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Schedule I Summary Of Investments Summary of Investments (Tables)
12 Months Ended
Dec. 31, 2019
Schedule of Investments [Abstract]  
Summary Investment Holdings [Table Text Block]
Radian Group Inc. and Its Consolidated Subsidiaries
Schedule I
Summary of Investments—Other Than Investments in Related Parties
December 31, 2019
Type of Investment
Amortized
Cost
 
Fair Value
 
Amount Reflected on the Consolidated Balance Sheet
 
(In thousands)
 
 
Fixed-maturities available for sale:
 
 
 
 
 
 
Bonds:
 
 
 
 
 
 
U.S. government and agency securities
$
198,613

 
$
199,928

 
$
199,928

 
State and municipal obligations
112,003

 
119,994

 
119,994

 
Corporate bonds and notes
2,136,819

 
2,241,280

 
2,241,280

 
RMBS
766,429

 
779,354

 
779,354

 
CMBS
593,647

 
608,015

 
608,015

 
Other ABS
760,785

 
759,129

 
759,129

 
Foreign government and agency securities
5,091

 
5,224

 
5,224

 
Total securities available for sale
4,573,387

 
4,712,924

 
4,712,924

 
Trading securities
297,505

 
317,150

 
317,150

 
Equity securities:
 
 
 
 
 
 
Common stocks
153,023

 
157,685

 
157,685

 
Total equity securities
153,023

 
157,685

 
157,685

 
Short-term investments (1) 
533,184

 
533,358

 
533,358

 
Other invested assets
1,756

 
4,072

 
4,072

 
Total investments other than investments in related parties
$
5,558,855

 
$
5,725,189

(2)
$
5,725,189

(2)
______________________
(1)
Includes cash collateral held under securities lending agreements of $25.6 million that is reinvested in money market instruments.
(2)
Includes $24.0 million of fixed maturity securities available for sale, $27.5 million of equity securities and $14.9 million of short-term securities loaned under securities lending agreements that are classified as other assets in our consolidated balance sheets.