA                       10/30/2007                1,894,870                                                                 0                            27,745                                     0
                                                                               STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY


                                                                                                           SCHEDULE B - PART 3
                                                                                         Showing All Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter
                      1                                        Location                    4           5           6         7                      Change in Book Value/Recorded Investment                              14          15         16          17           18

                                                         2                      3                                                           8              9               10         11          12          13
                                                                                                                               Book                                                                                       Book
                                                                                                                            Value/Re-                                                                                  Value/Re-
                                                                                                                              corded                                     Current                                        corded
                                                                                                                           Investment                                    Year’s                              Total    Investment
                                                                                                                            Excluding Unrealized       Current         Other Than Capitalized     Total     Foreign    Excluding               Foreign
                                                                                                                             Accrued    Valuation      Year’s          Temporary    Deferred    Change in Exchange      Accrued               Exchange    Realized     Total Gain
                                                                                          Loan        Date      Disposal     Interest   Increase     (Amortization)/   Impairment Interest and Book Value Change in Interest on              Gain (Loss) Gain (Loss)   (Loss) on
                Loan Number                             City                   State      Type      Acquired      Date      Prior Year (Decrease)     Accretion        Recognized    Other     (8+9-10+11) Book Value Disposal Consideration on Disposal on Disposal    Disposal
        4010122                         FOREST PARK                       OH                       01/19/2009                 1,671,658                                                                 0                             16,413                                    0
        4010125                         LONE TREE                         CO                       04/30/2010                 7,820,195                                                                 0                             80,725                                    0
        401074A                         OVERLAND PARK                     KS                       02/06/2002                 4,884,367                                                                 0                             40,403                                    0
        401074B                         KANSAS CITY                       KS                       01/01/2008                 2,093,870                                                                 0                             17,305                                    0
        401494A                         HILTON HEAD                       SC                       04/25/2003                 3,766,687                                                                 0                             30,936                                    0
        401494B                         HILTON HEAD                       SC                       04/25/2003                    90,149                                                                 0                              8,853                                    0
        401495A                         HILTON HEAD                       SC                       04/25/2003                   803,560                                                                 0                              6,600                                    0
        401495B                         HILTON HEAD                       SC                       04/25/2003                    15,866                                                                 0                              1,558                                    0
        4016003                         CARY                              NC                       06/29/2010                 9,431,451                                                                 0                             42,738                                    0
        4016106                         DENVER                            NC                       01/23/2004                 3,076,820                                                                 0                             39,018                                    0
        4016107                         DENVER                            NC                       01/01/2006                   222,090                                                                 0                              2,864                                    0
        401688A                         PIEDMONT                          SC                       05/05/2003                 1,871,717                                                                 0                             26,466                                    0
        4017111                         HIGHLAND                          CA                       08/31/2004                 1,922,891                                                                 0                            118,377                                    0
        4017114                         REDLANDS                          CA                       10/29/2004                 4,086,175                                                                 0                             47,061                                    0
        4018112                         COLUMBUS                          OH                       08/09/2004                 1,693,547                                                                 0                             25,594                                    0
        4018123                         POWELL                            OH                       06/29/2005                   618,679                                                                 0                             11,630                                    0
        4020121                         STREAMWOOD                        IL                       09/07/2005                 5,176,069                                                                 0                             59,300                                    0
        4020122                         STREAMWOOD                        IL                       05/26/2005                   728,019                                                                 0                              8,385                                    0
E02.3




        4021124                         BOZEMAN                           MT                       07/20/2006                 3,190,923                                                                 0                             20,577                                    0
        4024105                         MEMPHIS                           TN                       12/16/2003                 2,271,981                                                                 0                             28,957                                    0
        4025108                         ISSAQUAH                          WA                       04/28/2004                   791,133                                                                 0                             40,630                                    0
        402610A                         HOUSTON                           TX                       11/12/2003                 5,593,364                                                                 0                             41,457                                    0
          0299999 - Mortgages with partial repayments                                                                       406,355,265          0               0               0          0           0           0            0 5,362,468           0           0            0
          0599999 Totals                                                                                                    409,508,556          0               0               0          0           0           0    3,083,489 8,445,957           0           0            0
                                                                                                        STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                                                   SCHEDULE BA - PART 2
                                                                                                                   Showing Other Long-Term Invested Assets ACQUIRED AND ADDITIONS MADE During the Current Quarter
              1                               2                                       Location                                       5                              6                       7                    8                        9                        10                           11                  12                               13
                                                                                3                   4
                                                                                                                                 Name
                                                                                                                                   of                                                   Date                  Type                      Actual                                                                 Commitment                     Percentage
            CUSIP                                                                                                              Vendor or                        NAIC                  Originally               and                  Cost at Time of       Additional Investment           Amount of            for Additional                     of
         Identification             Name or Description                       City                State                      General Partner                  Designation             Acquired               Strategy                Acquisition          Made After Acquisition        Encumbrances            Investment                    Ownership
       Fixed or Variable Rate - Mortgage Loans - Affiliated
          000000-00-0   5400 Holdings, LLC                            West Des Moines      IA                 Transferred from Schedule B                                             06/30/2009                                                                           56,798                                                                              100.000
       1099999 - Fixed or Variable Interest Rate Investments that have the Underlying Characteristics - Mortgage Loans - Affiliated                                                                                                                   0                    56,798                         0                          0               XXX
       Joint Venture Interests - Real Estate - Unaffiliated
          000000-00-0   Renner Business Center                        Olathe               KS                 RIST Group                                                              09/28/1989                                                                           3,900                                                                                90.000
       1799999 - Joint Venture, Partnership or Limited Liability Company Interests that have the Underlying Characteristics - Real Estate - Unaffiliated                                                                                              0                    3,900                          0                          0               XXX
       Non- Guaranteed Federal Low Income Housing Tax Credit - Unaffiliated
          000000-00-0   Alliant Tax Credit Fund 62, Ltd.              Palm Beach           FL                 Alliant Capital                                                         12/29/2010                                                                         844,744                                          7,697,333                             7.690
                        BF Advantaged Institutional Tax Credits I,
          000000-00-0   L.P.                                          Boston               MA                 Boston Financial Investment Mgt                                         01/26/2011                                                                        1,460,172                                         2,816,315                             6.250
          000000-00-0   Centerline Corporate Partners XXXVIII, L.P.   New York             NY                 Centerline Capital Group                                                02/11/2011                                                                          526,911                                         7,256,065                             8.000
          000000-00-0   CREA National Fund 2010-3, LLC                Indianapolis         IN                 City Real Estate Advisors, Inc.                                         03/15/2011                                                                          767,655                                         5,299,679                             7.800
          000000-00-0   RBC Tax Credit Equity Nat'l Fund 13, L.P.     Cleveland            OH                 The Royal Bank of Canada                                                11/09/2010                                                                          293,620                                         7,513,934                             5.700
          000000-00-0   WNC Institutional Tax Credit Fund, L.P.       Irvine               CA                 WNC & Associates                                                        05/05/2011                                              2,579,066                                                                   6,716,934                             8.000
       3199999 - Non- Guaranteed Federal Low Income Housing Tax Credit - Unaffiliated                                                                                                                                                         2,579,066                 3,893,102                         0              37,300,260                  XXX




          3999999 – Subtotals Unaffiliated                                                                                                                                                                                                    2,579,066                 3,897,002                         0              37,300,260                  XXX
          4099999 – Subtotals Affiliated                                                                                                                                                                                                              0                    56,798                         0                       0                  XXX
          4199999 Totals                                                                                                                                                                                                                      2,579,066                 3,953,800                         0              37,300,260                  XXX
E03




                                                                                                                                                     SCHEDULE BA - PART 3
                                                                                                                     Showing Other Long-Term Invested Assets DISPOSED, Transferred or Repaid During the Current Quarter
                  1                            2                                       Location                                          5                     6            7           8                        Change in Book/Adjusted Carrying Value                               15             16        17               18              19                  20
                                                                               3                        4                                                                                           9          10              11        12          13        14
                                                                                                                                                                                      Book/                  Current         Current                                            Book/Adjusted
                                                                                                                                                                                     Adjusted                Year’s          Year’s                 Total     Total                 Carrying
                                                                                                                                                                                     Carrying   Unrealized (Depreciation) Other Than Capitalized   Change    Foreign                 Value                  Foreign        Realized            Total
                                                                                                                                                             Date                   Value Less  Valuation       or         Temporary  Deferred        in    Exchange                 Less                  Exchange          Gain               Gain
             CUSIP                          Name or                                                                         Name of Purchaser or           Originally   Disposal   Encumbrances Increase   (Amortization)/ Impairment Interest    B./A.C.V. Change in           Encumbrances              Gain (Loss)      (Loss) on         (Loss) on         Investment
          Identification                   Description                       City                   State                      Nature of Disposal          Acquired       Date      Prior Year (Decrease) Accretion Recognized and Other (9+10-11+12) B./A.C.V.                 on Disposal Consideration on Disposal      Disposal           Disposal           Income
      Fixed or Variable Rate - Mortgage Loans - Affiliated
      000000-00-0            5400 Holdings, LLC                     West Des Moines       IA                      partial paydown                          06/30/2009 06/30/2011                                                                              0                       12,100         12,100                                                0
      1099999 - Fixed or Variable Interest Rate Investments that have the Underlying Characteristics - Mortgage Loans - Affiliated                                                              0       0              0        0               0             0             0         12,100         12,100          0                   0                 0             0




        3999999 – Subtotals Unaffiliated                                                                                                                                                        0       0              0        0               0             0             0              0               0         0                   0             0                 0
        4099999 – Subtotals Affiliated                                                                                                                                                          0       0              0        0               0             0             0         12,100          12,100         0                   0             0                 0
         4199999 Totals                                                                                                                                                                         0       0              0        0               0             0             0         12,100          12,100         0                   0             0                 0
                                                                                  STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                        SCHEDULE D - PART 3
                                                                                                            Show All Long-Term Bonds and Stock Acquired During the Current Quarter
              1                                   2                                   3                 4                                  5                                       6                     7                   8                          9                  10
                                                                                                                                                                                                                                                                         NAIC
                                                                                                                                                                                                                                                                     Designation or
             CUSIP                                                                                                                                                                     Number of       Actual                                    Paid for Accrued       Market
         Identification                          Description                     Foreign       Date Acquired                             Name of Vendor                              Shares of Stock    Cost              Par Value           Interest and Dividends  Indicator (a)
      Bonds - U.S. Special Revenue
           3137A3-HS-1     FED HOME LOAN MTG CORP FHR 3751 MC 4.0                                05/26/2011     R.W. BAIRD 0547                                                                              16,293,438          16,300,000                  32,233         1
           3137A9-VV-5     FED HOME LOAN MTG CORP FHR 3835 BE 4.0                                05/19/2011     BARCLAYS CAPITAL MARKETS                                                                      9,004,688          10,000,000                  25,556         1
           31397S-YS-7     FEDERAL NATIONAL MTG ASSN RNA SERIES 201                              04/07/2011     BARCLAYS CAPITAL MARKETS                                                                      9,781,202          10,540,000                  32,791         1
           31398P-CT-4     FEDERAL NATIONAL MTG ASSN FNR 2010-38 ME                              04/28/2011     UBS WARBURG 96900                                                                            11,412,115          11,608,000                   2,902         1
           38376G-P7-9     GOVT NATL MTG ASSN 2011-49 CL B 4.163%                                03/08/2011     JEFFRIES & CO. 00019                                                                             22,070                                         288         1
           38376G-Q8-6     GOVT NATL MTG ASSN GNR 2011-65 D 4.239                                05/02/2011     DEUTSCHE BANK ALEX BROWN                                                                      9,478,516          10,000,000                  30,614         1
           38376G-S3-5     GOVT NATL MTG ASSN GNR 2011-67 D 4.601                                05/03/2011     JP MORGAN CHASE SECS 0187                                                                     3,987,584           4,000,000                  13,289         1
           38376G-Y6-1     GOVT NATL MTG ASSN GNR 2011-95 D 3.973                                06/28/2011     RBS GREENWICH CAP 2230                                                                        5,824,688           6,000,000                  18,541         1
           45470Y-AY-7     INDIANA FIN AUTH HEALTH SYS REF-SISTERS                               04/06/2011     ZIEGLER & CO                                                                                  2,868,990           3,000,000                  71,667        1FE
           575898-CQ-2     MASSACHUSETTS ST PORT AUTH TAXABLE-CONRA                              06/09/2011     CITIGROUP 1501                                                                                1,000,000           1,000,000                                1FE
           BCC1R2-R1-3     GNMA GNR 2011-TEMP C 4.165% 07/29/51                                  06/14/2011     MORGAN STANLEY                                                                                6,876,680           7,000,000                   22,678        1
          3199999 - Bonds - U.S. Special Revenue and Special Assessment and all Non-Guaranteed Obligations of Agencies and Authorities of Government and Their Political Subdivisions                        76,549,971          79,448,000                  250,559      XXX
      Bonds - Industrial and Miscellaneous (Unaffiliated)
           03523T-BD-9     ANHEUSER-BUSCH INBEV WOR 7.200% 01/15/                                04/01/2011     Tax Free Exchange                                                                            10,425,543          10,000,000                  152,000       2FE
           03523T-BE-7     ANHEUSER-BUSCH INBEV WOR 7.750% 01/15/                                04/01/2011     Tax Free Exchange                                                                             3,997,457           4,000,000                   65,444       1FE
           038222-AF-2     APPLIED MATERIALS INC. 4.300% 06/15/21                                06/01/2011     JP MORGAN CHASE SECS 0187                                                                     3,991,560           4,000,000                                1FE
           038222-AG-0     APPLIED MATERIALS INC. 5.850% 06/15/41                                06/01/2011     JP MORGAN CHASE SECS 0187                                                                     2,987,760           3,000,000                                1FE
           13342B-AF-2     CAMERON INTERNATIONAL CORP 5.950% 06/0                                05/25/2011     JP MORGAN CHASE SECS 0187                                                                     2,999,160           3,000,000                                2FE
           144285-AJ-2     CARPENTER TECHNOLOGY 5.200% 07/15/21                                  06/27/2011     BANK OF AMERICA SECURITIES INC                                                                4,991,750           5,000,000                                2FE
           149123-BS-9     CATERPILLAR INC 5.200% 05/27/41                                       05/24/2011     JP MORGAN CHASE SECS 0187                                                                     1,995,780           2,000,000                                1FE
           224399-AP-0     CRANE CO 6.550% 11/15/36                                              06/01/2011     GOLDMAN SACHS & CO.                                                                           3,753,680           3,500,000                   13,373       2FE
           29380T-AS-4     ENTERTAINMENT PROPERTIES 7.750% 07/15/                                06/22/2011     Tax Free Exchange                                                                             4,920,504           5,000,000                  168,993       2FE
           30250L-AE-7     FCC FINANCING SUBSIDIARY LLC FCCFS 2011-                              06/01/2011     GUGGENHEIM CAPITAL MARKET                                                                       750,000             750,000                                2FE
           337738-AL-2     FISERV INC 4.750% 06/15/21                                            06/06/2011     JP MORGAN CHASE SECS 0187                                                                     2,989,830           3,000,000                                2FE
E04




           34410T-AD-1     FMLCF 2006-2A C FMLCF 2006-2A C 144A 1                                06/28/2011     CREDIT SUISSE SECS 00355                                                                      1,250,000           1,550,000                   1,211        2FE
           000000-00-0     GOLDEN SPREAD ELECTRIC COOP FIRST MORTGA                              06/10/2011     BANK OF AMERICA SECURITIES INC                                                                5,000,000           5,000,000                                1FE
           410867-AD-7     HANOVER INSURANCE GROUP INC 6.380% 06/                                06/14/2011     GOLDMAN SACHS & CO.                                                                           2,483,275           2,500,000                                2FE
           428236-BM-4     HEWLETT-PACKARD CO. 4.300% 06/01/21                                   05/25/2011     JP MORGAN CHASE SECS 0187                                                                     4,989,950           5,000,000                                1FE
           449505-AA-4     IFM US COLONIAL PIPELINE 6.450% 05/01/                                04/14/2011     RBS GREENWICH CAP 2230                                                                        2,498,625           2,500,000                                2FE
           49338C-AA-1     KEYSPAN GAS 5.819% 04/01/41                                           04/05/2011     MIZUHO SECURITIES                                                                             2,009,020           2,000,000                   2,586        1FE
           49427R-AH-5     KILROY REALTY LP 4.800% 07/15/18                                      06/27/2011     JP MORGAN CHASE SECS 0187                                                                     2,995,170           3,000,000                                2FE
           000000-00-0     MID-AMERICA APARTMENTS SENIOR UNSECURED                               06/16/2011     KEYBANC CAPITAL MARKETS                                                                       5,000,000           5,000,000                                2FE
           617459-AD-4     MORGAN STANLEY CAPITAL I 2011-C2 A4 144A                              06/10/2011     MORGAN STANLEY                                                                                6,059,773           6,000,000                  16,314        1FE
           637417-AD-8     NATIONAL RETAIL PROPERTIES 5.500% 07/1                                06/28/2011     WELLS FARGO SECURITIES 00250                                                                  3,943,080           4,000,000                                2FE
           67740Q-AG-1     OHIO NATIONAL FINANCIAL SVCS 144A 6.62                                04/19/2011     BANK OF AMERICA-MERRILL LYNCH                                                                 1,993,820           2,000,000                                1FE
           678858-BM-2     OKLAHOMA GAS & ELECTRIC 5.250% 05/15/4                                05/24/2011     JP MORGAN CHASE SECS 0187                                                                     1,987,780           2,000,000                                1FE
           709631-AD-7     PENTAIR INC 5.000% 05/15/21                                           05/02/2011     JP MORGAN CHASE SECS 0187                                                                     2,994,120           3,000,000                                2FE
           749685-AR-4     RPM INC/OHIO 6.125% 10/15/19                                          05/24/2011     WELLS FARGO SECURITIES 00250                                                                  2,161,800           2,000,000                  14,292        2FE
           759351-AJ-8     REINSURANCE GROUP OF AMERICA 5.000% 06                                05/24/2011     JP MORGAN CHASE SECS 0187                                                                     1,988,940           2,000,000                                2FE
           760759-AM-2     REPUBLIC SERVICES INC 4.750% 05/15/23                                 05/02/2011     BANK OF AMERICA-MERRILL LYNCH                                                                 2,992,080           3,000,000                                2FE
           77879R-AB-2     ROTOR ENGINES SECURE LTD SERIES 2011-1A                               06/21/2011     CITIGROUP GLOBAL MKT 418                                                                      5,000,000           5,000,000                                1FE
           800085-AE-2     SANDS POINT FUNDING LTD SANDP 2006-1A C                               05/05/2011     SEAPORT                                                                                         395,000             500,000                     329        2FE
           89655X-AA-6     TRINITY RAIL LEASING LP TRL 2006-1A A1 1                              04/06/2011     CREDIT SUISSE SECS 00355                                                                      3,987,412           3,941,834                  17,443        2FE
           899896-AA-2     TUPPERWARE BRANDS CORP 144A 4.750% 06/                                05/25/2011     JP MORGAN CHASE SECS 0187                                                                     4,949,450           5,000,000                                2FE
           920253-AD-3     VALMONT INDUSTRIES 6.625% 04/20/20                                    06/06/2011     BANK OF AMERICA-MERRILL LYNCH                                                                 2,197,760           2,000,000                  19,507        2FE
           96332H-CD-9     WHIRPOOL CORP 4.850% 06/15/21                                         06/02/2011     CITIGROUP 1501                                                                                4,998,350           5,000,000                                2FE
           06849R-AE-2     BARRICK NA FINANCE LLC 144A 5.700% 05/                   A            05/24/2011     MORGAN STANLEY                                                                                1,990,880           2,000,000                                1FE
           878742-AW-5     TECK COMINCO LIMITED 6.250% 07/15/41                     A            06/29/2011     CITIGROUP 1501                                                                                1,994,300           2,000,000                                2FE
           00162U-AK-3     ALM LOAN FUNDING ALM 2010-3A C 144A 4.                   F            05/16/2011     BARCLAYS CAPITAL MARKETS                                                                      1,415,000           1,415,000                  28,189        2FE
           04013D-AC-2     ARES ENHANCED LOAN INVEST 2011-3A B 144A                 F            06/27/2011     BANK OF AMERICA SECURITIES INC                                                                1,955,000           2,000,000                                1FE
           046353-AD-0     ASTRAZENECA PLC 6.450% 09/15/37                          F            04/29/2011     CITIGROUP 1501                                                                                4,623,280           4,000,000                  35,117        1FE
           05607M-AA-5     BAA FUNDING LTD 4.875% 07/15/21                          R            06/22/2011     RBS GREENWICH CAP 2230                                                                        3,471,650           3,500,000                                1FE
           12622N-AB-8     CNPC HK OVERSEAS CAPITAL 144A 4.500% 0                   F            04/20/2011     CITIGROUP GLOBAL MKT 418                                                                      2,931,510           3,000,000                                1FE
           143082-AC-9     CARLYLE GLOBAL MARKET CGMS 2011-1A C 144                 F            06/30/2011     WELLS FARGO SECURITIES 00250                                                                  1,500,000           1,500,000                                1FE
           154781-AE-8     CTRPK 2011-1A C CTRPK 2011-1A C 144A 2                   F            06/30/2011     MORGAN STANLEY                                                                                1,462,950           1,500,000                                1FE
           171490-AD-7     CHURCHILL FINANCIAL CAYMAN LTD CHRCH 200                 F            05/24/2011     CITADEL SECURITIES                                                                              837,500           1,000,000                   1,967        2FE
           224607-AC-5     CRATOS CLO LTD CRTOS 2007-1A B 144A 0.                   F            06/29/2011     GUGGENHEIM CAPITAL MARKET                                                                       509,250             600,000                     595        1FE
           224607-AD-3     CRATOS CLO LTD CRTOS 2007-1A C 144A 1.                   F            06/29/2011     CAPMARK INV 2521                                                                                200,000             250,000                     444        1FE
           26876F-AA-0     ENN ENERGY HOLDINGS LTD 144A 6.000% 05                   F            05/06/2011     CITIGROUP 1501                                                                                4,963,700           5,000,000                                2FE
                                                                                      STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                              SCHEDULE D - PART 3
                                                                                                                    Show All Long-Term Bonds and Stock Acquired During the Current Quarter
                 1                                    2                                   3                     4                                  5                                       6                 7                     8                           9                     10
                                                                                                                                                                                                                                                                                   NAIC
                                                                                                                                                                                                                                                                               Designation or
               CUSIP                                                                                                                                                                  Number of            Actual                                       Paid for Accrued          Market
           Identification                         Description                          Foreign         Date Acquired                             Name of Vendor                     Shares of Stock         Cost               Par Value             Interest and Dividends     Indicator (a)
             279158-AB-5    ECOPETROL SA 7.625% 07/23/19                                  F              06/22/2011      JEFFRIES & CO. 00019                                                                    2,020,200            1,680,000                       54,798         2FE
             368633-AC-7    GEMC LTD GEMC 2005-8A A2 144A 0.965% 0                        F              05/20/2011      CITIGROUP GLOBAL MKT 418                                                                1,775,000            2,000,000                        8,136         1FE
             379372-AA-3    GLCC 2006-1A A 144A 0.574% 12/20/18                           F              06/24/2011      NEWEDGE USA                                                                             5,157,576            5,652,138                        5,317         1FE
             389669-AB-8    GRAYSON CLO LTD 2006-1A AIB 144A 0.633                        F              05/31/2011      RBC CAPITAL MARKETS 0235                                                                  811,250            1,000,000                          563         2FE
             44919Q-AA-8    HYUNDAI STEEL CO 144A 4.625% 04/21/16                         F              04/14/2011      BANK OF AMERICA-MERRILL LYNCH                                                           1,995,760            2,000,000                                      2FE
             45110C-AA-3    ICES EM CLO 2007-1A A1D 0.815% 08/15/2                        F              06/24/2011      CAP INSTITUTIONAL SERVICES                                                                893,750            1,000,000                        3,034         1FE
             69353U-AA-9    PPL WEM HOLDINGS PLC 144A 5.375% 05/01                        F              04/18/2011      CREDIT SUISSE SECS 00355                                                                1,999,500            2,000,000                                      2FE
             71645W-AR-2    PETROBRAS INTL FIN 5.375% 01/27/21                            F              06/02/2011      MORGAN STANLEY                                                                          2,483,404            2,420,000                       46,972         2FE
             71654Q-AW-2    PETROLEOS MEXICANOS 6.000% 03/05/20                           F              06/02/2011      MERRILL LYNCH CAP MARKETS 161                                                           2,527,140            2,310,000                       35,420         2FE
             767201-AN-6    RIO TINTO FIN USA LTD 4.125% 05/20/21                         F              05/17/2011      JP MORGAN CHASE SECS 0187                                                               9,993,500           10,000,000                                      1FE
             879403-AV-5    TELEFONOS DE MEXICO 5.500% 11/15/19                           F              06/02/2011      CREDIT SUISSE SECS 00355                                                                2,486,809            2,330,000                        7,831         1FE
             87972U-AG-9    TELOS CLO LTD 2006-1A A2 144A 0.690% 1                        F              06/23/2011      JEFFRIES & CO. 00019                                                                      205,625              250,000                          373         1FE
             980888-AF-8    WOOLWORTHS LIMITED 144A 4.550% 04/12/2                        R              04/05/2011      CITIGROUP 1501                                                                          1,994,760            2,000,000                                      1FE
            3899999 - Bonds - Industrial and Miscellaneous (Unaffiliated)                                                                                                                                      177,877,723          177,648,972                      700,248        XXX
        Bonds - Credit Tenant Loans
             000000-00-0    11134 ARMINTA LLC CVS - SIMPSONVILLE 5                                          05/26/2011   DIRECT                                                                                    2,440,000             2,440,000                                   1Z
            4199999 - Bonds - Credit Tenant Loans                                                                                                                                                                  2,440,000             2,440,000                         0        XXX
            8399997 - Subtotals- Bonds - Part 3                                                                                                                                                                  256,867,694           259,536,972                   950,807        XXX
            8399999 - Subtotals - Bonds                                                                                                                                                                          256,867,694           259,536,972                   950,807        XXX
        Common Stocks - Industrial and Miscellaneous
             247361-70-2    DELTA AIR LINES                                                                 03/23/2011   Taxable Exchange                                                        154.000              1,392                                                           L
             31340#-10-0    FEDERAL HOME LOAN BANK DES MOINES                                               04/26/2011   DIRECT                                                                7,676.000            767,600                                                           A
            9099999 - Common Stocks - Industrial and Miscellaneous (Unaffiliated)                                                                                                                                   768,992       XXX                                      0        XXX
            9799997 - Subtotals - Common Stocks - Part 3
E04.1




                                                                                                                                                                                                                    768,992       XXX                                      0        XXX
            9799999 - Subtotals - Common Stocks                                                                                                                                                                     768,992       XXX                                      0        XXX
            9899999 - Subtotals- Preferred and Common Stocks                                                                                                                                                        768,992       XXX                                      0        XXX




           9999999 Totals                                                                                                                                                                                        257,636,686      XXX                                950,807        XXX
        (a) For all common stock bearing the NAIC market indicator "U" provide: the number of such issues                         0   .
                                                                                                     STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                                                     SCHEDULE D - PART 4
                                                                                                               Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter
           1                  2                  3       4                  5               6             7              8               9            10                           Change in Book/Adjusted Carrying Value                                     16             17            18            19                 20              21           22

                                                                                                                                                                      11              12                  13              14                  15
                                                 F                                                                                                                                                                                                                                                                                                      NAIC
                                                 o                                                                                                                                                                                                                                                                                                     Desig-
                                                 r                                                                                                                                                   Current Year’s                                          Book/                                                          Bond                        nation
                                                 e                                                                                                 Prior Year      Unrealized                         Other Than                         Total Foreign     Adjusted        Foreign                                     Interest/Stock                     or
         CUSIP                                   i                                       Number of                                               Book/Adjusted      Valuation   Current Year’s        Temporary     Total Change in       Exchange       Carrying Value Exchange Gain Realized Gain   Total Gain         Dividends                     Market
         Identi-                                 g   Disposal                            Shares of                                                  Carrying        Increase/   (Amortization)/       Impairment       B./A.C.V.          Change in            at         (Loss) on     (Loss) on     (Loss) on          Received        Maturity     Indicator
        fication         Description             n     Date          Name of Purchaser     Stock     Consideration    Par Value      Actual Cost     Value         (Decrease)     Accretion           Recognized      (11+12-13)           B./A.C.V.     Disposal Date     Disposal      Disposal      Disposal         During Year       Date           (a)
      Bonds - U.S. Governments
                   GOVT NATL MTG ASSN   II
      36202B-AH-8 POOL # 908 10.000                  06/01/2011   Paydown                                      110             110            120            124                              (13)                                (13)                                110                                          0                 5   01/01/2018       1
                   GOVT NATL MTG ASSN   II
      36202B-HT-5 POOL # 1142 7.00                   06/01/2011   Paydown                                      433             433            436            434                              (1)                                 (1)                                 433                                          0               13    05/01/2023       1
                   GOVT NATL MTG ASSN   II
      36202B-J7-1 POOL # 1186 10.00                  06/01/2011   Paydown                                      114             114            124            129                              (15)                                (15)                                114                                          0                 5   05/01/2019       1
                   GOVT NATL MTG ASSN   II
      36202B-PE-9 POOL # 1321 7.50                   06/01/2011   Paydown                                     1,400          1,400           1,397         1,397                               4                                   4                               1,400                                           0               44    08/01/2023       1
                   GOVT NATL MTG ASSN   II
      36202B-SS-5 POOL # 1429 7.50                   06/01/2011   Paydown                                     3,096          3,096           3,088         3,087                               8                                   8                               3,096                                           0               97    10/01/2023       1
                   GOVT NATL MTG ASSN   II
      36202B-VD-4 POOL # 1512 7.50                   06/01/2011   Paydown                                     1,044          1,044           1,041         1,041                               3                                   3                               1,044                                           0               33    12/01/2023       1
                   GOVT NATL MTG ASSN   POOL #
      36202C-4P-5 22630 6.500%                       06/01/2011   Paydown                                     7,656          7,656           7,716         7,716                              (60)                                (60)                             7,656                                           0               218   08/01/2028       1
                   GOVT NATL MTG ASSN   POOL #
      36202C-4Q-3 2631 7.000%                        06/01/2011   Paydown                                     1,143          1,143           1,163         1,164                              (22)                                (22)                             1,143                                           0               34    08/01/2028       1
                   GOVT NATL MTG ASSN   II
      36202C-5T-6 POOL # 2658 6.50                   06/01/2011   Paydown                                   14,089         14,089         14,078        14,077                                12                                  12                               14,089                                          0               380   10/01/2028       1
                   GOVT NATL MTG ASSN   POOL #
      36202D-AA-9 2701 6.500%                        06/01/2011   Paydown                                     9,628          9,628           9,674         9,676                              (48)                                (48)                             9,628                                           0               258   01/01/2029       1
                   GOVT NATL MTG ASSN   POOL #
      36202D-C9-0 2796 7.000%                        06/01/2011   Paydown                                     1,095          1,095           1,101         1,111                              (16)                                (16)                             1,095                                           0               32    08/01/2029       1
                   GOVT NATL MTG ASSN   II
      36202D-L8-2 POOL # 3051 5.50                   06/01/2011   Paydown                                      318             318            319            320                              (3)                                 (3)                                 318                                          0                 7   03/01/2031       1
E05




                   GOVT NATL MTG ASSN   POOL #
      36202D-LF-6 G2 3026 7.00                       06/01/2011   Paydown                                     7,308          7,308           7,333         7,375                              (67)                                (67)                             7,308                                           0               213   01/01/2031       1
                   GOVT NATL MTG ASSN   POOL #
      36202D-LV-1 3040 7.000%                        06/01/2011   Paydown                                     5,054          5,054           5,074         5,109                              (55)                                (55)                             5,054                                           0               145   02/01/2031       1
                   GOVT NATL MTG ASSN   POOL #
      36202D-MB-4 003054 7.000                       06/01/2011   Paydown                                     9,840          9,840           9,875         9,951                            (111)                               (111)                              9,840                                           0               281   03/01/2031       1
                   GOVT NATL MTG ASSN   II
      36202D-PB-1 POOL # 3118 5.50                   06/01/2011   Paydown                                        43            43               44           44                                                                    0                                  43                                           0                 1   08/01/2031       1
                   GOVT NATL MTG ASSN   II
      36202D-QY-0 POOL # 3171 5.50                   06/01/2011   Paydown                                     6,307          6,307           6,324         6,335                              (27)                                (27)                             6,307                                           0               139   12/01/2031       1
                   GOVT NATL MTG ASSN   II
      36202D-RE-3 POOL # 3185 5.50                   06/01/2011   Paydown                                   19,208         19,208         19,284        19,358                              (150)                               (150)                              19,208                                          0               456   01/01/2032       1
                   GOVT NATL MTG ASSN   II
      36202D-RU-7 POOL # 3199 5.50                   06/01/2011   Paydown                                   64,513         64,513         64,805        65,081                              (568)                               (568)                              64,513                                          0             1,520   02/01/2032       1
                   GOVT NATL MTG ASSN   II
      36202D-TD-3 POOL # 3248 5.50                   06/01/2011   Paydown                                     4,201          4,201           4,222         4,233                              (32)                                (32)                             4,201                                           0               100   06/01/2032       1
                   GOVT NATL MTG ASSN   II
      36202D-TQ-4 POOL # 3259 5.50                   06/01/2011   Paydown                                     1,677          1,677           1,682         1,687                              (10)                                (10)                             1,677                                           0               32    07/01/2032       1
                   GOVT NATL MTG ASSN   II
      36202D-TS-0 POOL # 3261 6.50                   06/01/2011   Paydown                                   34,163         34,163         34,214        34,392                              (229)                               (229)                              34,163                                          0               916   07/01/2032       1
                   GOVT NATL MTG ASSN   II
      36202D-UU-3 POOL # 3295 5.50                   06/01/2011   Paydown                                     7,922          7,922           7,942         7,964                              (42)                                (42)                             7,922                                           0               183   10/01/2032       1
                   GOVT NATL MTG ASSN   II
      36202D-VM-0 POOL # 3320 5.50                   06/01/2011   Paydown                                  243,395        243,395        243,719       244,186                              (791)                               (791)                          243,395                                             0             5,753   12/01/2032       1
                   GOVT NATL MTG ASSN   II
      36202D-WF-4 POOL # 3346 5.50                   06/01/2011   Paydown                                  120,076        120,076        120,784       121,242                             (1,165)                             (1,165)                         120,076                                             0             2,660   02/01/2033       1
                   GOVT NATL MTG ASSN   II
      36202D-WV-9 POOL # 3360 5.50                   06/01/2011   Paydown                                   21,122         21,122         21,217        21,300                              (178)                               (178)                              21,122                                          0               490   03/01/2033       1
                   GOVT NATL MTG ASSN   POOL #
      36202D-X8-9 3403 5.500%                        06/01/2011   Paydown                                     8,228          8,228           8,250         8,270                              (42)                                (42)                             8,228                                           0               185   06/01/2033       1
                   GOVT NATL MTG ASSN   POOL #
      36202D-YL-9 3415 5.500%                        06/01/2011   Paydown                                   54,486         54,486         54,631        54,690                              (204)                               (204)                              54,486                                          0             1,240   07/01/2033       1
                   GOVT NATL MTG ASSN   POOL #
      36202D-YZ-8 3428 5.000%                        06/01/2011   Paydown                                     2,607          2,607           2,602         2,602                               4                                   4                               2,607                                           0               54    08/01/2033       1
                   GOVT NATL MTG ASSN   POOL #
      36202D-ZG-9 3443 5.500%                        06/01/2011   Paydown                                   18,697         18,697         18,747        18,760                                (63)                                (63)                             18,697                                          0               422   09/01/2033       1
                                                                                                    STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                                                SCHEDULE D - PART 4
                                                                                                               Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter
             1                 2             3       4                  5                    6             7              8             9             10                             Change in Book/Adjusted Carrying Value                                     16             17            18              19                 20               21           22

                                                                                                                                                                      11                12                  13              14                  15
                                             F                                                                                                                                                                                                                                                                                                               NAIC
                                             o                                                                                                                                                                                                                                                                                                              Desig-
                                             r                                                                                                                                                         Current Year’s                                          Book/                                                            Bond                         nation
                                             e                                                                                                   Prior Year      Unrealized                             Other Than                         Total Foreign     Adjusted        Foreign                                       Interest/Stock                      or
          CUSIP                              i                                          Number of                                              Book/Adjusted      Valuation       Current Year’s        Temporary     Total Change in       Exchange       Carrying Value Exchange Gain Realized Gain     Total Gain         Dividends                      Market
           Identi-                           g   Disposal                               Shares of                                                 Carrying        Increase/       (Amortization)/       Impairment       B./A.C.V.          Change in            at         (Loss) on     (Loss) on       (Loss) on          Received         Maturity     Indicator
          fication          Description      n     Date              Name of Purchaser    Stock    Consideration Par Value         Actual Cost     Value         (Decrease)         Accretion           Recognized      (11+12-13)           B./A.C.V.     Disposal Date     Disposal      Disposal        Disposal         During Year        Date           (a)
                     GOVT NATL MTG ASSN POOL #
        36202D-ZY-0 3459 5.500%                     06/01/2011 Paydown                                    20,972          20,972        21,028         21,043                                   (71)                                (71)                             20,972                                            0                479   10/01/2033       1
                     GOVT NATL MTG ASSN POOL #
        36207F-JU-6 430575 8.000                    06/01/2011 Paydown                                    16,075          16,075        16,451         16,385                                 (310)                               (310)                              16,075                                            0                536   08/01/2038       1
                     GOVT NATL MTG ASSN POOL #
        3620AQ-7E-7 737193 5.000                    06/01/2011 Paydown                                   743,195         743,195       783,374        783,019                             (39,825)                            (39,825)                           743,195                                               0             16,121   04/01/2040       1
                     GOVT NATL MTG ASSN POOL #
        36215J-CB-7 136066 11.000                   06/01/2011 Paydown                                       460             460           518             501                                  (42)                                (42)                                460                                            0                21    08/01/2015       1
                     GOVT NATL MTG ASSN POOL #
        36215N-WE-0 140245 11.000                   06/01/2011 Paydown                                        43              43            48              48                                  (6)                                 (6)                                 43                                             0                  2   01/01/2016       1
                     GOVT NATL MTG ASSN POOL #
        36215X-PZ-9 148140 10.000                   06/01/2011 Paydown                                     1,378           1,378         1,375          1,375                                    3                                   3                               1,378                                             0                57    02/01/2016       1
                     GOVT NATL MTG ASSN POOL #
        362160-D7-5 179326 8.000                    06/01/2011 Paydown                                       441             441           394             419                                  22                                  22                                  441                                            0                15    02/01/2017       1
                     GOVT NATL MTG ASSN POOL #
        362167-SX-7 186034 8.000                    06/01/2011 Paydown                                       266             266           233             250                                  16                                  16                                  266                                            0                  9   06/01/2017       1
                     GOVT NATL MTG ASSN POOL #
        36216D-FJ-9 161369 8.500                    06/01/2011 Paydown                                     5,047           5,047         4,443          4,701                                   346                                 346                              5,047                                             0                213   05/01/2016       1
                     GOVT NATL MTG ASSN POOL #
        362176-2E-8 214173 8.000                    06/01/2011 Paydown                                       177             177           174             175                                   2                                   2                                  177                                            0                  6   05/01/2017       1
                     GOVT NATL MTG ASSN POOL #
        36217G-HQ-3 192939 7.500                    06/01/2011 Paydown                                       128             128           102             117                                  11                                  11                                  128                                            0                  4   01/01/2017       1
                     GOVT NATL MTG ASSN POOL #
        36217R-RW-5 201301 8.000                    06/01/2011 Paydown                                       654             654           648             651                                   4                                   4                                  654                                            0                22    03/01/2017       1
                     GOVT NATL MTG ASSN POOL #
E05.1




        36217S-BY-6 201755 8.000                    06/01/2011 Paydown                                        37              37            33              35                                   2                                   2                                  37                                             0                  1   03/01/2017       1
                     GOVT NATL MTG ASSN POOL #
        36217W-CH-3 205372 8.000                    05/01/2011 Paydown                                     2,199           2,199         1,967          2,095                                   104                                 104                              2,199                                             0                73    03/01/2017       1
                     GOVT NATL MTG ASSN POOL #
        36218W-6L-0 234975 7.500                    06/01/2011 Paydown                                       265             265           213             242                                  23                                  23                                  265                                            0                  8   09/01/2017       1
                     GOVT NATL MTG ASSN POOL #
        362192-CE-4 264769 10.500                   06/01/2011 Paydown                                       303             303           306             303                                                                       0                                  303                                            0                13    05/01/2019       1
                     GOVT NATL MTG ASSN POOL #
        36219G-WH-4 249148 10.500                   06/01/2011 Paydown                                       329             329           363             373                                  (43)                                (43)                                329                                            0                14    01/01/2019       1
                     GOVT NATL MTG ASSN POOL #
        36220B-YS-6 273521 10.000                   06/01/2011 Paydown                                       211             211           232             242                                  (31)                                (31)                                211                                            0                  9   04/01/2019       1
                     GOVT NATL MTG ASSN POOL #
        36220E-4W-4 276337 10.000                   06/01/2011 Paydown                                       788             788           822             826                                  (38)                                (38)                                788                                            0                33    08/01/2019       1
                     GOVT NATL MTG ASSN POOL #
        36224P-SQ-2 334527 9.000                    06/01/2011 Paydown                                       233             233           246             246                                  (13)                                (13)                                233                                            0                  9   11/01/2022       1
                     OVERSEAS PRIVATE INVEST
        690353-EE-3 SERIES 1997 7.                  05/16/2011 Redemption        100.0000                 89,286          89,286        99,224         92,720                                (3,434)                             (3,434)                             89,286                                            0             3,121    11/15/2013       1
                     SMALL BUSINESS
        831641-DK-8 ADMINISTRATION 2002-P10B        05/01/2011 Paydown                                    29,707          29,707        30,607         29,909                                 (202)                               (202)                              29,707                                            0                766   08/01/2012       1
                     SMALL BUSINESS
        831641-DM-4 ADMINISTRATION 2003-P10A        05/01/2011 Paydown                                     4,218           4,218         4,230          4,219                                   (1)                                 (1)                              4,218                                             0                95    02/01/2013       1
                     SMALL BUSINESS
        831641-DS-1 ADMINISTRATION 2004-P10A        05/01/2011 Paydown                                    61,360          61,360        60,938         61,161                                   199                                 199                              61,360                                            0             1,370    02/01/2014       1
                     SMALL BUSINESS
        831641-DW-2 ADMINISTRATION 2005-P10A        05/01/2011 Paydown                                    51,067          51,067        51,067         51,067                                                                        0                               51,067                                            0             1,175    02/01/2015       1
                     SMALL BUSINESS
        831641-DY-8 ADMINISTRATION 2005-P10B        05/02/2011 Paydown                                    55,183          55,183        55,183         55,183                                                                       0                              55,183                                              0              1,352   08/01/2015       1
          0599999 - Bonds - U.S. Governments                                                           1,752,995      1,752,995      1,805,225      1,800,160                 0           (47,165)                 0          (47,165)                 0        1,752,995            0                0                0             41,440       XXX         XXX
        Bonds - U.S. Political Subdivisions of States, Territories and Possessions
                     TRENTON NJ SCH DIST
        895130-L7-5 5.400% 04/01/22                 05/12/2011 R.W. BAIRD 0547                           505,000         500,000       500,365        500,205                                    1                                   1                           500,207                          4,793           4,793              16,950   04/01/2022      1FE
          2499999 - Bonds - U.S. Political Subdivisions of States, Territories and Possessions           505,000         500,000       500,365        500,205                 0                  1                 0                 1                 0         500,207             0            4,793           4,793              16,950       XXX         XXX
        Bonds - U.S. Special Revenue and Special Assessment and all Non-Guaranteed Obligations of Agencies and Authorities of Governments and Their Political Subdivisions
                                                                                                             STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                                                             SCHEDULE D - PART 4
                                                                                                                       Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter
             1                   2                3       4                       5                 6             7              8               9             10                           Change in Book/Adjusted Carrying Value                                     16             17            18             19                 20               21           22

                                                                                                                                                                               11              12                  13              14                  15
                                                  F                                                                                                                                                                                                                                                                                                                NAIC
                                                  o                                                                                                                                                                                                                                                                                                               Desig-
                                                  r                                                                                                                                                           Current Year’s                                          Book/                                                           Bond                         nation
                                                  e                                                                                                        Prior Year       Unrealized                         Other Than                         Total Foreign     Adjusted        Foreign                                      Interest/Stock                      or
          CUSIP                                   i                                              Number of                                               Book/Adjusted       Valuation   Current Year’s        Temporary     Total Change in       Exchange       Carrying Value Exchange Gain Realized Gain    Total Gain         Dividends                      Market
           Identi-                                g   Disposal                                   Shares of                                                  Carrying         Increase/   (Amortization)/       Impairment       B./A.C.V.          Change in            at         (Loss) on     (Loss) on      (Loss) on          Received         Maturity     Indicator
          fication          Description           n     Date          Name of Purchaser            Stock     Consideration    Par Value      Actual Cost     Value          (Decrease)     Accretion           Recognized      (11+12-13)           B./A.C.V.     Disposal Date     Disposal      Disposal       Disposal         During Year        Date           (a)
                      BADGER TOB ASSET SEC CORP
        056559-AK-3   WI 6.125% 06                    06/01/2011   Call         100.0000                           605,000        605,000        588,036       599,989                              5,011                               5,011                           605,000                                              0             18,528   06/01/2027      1FE
                      CAPMARK MILITARY HSG
        14069B-AA-2   TRUST 07-AETC CLASS             06/10/2011   Redemption         100.0000                        7,020          7,020           7,041          7,040                              (20)                                (20)                             7,020                                            0                168   02/10/2052      3Z
                      DES MOINES IA FED
        250088-AZ-4   COURTHOUSE 144A 4.34            06/15/2011   Call         100.0000                            22,000         22,000         22,000         22,000                                                                      0                              22,000                                           0                401   01/15/2015      1FE
                      FED HOME LOAN MTG CORP
        312907-DL-9   1144 CLASS KB TAC               06/01/2011   Paydown                                             696             696            686             755                              (60)                                (60)                                696                                           0                25    09/01/2021       1
                      FED HOME LOAN MTG CORP
        312909-CA-0   SERIES 1237 CLASS               06/01/2011   Paydown                                          45,290         45,290         44,455         45,119                                170                                 170                              45,290                                           0             1,574    12/01/2017       1
                      FED HOME LOAN MTG CORP
        312911-GX-2   SERIES 1343 CLASS               06/01/2011   Paydown                                            6,362          6,362           6,462          6,394                              (32)                                (32)                             6,362                                            0                198   08/01/2022       1
                      FED HOME LOAN MTG CORP
        3133TA-5C-2   SERIES T-005 CLAS               06/01/2011   Paydown                                          62,572         62,572         62,559         62,284                                288                                 288                              62,572                                           0             1,882    06/01/2028       1
                      FED HOME LOAN MTG CORP
        3133TA-ZY-1   SERIES T-007 CLAS               06/01/2011   Paydown                                          58,770         58,770         59,320         58,580                                190                                 190                              58,770                                           0             1,729    06/01/2012       1
                      FED HOME LOAN MTG CORP
        3133TH-V7-9   SERIES 2113 CLASS               06/01/2011   Paydown                                          20,582         20,582         20,736         20,733                              (152)                               (152)                              20,582                                           0                500   04/01/2027       1
                      FED HOME LOAN MTG CORP
        3133TK-UC-2   SERIES 2149 CLAS                06/01/2011   Paydown                                          79,035         79,035         71,949         73,217                             5,818                               5,818                               79,035                                           0             1,893    05/01/2029       1
                      FED HOME LOAN MTG CORP
        313401-UL-3   POOL # 170175 9                 06/01/2011   Paydown                                             281             281            271             274                                7                                   7                                 281                                           0                10    07/01/2016       1
                      FED HOME LOAN MTG CORP
        313401-VS-7   POOL # 170190 9                 06/01/2011   Paydown                                             177             177            172             174                                3                                   3                                 177                                           0                  7   09/01/2016       1
                      FED HOME LOAN MTG CORP
E05.2




        313401-WB-3   POOL # 170197 9                 06/01/2011   Paydown                                             505             505            518             520                              (16)                                (16)                                505                                           0                19    10/01/2016       1
                      FED HOME LOAN MTG CORP
        313401-YE-5   POOL # 360003 9                 06/01/2011   Paydown                                             314             314            306             307                                7                                   7                                 314                                           0                12    06/01/2017       1
                      FED HOME LOAN MTG CORP
        313401-YH-8   POOL # 360005 9                 06/01/2011   Paydown                                             939             939            921             923                              16                                  16                                  939                                           0                33    07/01/2017       1
                      FEDERAL NATIONAL MTG ASSN
        31358E-AP-7   SERIES 1990-45                  06/01/2011   Paydown                                             976             976           1,040          1,066                              (90)                                (90)                                976                                           0                38    12/01/2018       1
                      FEDERAL NATIONAL MTG ASSN
        31358G-6J-1   1991-66 CLASS                   06/01/2011   Paydown                                            1,203          1,203           1,094          1,242                              (39)                                (39)                             1,203                                            0                41    06/01/2021       1
                      FEDERAL NATIONAL MTG ASSN
        31358R-6V-0   G1993-1 CLASS                   06/01/2011   Paydown                                          13,969         13,969         14,585         14,153                              (183)                               (183)                              13,969                                           0                465   01/01/2023       1
                      FEDERAL NATIONAL MTG ASSN
        31359B-6U-6   SERIES 1993-14                  06/01/2011   Paydown                                          53,136         53,136         52,981         52,942                                194                                 194                              53,136                                           0             1,551    08/01/2023       1
                      FEDERAL NATIONAL MTG ASSN
        31359K-F8-5   SERIES 1996-46                  06/01/2011   Paydown                                          26,952         26,952         26,902         26,856                                96                                  96                               26,952                                           0                860   11/01/2026       1
                      FEDERAL NATIONAL MTG ASSN
        31359T-NY-0   SERIES 1998-25                  06/01/2011   Paydown                                          37,614         37,614         34,714         35,183                             2,431                               2,431                               37,614                                           0                949   05/01/2028       1
                      FEDERAL NATIONAL MTG ASSN
        31359X-GH-6   SERIES 1999-57                  06/01/2011   Paydown                                          73,658         73,658         72,354         72,597                             1,061                               1,061                               73,658                                           0             2,184    12/01/2029       1
                      FEDERAL NATIONAL MTG ASSN
        31360A-KH-8   POOL # 296 13                   06/01/2011   Paydown                                             318             318            316             315                                3                                   3                                 318                                           0                17    09/01/2011       1
                      FEDERAL NATIONAL MTG ASSN
        313614-TE-9   POOL # 50049                    06/01/2011   Paydown                                             322             322            338             342                              (20)                                (20)                                322                                           0                13    03/01/2018       1
                      FEDERAL NATIONAL MTG ASSN
        31377U-EW-9   POOL # 387249                   06/01/2011   Paydown                                          66,458         66,458         67,164         67,025                              (568)                               (568)                              66,458                                           0             1,513    04/01/2035       1
                      FEDERAL NATIONAL MTG ASSN
        31377U-ST-1   POOL # 387630                   06/01/2011   Paydown                                          24,300         24,300         23,331         23,462                                838                                 838                              24,300                                           0                520   10/01/2035       1
                      FED HOME LOAN MTG CORP
        31393M-EF-4   SERIES 2591 CLASS               05/19/2011   R.W. BAIRD 0547                               4,987,145      4,704,854      4,444,616      4,553,351                             13,471                              13,471                         4,566,822                      420,323        420,323            113,047     10/01/2032       1
                      FED HOME LOAN MTG CORP
        31393M-EF-4   SERIES 2591 CLASS               05/01/2011   Paydown                                         295,146        295,146        278,821       285,642                              9,504                               9,504                           295,146                                              0             5,428    10/01/2032       1
                      FEDERAL NATIONAL MORTGAGE
        31397Q-WX-2   ASSN 2011-15 C                  06/01/2011   Paydown                                         264,302        264,302        267,420                                            (3,118)                             (3,118)                         264,302                                              0             2,669    04/01/2023       1
                      FEDERAL NATIONAL MTG ASSN
        31416Q-EY-7   POOL # AA6450                   06/01/2011   Paydown                                         155,732        155,732        157,630                                            (1,898)                             (1,898)                         155,732                                              0             2,446    09/01/2040       1
                                                                                                    STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                                                    SCHEDULE D - PART 4
                                                                                                              Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter
             1                 2             3       4                  5                   6            7              8               9              10                               Change in Book/Adjusted Carrying Value                                     16             17            18             19                 20               21           22

                                                                                                                                                                       11                  12                  13              14                  15
                                             F                                                                                                                                                                                                                                                                                                                 NAIC
                                             o                                                                                                                                                                                                                                                                                                                Desig-
                                             r                                                                                                                                                            Current Year’s                                          Book/                                                           Bond                         nation
                                             e                                                                                                    Prior Year        Unrealized                             Other Than                         Total Foreign     Adjusted        Foreign                                      Interest/Stock                      or
          CUSIP                              i                                          Number of                                               Book/Adjusted        Valuation       Current Year’s        Temporary     Total Change in       Exchange       Carrying Value Exchange Gain Realized Gain    Total Gain         Dividends                      Market
           Identi-                           g   Disposal                               Shares of                                                  Carrying          Increase/       (Amortization)/       Impairment       B./A.C.V.          Change in            at         (Loss) on     (Loss) on      (Loss) on          Received         Maturity     Indicator
          fication          Description      n     Date           Name of Purchaser       Stock     Consideration    Par Value      Actual Cost     Value           (Decrease)         Accretion           Recognized      (11+12-13)           B./A.C.V.     Disposal Date     Disposal      Disposal       Disposal         During Year        Date           (a)
                    FEDERAL NATIONAL MTG ASSN
        31417L-CP-8 POOL # AC1877                 06/01/2011 Paydown                                       79,604         79,604          81,146                                                (1,542)                             (1,542)                             79,604                                           0             1,225    09/01/2039       1
                    FEDERAL NATIONAL MTG ASSN
        31418W-PP-9 POOL # AD8529                 06/01/2011 Paydown                                      142,200        142,200         142,977                                                 (778)                               (778)                           142,200                                             0             2,110    08/01/2040       1
                    GMAC COMM MTG ASSET CORP
        36186Y-AA-3 HICKAM AFB 144A               06/10/2011 Various                                       37,716         37,716          39,029         38,773                                 (1,058)                             (1,058)                             37,716                                           0                865   02/10/2035       1
                    GNMA-BACKED TRUST SERIES
        361924-AJ-2 3 CLASS F PAC                 06/01/2011 Paydown                                          443             443            371              407                                  37                                  37                                  443                                           0                12    06/01/2020      1FE
                    GMAC COMM MTG ASSET CORP
        38011S-AA-3 04-POLK CL A1                 06/10/2011 Redemption       100.0000                     49,508         49,508          50,231         49,982                                  (474)                               (474)                              49,508                                           0             1,244    09/10/2024       3
                    GMAC COMM MTG ASSET CORP
        38011X-AA-2 KIRTLAND MILITA               06/10/2011 Redemption       100.0000                     17,569         17,569          19,692         19,412                                 (1,842)                             (1,842)                             17,569                                           0                460   09/10/2036      4Z
                    GOVT NATL MTG ASSN 2003-
        38373S-P2-7 36 CLASS D 4.8                06/01/2011 Paydown                                      971,348        971,348         958,106        967,200                                 4,147                               4,147                            971,348                                             0             19,734   03/01/2036       1
                    GOVT NATL MTG ASSN 2002-
        38373V-JA-9 60 CLASS PG 6.                06/01/2011 Paydown                                    1,033,033      1,033,033       1,041,828      1,034,538                                 (1,505)                             (1,505)                        1,033,033                                             0             25,783   07/01/2031       1
                    GOVT NATL MTG ASSN 2003-
        38374C-Q5-3 86 CLASS VJ 5.                05/13/2011 R.W. BAIRD 0547                           12,408,810     11,832,000      11,784,240     11,796,666                                    237                                 237                        11,796,903                      611,907        611,907            301,880     10/01/2013       1
                    GOVT NATL MTG ASSN 2004-
        38374H-J6-8 72 CLASS PL 5.                06/01/2011 Paydown                                       83,954         83,954          85,104         84,012                                    (58)                                (58)                             83,954                                           0             1,925    07/01/2012       1
                    GOVT NATL MTG ASSN 2011-
        38377T-XS-5 17 PC 4.000% 0                06/01/2011 Paydown                                      201,388        201,388         205,730                                                (4,342)                             (4,342)                          201,388                                             0             2,045    03/01/2026       1
                    GOVT NATL MTG ASSN SERIES
        3837H0-A8-6 1997-2 CLASS                  06/01/2011 Paydown                                         7,720          7,720           7,912           7,945                                (225)                               (225)                              7,720                                            0                242   11/01/2026       1
                    GOVT NATL MTG ASSN SERIES
E05.3




        3837H0-SC-8 1996-14 CLASS                 06/01/2011 Paydown                                       42,109         42,109          41,460         41,250                                    859                                 859                              42,109                                           0             1,236    07/01/2026       1
                    KENTUCKY HSG CORP REV
        49130P-4M-3 SERIES D 5.745%               04/01/2011 Call       100.0000                          145,000        145,000         145,000        145,000                                                                          0                           145,000                                             0             6,248    07/01/2037      1FE
                    KENTUCKY HSG CORP SERIES
        49130P-6J-8 F 5.530% 07/0                 04/01/2011 Call       100.0000                          390,000        390,000         390,000        390,000                                                                          0                           390,000                                             0             16,175   07/01/2037      1FE
                    KENTUCKY HSG CORP REV
        49130T-BS-4 SERIES M 6.060%               04/01/2011 Various                                       65,000         65,000          64,905         64,935                                    65                                  65                               65,000                                           0             2,954    07/01/2036      1FE
                    OHANA MILITARY SERIES
        677071-AD-4 04II 6.543% 04/0              04/01/2011 Various                                       15,000         15,000          15,000         15,000                                                                          0                              15,000                                           0                491   04/01/2049      1FE
                    PENNSYLVANIA HSG FIN AGY
        708796-AD-9 SERIES 93 C 5                 04/01/2011 Call       100.0000                           85,000         85,000          85,000         85,000                                                                          0                              85,000                                           0             2,482    04/01/2037      1FE
          3199999 - Bonds - U.S. Special Revenue and Special Assessment and all Non-Guaranteed
                       Obligations of Agencies and Authorities of Governments and Their Political
                       Subdivisions                                                                    22,686,176     21,827,075      21,486,469     20,772,605                  0              26,433                0             26,433                0       21,653,946            0       1,032,230      1,032,230            545,831        XXX          XXX
        Bonds - Industrial and Miscellaneous (Unaffiliated)
                    ABN AMRO MORTGAGE CORP
        00077B-5S-8 SERIES 2002-10 CL             05/01/2011 Paydown                                       46,311         46,311          46,355         46,275                                    36                                  36                               46,311                                           0                982   08/01/2019      1Z*
                    ABN AMRO MORTGAGE CORP
        000780-AH-9 SERIES 2003-3 CLA             06/01/2011 Paydown                                      168,344        168,344         170,106        169,143                                  (799)                               (799)                           168,344                                             0             4,018    01/01/2033      1Z*
                    ACLC FRANCHISE LOAN
        00086R-AA-5 RECEIVABLE 1997-A CL          06/15/2011 Paydown                                       36,383         36,383          38,612         36,652                                  (269)                               (269)                              36,383                                           0             1,055    03/15/2012      4FE
                    AES IRONWOOD LLC 8.857%
        00103X-AC-7 11/30/25                      05/31/2011 Redemption       100.0000                     72,110         72,110          72,110         72,110                                                                          0                              72,110                                           0             3,193    11/30/2025      4FE
                    ALLIANCE PIPELINE 144A
        01877K-AA-1 7.770% 06/30/15               06/30/2011 Redemption       100.0000                    360,000        360,000         360,000        360,000                                                                          0                           360,000                                             0             13,986   06/30/2015      1FE
                    COUNTRYWIDE ALTERNATIVE
        02150E-AD-5 LN TR 2007-5CB C              06/01/2011 Paydown                                       67,390         67,390          45,641         45,641                                 21,749                              21,749                              67,390                                           0             1,681    04/01/2037      1Z*
                    AMTRAK/PENN STATION LEASE
        03235M-AA-0 BACK CERTS SER                06/15/2011 Redemption       100.0000                    208,017        208,017         208,017        208,017                                                                          0                           208,017                                             0             9,881    06/15/2017       1
                    ANHEUSER-BUSCH INBEV WOR
        03523T-AA-6 144A 7.200% 0                 04/01/2011 Various                                   10,425,543     10,000,000      10,664,000     10,460,808                              (35,265)                            (35,265)                         10,425,543                                             0          512,000     01/15/2014      2FE
                    ANHEUSER-BUSCH INBEV WOR
        03523T-AB-4 144A 7.750% 0                 04/01/2011 Tax Free Exchange                          3,997,457      4,000,000       3,996,920      3,997,398                                    60                                  60                          3,997,457                                             0          220,444     01/15/2019      2FE
                    ANHEUSER-BUSCH INBEV WOR
        03523T-BD-9 7.200% 01/15/                 06/20/2011 Call       114.4740                       11,447,400     10,000,000      10,425,543                                           1,021,857                           1,021,857                          11,447,400                                             0          310,000     01/15/2014      2FE
                                                                                                           STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                                                       SCHEDULE D - PART 4
                                                                                                                    Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter
             1                   2                3       4                     5                 6             7             8              9            10                         Change in Book/Adjusted Carrying Value                                     16             17            18               19                 20               21           22

                                                                                                                                                                        11              12                  13              14                  15
                                                  F                                                                                                                                                                                                                                                                                                           NAIC
                                                  o                                                                                                                                                                                                                                                                                                          Desig-
                                                  r                                                                                                                                                    Current Year’s                                          Book/                                                             Bond                         nation
                                                  e                                                                                                    Prior Year    Unrealized                         Other Than                         Total Foreign     Adjusted        Foreign                                        Interest/Stock                      or
          CUSIP                                   i                                            Number of                                             Book/Adjusted    Valuation   Current Year’s        Temporary     Total Change in       Exchange       Carrying Value Exchange Gain Realized Gain      Total Gain         Dividends                      Market
           Identi-                                g   Disposal                                 Shares of                                                Carrying      Increase/   (Amortization)/       Impairment       B./A.C.V.          Change in            at         (Loss) on     (Loss) on        (Loss) on          Received         Maturity     Indicator
          fication          Description           n     Date          Name of Purchaser          Stock     Consideration   Par Value     Actual Cost     Value       (Decrease)     Accretion           Recognized      (11+12-13)           B./A.C.V.     Disposal Date     Disposal      Disposal         Disposal         During Year        Date           (a)
                      ASTORIA DEPOSITOR CORP
        04626R-AA-4   144A 5.744% 05/                 06/01/2011   Redemption       100.0000                     119,929       119,929       119,929       119,929                                                                    0                          119,929                                                0             2,859    05/01/2016      2FE
                      BCAP LLC TRUST BCAP 2010-
        05533C-KW-7   RR6 18A5 144A                   06/01/2011   Paydown                                       153,537       153,537       158,335       158,317                           (4,780)                             (4,780)                         153,537                                                0             3,269    11/01/2018      1FE
                      BARCLAYS CAPITAL 10-RR7
        05533D-BM-7   CLASS 4A2 5.00                  06/01/2011   Paydown                                     1,934,060     1,934,060     1,977,577     1,970,781                        (36,721)                            (36,721)                          1,934,060                                               0             59,151   05/01/2017      1Z*
                      BFL FUNDING I LLC
        055392-AB-0   HONEYWELL GUARANTEE             05/01/2011   Redemption       100.0000                     211,884       211,884       211,884       211,884                                                                    0                          211,884                                                0             7,527    05/01/2026       1
                      BTMU CAPITAL CORPORATION
        05577@-AN-0   UNION PAC RR CO                 04/15/2011   Redemption       100.0000                     100,000       100,000       100,000       100,000                                                                    0                          100,000                                                0             2,415    10/15/2024       1
                      BANC OF AMERICA MORTGAGE
        05948X-B9-1   SEC 03-9 CL 1A2                 06/01/2011   Paydown                                     1,412,872     1,412,872     1,368,278     1,397,439                           15,432                              15,432                         1,412,872                                               0             30,189   12/01/2033      1Z*
                      BANC OF AMERICA MORTGAGE
        05948X-J5-1   SEC 03-10 CL 1A                 06/01/2011   Paydown                                       908,698       908,698       890,702       901,669                           7,029                               7,029                           908,698                                                0             20,036   01/01/2034      1Z*
                      BANC OF AMERICA MORTGAGE
        05948X-LL-3   SEC SERIES 2003                 06/01/2011   Paydown                                       107,252       107,252       111,073       108,904                           (1,652)                             (1,652)                         107,252                                                0             2,950    04/01/2033      1Z*
                      BANC OF AMERICA MORTGAGE
        05948X-RM-5   SEC SERIES 2003                 06/01/2011   Paydown                                       220,444       220,444       222,821       221,042                            (597)                               (597)                          220,444                                                0             5,030    12/01/2016      1Z*
                      BANC OF AMERICA MORTGAGE
        05948X-VS-7   SEC 03-8 CL 1A2                 06/01/2011   Paydown                                     1,093,874     1,093,874     1,048,410     1,072,628                           21,246                              21,246                         1,093,874                                               0             26,260   11/01/2033      1Z*
                      BEAR STEARNS COMM MTG SEC
        07383F-QT-8   SERIES 2003-T1                  06/01/2011   Paydown                                       210,993       210,993       212,129       210,928                              65                                  65                           210,993                                                0             3,519    05/01/2012      1Z*
                      BELLSOUTH TELEC 6.300%
        079867-AQ-0   12/15/15                        06/15/2011   Various                                       227,500       227,500       235,488       232,391                           (4,891)                             (4,891)                         227,500                                                0             7,168    12/15/2015      1FE
                      BRUCE MANSFIELD UNIT 1
E05.4




        116663-AC-9   6.850% 06/01/34                 06/01/2011   Various                                        91,253        91,253        91,253        91,253                                                                    0                              91,253                                             0             3,125    06/01/2034      2FE
                      CNL FUNDING 2000-AA CLASS
        12613Y-AB-5   A2 144A 8.0                     06/01/2011   Paydown                                        53,110        53,110        60,479        56,235                           (3,126)                             (3,126)                             53,110                                             0                725   04/01/2017      5FE
                      CVS CORP PASS THRU CTFS
        126650-AF-7   144A 7.770% 0                   06/10/2011   Redemption       100.0000                     102,025       102,025       102,025       102,025                                                                    0                          102,025                                                0             3,306    01/10/2012      2FE
                      COUNTRYWIDE ALTERNATIVE
        12667F-LF-0   LOAN 04-J5 CLASS                06/01/2011   Paydown                                       325,500       325,500       320,287       321,673                           3,828                               3,828                           325,500                                                0             7,860    07/01/2034      1Z*
                      COUNTRYWIDE FUNDING CWALT
        12669C-R6-9   SERIES 2002-7                   06/01/2011   Paydown                                        34,558        34,558        36,491        36,034                           (1,477)                             (1,477)                             34,558                                             0                889   05/01/2032      1Z*
                      COUNTRYWIDE HOME LOANS
        12669D-2M-9   CWHL SERIES 2003-               06/01/2011   Paydown                                       713,054       713,054       717,288       715,465                           (2,411)                             (2,411)                         713,054                                                0             14,994   12/01/2032      1Z*
                      COUNTRYWIDE FUNDING
        12669E-ET-9   SERIES 2003-14 CLASS            06/01/2011   Paydown                                     1,770,180     1,770,180     1,753,031     1,760,243                           9,936                               9,936                          1,770,180                                               0             38,714   06/01/2033      1Z*
                      COUNTRYWIDE FUNDING
        12669E-ZN-9   SERIES 2003-34 CLASS            06/01/2011   Paydown                                       381,706       381,706       380,513       380,485                           1,221                               1,221                           381,706                                                0             10,023   09/01/2033      1Z*
                      COUNTRYWIDE HOME LOANS
        12669F-HN-6   03-57 CL A9 5.5                 06/01/2011   Paydown                                     1,146,875     1,146,875     1,105,122     1,135,078                           11,797                              11,797                         1,146,875                                               0             24,291   01/01/2034      1Z*
                      COUNTRYWIDE HOME LOANS
        12669F-LN-1   04-1 CL A3 5.75                 06/01/2011   Paydown                                       327,736       327,736       320,465       323,467                           4,269                               4,269                           327,736                                                0             8,441    02/01/2034      1Z*
                      CA FM LEASE TRUST (FRED
        12673G-AA-3   MEYER INC LESSEE                04/15/2011   Redemption       100.0000                     183,252       183,252       183,252       183,252                                                                    0                          183,252                                                0             7,788    07/15/2017       2
                      CALIF PETRO TRAN 8.520%
        130914-AM-6   04/01/15                        04/01/2011   Various                                       568,000       568,000       563,041       566,166                           1,834                               1,834                           568,000                                                0             24,197   04/01/2015      1FE
                      CHASE MORTGAGE FINANCE
        16162W-FT-1   CORP 03-S15 CL 2A               04/01/2011   Paydown                                       749,468       749,468       738,460       745,615                           3,853                               3,853                           749,468                                                0             14,365   01/01/2034      1Z*
                      CITICORP MORTGAGE
        172973-RS-0   SECURITIES SERIES 2003          06/01/2011   Paydown                                     1,433,104     1,433,104     1,414,518     1,420,705                           12,399                              12,399                         1,433,104                                               0             35,070   08/01/2033      1Z*
                      CITICORP MORTGAGE
        172973-WF-2   SECURITIES 04-2 CLASS           06/01/2011   Paydown                                     1,041,934     1,041,934     1,042,260     1,040,276                           1,659                               1,659                          1,041,934                                               0             21,749   01/01/2014      1Z*
                      CLIFFS NATURAL RESOURCES
        18683K-AD-3   4.875% 04/01/                   04/25/2011   MIZUHO SECURITIES                           2,009,260     2,000,000     1,997,940                                            17                                  17                          1,997,957                         11,303           11,303             9,479    04/01/2021      2FE
                      COMMERCIAL MORT LEASE
        201736-AA-3   BACK CER SERIES 20              06/01/2011   Paydown                                       127,120       127,120       128,575       127,465                            (345)                               (345)                          127,120                                                0             3,669    11/01/2015      1Z*
                      CONTIMORTGAGE HOME EQUITY
        21075W-CV-5   1996-2 CLASS A                  06/01/2011   Paydown                                        52,954        52,954        53,585        52,934                              19                                  19                               52,954                                             0             1,821    05/01/2013      2Z*
                      CONTINENTAL AIRLINES PASS
        210805-BD-8   THRU CTFS 1997                  06/03/2011   Various                                       833,212       833,212       833,212       833,212                                                                    0                          833,212                                                0             33,390   10/01/2016      4FE
                                                                                                             STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                                                             SCHEDULE D - PART 4
                                                                                                                       Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter
             1                   2                3       4                     5                   6             7              8               9             10                           Change in Book/Adjusted Carrying Value                                     16             17            18              19                 20               21           22

                                                                                                                                                                               11              12                  13              14                  15
                                                  F                                                                                                                                                                                                                                                                                                                 NAIC
                                                  o                                                                                                                                                                                                                                                                                                                Desig-
                                                  r                                                                                                                                                           Current Year’s                                          Book/                                                            Bond                         nation
                                                  e                                                                                                        Prior Year       Unrealized                         Other Than                         Total Foreign     Adjusted        Foreign                                       Interest/Stock                      or
          CUSIP                                   i                                              Number of                                               Book/Adjusted       Valuation   Current Year’s        Temporary     Total Change in       Exchange       Carrying Value Exchange Gain Realized Gain     Total Gain         Dividends                      Market
           Identi-                                g   Disposal                                   Shares of                                                  Carrying         Increase/   (Amortization)/       Impairment       B./A.C.V.          Change in            at         (Loss) on     (Loss) on       (Loss) on          Received         Maturity     Indicator
          fication          Description           n     Date          Name of Purchaser            Stock     Consideration    Par Value      Actual Cost     Value          (Decrease)     Accretion           Recognized      (11+12-13)           B./A.C.V.     Disposal Date     Disposal      Disposal        Disposal         During Year        Date           (a)
                      CREDIT SUISSE FIRST
        22540V-Q2-1   BOSTON SERIES 2002-1            06/01/2011   Paydown                                         192,872        192,872        192,872       192,872                                                                       0                          192,872                                               0             5,997    05/01/2032      1Z*
                      CREDIT SUISSE FIRST
        22541N-5Q-8   BOSTON SERIES 2003-1            06/01/2011   Paydown                                         390,314        390,314        377,629       382,355                              7,959                               7,959                           390,314                                               0             7,636    05/01/2033      1Z*
                      CREDIT SUISSE FIRST
        22541Q-3W-0   BOSTON 03-29 CLASS 2            06/01/2011   Paydown                                       1,132,821      1,132,821      1,129,280      1,129,093                             3,728                               3,728                          1,132,821                                              0             25,465   12/01/2033      1Z*
                      CREDIT SUISSE FIRST
        22541Q-F5-6   BOSTON 03-25 CL SA7             06/01/2011   Paydown                                         725,812        725,812        691,109       707,840                              17,972                              17,972                          725,812                                               0             14,320   10/01/2033      1Z*
                      CREDIT SUISSE FIRST
        22541Q-PM-8   BOSTON SERIES 2003-2            04/01/2011   Paydown                                          48,944         48,944         48,485         48,372                                572                                 572                              48,944                                            0                897   09/01/2033      1Z*
                      CREDIT SUISSE FIRST
        22541Q-YL-0   BOSTON 03-25 CL1A8              06/01/2011   Paydown                                         372,563        372,563        359,683       365,594                              6,969                               6,969                           372,563                                               0             7,350    10/01/2033      1Z*
                      DLJ MORTGAGE ACCEPTANCE
        23321P-BD-9   CORP SERIES 1992                06/01/2011   Paydown                                             279             279            277             277                                2                                   2                                 279                                            0                  4   07/01/2022      5Z*
                      DTE ENERGY CENTER LLC
        23334B-AA-2   144A 7.458% 04/3                04/30/2011   Redemption         100.0000                      46,500         46,500         46,500         46,500                                                                      0                              46,500                                            0             1,734    04/30/2024      3FE
                      DELTA AIR LINES EQUIPMENT
        247367-AC-9   TRUST 9.375%                    03/23/2011   Taxable Exchange                                   1,392                                                                                                                  0                                                           1,392           1,392                       09/11/2017       6
                      ENTERTAINMENT PROPERTIES
        29380T-AQ-8   144A 7.750% 0                   06/22/2011   Tax Free Exchange                             4,920,504      5,000,000      4,914,500      4,917,651                             2,853                               2,853                          4,920,504                                              0          378,889     07/15/2020      2FE
                      FPL ENERGY AMERICAN WIND
        302567-AA-0   144A 6.639% 0                   06/20/2011   Redemption         100.0000                     161,250        161,250        161,250       161,250                                                                       0                          161,250                                               0             10,705   06/20/2023      2FE
                      FIRST CHICAGO LEASING
        31953*-AL-6   CORP SERIES A 5.                05/15/2011   Redemption         100.0000                      47,380         47,380         47,380         47,380                                                                      0                              47,380                                            0             1,412    10/16/2027       1
                      FIRST CHICAGO LEASING
E05.5




        31953*-AM-4   CORP SERIES B 5.                05/15/2011   Redemption         100.0000                        4,761          4,761           4,761          4,761                                                                    0                              4,761                                             0                142   10/16/2027       1
                      FIRST CHICAGO LEASING
        31953*-AN-2   CORP SERIES C 5.                05/15/2011   Redemption         100.0000                      29,989         29,989         29,989         29,989                                                                      0                              29,989                                            0                894   10/16/2027       1
                      FIRST CHICAGO LEASING
        31953*-AP-7   CORP SERIES D 5.                05/15/2011   Redemption         100.0000                      12,170         12,170         12,170         12,170                                                                      0                              12,170                                            0                363   10/16/2027       1
                      FIRST CHICAGO LEASING
        31953*-AQ-5   CORP SERIES E 5.                05/15/2011   Redemption         100.0000                      16,187         16,187         16,187         16,187                                                                      0                              16,187                                            0                482   10/16/2027       1
                      FIRST CHICAGO LEASING
        31953*-AR-3   CORP SERIES F 5.                05/15/2011   Redemption         100.0000                      14,267         14,267         14,267         14,267                                                                      0                              14,267                                            0                425   12/13/2027       1
                      FIRST HORIZON ASSET
        32051D-R6-1   SECURITIES 03-10 CL             06/01/2011   Paydown                                         829,623        829,623        791,642       809,384                              20,239                              20,239                          829,623                                               0             18,185   01/01/2034      1Z*
                      FIRST HORIZON ASSET
        32051D-T5-1   SECURITIES 04-1 CL 1            06/01/2011   Paydown                                         857,593        857,593        837,895       846,754                              10,839                              10,839                          857,593                                               0             21,951   03/01/2034      1Z*
                      FOREST CITY 144A (M
        345538-AB-8   STANLEY-LESSEE) 1994            06/01/2011   Various                                         355,672        355,672        355,220       354,725                                 947                                 947                          355,672                                               0             10,798   01/01/2013      1FE
                      GMAC MTG CORP LOAN TRUST
        36185N-2A-7   04-J2 CALSS SS2                 06/01/2011   Paydown                                            1,600          1,600           1,561          1,571                              29                                  29                               1,600                                             0                37    06/01/2034      1Z*
                      GSPA MONETIZATION TRUST
        36298G-AA-7   PASS THROUGH SER                06/09/2011   Various                                          11,244         11,244         11,348         11,331                                (86)                                (86)                             11,244                                            0                301   10/09/2029      1FE
                      GREENTREE FINANCIAL CORP
        393505-CV-2   1994-4 CL A-5                   06/15/2011   Paydown                                          31,379         31,379         31,313         31,375                                  5                                   5                              31,379                                            0             1,069    07/15/2019      1FE
                      HOMER CITY FUND 8.734%
        437410-AB-9   10/01/26                        04/01/2011   Redemption         100.0000                     140,000        140,000        140,000       140,000                                                                       0                          140,000                                               0             6,114    10/01/2026      3FE
                      INDIANTOWN COGENERATION
        455665-AK-5   SERIES A-10 9.                  06/15/2011   Redemption         100.0000                     122,266        122,266        139,077       130,552                              (8,287)                             (8,287)                         122,266                                               0             5,973    12/15/2020      3FE
                      IRWIN HOME EQUITY 2005-1
        464126-CQ-2   CLASS 2A-3 5.                   06/01/2011   Paydown                                         565,026        565,026        564,907       563,911                              1,115                               1,115                           565,026                                               0             12,514   06/01/2035      1Z*
                      JP MORGAN CHASE COMM MORT
        46625M-WW-5   2003-CB6 CLASS                  06/01/2011   Paydown                                         292,537        292,537        294,731       292,748                               (211)                               (211)                          292,537                                               0             4,752    11/01/2012      1Z*
                      JP MORGAN H&Q RENT BACKED
        46626A-AA-2   PASS THRU 144                   06/15/2011   Redemption         100.0000                     166,633        166,633        166,633       166,633                                                                       0                          166,633                                               0             4,933    09/15/2017       1
                      JUNIPER GENERATION 144A
        481927-AE-1   5.040% 12/31/1                  06/30/2011   Redemption         100.0000                      41,262         41,262         41,262         41,262                                                                      0                              41,262                                            0             1,040    12/31/2014      3FE
                      KINCAID GENERATION 144 A
        494492-AA-9   7.330% 06/15/                   06/15/2011   Various                                         106,410        106,410        106,410       106,410                                                                       0                          106,410                                               0             3,900    06/15/2020      2FE
                      LEGG-MASON LEASE BACK
        52465#-AN-5   PASS THRU CERTS                 06/10/2011   Redemption         100.0000                      83,629         83,629         83,564         83,590                                38                                  38                               83,629                                            0             3,000    08/10/2021       5
                                                                                                             STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                                                             SCHEDULE D - PART 4
                                                                                                                       Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter
             1                   2                3       4                       5                 6             7              8               9             10                           Change in Book/Adjusted Carrying Value                                     16             17            18             19                 20               21           22

                                                                                                                                                                               11              12                  13              14                  15
                                                  F                                                                                                                                                                                                                                                                                                                NAIC
                                                  o                                                                                                                                                                                                                                                                                                               Desig-
                                                  r                                                                                                                                                           Current Year’s                                          Book/                                                           Bond                         nation
                                                  e                                                                                                        Prior Year       Unrealized                         Other Than                         Total Foreign     Adjusted        Foreign                                      Interest/Stock                      or
          CUSIP                                   i                                              Number of                                               Book/Adjusted       Valuation   Current Year’s        Temporary     Total Change in       Exchange       Carrying Value Exchange Gain Realized Gain    Total Gain         Dividends                      Market
           Identi-                                g   Disposal                                   Shares of                                                  Carrying         Increase/   (Amortization)/       Impairment       B./A.C.V.          Change in            at         (Loss) on     (Loss) on      (Loss) on          Received         Maturity     Indicator
          fication          Description           n     Date          Name of Purchaser            Stock     Consideration    Par Value      Actual Cost     Value          (Decrease)     Accretion           Recognized      (11+12-13)           B./A.C.V.     Disposal Date     Disposal      Disposal       Disposal         During Year        Date           (a)
                      LEHMAN ABS CORP MORTGAGE
        525170-AC-0   1994-C5 CL A1 (                 05/01/2011   Redemption         100.0000                      43,292         43,292         27,004         27,004                             16,288                              16,288                              43,292                                           0             1,423    05/01/2011       1
                      MASTR ASSET
                      SECURITIZATION TR 03-11
        55265K-X3-8   2A7                             06/01/2011   Paydown                                       1,342,362      1,342,362      1,312,369      1,330,137                             12,225                              12,225                         1,342,362                                             0             27,665   12/01/2033      1Z*
                      MASTR ASSET
                      SECURITIZATION TR SERIES
        55265K-ZE-2   200                             05/01/2011   Paydown                                         332,851        332,851        333,059       334,828                              (1,977)                             (1,977)                         332,851                                              0             6,247    06/01/2033      1Z*
                      MACH ONE TRUST 2004-1
        55445R-AC-1   CLASS A3 144A 5                 06/01/2011   Paydown                                         437,195        437,195        441,539       436,451                                 744                                 744                          437,195                                              0             8,874    11/01/2012      1FE
                      MASTR ALTERNATE LOAN
        576434-HA-5   TRUST 03-7 CL G3                06/01/2011   Paydown                                         511,031        511,031        508,236       508,629                              2,402                               2,402                           511,031                                              0             12,268   11/01/2033      1Z*
                      MASTR ASSET SECURITZATION
        57643M-BJ-2   TRST 04-5 CLAS                  06/01/2011   Paydown                                       1,825,898      1,825,898      1,701,794      1,779,050                             46,848                              46,848                         1,825,898                                             0             41,885   05/01/2034      1Z*
                      MASTR ASSET SECURITZATION
        57643M-CS-1   TRST 04-6 CLAS                  06/01/2011   Paydown                                       2,563,075      2,563,075      2,508,609      2,545,643                             17,431                              17,431                         2,563,075                                             0             59,393   06/01/2034      1Z*
                      MEREY SWEENY L.P. 144A
        589497-AA-4   8.850% 12/18/1                  06/18/2011   Various                                         306,504        306,504        323,890       207,780                           (16,164)                            (16,164)                           306,504                                              0             13,563   12/18/2019      2FE
                      MERRILL LYNCH MORTGAGE
        589929-PU-6   INVESTR 1998-C1 C               06/01/2011   Paydown                                         203,226        203,226        219,103       209,427                              (6,201)                             (6,201)                         203,226                                              0             5,662    08/01/2016      1Z*
                      MID-STATE TRUST IV
        59549P-AA-6   8.330% 04/01/30                 04/01/2011   Paydown                                          23,439         23,439         23,435         23,434                                  4                                   4                              23,439                                           0                976   04/01/2030      2FE
                      MID-STATE TRUST XI CLASS
        59549W-AB-9   M1 5.598% 07/                   06/15/2011   Paydown                                          31,608         31,608         31,607         31,607                                  1                                   1                              31,608                                           0                743   07/15/2038      1FE
                      MOTOROLA SOLUTIONS INC
E05.6




        620076-AP-4   6.500% 11/15/28                 06/21/2011   TENDER OFFER                                  7,489,230      7,000,000      6,933,640                                            1,672                               1,672                          6,935,312                      553,918        553,918            273,000     11/15/2028      2FE
                      NORLEASE INC 6.010%
        65605*-AC-6   12/31/28                        06/30/2011   Redemption         100.0000                     102,564        102,564        102,564       102,564                                                                       0                          102,564                                              0             3,082    12/31/2028       1
                      OGLETHORPE PR (OPC
        677050-AB-2   SCHERER) 6.974% 06/             06/30/2011   Redemption         100.0000                      58,000         58,000         58,000         58,000                                                                      0                              58,000                                           0             2,022    06/30/2011      1FE
                      PEPCO HOLDINGS INC
        69379@-AA-4   6.731% 12/15/28                 06/15/2011   Various                                            8,054          8,054           8,054          8,054                                                                    0                              8,054                                            0                224   12/15/2028       2
                      PAINE WEBBER CMO TRUST
        69573R-AC-6   SERIES I CLASS 2                06/01/2011   Paydown                                             314             314            292             317                              (3)                                 (3)                                 314                                           0                11    04/01/2018       1
                      PORT WA GENERATING
        73557*-AB-0   STATION WISCONSIN ELE           06/15/2011   Redemption         100.0000                      10,258         10,258         10,258         10,258                                                                      0                              10,258                                           0                257   06/15/2033       1
                      PORTLAND NATURAL GAS
        73664#-AA-8   TRANSMISSION SYSTEM             06/30/2011   Redemption         100.0000                      62,182         62,182         62,182         62,182                                                                      0                              62,182                                           0             1,834    12/31/2018       2
                      PRIME PROPERTY FUNDING
        741933-AE-5   144A 5.600% 06/                 06/15/2011   Maturity                                      1,500,000      1,500,000      1,486,035      1,498,918                             1,082                               1,082                          1,500,000                                             0             42,000   06/15/2011      2FE
                      PRUDENTIAL HOME MORTGAGE
        743948-AE-1   SECS 1992-A CLA                 06/01/2011   Paydown                                            5,049          5,049           5,023          5,022                              27                                  27                               5,049                                            0                167   04/01/2022      1Z*
                      QLD-WACC LLC GSA SECURED
        746946-AA-0   7.250% 04/01/                   06/01/2011   Redemption         100.0000                     135,999        135,999        143,283       140,493                              (4,493)                             (4,493)                         135,999                                              0             4,112    04/01/2023      1FE
                      RBSSP RESECURITIZATION
        74927D-AW-6   TRUST 2010-4 CLAS               06/01/2011   Paydown                                         387,309        387,309        393,239       393,226                              (5,917)                             (5,917)                         387,309                                              0             6,159    08/01/2018      1FE
                      RGS (AEGCO) FUNDING CO
        74955D-AA-9   9.810% 12/07/2                  06/07/2011   Redemption         100.0000                      28,536         28,536         32,806         30,944                             (2,408)                             (2,408)                             28,536                                           0             1,400    12/07/2021      4FE
                      RESIDENTIAL FUNDING MTG
        76111J-U3-6   SEC SERIES 2003-                06/01/2011   Paydown                                         479,779        479,779        471,682       476,953                              2,825                               2,825                           479,779                                              0             12,345   03/01/2033      1Z*
                      SELKIRK COGEN FUNDING
        816391-AD-8   SERIES A 8.980%                 06/26/2011   Various                                         889,774        889,774        889,774       889,774                                                                       0                          889,774                                              0             39,951   06/26/2012      3FE
                      SHEARSON LEHMAN CMO INC
        820922-CR-1   SERIES P CLASS 4                06/01/2011   Paydown                                             355             355            362             372                              (18)                                (18)                                355                                           0                14    08/01/2013       1
                      SILICON VALLEY BANK
        827065-AB-9   6.050% 06/01/17                 05/03/2011   Various                                       5,624,000      5,000,000      4,989,050      4,992,388                                333                                 333                         4,992,721                      631,279        631,279            127,722     06/01/2017      2FE
                      SUNFLOWER ELECTRIC POWER
        86736@-AB-4   CORP UAP #16                    06/30/2011   Redemption         100.0000                     129,519        129,519        124,837       126,918                              2,601                               2,601                           129,519                                              0             5,181    09/30/2016       3
                      SWEETWATER INVESTORS LLC
        870537-AA-5   144A 5.875% 0                   05/15/2011   Redemption         100.0000                     109,137        109,137        109,137       109,137                                                                       0                          109,137                                              0             3,206    05/15/2014      5*
                      TAL ADVANTAGE LLC 2010-2A
        872162-AD-4   CLASS A 144A                    06/20/2011   Paydown                                         125,000        125,000        125,000       125,000                                                                       0                          125,000                                              0             2,260    10/20/2025      1FE
                      TBW MORT BACKED PASS THRU
        872227-AJ-2   CERT 07-2 CLAS                  06/01/2011   Paydown                                         171,255        171,255        171,254       171,248                                   7                                   7                          171,255                                              0             4,199    07/01/2037      4Z*
                                                                                                      STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                                                   SCHEDULE D - PART 4
                                                                                                               Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter
             1                  2             3        4                   5                 6             7             8              9             10                             Change in Book/Adjusted Carrying Value                                   16             17            18             19                 20               21           22

                                                                                                                                                                    11                  12                 13              14                 15
                                              F                                                                                                                                                                                                                                                                                                           NAIC
                                              o                                                                                                                                                                                                                                                                                                          Desig-
                                              r                                                                                                                                                       Current Year’s                                         Book/                                                           Bond                         nation
                                              e                                                                                                   Prior Year     Unrealized                            Other Than                        Total Foreign     Adjusted        Foreign                                      Interest/Stock                      or
          CUSIP                               i                                           Number of                                             Book/Adjusted     Valuation       Current Year’s       Temporary     Total Change in      Exchange       Carrying Value Exchange Gain Realized Gain    Total Gain         Dividends                      Market
           Identi-                            g    Disposal                               Shares of                                                Carrying       Increase/       (Amortization)/      Impairment       B./A.C.V.         Change in            at         (Loss) on     (Loss) on      (Loss) on          Received         Maturity     Indicator
          fication        Description         n      Date         Name of Purchaser         Stock     Consideration   Par Value     Actual Cost     Value        (Decrease)         Accretion          Recognized      (11+12-13)          B./A.C.V.     Disposal Date     Disposal      Disposal       Disposal         During Year        Date           (a)
                    TBW MORT BACKED PASS THRU
        87222P-AF-0 CERT 06-6 CLAS                 06/01/2011 Paydown                                       175,183       175,183        175,113       174,962                                  221                                221                          175,183                                             0             4,618    01/01/2037      3Z*
                    TENASKA VIRGINIA
        88031Q-AA-8 PARTNERS 144A 6.119%           06/30/2011 Redemption       100.0000                      25,299        25,299         25,299        25,299                                                                       0                             25,299                                           0                774   03/30/2024      2FE
                    TENASKA ALABAMA 144A
        88031R-AA-6 6.125% 03/30/23                06/30/2011 Various                                        67,571        67,571         67,752        67,696                                (125)                              (125)                             67,571                                           0             2,069    03/30/2023      2FE
                    TIMES SQUARE HOTEL TRUST
        887367-AA-8 CERTS LESSEE ST                06/01/2011 Redemption       100.0000                      49,241        49,241         49,241        49,241                                                                       0                             49,241                                           0             1,751    08/01/2026      3FE
                    TRINITY RAIL LEASING LP
        89655X-AA-6 TRL 2006-1A A1 1               06/14/2011 Paydown                                        61,285        61,285         61,994                                              (709)                              (709)                             61,285                                           0                604   07/15/2023      2FE
                    TRINITY RAIL LEASING 2010
        89656C-AA-1 LLC TRL 2010-1                 06/16/2011 Paydown                                        61,113        61,113         61,113        61,113                                                                       0                             61,113                                           0             1,323    10/16/2040      1FE
                    UTILITY CONTRACT FUNDING
        91802M-AA-8 144A 7.944%                    04/01/2011 Redemption       100.0000                     257,060       257,060        256,919       257,010                                  50                                 50                           257,060                                             0             10,210   10/01/2016      2FE
                    WELLS FARGO MORT BACKED
        949760-AD-4 SERIES 2003-9 CL               06/01/2011 Paydown                                       310,284       310,284        309,120       309,150                               1,134                              1,134                           310,284                                             0             6,666    08/01/2033      1Z*
                    WELLS FARGO MORT BACKED
        949814-AB-3 SERIRES 04-1 CLA               06/01/2011 Paydown                                       585,692       585,692        553,113       568,664                               17,029                             17,029                          585,692                                             0             16,106   02/01/2034      1Z*
                    WELLS FARGO MORT BACKED
        94985C-AD-7 06-17 CLASS A4                 06/01/2011 Paydown                                       308,797       308,797        305,951       306,800                               1,997                              1,997                           308,797                                             0             7,048    11/01/2021      1Z*
                    WORLD FINANCIAL PROP 144A
        981468-AA-9 6.910% 09/01                   06/01/2011 Redemption       100.0000                     116,309       116,309        119,313       117,079                                (770)                              (770)                          116,309                                             0             3,351    09/01/2013      1Z*
                    EXPRESS PIPELINE 144A
        30217V-AA-5 6.470% 12/31/13           A 06/30/2011 Redemption          100.0000                     380,000       380,000        376,694       379,454                                  546                                546                          380,000                                             0             12,293   12/31/2013      1FE
                    EXPRESS PIPELINE 144A
E05.7




        30217V-AC-1 SERIES B 7.390            A 06/30/2011 Various                                          168,000       168,000        161,833       166,451                               1,549                              1,549                           168,000                                             0             6,208    12/31/2017      2FE
                    DAK AMERICAS, LLC
        23406#-AA-6 PETROTEMEX GROUP 6.8      F 06/23/2011 Redemption          100.0000                     285,714       285,714        285,714       285,714                                                                       0                          285,714                                             0             9,786    06/23/2014       3
                    MMCAPS FUNDING I 144A
        60686G-AA-7 8.030% 06/15/31           F 06/15/2011 Redemption          100.0000                   1,210,713     1,210,713      1,210,713     1,210,713                                                                       0                        1,210,713                                             0             48,610   06/15/2031      1FE
                    SAPPI PAPIER 144A
        803070-AA-9 6.750% 06/15/12           F 05/16/2011 Call          106.7500                         3,253,740     3,048,000      3,314,308     3,106,163                            147,577                            147,577                          3,253,740                                           0             86,297     06/15/2012      4FE
          3899999 - Bonds - Industrial and Miscellaneous (Unaffiliated)                                  89,449,974    86,329,448     87,018,936    67,371,610                0         1,346,464                 0        1,346,464                 0       88,252,082            0       1,197,892      1,197,892          2,988,350         XXX         XXX
        Bonds - Credit Tenant Loans
                    921 OHIO LLC FEDERAL
        000000-00-0 COURT HOUSE 5.000              06/01/2011 Redemption       100.0000                      21,651        21,651         21,651                                                                                     0                             21,651                                           0                210   10/01/2029      1Z
                    B-CDC CORP LOWES HOME
        05557*-AA-4 CENTERS INC-BURLES             06/01/2011 Redemption       100.0000                      95,422        95,422         95,422        95,422                                                                       0                             95,422                                           0             2,980    12/01/2017       1
                    BANNERMAN CROSSINGS, LLC
        06659@-AA-7 WALGREEN CO - T                06/01/2011 Redemption       100.0000                      26,497        26,497         26,497        26,497                                                                       0                             26,497                                           0                652   07/01/2031       1
                    BARRY I, LLC LA SALLE
        06883#-AA-3 BANK NA-CHICAGO                06/01/2011 Redemption       100.0000                      22,373        22,373         22,373        22,373                                                                       0                             22,373                                           0                560   11/01/2022       1
                    BRYN MAWR PARTNERSHIP
        11767#-AA-4 WALGREEN - COLLEYV             06/01/2011 Redemption       100.0000                      30,539        30,539         30,539        30,539                                                                       0                             30,539                                           0             1,035    07/01/2017       1
                    CITY REAL ESTATE
        17859#-AA-0 INVESTMENTS US POSTAL S        06/01/2011 Redemption       100.0000                      53,295        53,295         53,295        53,295                                                                       0                             53,295                                           0             1,725    09/01/2013       1
                    CP SIGNAL HC, LLC
        22409#-AA-5 WALGREENS - MESA 7.0           06/01/2011 Redemption       100.0000                      18,317        18,317         18,317        18,317                                                                       0                             18,317                                           0                535   04/01/2029       1
                    DH VAN DYKE, LLC
        23351*-AA-5 WALGREENS DRUG STORE -         06/01/2011 Redemption       100.0000                      14,694        14,694         14,694        14,694                                                                       0                             14,694                                           0                351   12/01/2029       1
                    FREIN WILLIAM I & MILDRED
        35705*-AA-2 A WALGREENS DR                 06/01/2011 Redemption       100.0000                      33,592        33,592         33,592        33,592                                                                       0                             33,592                                           0                981   11/01/2016       1
                    GE ALBUQUERQUE
        36183@-AA-9 STOREFRONT, LLC WALGREEN       06/01/2011 Redemption       100.0000                      38,879        38,879         38,879        38,879                                                                       0                             38,879                                           0             1,135    11/01/2014       1
                    GREGORY A HEGUIAGARAY
        39757#-AA-7 WALGREEN LAWTON                06/01/2011 Redemption       100.0000                      33,523        33,523         33,523        33,523                                                                       0                             33,523                                           0             1,001    01/01/2019       1
                    HAMSTRA-BUILDERS, INC. US
        40959#-AA-1 DEPT VETERAN A                 06/01/2011 Various                                        78,832        78,832         78,832        78,832                                                                       0                             78,832                                           0             2,127    11/01/2030       1
                    HERMAN LIPSITZ WALGREEN -
        42743#-AA-8 DALLAS TX 7.                   06/01/2011 Redemption       100.0000                      29,382        29,382         29,382        29,382                                                                       0                             29,382                                           0                919   06/01/2016       1
                                                                                                        STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                                                             SCHEDULE D - PART 4
                                                                                                                  Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter
              1                 2             3        4                     5                 6              7            8                      9             10                             Change in Book/Adjusted Carrying Value                                     16             17            18              19                 20               21           22

                                                                                                                                                                              11                  12                  13              14                  15
                                              F                                                                                                                                                                                                                                                                                                                        NAIC
                                              o                                                                                                                                                                                                                                                                                                                       Desig-
                                              r                                                                                                                                                                  Current Year’s                                          Book/                                                            Bond                         nation
                                              e                                                                                                             Prior Year     Unrealized                             Other Than                         Total Foreign     Adjusted        Foreign                                       Interest/Stock                      or
           CUSIP                              i                                             Number of                                                     Book/Adjusted     Valuation       Current Year’s        Temporary     Total Change in       Exchange       Carrying Value Exchange Gain Realized Gain     Total Gain         Dividends                      Market
            Identi-                           g    Disposal                                 Shares of                                                        Carrying       Increase/       (Amortization)/       Impairment       B./A.C.V.          Change in            at         (Loss) on     (Loss) on       (Loss) on          Received         Maturity     Indicator
           fication       Description         n      Date          Name of Purchaser          Stock     Consideration   Par Value             Actual Cost     Value        (Decrease)         Accretion           Recognized      (11+12-13)           B./A.C.V.     Disposal Date     Disposal      Disposal        Disposal         During Year        Date           (a)
                    MARBETH LEASE FINANCE
        56602#-AA-8 TRUST 8.550% 11/               06/17/2011   Redemption       100.0000                     129,844       129,844               136,487        135,577                               (5,733)                             (5,733)                          129,844                                              0             4,630    11/17/2022       3
                    M B SR WINSTON SALEM NC
        57888#-AA-1 LLC WALGREENS DR               06/01/2011   Redemption       100.0000                      21,682           21,682              21,682        21,682                                                                       0                               21,682                                            0                538   08/01/2026       1
                    PATRIOT REAL ESTATE
        70340#-AA-6 PARTNERS HOME DEPOT            06/01/2011   Redemption       100.0000                      66,419           66,419              66,419        66,419                                                                       0                               66,419                                            0             1,523    11/01/2023       2
                    PEREGRINE HOLDINGS, LLC
        71366#-AA-3 WALGREENS/CVS -                06/01/2011   Redemption       100.0000                      11,218           11,218              11,218        11,218                                                                       0                               11,218                                            0                302   10/01/2024       1
                    PHARMACON II, LTD
        71720#-AA-4 WALGREEN - HOUSTON, TX         06/01/2011   Redemption       100.0000                      29,587           29,587              29,587        29,587                                                                       0                               29,587                                            0                839   06/01/2018       1
                    POLARIS 2004, LLC OHIO
        73109#-AA-1 STATE UNIVERSITY-              06/01/2011   Redemption       100.0000                     155,892       155,892               155,892        155,892                                                                       0                            155,892                                              0             3,022    11/01/2014       1
                    RIO GRANDE INVT INC LOWES
        76710@-AB-5 HOME CENTERS I                 06/01/2011   Redemption       100.0000                     115,976       115,976               115,976        115,976                                                                       0                            115,976                                              0             3,622    12/01/2017       1
                    SENTINEL-GERMANTOWN LLC
        81729*-AA-8 AURORA HEALTH CA               06/01/2011   Redemption       100.0000                     126,813       126,813               126,813        126,813                                                                       0                            126,813                                              0             3,172    06/01/2024       1
                    SPRINGS GATEWAY COUNTY OF
        85178#-AA-1 RIVERSIDE RECO                 06/01/2011   Redemption       100.0000                      92,343           92,343              92,343        92,343                                                                       0                               92,343                                            0             3,108    01/01/2018       1
                    ST JOSEPH REALTY, LLC
        85231@-AA-8 WALGREEN - LUBBOCK             06/01/2011   Redemption       100.0000                      29,945           29,945              29,945        29,945                                                                       0                               29,945                                            0                894   10/01/2018       1
                    WARREN NEWBURGH PROPERTY,
        93545#-AA-1 LLC CVS-INDIAN                 06/01/2011   Redemption       100.0000                      22,793           22,793              22,793        22,793                                                                       0                               22,793                                            0                760   08/01/2021       2
                    WCK MT PLEASANT LC HY-
        94684#-AA-0 VEE-MT. PLEASANT               06/01/2011   Various                                        44,888           44,888              44,888        44,888                                                                       0                               44,888                                            0             1,095    02/01/2025       1
                    WCK DAVENPORT 5, LC HY-
E05.8




        94685@-AA-1 VEE-DAVENPORT LOC              06/01/2011   Various                                        75,078           75,078              75,078        75,078                                                                       0                               75,078                                            0             1,831    02/01/2025       1
                    WCK DAVENPORT 4, LC HY-
        94687#-AA-7 VEE-DAVENPORT 53R              06/01/2011   Various                                        53,141           53,141              53,141        53,141                                                                       0                               53,141                                            0             1,296    02/01/2025       1
                    WEST DEA, LLC DEA LAB -
        95241#-AA-3 SAN DIEGO 7.62                 06/01/2011   Redemption       100.0000                      44,266           44,266              44,266        44,266                                                                       0                               44,266                                            0             1,408    10/01/2015       1
                    WEST SACRAMENTO, LLC DEA
        95565#-AA-1 LAB - NORTH HIG                06/01/2011   Redemption       100.0000                      72,275           72,275              72,275        72,275                                                                       0                               72,275                                            0             1,784    05/01/2018       1
                    WEST VISTA, LLC DEA LAB -
        95672#-AA-1 VISTA 6.800%                   06/01/2011   Redemption       100.0000                     180,282       180,282               180,282        180,282                                                                        0                           180,282                                              0              5,112   01/01/2021       1
          4199999 - Bonds - Credit Tenant Loans                                                             1,769,438     1,769,438             1,776,081      1,753,520                0              (5,733)                0            (5,733)               0        1,769,438            0               0                 0             49,147       XXX         XXX
        Bonds - Hybrid Securities
                    BOI CAPITAL FUNDING NO 2
        055967-AA-1 144A 5.571% 0              F   06/20/2011   SEAPORT                                       135,625     1,000,000                300,000     1,000,000                                                700,000        (700,000)                            300,000                     (164,375)       (164,375)            27,855     02/01/2049      6FE
          4899999 - Bonds - Hybrid Securities                                                                 135,625     1,000,000                300,000     1,000,000                0                 0             700,000        (700,000)                 0          300,000            0        (164,375)       (164,375)            27,855         XXX         XXX
          8399997 - Subtotals - Bonds - Part 4                                                            116,299,208   113,178,956            112,887,076    93,198,100                0         1,320,000             700,000         620,000                  0      114,228,668            0       2,070,540       2,070,540          3,669,573         XXX         XXX
          8399999 - Subtotals - Bonds                                                                     116,299,208   113,178,956            112,887,076    93,198,100                0         1,320,000             700,000         620,000                  0      114,228,668            0       2,070,540       2,070,540          3,669,573         XXX         XXX




           9999999 Totals                                                                                 116,299,208     XXX                  112,887,076    93,198,100                0         1,320,000             700,000         620,000                  0      114,228,668            0       2,070,540       2,070,540          3,669,573        XXX          XXX
        (a) For all common stock bearing the NAIC market indicator "U" provide: the number of such issues                                0.
                                                                                                 STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY



                                                                                                                        SCHEDULE DB - PART A - SECTION 1
                                                                                                                    Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date
               1                    2             3               4             5            6            7            8              9             10             11             12             13           14          15       16            17             18                19            20            21              22              23
                              Description                                                                                                                                       Current                                                                                                                                                     Hedge
                                of Items                                                                                                       Strike Price,    Prior Year    Year Initial                                                                     Total                                                                    Effectiveness
                              Hedged or                                                                                                          Rate or       Initial Cost     Cost of                      Book/                            Unrealized      Foreign                        Adjustment                     Credit       at Inception
                               Used For       Schedule/        Type(s)                                 Date of                                     Index       of Premium      Premium                      Adjusted                           Valuation     Exchange        Current Year’s to Carrying                    Quality of       and at
                                Income          Exhibit           of      Exchange or                 Maturity or   Number of      Notional     Received       (Received)     (Received)     Current Year   Carrying                           Increase/     Change in       (Amortization)/   Value of    Potential       Reference    Quarter-end
           Description        Generation       Identifier      Risk(s)    Counterparty   Trade Date   Expiration    Contracts      Amount         (Paid)           Paid          Paid          Income        Value       Code   Fair Value    (Decrease)     B./A.C.V.         Accretion     Hedged Item   Exposure          Entity           (a)
      Purchased Options - Hedging Other - Other
                            Interest
      S&P 500 Index Option Credited for
      MAV                   Index Products Exhibit 5       Equity/Index   BNP            09/01/2010   07/27/2011            660       725,333 1,098.80               12,067                             0       27,260               27,260        15,194
                            Interest
      S&P 500 Index Option Credited for
      MAV                   Index Products Exhibit 5       Equity/Index   BAR            11/03/2010   10/10/2011            901     1,068,763 1,186.83               20,739                             0       41,868               41,868        21,129
                            Interest
      S&P 500 Index Option Credited for
      MAV                   Index Products Exhibit 5       Equity/Index   CS             12/01/2010   11/16/2011           1,493    1,820,840 1,219.19               33,544                             0       71,962               71,962        38,418
                            Interest
      S&P 500 Index Option Credited for
      MAV                   Index Products Exhibit 5       Equity/Index   CS             01/05/2011   12/31/2011           1,169    1,471,304 1,258.13                              31,189              0       47,245               47,245        16,056
                            Interest
      S&P 500 Index Option Credited for
      MAV                   Index Products Exhibit 5       Equity/Index   BAR            02/02/2011   01/13/2012            668       872,791 1,306.57                              16,132              0       13,990               13,990        (2,142)
                            Interest
      S&P 500 Index Option Credited for
      MAV                   Index Products Exhibit 5       Equity/Index   BNP            03/02/2011   02/15/2012           1,843    2,475,760 1,343.00                              40,667              0       98,809               98,809        58,143
                            Interest
      S&P 500 Index Option Credited for
      MAV                   Index Products Exhibit 5       Equity/Index   CS             03/30/2011   03/15/2012           1,226    1,610,161 1,313.43                              49,025              0       35,115               35,115       (13,910)
                            Interest
      S&P 500 Index Option Credited for
      MAV                   Index Products Exhibit 5       Equity/Index   CS             05/04/2011   04/17/2012            637       854,630 1,341.74                              18,236              0       11,497               11,497        (6,739)
                            Interest
E06




      S&P 500 Index Option Credited for
      MAV                   Index Products Exhibit 5       Equity/Index   BOA            06/01/2011   05/15/2012            730       990,881 1,356.48                              14,712              0       12,062               12,062        (2,650)
                            Interest
      S&P 500 Index Option Credited for
      MAV                   Index Products Exhibit 5       Equity/Index   BOA            06/29/2011   06/11/2012            596       779,815 1,307.41                              16,265              0       17,235               17,235           970
        0139999 - Hedging Other - Other                                                                                                                              66,350        186,226              0      377,043   XXX        377,043       124,469                0              0              0               0      XXX           XXX
        0149999 - Subtotal - Hedging Other                                                                                                                           66,350        186,226              0      377,043   XXX        377,043       124,469                0              0              0               0      XXX           XXX
        0419999 - Total Purchased Options - Subtotal - Other                                                                                                         66,350        186,226              0      377,043   XXX        377,043       124,469                0              0              0               0      XXX           XXX
        0429999 - Subtotal - Total Purchased Options                                                                                                                 66,350        186,226              0      377,043   XXX        377,043       124,469                0              0              0               0      XXX           XXX




        1269999    Subtotal - Forwards                                                                                                                                    0              0              0            0   XXX              0             0                0              0              0               0      XXX            XXX
        1399999    Subtotal - Hedging Effective                                                                                                                           0              0              0            0   XXX              0             0                0              0              0               0      XXX            XXX
        1409999    Subtotal - Hedging Other                                                                                                                          66,350        186,226              0      377,043   XXX        377,043       124,469                0              0              0               0      XXX            XXX
        1419999    Subtotal - Replication                                                                                                                                 0              0              0            0   XXX              0             0                0              0              0               0      XXX            XXX
        1429999    Subtotal - Income Generation                                                                                                                           0              0              0            0   XXX              0             0                0              0              0               0      XXX            XXX
        1439999    Subtotal - Other                                                                                                                                       0              0              0            0   XXX              0             0                0              0              0               0      XXX            XXX
        1449999    Totals                                                                                                                                            66,350        186,226              0      377,043   XXX        377,043       124,469                0              0              0               0      XXX            XXX
                     STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY



        (a)   Code                        Financial or Economic Impact of the Hedge at the End of the Reporting Period
E06.1
                                                                             STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                   SCHEDULE DB - PART B - SECTION 1
                                                                                                                   Future Contracts Open as of the Current Statement Date
             1             2           3           4               5             6            7           8           9           10          11            12            13                  14                           Change in Valuation Margin                      19                20

                                                                                                                                                                                                             15                                 17         18                               Hedge
                                                                                                                                                                                                                                16        Gain (Loss)                                   Effectiveness
                                                                                                                                                                                            Book/                          Gain (Loss)      Used to                                      at Inception
                                                              Description    Schedule/                Date of                                                                              Adjusted                        Recognized     Adjust Basis                                      and at
       Ticker           Number of   Notional                  of Hedged       Exhibit     Type(s) of Maturity or                 Trade     Transaction     Reporting          Fair         Carrying                         in Current     of Hedged                    Potential       Quarter-end
       Symbol           Contracts   Amount     Description      Item(s)      Identifier    Risk(s) Expiration      Exchange      Date         Price        Date Price        Value          Value         Cumulative           Year           Item       Deferred       Exposure              (a)




      1449999 Totals                                                                                                                                                                 0                0                0              0              0              0               0        XXX
E07




                                                                                                                        Broker Name                                                                        Net Cash Deposits



                                                       Total Net Cash Deposits


       (a)       Code                                                                                               Financial or Economic Impact of the Hedge at the End of the Reporting Period
                                                                             STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                                                                                  SCHEDULE DB - PART D
                                                                                                Counterparty Exposure for Derivative Instruments Open as of Current Statement Date
                                    1                             2              3                  4                             Book/Adjusted Carrying Value                                                  Fair Value                                     11                   12
                                                                                                                          5                    6                      7                      8                       9                  10
                                                                 Master    Credit Support                          Contracts With       Contracts With
                               Description                     Agreement       Annex         Fair Value of         Book/Adjusted        Book/Adjusted          Exposure Net of       Contracts With Fair    Contracts With Fair   Exposure Net of                            Off-Balance Sheet
                    Counterparty or Exchange Traded             (Y or N)      (Y or N)    Acceptable Collateral   Carrying Value >0    Carrying Value <0          Collateral              Value >0               Value <0            Collateral         Potential Exposure       Exposure
      0199999 – Aggregate Sum of Exchange Traded Derivatives       XXX           XXX              XXX                                                                            0                                                                  0                                        0
      NAIC 1 Designation
      BANK OF AMERICA                                              Y             Y                                            29,298                                      29,298                   29,298                                     29,298
      BARCLAYS BANK PLC                                            Y             Y                                            55,858                                      55,858                   55,858                                     55,858
      BNP PARIBAS NEW YORK                                         Y             Y                                           126,069                                     126,069                  126,069                                    126,069
      CREDIT SUISSE INTL                                           Y             Y                                           165,819                                     165,819                  165,819                                    165,819
      0299999 - Total NAIC 1 Designation                                                                     0               377,044                     0               377,044                  377,044                     0              377,044                     0                  0




      0899999 Totals                                                                                         0               377,044                     0               377,044                  377,044                     0              377,044                     0                  0
E08
STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY




                         Schedule DL - Part 1

                             NONE
                         Schedule DL - Part 2

                             NONE




                              E09, E10
                    STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY


                                                   SCHEDULE E - PART 1 - CASH
                                                                    Month End Depository Balances
                                   1                                2       3           4                    5                  Book Balance at End of Each                 9
                                                                                                                                Month During Current Quarter
                                                                                        Amount of        Amount of            6               7              8
                                                                                         Interest         Interest
                                                                                        Received         Accrued at
                                                                            Rate          During          Current
                                                                             of          Current         Statement
                            Depository                             Code   Interest       Quarter            Date          First Month      Second Month      Third Month     *
 Open Depositories
BANK OF AMERICA                           DES MOINES, IOWA                                                                    9,637,755         9,637,555               0   XXX
US BANK                                   DES MOINES, IOWA                                                                   (4,250,263)        3,633,019      19,716,084   XXX
JPMORGAN CHASE BANK - CUSTODY ACCOUNT     NEW YORK, NEW YORK                                                                          0            (2,278)     50,441,235   XXX
JPMORGAN CHASE BANK - DDA ACCOUNT         NEW YORK, NEW YORK                                                                  2,410,718           340,338       4,005,311   XXX
FEDERAL HOME LOAN BANK                    DES MOINES, IOWA                   0.010                  36                          546,004         1,730,898       1,018,633   XXX
 0199998    Deposits in                   1 depositories that do
            not exceed the allowable limit in any one depository
            (See Instructions) - Open Depositories                  XXX     XXX                                                 117,221           136,901         150,508 XXX
 0199999 Total Open Depositories                                    XXX     XXX                     36                0       8,461,435        15,476,433      75,331,771 XXX




0399999 Total Cash on Deposit                                       XXX     XXX                     36                0       8,461,435        15,476,433      75,331,771 XXX
0499999 Cash in Company’s Office                                    XXX     XXX            XXX              XXX                                                           XXX
0599999 Total                                                       XXX     XXX                     36                0       8,461,435        15,476,433      75,331,771 XXX




                                                                                  E11
                                                     STATEMENT AS OF JUNE 30, 2011 OF THE FARM BUREAU LIFE INSURANCE COMPANY

                                                          SCHEDULE E - PART 2 - CASH EQUIVALENTS
                                                                               Show Investments Owned End of Current Quarter
                                            1                2         3                       4                            5             6                    7                        8
                                                                     Date                  Rate of                      Maturity   Book/Adjusted        Amount of Interest       Amount Received
                                       Description          Code    Acquired               Interest                       Date     Carrying Value        Due & Accrued             During Year
E12




      8699999 Total Cash Equivalents                                                                                                                0                        0                     0

				
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