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Municipal Bond Guarantee Insurance - Narrative (Details) - USD ($)
$ in Millions
1 Months Ended 3 Months Ended 6 Months Ended
Dec. 31, 2021
Jan. 31, 2021
Mar. 31, 2021
Jun. 30, 2018
Jun. 30, 2022
Dec. 31, 2022
Jan. 31, 2020
Jul. 31, 2012
Guarantor Obligations [Line Items]                
Percentage of risk premium ceded         60.00%      
Insurance-linked securities, term     12 years 12 years        
Insurance-linked securities, callable term     5 years 5 years        
Debt $ 420.9       $ 618.1      
HG Global                
Guarantor Obligations [Line Items]                
Collateral held in supplement trust 852.0       837.2      
Collateral trusts, investments and cash 481.7       463.9      
BAM                
Guarantor Obligations [Line Items]                
Surplus notes 364.6       364.6      
Interest receivable 5.7       8.7      
HG Global                
Guarantor Obligations [Line Items]                
Surplus notes         $ 503.0     $ 503.0
Percentage of par value of policy reinsured         15.00%      
Percent over a target trust balance         102.00%      
Supplement trust target         $ 603.0      
HG Global | Series A BAM Surplus Note                
Guarantor Obligations [Line Items]                
Assets Held-in-trust 601.8       $ 583.6      
HG Global | BAM | Maximum                
Guarantor Obligations [Line Items]                
Aggregate losses on ceded business             $ 75.0  
HG Re                
Guarantor Obligations [Line Items]                
Percentage of par value of policy reinsured         15.00%      
Assets Held-in-trust 250.2       $ 253.6      
BAM                
Guarantor Obligations [Line Items]                
Principal 89,196.5 $ 805.5     95,926.1      
BAM | HG Global                
Guarantor Obligations [Line Items]                
Interest receivable 157.6       163.5      
BAM | Surplus Note                
Guarantor Obligations [Line Items]                
Repayments of unsecured debt 33.8              
Accrued interest payment on surplus notes 9.8              
BAM | Surplus Note | HG Global                
Guarantor Obligations [Line Items]                
Debt 364.6       $ 364.6      
BAM | Supplemental Trust                
Guarantor Obligations [Line Items]                
Repayments of unsecured debt 23.6              
Accrued interest payment on surplus notes $ 0.4              
BAM | US Treasury (UST) Interest Rate | Surplus Note                
Guarantor Obligations [Line Items]                
Basis spread on variable rate         3.00%      
BAM | Fixed interest rate | Surplus Note                
Guarantor Obligations [Line Items]                
Derivative, fixed interest rate (as a percent)         8.00%      
BAM | Forecast | US Treasury (UST) Interest Rate | Surplus Note                
Guarantor Obligations [Line Items]                
Effective percentage           3.20%    
BAM | Fidus Re Ltd.                
Guarantor Obligations [Line Items]                
Secured debt     $ 150.0 $ 100.0        
Aggregate losses on ceded business     135.0 165.0        
Premium receivable, Premium expected to be collected     150.0 100.0        
Percentage of quota share reinsurance agreement   100.00%            
BAM | Fidus Re Ltd. | 2018 Covered Portfolio                
Guarantor Obligations [Line Items]                
Percentage of financial guaranty policies covered         29.00%      
BAM | Fidus Re Ltd. | 2021 Covered Portfolio                
Guarantor Obligations [Line Items]                
Percentage of financial guaranty policies covered         34.00%      
BAM | Fidus Re Ltd. | Maximum                
Guarantor Obligations [Line Items]                
Aggregate losses on ceded business     $ 301.7 $ 276.1        
Fidus Re Ltd. | BAM                
Guarantor Obligations [Line Items]                
Losses above retention, percentage of liability     90.00% 90.00%