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Long-term Debt (Tables)
12 Months Ended
Dec. 31, 2022
Debt Disclosure [Abstract]  
Schedule Of Unamortized Debt Issuance Costs Deducted From Carrying Value Of Debt Liability At December 31, 2022 and 2021, the Notes consisted of the following:
(in millions)December 31, 2022December 31, 2021
Senior unsecured fixed rate notes  
Principal$143.8 $143.8 
Less: unamortized debt issuance costs(3.3)(3.5)
Senior unsecured fixed rate notes, less unamortized debt issuance costs$140.5 $140.3 
Schedule of Long-term Debt
A summary of our outstanding junior subordinated debentures is presented below:
December 31, 2022
(in millions)
Issue DateTrust Preferred PoolsMaturityRate StructureInterest Rate at December 31, 2022Amount
Argo Group
5/15/2003PXRE Capital Statutory Trust II5/15/2033
3M LIBOR + 4.10%
8.71%$18.0 
11/6/2003PXRE Capital Trust VI9/30/2033
3M LIBOR + 3.90%
8.63%10.3 
Argo Group US
5/15/2003Argonaut Group Statutory Trust I5/15/2033
3M LIBOR + 4.10%
8.71%15.5 
12/16/2003Argonaut Group Statutory Trust III1/8/2034
3M LIBOR + 4.10%
8.18%12.3 
4/29/2004Argonaut Group Statutory Trust IV4/29/2034
3M LIBOR + 3.85%
8.50%13.4 
5/26/2004Argonaut Group Statutory Trust V5/24/2034
3M LIBOR + 3.85%
8.61%12.4 
5/12/2004Argonaut Group Statutory Trust VI6/17/2034
3M LIBOR + 3.80%
8.54%13.4 
9/17/2004Argonaut Group Statutory Trust VII12/15/2034
3M LIBOR + 3.60%
8.37%15.5 
9/22/2004Argonaut Group Statutory Trust VIII9/22/2034
3M LIBOR + 3.55%
8.30%15.5 
10/22/2004Argonaut Group Statutory Trust IX12/15/2034
3M LIBOR + 3.60%
8.37%15.5 
9/15/2005Argonaut Group Statutory Trust X9/15/2035
3M LIBOR + 3.40%
8.17%30.9 
Total Outstanding$172.7 
December 31, 2021
(in millions)
Issue DateTrust Preferred PoolsMaturityRate StructureInterest Rate at December 31, 2021Amount
Argo Group
5/15/2003PXRE Capital Statutory Trust II5/15/2033
3M LIBOR + 4.10%
4.26%$18.0 
11/6/2003PXRE Capital Trust VI9/30/2033
3M LIBOR + 3.90%
4.12%10.3 
Argo Group US
5/15/2003Argonaut Group Statutory Trust I5/15/2033
3M LIBOR + 4.10%
4.26%15.5 
12/16/2003Argonaut Group Statutory Trust III1/8/2034
3M LIBOR + 4.10%
4.22%12.3 
4/29/2004Argonaut Group Statutory Trust IV4/29/2034
3M LIBOR + 3.85%
4.00%13.4 
5/26/2004Argonaut Group Statutory Trust V5/24/2034
3M LIBOR + 3.85%
4.02%12.4 
5/12/2004Argonaut Group Statutory Trust VI6/17/2034
3M LIBOR + 3.80%
4.02%13.4 
9/17/2004Argonaut Group Statutory Trust VII12/15/2034
3M LIBOR + 3.60%
3.80%15.5 
9/22/2004Argonaut Group Statutory Trust VIII9/22/2034
3M LIBOR + 3.55%
3.76%15.5 
10/22/2004Argonaut Group Statutory Trust IX12/15/2034
3M LIBOR + 3.60%
3.80%15.5 
9/14/2005Argonaut Group Statutory Trust X9/15/2035
3M LIBOR + 3.40%
3.60%30.9 
Total Outstanding$172.7 
A summary of the terms of the acquired debt outstanding is presented below:
(in millions)
Issue DateMaturityRate StructureInterest Rate at December 31, 2022Principal at December 31, 2022Carrying Value at December 31, 2022
9/13/20079/15/2037
3 month LIBOR + 3.15%
7.92 %$91.8 $85.9 
(in millions)
Issue DateMaturityRate StructureInterest Rate at December 31, 2021Principal at December 31, 2021Carrying Value at December 31, 2021
9/13/20079/15/2037
3 month LIBOR + 3.15%
3.35 %$91.8 $85.5 
Information regarding the terms and principal amounts of each of these debt instruments is also provided.
(in millions)December 31,
Debt Type20222021
Floating rate loan stock$54.7 $57.0 
Reclassified to liabilities held-for-sale(54.7)— 
Total other indebtedness$— $57.0 
A summary of the notes outstanding at December 31, 2022 and 2021 is presented below:
(in millions)
CurrencyIssue DateMaturityRate StructureInterest Rate at December 31, 2022Amount
U.S. Dollar12/8/200411/15/2034
6 month LIBOR + 4.2%
7.26%$6.5 
U.S. Dollar10/31/20061/15/2036
6 month LIBOR + 4.0%
7.06%10.0 
Total U.S. Dollar notes16.5 
Euro9/6/20058/22/2035
3 month Euribor + 4.0%
5.82%12.7 
Euro10/31/200611/22/2036
3 month Euribor + 4.0%
5.82%11.1 
Euro6/8/20079/15/2037
3 month Euribor + 3.9%
5.95%14.4 
Total Euro notes38.2 
Total notes outstanding$54.7 
(in millions)
CurrencyIssue DateMaturityRate StructureInterest Rate at December 31, 2021Amount
U.S. Dollar12/8/200411/15/2034
6 month LIBOR + 4.2%
4.35%$6.5 
U.S. Dollar10/31/20061/15/2036
6 month LIBOR + 4.0%
4.15%10.0 
Total U.S. Dollar notes16.5 
Euro9/6/20058/22/2035
3 month Euribor + 4.0%
3.44%13.5 
Euro10/31/200611/22/2036
3 month Euribor + 4.0%
3.44%11.8 
Euro6/8/20079/15/2037
3 month Euribor + 3.9%
3.30%15.2 
Total Euro notes40.5 
Total notes outstanding$57.0 
Schedule of Outstanding Balance
The following table presents interest and maturities of long-term debt as of December 31, 2022:
For the Years Ended
(in millions)Total20232024202520262027Thereafter
Long-term debt: (1)
Junior subordinated debentures (2)
543.922.322.322.322.322.3432.4
Senior unsecured fixed rate notes (3)
325.89.39.39.39.39.3279.3
(1) Other indebtedness liabilities reclassified to liabilities held-for-sale. See Note 2 “Recent Acquisitions, Disposals & Other Transactions”.
(2) Interest only on Junior Subordinated Debentures through 2037. Interest calculated based on interest rate forecast. Principal due beginning May 2033.
(3) Interest only on Senior Unsecured Fixed Rate Notes through 2042. Interest calculated based on the fixed rate of the notes. Principal due September 2042.