Torchmark Corporation

Torchmark Corporation as of Dec. 31, 2012

Portfolio Holdings for Torchmark Corporation

Torchmark Corporation holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing

                Column 1           Column 2  Column 3   Column 4            Column 5        Column 6    Column 7        Column 8
     ------------------------  --------  --------   --------   -----------------------  ----------  --------  ---------------------
                                                                                                                     Voting
             Name of           Title of               Value    Shrs or            Put/  Investment   Other          authority
             Issuer              Class     CUSIP    (x $1000)  prn amt   SH/PRN   Call  Discretion  Managers  Sole   Shared    None
---  ------------------------  --------  ---------  ---------  -------  --------  ----  ----------  --------  ----  ---------  ----
{S}  {C}                       {C}       {C}        {C}        {C}      {C}       {C}   {C}         {C}       {C}   {C}        {C}
  1  AFLAC INC                 COMMON    001055102       2868    54000      SH              SOLE                X
  2  ALTRIA GROUP INC          COMMON    02209S103       3741   119000      SH              SOLE                X
  3  AMERICAN EXPRESS CO       COMMON    025816109       4368    76000      SH              SOLE                X
  4  APPLE INC                 COMMON    037833100       1064     2000      SH              SOLE                X
  5  ARGO GROUP INTERNATIONAL
     HOLDINGS LTD.             COMMON    G0464B107        355    10561      SH              SOLE                X
  6  AT^T INC.                 COMMON    00206R102       1888    56000      SH              SOLE                X
  7  BALL CORP                 COMMON    058498106       2864    64000      SH              SOLE                X
  8  CATERPILLAR INC           COMMON    149123101        896    10000      SH              SOLE                X
  9  CHEVRON CORP              COMMON    166764100       4542    42000      SH              SOLE                X
 10  CVS CORP                  COMMON    126650100       2369    49000      SH              SOLE                X
 11  DIRECTV COM               COMMON    25490A101       2959    59000      SH              SOLE                X
 12  EXXON MOBIL CORP          COMMON    30231G102       3938    45500      SH              SOLE                X
 13  GENERAL ELECTRIC CO       COMMON    369604103        987    47000      SH              SOLE                X
 14  IBM CORP                  COMMON    459200101      13332    69600      SH              SOLE                X
 15  JOHNSON & JOHNSON         COMMON    478160104       3155    45000      SH              SOLE                X
 16  KIMBERLY CLARK CORP       COMMON    494368103       2026    24000      SH              SOLE                X
 17  MCDONALD'S CORP           COMMON    580135101       2646    30000      SH              SOLE                X
 18  MEDTRONIC INC             COMMON    585055106       3364    82000      SH              SOLE                X
 19  NATIONAL OILWELL VARCO
     INC                       COMMON    637071101       1470    21500      SH              SOLE                X
 20  PHILIP MORRIS INTL INC    COMMON    718172109        962    11500      SH              SOLE                X
 21  TARGET CORP               COMMON    87612E106       3787    64000      SH              SOLE                X
 22  TORCHMARK CORP            COMMON    891027104      18937   366500      SH              SOLE                X
 23  WAL-MART STORES INC       COMMON    931142103       7410   108600      SH              SOLE                X