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FAIR VALUE MEASUREMENTS (Tables)
6 Months Ended
Jun. 30, 2022
Fair Value Disclosures [Abstract]  
FINANCIAL INSTRUMENTS MEASURED AT FAIR VALUE ON A RECURRING BASIS
The tables below present the financial instruments measured at fair value on a recurring basis for the periods indicated:
Quoted prices in active markets for identical assets (Level 1)Significant other observable inputs (Level 2)Significant unobservable inputs (Level 3)Fair value based on NAV practical expedientTotal fair value
At June 30, 2022
Assets
Fixed maturities, available for sale
U.S. government and agency$2,394,635 $43,674 $ $ $2,438,309 
Non-U.S. government 654,720   654,720 
Corporate debt 4,268,227 72,830  4,341,057 
Agency RMBS 1,019,124   1,019,124 
CMBS 1,083,040   1,083,040 
Non-agency RMBS 148,104   148,104 
ABS 1,456,150   1,456,150 
Municipals 164,178   164,178 
 2,394,635 8,837,217 72,830  11,304,682 
Equity securities
Common stocks2,978    2,978 
Preferred stocks96    96 
Exchange-traded funds306,057    306,057 
Bond mutual funds 213,030   213,030 
 309,131 213,030   522,161 
Other investments
Hedge funds (1)
   44,653 44,653 
Direct lending funds   260,120 260,120 
Private equity funds   266,412 266,412 
Real estate funds   289,811 289,811 
CLO-Equities  4,808  4,808 
Other privately held investments  115,970  115,970 
  120,778 860,996 981,774 
Short-term investments 65,683   65,683 
Other assets
Derivative instruments (refer to Note 5) 3,218   3,218 
Total Assets$2,703,766 $9,119,148 $193,608 $860,996 $12,877,518 
Liabilities
Derivative instruments (refer to Note 5)$ $19,665 $4,708 $ $24,373 
Cash-settled awards (refer to Note 8) 3,796   3,796 
 Total Liabilities$ $23,461 $4,708 $ $28,169 
(1) Includes Long/short equity and Multi-strategy funds.
Quoted prices in active markets for identical assets (Level 1)Significant other observable inputs (Level 2)Significant unobservable inputs (Level 3)Fair value based on NAV practical expedientTotal fair value
At December 31, 2021
Assets
Fixed maturities, available for sale
U.S. government and agency$2,632,541 $49,907 $— $— $2,682,448 
Non-U.S. government— 795,178 — — 795,178 
Corporate debt— 4,452,418 42,894 — 4,495,312 
Agency RMBS— 1,074,589 — — 1,074,589 
CMBS— 1,248,191 — — 1,248,191 
Non-agency RMBS— 186,164 — — 186,164 
ABS— 1,622,480 — — 1,622,480 
Municipals— 208,838 — — 208,838 
 2,632,541 9,637,765 42,894 — 12,313,200 
Equity securities
Common stocks1,364 — — — 1,364 
Preferred stocks179 — — — 179 
Exchange-traded funds336,815 — — — 336,815 
Bond mutual funds— 317,317 — — 317,317 
 338,358 317,317 — — 655,675 
Other investments
Hedge funds (1)
— — — 59,488 59,488 
Direct lending funds— — — 289,867 289,867 
Private equity funds— — — 249,974 249,974 
Real estate funds— — — 238,222 238,222 
CLO-Equities— — 5,910 — 5,910 
Other privately held investments— — 104,521 — 104,521 
— — 110,431 837,551 947,982 
Short-term investments— 31,063 — — 31,063 
Other assets
Derivative instruments (refer to Note 5)— 3,116 — — 3,116 
Total Assets$2,970,899 $9,989,261 $153,325 $837,551 $13,951,036 
Liabilities
Derivative instruments (refer to Note 5)$— $14,987 $5,630 $— $20,617 
Cash-settled awards (refer to Note 8)— 9,091 — — 9,091 
Total Liabilities$— $24,078 $5,630 $— $29,708 
(1) Includes Long/short equity and Multi-strategy funds.
LEVEL 3 FAIR VALUE MEASUREMENT INPUTS
The following table quantifies the significant unobservable inputs used in estimating fair values at June 30, 2022 of investments classified as Level 3 in the fair value hierarchy:
Asset / Liability - Fair valueValuation techniqueUnobservable inputAmount / Range
Weighted
average
Other investments - CLO-Equities$4,808 Discounted cash flowDefault rate4.5%4.5%
  Loss severity rate50.0%50.0%
  Collateral spread3.0%3.0%
Estimated maturity date6 years6 years
Other investments - Other privately held investments
$17,408 Discounted cash flowDiscount rate5.4%5.4%
Default rate0.5%0.5%
Loss absorption yield1.0%1.0%
Estimated maturity date
2-3 years
3 years
Derivatives - Other underwriting-related derivatives
$(4,708)
Discounted cash flow
Discount rate3.0%3.0%
Note: Fixed maturities of $73 million that are classified as Level 3 are excluded from the above table as these securities are priced using broker-dealer quotes. In addition, other privately held investments of $99 million that are classified as Level 3 are excluded from the above table as these investments are priced using capital statements received from investee companies.
CHANGES IN LEVEL 3 FINANCIAL INSTRUMENTS MEASURED AT FAIR VALUE ON A RECURRING BASIS, ASSETS
The following table presents changes in Level 3 for financial instruments measured at fair value on a recurring basis:
Opening
balance
Transfers
into
Level 3
Transfers
out of
Level 3
Included 
in net income(1)
Included
in OCI (2)
PurchasesSales
Settlements/
distributions
Closing
balance
Change in
unrealized
gains/(losses) (3)
Three months ended June 30, 2022
Fixed maturities, available for sale         
Corporate debt$60,890 $ $ $ $(3,828)$15,768 $ $ $72,830 $ 
CMBS          
ABS          
 60,890    (3,828)15,768   72,830  
Other investments
CLO-Equities4,881   803    (876)4,808 803 
Other privately held investments
115,474   (5,110) 7,606  (2,000)115,970 (5,110)
 120,355   (4,307) 7,606  (2,876)120,778 (4,307)
Total assets$181,245 $ $ $(4,307)$(3,828)$23,374 $ $(2,876)$193,608 $(4,307)
Other liabilities
Derivative instruments$5,074 $ $ $(366)$ $ $ $ $4,708 $(366)
Total liabilities$5,074 $ $ $(366)$ $ $ $ $4,708 $(366)
Six months ended June 30, 2022
Fixed maturities, available for sale         
Corporate debt$42,894 $ $ $ $(6,623)$37,231 $ $(672)$72,830 $ 
CMBS          
ABS          
 42,894    (6,623)37,231  (672)72,830  
Other investments
CLO-Equities5,910   1,675    (2,777)4,808 1,675 
Other privately held investments
104,521   (3,491) 16,940  (2,000)115,970 (3,491)
 110,431   (1,816) 16,940  (4,777)120,778 (1,816)
Total assets$153,325 $ $ $(1,816)$(6,623)$54,171 $ $(5,449)$193,608 $(1,816)
Other liabilities
Derivative instruments$5,630 $ $ $(922)$ $ $ $ $4,708 $(922)
Total liabilities$5,630 $ $ $(922)$ $ $ $ $4,708 $(922)
(1) Realized gains (losses) on fixed maturities and realized and unrealized gains (losses) on other assets and other liabilities included in net income are included in net investment gains (losses). Realized and unrealized gains (losses) on other investments included in net income are included in net investment income.
(2) Unrealized gains (losses) on fixed maturities are included in other comprehensive income ("OCI").
(3) Change in unrealized gains (losses) relating to assets and liabilities held at the reporting date.
Opening
balance
Transfers
into
Level 3
Transfers
out of
Level 3
Included 
in net income(1)
Included
in OCI(2)
PurchasesSalesSettlements/
distributions
Closing
balance
Change in
unrealized
gains/(losses)(3)
Three months ended June 30, 2021
Fixed maturities, available for sale
Corporate debt$2,405 $7,000 $— $— $21 $13,300 $— $— $22,726 $— 
CMBS905 — — — (2)— — (903)— — 
ABS7,175 12,382 (7,004)— — — — 12,560 — 
10,485 19,382 (7,004)— 26 13,300 — (903)35,286 — 
Other investments
CLO-Equities6,269 — — 1,410 — — — (677)7,002 1,410 
 Other privately held investments61,783 — — — 3,000 — — 64,786 
68,052 — — 1,413 — 3,000 — (677)71,788 1,413 
Total assets$78,537 $19,382 $(7,004)$1,413 $26 $16,300 $— $(1,580)$107,074 $1,413 
Other liabilities
Derivative instruments$8,462 $— $— $(345)$— $— $— $— $8,117 $(345)
Total liabilities$8,462 $— $— $(345)$— $— $— $— $8,117 $(345)
Six months ended June 30, 2021
Fixed maturities, available for sale
Corporate debt$2,504 $7,000 $— $— $(78)$13,300 $— $— $22,726 $— 
CMBS1,740 — — — 13 — — (1,753)— — 
ABS10,665 18,566 (16,207)— 36 — — (500)12,560 — 
14,909 25,566 (16,207)— (29)13,300 — (2,253)35,286 — 
Other investments
CLO-Equities6,173 — — 1,980 — — — (1,151)7,002 1,980 
 Other privately held investments70,011 — — 18,482 — 3,273 (26,980)— 64,786 1,101 
76,184 — — 20,462 — 3,273 (26,980)(1,151)71,788 3,081 
Total assets$91,093 $25,566 $(16,207)$20,462 $(29)$16,573 $(26,980)$(3,404)$107,074 $3,081 
Other liabilities
Derivative instruments$9,122 $— $— $(1,005)$— $— $— $— $8,117 $(1,005)
Total liabilities$9,122 $— $— $(1,005)$— $— $— $— $8,117 $(1,005)
(1) Realized gains (losses) on fixed maturities and realized and unrealized gains (losses) on other assets and other liabilities included in net income are included in net investment gains (losses). Realized and unrealized gains (losses) on other investments included in net income are included in net investment income.
(2) Unrealized gains (losses) on fixed maturities are included in other comprehensive income ("OCI").
(3) Change in unrealized gains (losses) relating to assets and liabilities held at the reporting date.
CHANGES IN LEVEL 3 FINANCIAL INSTRUMENTS MEASURED AT FAIR VALUE ON A RECURRING BASIS, LIABILITIES
The following table presents changes in Level 3 for financial instruments measured at fair value on a recurring basis:
Opening
balance
Transfers
into
Level 3
Transfers
out of
Level 3
Included 
in net income(1)
Included
in OCI (2)
PurchasesSales
Settlements/
distributions
Closing
balance
Change in
unrealized
gains/(losses) (3)
Three months ended June 30, 2022
Fixed maturities, available for sale         
Corporate debt$60,890 $ $ $ $(3,828)$15,768 $ $ $72,830 $ 
CMBS          
ABS          
 60,890    (3,828)15,768   72,830  
Other investments
CLO-Equities4,881   803    (876)4,808 803 
Other privately held investments
115,474   (5,110) 7,606  (2,000)115,970 (5,110)
 120,355   (4,307) 7,606  (2,876)120,778 (4,307)
Total assets$181,245 $ $ $(4,307)$(3,828)$23,374 $ $(2,876)$193,608 $(4,307)
Other liabilities
Derivative instruments$5,074 $ $ $(366)$ $ $ $ $4,708 $(366)
Total liabilities$5,074 $ $ $(366)$ $ $ $ $4,708 $(366)
Six months ended June 30, 2022
Fixed maturities, available for sale         
Corporate debt$42,894 $ $ $ $(6,623)$37,231 $ $(672)$72,830 $ 
CMBS          
ABS          
 42,894    (6,623)37,231  (672)72,830  
Other investments
CLO-Equities5,910   1,675    (2,777)4,808 1,675 
Other privately held investments
104,521   (3,491) 16,940  (2,000)115,970 (3,491)
 110,431   (1,816) 16,940  (4,777)120,778 (1,816)
Total assets$153,325 $ $ $(1,816)$(6,623)$54,171 $ $(5,449)$193,608 $(1,816)
Other liabilities
Derivative instruments$5,630 $ $ $(922)$ $ $ $ $4,708 $(922)
Total liabilities$5,630 $ $ $(922)$ $ $ $ $4,708 $(922)
(1) Realized gains (losses) on fixed maturities and realized and unrealized gains (losses) on other assets and other liabilities included in net income are included in net investment gains (losses). Realized and unrealized gains (losses) on other investments included in net income are included in net investment income.
(2) Unrealized gains (losses) on fixed maturities are included in other comprehensive income ("OCI").
(3) Change in unrealized gains (losses) relating to assets and liabilities held at the reporting date.
Opening
balance
Transfers
into
Level 3
Transfers
out of
Level 3
Included 
in net income(1)
Included
in OCI(2)
PurchasesSalesSettlements/
distributions
Closing
balance
Change in
unrealized
gains/(losses)(3)
Three months ended June 30, 2021
Fixed maturities, available for sale
Corporate debt$2,405 $7,000 $— $— $21 $13,300 $— $— $22,726 $— 
CMBS905 — — — (2)— — (903)— — 
ABS7,175 12,382 (7,004)— — — — 12,560 — 
10,485 19,382 (7,004)— 26 13,300 — (903)35,286 — 
Other investments
CLO-Equities6,269 — — 1,410 — — — (677)7,002 1,410 
 Other privately held investments61,783 — — — 3,000 — — 64,786 
68,052 — — 1,413 — 3,000 — (677)71,788 1,413 
Total assets$78,537 $19,382 $(7,004)$1,413 $26 $16,300 $— $(1,580)$107,074 $1,413 
Other liabilities
Derivative instruments$8,462 $— $— $(345)$— $— $— $— $8,117 $(345)
Total liabilities$8,462 $— $— $(345)$— $— $— $— $8,117 $(345)
Six months ended June 30, 2021
Fixed maturities, available for sale
Corporate debt$2,504 $7,000 $— $— $(78)$13,300 $— $— $22,726 $— 
CMBS1,740 — — — 13 — — (1,753)— — 
ABS10,665 18,566 (16,207)— 36 — — (500)12,560 — 
14,909 25,566 (16,207)— (29)13,300 — (2,253)35,286 — 
Other investments
CLO-Equities6,173 — — 1,980 — — — (1,151)7,002 1,980 
 Other privately held investments70,011 — — 18,482 — 3,273 (26,980)— 64,786 1,101 
76,184 — — 20,462 — 3,273 (26,980)(1,151)71,788 3,081 
Total assets$91,093 $25,566 $(16,207)$20,462 $(29)$16,573 $(26,980)$(3,404)$107,074 $3,081 
Other liabilities
Derivative instruments$9,122 $— $— $(1,005)$— $— $— $— $8,117 $(1,005)
Total liabilities$9,122 $— $— $(1,005)$— $— $— $— $8,117 $(1,005)
(1) Realized gains (losses) on fixed maturities and realized and unrealized gains (losses) on other assets and other liabilities included in net income are included in net investment gains (losses). Realized and unrealized gains (losses) on other investments included in net income are included in net investment income.
(2) Unrealized gains (losses) on fixed maturities are included in other comprehensive income ("OCI").
(3) Change in unrealized gains (losses) relating to assets and liabilities held at the reporting date.