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Variable Interest Entity and Noncontrolling Interests - Other variable interest entity disclosures (Details) - USD ($)
$ in Thousands
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Variable Interest Entity [Line Items]      
Total VIE Assets $ 43,282,297 $ 37,885,361 $ 32,218,329
Total 2,232,609 1,848,679  
Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Total VIE Assets 3,859,058 3,425,833  
On-Balance Sheet (Asset) Liability (7,969) (5,197)  
Off-Balance Sheet 56,320 42,084  
Total 48,351 36,887  
Initial Coverage at Issuance 5,909,497    
Bellemeade 2017-1 Ltd | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Total VIE Assets 145,573 216,429  
On-Balance Sheet (Asset) Liability (245) (442)  
Off-Balance Sheet 844 2,794  
Total 599 2,352  
Initial Coverage at Issuance [1] 368,114    
Bellemeade 2018-1 Ltd | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Total VIE Assets 250,095 328,482  
On-Balance Sheet (Asset) Liability (903) (1,574)  
Off-Balance Sheet 2,245 5,757  
Total 1,342 4,183  
Initial Coverage at Issuance [2] 374,460    
Bellemeade 2018-2 Ltd | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Total VIE Assets 108,395 437,009  
On-Balance Sheet (Asset) Liability (138) (877)  
Off-Balance Sheet 280 2,524  
Total 142 1,647  
Initial Coverage at Issuance [3] 653,278    
Bellemeade 2018-3 Ltd | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Total VIE Assets 302,563 426,806  
On-Balance Sheet (Asset) Liability (1,320) (1,113)  
Off-Balance Sheet 3,262 3,937  
Total 1,942 2,824  
Initial Coverage at Issuance [4] 506,110    
Bellemeade 2019-1 Ltd | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Total VIE Assets 219,256 257,358  
On-Balance Sheet (Asset) Liability (1,361) (226)  
Off-Balance Sheet 8,461 3,027  
Total 7,100 2,801  
Initial Coverage at Issuance [5] 341,790    
Bellemeade 2019-2 Ltd | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Total VIE Assets 398,316 525,959  
On-Balance Sheet (Asset) Liability (730) (78)  
Off-Balance Sheet 5,201 2,579  
Total 4,471 2,501  
Initial Coverage at Issuance [6] 621,022    
Bellemeade 2019-3 Ltd | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Total VIE Assets 528,084 656,523  
On-Balance Sheet (Asset) Liability (861) (585)  
Off-Balance Sheet 5,079 9,273  
Total 4,218 8,688  
Initial Coverage at Issuance [7] 700,920    
Bellemeade 2019-4 Ltd | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Total VIE Assets 468,737 577,267  
On-Balance Sheet (Asset) Liability (890) (302)  
Off-Balance Sheet 6,676 12,193  
Total 5,786 $ 11,891  
Initial Coverage at Issuance [8] 577,267    
Bellemeade 2020-1 Ltd. | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Total VIE Assets [9] 275,068    
On-Balance Sheet (Asset) Liability [9] (178)    
Off-Balance Sheet [9] 1,012    
Total [9] 834    
Initial Coverage at Issuance [10] 528,540    
Bellemeade 2020-1 Ltd. | Directly provided capacity | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Initial Coverage at Issuance 79,000    
Bellemeade 2020-2 Ltd | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Total VIE Assets [11] 423,420    
On-Balance Sheet (Asset) Liability [11] (556)    
Off-Balance Sheet [11] 6,839    
Total [11] 6,283    
Initial Coverage at Issuance [12] 449,167    
Bellemeade 2020-2 Ltd | Directly provided capacity | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Initial Coverage at Issuance 26,000    
Bellemeade 2020-3 Ltd | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Total VIE Assets [13] 418,158    
On-Balance Sheet (Asset) Liability [13] (631)    
Off-Balance Sheet [13] 9,605    
Total [13] 8,974    
Initial Coverage at Issuance [14] 451,816    
Bellemeade 2020-3 Ltd | Directly provided capacity | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Initial Coverage at Issuance 34,000    
Bellemeade 2020-4 Ltd | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Total VIE Assets [15] 321,393    
On-Balance Sheet (Asset) Liability [15] (156)    
Off-Balance Sheet [15] 6,816    
Total [15] 6,660    
Initial Coverage at Issuance [16] 337,013    
Bellemeade 2020-4 Ltd | Directly provided capacity | Variable Interest Entity, Not Primary Beneficiary      
Variable Interest Entity [Line Items]      
Initial Coverage at Issuance $ 16,000    
[1] Issued in October 2017, covering in-force policies issued between January 1, 2017 and June 30, 2017.
[2] Issued in April 2018, covering in-force policies issued between July 1, 2017 and December 31, 2017.
[3] Issued in August 2018, covering in-force policies issued between April 1, 2013 and December 31, 2015.
[4] Issued in October 2018, covering in-force policies issued between January 1, 2018 and June 30, 2018.
[5] Issued in March 2019, covering in-force policies primarily issued between 2005 to 2008 under United Guaranty Residential Insurance Company (“UGRIC”); as well as policies issued through 2015 under both UGRIC and Arch Mortgage Insurance Company.
[6] Issued in April 2019, covering in-force policies issued between July 1, 2018 and December 31, 2018.
[7] Issued in July 2019, covering in-force policies issued in 2016.
[8] Issued in October 2019, covering in-force policies issued between January 1, 2019 and June 30, 2019.
[9] An additional $79 million capacity was provided directly to Arch MI U.S. by a separate panel of reinsurers and is not reflected in this table
[10] Issued in June 2020, covering in-force policies issued between July 1, 2019 and December 31, 2019. $450 million was directly funded by Bellemeade 2020-1 Ltd. with an additional $79 million of capacity provided directly to Arch MI U.S. by a separate panel of reinsurers
[11] An additional $26 million capacity was provided directly to Arch MI U.S. by a separate panel of reinsurers and is not reflected in this table
[12] Issued in September 2020, covering in-force policies issued between January 1, 2020 and May 31, 2020. $423 million was directly funded by Bellemeade 2020-2 Ltd. with an additional $26 million of capacity provided directly to Arch MI U.S. by a separate panel of reinsurers
[13] An additional $34 million capacity was provided directly to Arch MI U.S. by a separate panel of reinsurers and is not reflected in this table
[14] Issued in November 2020, covering in-force policies issued between June 1, 2020 and August 31, 2020. $418 million was directly funded by Bellemeade 2020-3 Ltd. with an additional $34 million of capacity provided directly to Arch MI U.S. by a separate panel of reinsurers.
[15] An additional $16 million capacity was provided directly to Arch MI U.S. by a separate panel of reinsurers and is not reflected in this tabl
[16] Issued in December 2020, covering in-force policies issued between July 1, 2019 and December 31, 2019. $321 million was directly funded by Bellemeade 2020-4 Ltd. with an additional $16 million of capacity provided directly to Arch MI U.S. by a separate panel of reinsurers