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Segment Reporting (Tables)
3 Months Ended
Mar. 31, 2020
Segment Reporting [Abstract]  
Schedule Of Underwriting Results For Operating Segments

 

Three Months Ended

Reinsurance

March 31,

(Dollars in thousands)

2020

 

2019

Gross written premiums

$

1,777,771

 

$

1,532,051

Net written premiums

 

1,613,094

 

 

1,394,553

 

 

 

 

 

 

Premiums earned

$

1,485,221

 

$

1,307,519

Incurred losses and LAE

 

1,020,642

 

 

772,198

Commission and brokerage

 

370,356

 

 

322,637

Other underwriting expenses

 

44,139

 

 

35,769

Underwriting gain (loss)

$

50,084

 

$

176,915

 

Three Months Ended

Insurance

March 31,

(Dollars in thousands)

2020

 

2019

Gross written premiums

$

793,100

 

$

595,057

Net written premiums

 

588,385

 

 

457,145

 

 

 

 

 

 

Premiums earned

$

551,593

 

$

425,178

Incurred losses and LAE

 

410,198

 

 

276,352

Commission and brokerage

 

78,166

 

 

66,837

Other underwriting expenses

 

84,721

 

 

63,216

Underwriting gain (loss)

$

(21,492)

 

$

18,773

Schedule Of Underwriting Results For Operating Segments To Income (Loss) Before Taxes

 

Three Months Ended

 

March 31,

(Dollars in thousands)

2020

 

2019

Underwriting gain (loss)

$

28,592

 

$

195,688

Net investment income

 

147,800

 

 

140,976

Net realized capital gains (losses)

 

(210,588)

 

 

92,232

Net derivative gain (loss)

 

(15,373)

 

 

3,231

Corporate expenses

 

(9,833)

 

 

(6,652)

Interest, fee and bond issue cost amortization expense

 

(7,583)

 

 

(7,631)

Other income (expense)

 

23,363

 

 

(3,300)

Income (loss) before taxes

$

(43,622)

 

$

414,544

Schedule Of Gross Written Premiums Derived From Largest Non-U.S. Market

 

Three Months Ended

 

March 31,

(Dollars in thousands)

2020

 

2019

United Kingdom gross written premium

$

306,708

 

$

263,857