<ARTICLE> 7 <LEGEND> This schedule contains summary financial information extracted from the National Western Life Insurance Company and subsidiaries consolidated financial statements and is qualified in its entirety by reference to such financial statements. </LEGEND> <RESTATED> <MULTIPLIER> 1,000 <PERIOD-TYPE> YEAR <FISCAL-YEAR-END> DEC-31-1996 <PERIOD-START> JAN-01-1996 <PERIOD-END> DEC-31-1996 <DEBT-HELD-FOR-SALE> 510,008 <DEBT-CARRYING-VALUE> 1,873,561 <DEBT-MARKET-VALUE> 1,896,847 <EQUITIES> 17,619 <MORTGAGE> 193,311 <REAL-ESTATE> 15,209 <TOTAL-INVEST> 2,770,931 <CASH> 11,358 <RECOVER-REINSURE> 216 <DEFERRED-ACQUISITION> 295,666 <TOTAL-ASSETS> 3,120,829 <POLICY-LOSSES> 2,701,872 <UNEARNED-PREMIUMS> 0 <POLICY-OTHER> 14,562 <POLICY-HOLDER-FUNDS> 9,841 <NOTES-PAYABLE> 2,716 <PREFERRED-MANDATORY> 0 <PREFERRED> 0 <COMMON> 3,491 <OTHER-SE> 349,369 <TOTAL-LIABILITY-AND-EQUITY> 3,120,829 <PREMIUMS> 92,577<F1> <INVESTMENT-INCOME> 214,302 <INVESTMENT-GAINS> 1,612 <OTHER-INCOME> 2,718 <BENEFITS> 184,788<F2> <UNDERWRITING-AMORTIZATION> 30,361 <UNDERWRITING-OTHER> 25,722 <INCOME-PRETAX> 70,338 <INCOME-TAX> 24,123 <INCOME-CONTINUING> 46,215 <DISCONTINUED> 0 <EXTRAORDINARY> 0 <CHANGES> 0 <NET-INCOME> 46,215 <EPS-PRIMARY> 13.24 <EPS-DILUTED> 13.17 <RESERVE-OPEN> 0 <PROVISION-CURRENT> 0 <PROVISION-PRIOR> 0 <PAYMENTS-CURRENT> 0 <PAYMENTS-PRIOR> 0 <RESERVE-CLOSE> 0 <CUMULATIVE-DEFICIENCY> 0 <FN> <F1>Consists of $16,611 revenues from traditional contracts subject to FAS 60 accounting treatment and $75,966 revenues from universal life and investment annuity contracts subject to FAS 97 accounting treatment. <F2>Consists of $35,354 benefits paid to policyholders, $(2,041) decrease in reserves on traditional contracts and $151,475 interest on universal life and investment annuity contracts. </FN>