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Investments (Tables)
12 Months Ended
Dec. 31, 2022
Investments [Abstract]  
Amortized cost, gross unrealized gains and losses and fair value of investment portfolio
Our fixed income securities consisted of the following as of December 31, 2022 and 2021:
Details of fixed income investment securities by category as of December 31, 2022
Table5.1a
(In thousands)
Amortized CostGross Unrealized GainsGross Unrealized LossesFair Value
U.S. Treasury securities and obligations of U.S. government corporations and agencies$145,581 $2 $(9,683)$135,900 
Obligations of U.S. states and political subdivisions2,400,261 4,866 (256,073)2,149,054 
Corporate debt securities2,416,475 1,043 (196,377)2,221,141 
ABS126,723 5 (6,041)120,687 
RMBS223,743 10 (25,744)198,009 
CMBS257,785 22 (20,591)237,216 
CLOs337,656 5 (7,829)329,832 
Foreign government debt4,486  (699)3,787 
Commercial paper14,075  (3)14,072 
Total fixed income securities$5,926,785 $5,953 $(523,040)$5,409,698 
Details of fixed income investment securities by category as of December 31, 2021
Table5.1b
(In thousands)Amortized CostGross Unrealized GainsGross Unrealized LossesFair Value
U.S. Treasury securities and obligations of U.S. government corporations and agencies$133,990 $285 $(868)$133,407 
Obligations of U.S. states and political subdivisions2,408,688 133,361 (7,396)2,534,653 
Corporate debt securities2,704,586 75,172 (13,776)2,765,982 
ABS150,888 830 (1,008)150,710 
RMBS309,991 2,397 (3,278)309,110 
CMBS315,330 5,736 (1,936)319,130 
CLOs360,436 609 (106)360,939 
Foreign government debt13,749 — (99)13,650 
Total fixed income securities$6,397,658 $218,390 $(28,467)$6,587,581 
Amortized cost and fair values of debt securities by contractual maturity
The amortized cost and fair values of fixed income securities at December 31, 2022, by contractual maturity, are shown in table 5.2 below. Actual maturities will differ from contractual maturities because borrowers may have the right to call or prepay obligations with or without call or prepayment penalties. Because most mortgage and asset-backed securities provide for periodic payments throughout their lives, they are listed in separate categories.
Fixed income securities maturity schedule
Table
5.2
December 31, 2022
(In thousands)Amortized CostFair Value
Due in one year or less$452,188 $445,210 
Due after one year through five years1,358,606 1,288,152 
Due after five years through ten years1,890,875 1,713,608 
Due after ten years1,279,209 1,076,984 
4,980,878 4,523,954 
ABS126,723 120,687 
RMBS223,743 198,009 
CMBS257,785 237,216 
CLOs337,656 329,832 
Total as of December 31, 2022$5,926,785 $5,409,698 
Cost and fair value of investments in equity securities
The cost and fair value of investments in equity securities as of December 31, 2022 and December 31, 2021 are shown in tables 5.3a and 5.3b below.
Details of equity investment securities as of December 31, 2022
Table
5.3a
(In thousands)CostGross gainsGross lossesFair Value
Equity securities15,924  (1,784)14,140 
Details of equity investment securities as of December 31, 2021
Table
5.3b
(In thousands)CostGross gainsGross lossesFair Value
Equity securities15,838 264 (34)16,068 
Schedule of net gains (losses) on investments and other financial instruments
The net gains (losses) on investments and other financial instruments and the proceeds from the sale of fixed income securities classified as available-for-sale are shown in table 5.4 below.
Details of net gains (losses) on investments and other financial instruments
Table5.4
(in thousands)December 31, 2022December 31, 2021December 31, 2020
Fixed income securities
Gains on sales7,152 8,980 21,272 
Losses on sales(15,477)(1,942)(8,809)
Change in credit allowance 49 (49)
Impairments(1,415)— (331)
Equity securities gains (losses)
Gains (losses) on sales(7)1,344 
Market adjustment(2,013)(463)552 
Change in embedded derivative on Home Re Transactions (1)
4,269 (721)(1,176)
Other
Gains (losses) on sales2 (33)(231)
Market adjustment26 (13)
Net gains (losses) on investments and other financial instruments(7,463)5,861 12,576 
Proceeds from sales of fixed income securities397,553 471,783 803,401 
Proceeds from sales of equity securities97 2,621 25,693 
(1) See Note 6 "Fair Value Measurements" for discussion of the embedded derivative on the Home Re Transactions.
Aging of the fair values of securities in an unrealized loss position
Tables 5.5a and 5.5b below summarize, for all available-for-sale investments in an unrealized loss position as of December 31, 2022 and 2021, the aggregate fair value and gross unrealized loss by the length of time those securities have been continuously in an unrealized loss position. The fair value amounts reported in tables 5.5a and 5.5b below are estimated using the process described in Note 6 - "Fair Value Measurements" to these consolidated financial statements.
Unrealized loss aging for securities by type and length of time as of December 31, 2022
Table5.5a
Less Than 12 Months12 Months or GreaterTotal
(In thousands)Fair ValueUnrealized LossesFair ValueUnrealized LossesFair ValueUnrealized Losses
U.S. Treasury securities and obligations of U.S. government corporations and agencies$67,531 $(3,583)$76,246 $(6,100)$143,777 $(9,683)
Obligations of U.S. states and political subdivisions1,344,272 (157,903)360,956 (98,170)1,705,228 (256,073)
Corporate debt securities1,488,255 (109,976)758,732 (86,401)2,246,987 (196,377)
ABS53,201 (1,008)67,073 (5,033)120,274 (6,041)
RMBS77,563 (8,572)136,179 (17,172)213,742 (25,744)
CMBS166,973 (12,951)70,792 (7,640)237,765 (20,591)
CLOs213,461 (4,644)114,459 (3,185)327,920 (7,829)
Foreign government debt— — 3,787 (699)3,787 (699)
Commercial paper— — 3,816 (3)3,816 (3)
Total$3,411,256 $(298,637)$1,592,040 $(224,403)$5,003,296 $(523,040)
Unrealized loss aging for securities by type and length of time as of December 31, 2021
Table5.5b
Less Than 12 Months12 Months or GreaterTotal
(In thousands)Fair ValueUnrealized LossesFair ValueUnrealized LossesFair ValueUnrealized Losses
U.S. Treasury securities and obligations of U.S. government corporations and agencies$91,154 $(790)$2,616 $(78)$93,770 $(868)
Obligations of U.S. states and political subdivisions452,021 (7,189)15,540 (207)467,561 (7,396)
Corporate debt securities865,085 (13,260)10,997 (516)876,082 (13,776)
ABS100,064 (998)1,552 (10)101,616 (1,008)
RMBS180,586 (2,548)31,641 (730)212,227 (3,278)
CMBS89,889 (1,887)1,511 (49)91,400 (1,936)
CLOs177,663 (71)21,973 (35)199,636 (106)
Foreign government debt13,649 (99)— — 13,649 (99)
Total$1,970,111 $(26,842)$85,830 $(1,625)$2,055,941 $(28,467)
Investment income
The source of net investment income is shown in table 5.7 below.
Net investment income
Table5.7
(In thousands)202220212020
Fixed income securities$166,306 $160,030 $157,065 
Equity securities437 471 620 
Cash equivalents5,049 75 1,648 
Other51 22 275 
Investment income171,843 160,598 159,608 
Investment expenses(4,367)(4,160)(5,212)
Net investment income$167,476 $156,438 $154,396 
Net unrealized gains (losses) of investments
The change in net unrealized gains (losses) of investments is shown in table 5.6 below.
Change in net unrealized gains (losses)
Table5.6
(In thousands)202220212020
Fixed income securities$(707,005)$(154,555)$169,135