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Schedule II - Condensed Financial Information of Registrant Balance Sheets (Details) - USD ($)
$ / shares in Units, $ in Thousands
12 Months Ended
Aug. 13, 2019
Sep. 20, 2016
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
May 02, 2013
ASSETS              
Cash and cash equivalents (including cash within consolidated variable interest entities of — $65.7448377 and $75.15054353) [1]     $ 959,200 $ 1,314,100      
Other investments (equity method) [2]     221,300 151,300      
Right-of-use operating lease assets     72,800 83,400      
Other assets     7,400 8,300      
Total assets     15,157,300 13,844,100      
LIABILITIES              
Accrued expenses and other payables (4) [3]     201,800 289,300      
Short-term debt     299,900 0      
Long-term debt     0 299,900      
Operating lease liabilities     95,500 115,200      
Total liabilities     12,799,300 11,069,300      
SHAREHOLDERS’ EQUITY              
60,395,839 ordinary shares of par value $0.01 each (December 31, 2021 — 60,395,839 shares)     604 604      
Additional paid in capital     1,514,700 1,514,700      
Retained earnings     1,349,000 1,382,500      
Total accumulated other comprehensive (loss)     (506,300) (123,000) $ 19,700    
Total liabilities and shareholders’ equity     $ 15,157,300 $ 13,844,100      
Ordinary shares, issued     60,395,839 60,395,839      
Ordinary shares, par value     $ 0.01 $ 0.01      
Preference shares, par value     $ 0.0015144558        
5.950% Preference Shares (AHL PRC)              
SHAREHOLDERS’ EQUITY              
Preference shares, issued     11,000,000 11,000,000     11,000,000
Preference shares, rate     5.95% 5.95%      
Preference shares, par value     $ 0.0015144558 $ 0.0015144558      
5.625% Preference Shares (AHL PRD)              
SHAREHOLDERS’ EQUITY              
Preference shares, issued     10,000,000 10,000,000      
Preference shares, rate   5.625% 5.625% 5.625%      
Preference shares, par value     $ 0.0015144558 $ 0.0015144558      
5.625% Preference Shares (AHL PRE)              
SHAREHOLDERS’ EQUITY              
Preference shares, issued 10,000,000   10,000,000 10,000,000      
Preference shares, rate 5.625%   5.625% 5.625%      
Preference shares, par value     $ 0.0015144558 $ 0.0015144558      
Parent Company              
ASSETS              
Fixed income maturities, trading at fair value (amortized cost — $1,106.6 and $1,205.0)     $ 40,500 $ 42,600      
Cash and cash equivalents (including cash within consolidated variable interest entities of — $65.7448377 and $75.15054353)     44,400 45,000 $ 92,400 $ 37,400  
Investments in subsidiaries (1)     2,767,900 3,142,000      
Intercompany funds due from affiliates     1,700 1,300      
Right-of-use operating lease assets     2,000 2,500      
Other assets     5,900 8,000      
Total assets     2,862,400 3,241,400      
LIABILITIES              
Accrued expenses and other payables (4)     22,300 25,500      
Intercompany funds due to affiliates     180,500 139,000      
Short-term debt     299,900 0      
Long-term debt     0 299,900      
Operating lease liabilities     1,700 2,200      
Total liabilities     504,400 466,600      
SHAREHOLDERS’ EQUITY              
60,395,839 ordinary shares of par value $0.01 each (December 31, 2021 — 60,395,839 shares)     600 600      
Additional paid in capital     1,514,700 1,514,700      
Retained earnings     1,349,000 1,382,500      
Unrealized (loss)/gains on investments     (333,200) 34,600      
(Loss)/gain on derivatives     13,800 (1,600)      
Gains on foreign currency translation (start of period)     (156,000)        
Gains on foreign currency translation (end of period)     (186,900) (156,000)      
Total accumulated other comprehensive (loss)     (506,300) (123,000)      
Total shareholders’ equity     2,358,000 2,774,800      
Total liabilities and shareholders’ equity     $ 2,862,400 $ 3,241,400      
Ordinary shares, issued     60,395,839 60,395,839      
Ordinary shares, par value     $ 0.0001 $ 0.0001      
[1] Cash and cash equivalents includes restricted cash of $232.1 million (2021 — $364.9 million, 2020 — $296.0 million) which are held in trusts.
[2] Other investments includes related party investments of $25.3 million in Apollo Real Estate Fund and $12.7 million in Apollo Origination Partnership. (3)    Cash and cash equivalents includes restricted cash of $232.1 million (2021 — $364.9 million) which are held in trusts.
[3] Includes amounts due to related parties of $4.5 million for investment management fees (2021 — $3.2 million), and $1.3 million for management consulting fees (2021 — $Nil).