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Variable Interest Entity and Noncontrolling Interests - Carrying amount of assets and liabilities of variable interest entity (Details) - USD ($)
$ in Thousands
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2017
Assets        
Investments accounted for using the fair value option $ 3,824,796 $ 3,663,477    
Fixed maturities available for sale, at fair value 18,717,825 16,894,526    
Equity securities, at fair value 1,444,830 838,925    
Cash 906,448 726,230 $ 646,556  
Accrued investment income 103,299 117,937    
Premiums receivable 2,064,586 1,778,717    
Ceded unearned premiums 1,234,075 1,234,683    
Deferred acquisition costs 790,708 633,400    
Receivable for securities sold 92,743 24,133    
Goodwill and intangible assets 692,863 738,083 634,920  
Other assets 1,853,579 1,383,788    
Total assets of consolidated VIE 43,282,297 37,885,361 32,218,329  
Liabilities        
Reserve for losses and loss adjustment expenses 16,513,929 13,891,842 11,853,297 $ 11,383,792
Unearned premiums 4,838,965 4,339,549    
Reinsurance balances payable 683,263 667,072    
Revolving credit agreement borrowings 155,687 484,287    
Senior notes 2,861,113 1,871,626    
Payable for securities purchased 218,779 87,579    
Other liabilities 1,510,888 1,513,330    
Total liabilities of consolidated VIE 29,294,856 25,569,809 $ 21,780,650  
Watford Holdings Ltd | Variable Interest Entity, Primary Beneficiary        
Assets        
Investments accounted for using the fair value option 1,790,385 1,898,091    
Fixed maturities available for sale, at fair value 655,249 745,708    
Equity securities, at fair value 52,410 65,338    
Cash 211,451 102,437    
Accrued investment income 14,679 14,025    
Premiums receivable 224,377 273,657    
Reinsurance recoverable on unpaid and paid losses and loss adjustment expenses 286,590 170,973    
Ceded unearned premiums 122,339 132,577    
Deferred acquisition costs 53,705 64,044    
Receivable for securities sold 37,423 16,287    
Goodwill and intangible assets 7,650 7,650    
Other assets 75,801 60,070    
Total assets of consolidated VIE 3,532,059 3,550,857    
Liabilities        
Reserve for losses and loss adjustment expenses 1,519,583 1,263,628    
Unearned premiums 407,714 438,907    
Reinsurance balances payable 63,269 77,066    
Revolving credit agreement borrowings 155,687 484,287    
Senior notes 172,689 172,418    
Payable for securities purchased 25,881 18,180    
Other liabilities 193,494 171,714    
Total liabilities of consolidated VIE 2,538,317 2,626,200    
Redeemable noncontrolling interests $ 52,398 $ 52,305