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Investments (Details 3) (USD $)
In Millions, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2013
Jun. 30, 2012
Jun. 30, 2013
Jun. 30, 2012
Dec. 31, 2012
Investments carried at fair value          
Fair Value, Fixed maturity investments $ 2,506.2   $ 2,506.2   $ 2,738.6
Fair Value, Equity securities 116.1   116.1   40.9
Transfers between levels 1 and level 2 of fair value hierarchy 0 0 0 0  
Level 1
         
Investments carried at fair value          
Percentage of open short fixed maturity positions valued at fair value 22.00%   22.00%   17.00%
Level 2
         
Investments carried at fair value          
Percentage of open short fixed maturity positions valued at fair value 78.00%   78.00%   83.00%
Level 3
         
Investments carried at fair value          
Percentage of total investments measured using Level 3 inputs 1.70%   1.70%   5.10%
Recurring basis | Level 1
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 342.2   342.2   268.5
Fair Value, Equity securities 86.1   86.1   14.0
Total investments carried at fair value 428.3   428.3   282.5
Total investments 428.3   428.3   282.5
Recurring basis | Level 1 | Debt securities issued/sponsored by the U.S. Treasury and its agencies
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 342.2   342.2   267.5
Recurring basis | Level 1 | Debt securities issued by non-U.S. governments and their agencies
         
Investments carried at fair value          
Fair Value, Fixed maturity investments         1.0
Recurring basis | Level 1 | Exchange-listed funds
         
Investments carried at fair value          
Fair Value, Equity securities 75.6   75.6    
Recurring basis | Level 1 | Industrial
         
Investments carried at fair value          
Fair Value, Equity securities         4.7
Recurring basis | Level 1 | Consumer goods
         
Investments carried at fair value          
Fair Value, Equity securities         4.3
Recurring basis | Level 1 | Utilities
         
Investments carried at fair value          
Fair Value, Equity securities         1.9
Recurring basis | Level 1 | Other
         
Investments carried at fair value          
Fair Value, Equity securities 10.5   10.5   3.1
Recurring basis | Level 2
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 2,131.3   2,131.3   2,358.5
Fair Value, Equity securities 30.0   30.0   26.9
Other investments carried at fair value 8.4   8.4   (0.8)
Total investments carried at fair value 2,169.7   2,169.7   2,384.6
Other investments carried at net asset value 57.7   57.7   102.8
Total investments 2,227.4   2,227.4   2,487.4
Recurring basis | Level 2 | Corporate debt securities
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 850.5   850.5   942.3
Recurring basis | Level 2 | Residential mortgage-backed securities
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 637.2   637.2   630.0
Recurring basis | Level 2 | Debt securities issued/sponsored by the U.S. Treasury and its agencies
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 93.1   93.1   205.5
Recurring basis | Level 2 | Commercial mortgage-backed securities
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 163.9   163.9   155.6
Recurring basis | Level 2 | Debt securities issued by non-U.S. governments and their agencies
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 88.3   88.3   112.3
Recurring basis | Level 2 | Debt securities issued by U.S. states and political subdivisions
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 56.3   56.3   72.2
Recurring basis | Level 2 | Other debt obligations
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 242.0   242.0   240.6
Recurring basis | Level 2 | Exchange-listed funds
         
Investments carried at fair value          
Fair Value, Equity securities 28.5   28.5   26.9
Recurring basis | Level 2 | Other
         
Investments carried at fair value          
Fair Value, Equity securities 1.5   1.5    
Recurring basis | Level 3
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 32.7   32.7   111.6
Other investments carried at fair value 0.7   0.7   12.7
Total investments carried at fair value 33.4   33.4   124.3
Other investments carried at net asset value 13.3   13.3   23.8
Total investments 46.7   46.7   148.1
Percentage of total investments measured at fair value using Level 3 inputs 1.30%   1.30%   4.50%
Recurring basis | Level 3 | Corporate debt securities
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 4.2   4.2   95.4
Recurring basis | Level 3 | Other debt obligations
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 28.5   28.5   16.2
Recurring basis | Total
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 2,506.2   2,506.2   2,738.6
Fair Value, Equity securities 116.1   116.1   40.9
Other investments carried at fair value 9.1   9.1   11.9
Total investments carried at fair value 2,631.4   2,631.4   2,791.4
Other investments carried at net asset value 71.0   71.0   126.6
Total investments 2,702.4   2,702.4   2,918.0
Recurring basis | Total | Corporate debt securities
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 854.7   854.7   1,037.7
Recurring basis | Total | Residential mortgage-backed securities
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 637.2   637.2   630.0
Recurring basis | Total | Debt securities issued/sponsored by the U.S. Treasury and its agencies
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 435.3   435.3   473.0
Recurring basis | Total | Commercial mortgage-backed securities
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 163.9   163.9   155.6
Recurring basis | Total | Debt securities issued by non-U.S. governments and their agencies
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 88.3   88.3   113.3
Recurring basis | Total | Debt securities issued by U.S. states and political subdivisions
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 56.3   56.3   72.2
Recurring basis | Total | Other debt obligations
         
Investments carried at fair value          
Fair Value, Fixed maturity investments 270.5   270.5   256.8
Recurring basis | Total | Exchange-listed funds
         
Investments carried at fair value          
Fair Value, Equity securities 104.1   104.1   26.9
Recurring basis | Total | Industrial
         
Investments carried at fair value          
Fair Value, Equity securities         4.7
Recurring basis | Total | Consumer goods
         
Investments carried at fair value          
Fair Value, Equity securities         4.3
Recurring basis | Total | Utilities
         
Investments carried at fair value          
Fair Value, Equity securities         1.9
Recurring basis | Total | Other
         
Investments carried at fair value          
Fair Value, Equity securities $ 12.0   $ 12.0   $ 3.1