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Variable Interest Entities and Noncontrolling Interests - Carrying amount of assets and liabilities of variable interest entity (Details) - USD ($)
$ in Thousands
Jun. 30, 2021
Mar. 31, 2021
Dec. 31, 2020
Jun. 30, 2020
Mar. 31, 2020
Dec. 31, 2019
Variable Interest Entity [Line Items]            
Other investments measured at fair value $ 4,071,497   $ 3,824,796      
Fixed maturities available for sale, at fair value 18,073,779   18,717,825      
Equity securities, at fair value 1,693,552   1,444,830      
Cash 1,234,059   906,448      
Accrued investment income 96,546   103,299      
Premiums receivable 2,866,578 $ 2,618,175 2,064,586 $ 2,203,753 $ 2,155,204 $ 1,778,717
Reinsurance recoverable on unpaid and paid losses and LAE 4,314,515 4,041,076 4,500,802 4,363,507 4,303,135 4,346,816
Ceded unearned premiums 1,541,093   1,234,075      
Deferred acquisition costs 1,013,657   790,708      
Receivable for securities sold 309,234   92,743      
Goodwill and intangible assets 667,153   692,863 688,490    
Other assets 2,357,064   1,724,288      
Total VIE Assets 46,481,886   43,282,297      
Reserve for losses and loss adjustment expenses 17,196,648 16,443,952 16,513,929 15,044,874 14,309,580 13,891,842
Unearned premiums 6,011,369   4,838,965      
Reinsurance balances payable 1,079,106   683,263      
Revolving credit agreement borrowings 155,687   155,687      
Senior notes 2,861,728   2,861,113      
Payable for securities purchased 586,881   218,779      
Other liabilities 1,332,843   1,510,888      
Total liabilities 31,519,407   29,294,856      
Redeemable noncontrolling interests 57,533   58,548      
Watford Holdings Ltd            
Variable Interest Entity [Line Items]            
Redeemable noncontrolling interests 57,533 $ 57,670 58,548 $ 55,986 $ 55,376 $ 55,404
Variable Interest Entity, Primary Beneficiary | Watford Holdings Ltd            
Variable Interest Entity [Line Items]            
Other investments measured at fair value [1] 1,984,919   1,790,385      
Fixed maturities available for sale, at fair value 663,902   655,249      
Equity securities, at fair value 97,623   52,410      
Cash 349,202   211,451      
Accrued investment income 14,549   14,679      
Premiums receivable 305,026   224,377      
Reinsurance recoverable on unpaid and paid losses and LAE 520,531   286,590      
Ceded unearned premiums 123,272   122,339      
Deferred acquisition costs 65,532   53,705      
Receivable for securities sold 102,287   37,423      
Goodwill and intangible assets 10,318   7,650      
Other assets 112,794   75,801      
Total VIE Assets 4,349,955   3,532,059      
Reserve for losses and loss adjustment expenses 1,916,742   1,519,583      
Unearned premiums 468,948   407,714      
Reinsurance balances payable 132,929   63,269      
Revolving credit agreement borrowings 155,687   155,687      
Senior notes 172,825   172,689      
Payable for securities purchased 199,342   25,881      
Other liabilities 227,396   193,494      
Total liabilities 3,273,869   2,538,317      
Redeemable noncontrolling interests $ 52,444   $ 52,398      
[1] Included in “other investments” on the Company’s balance sheet.