XML 48 R37.htm IDEA: XBRL DOCUMENT v3.23.2
INVESTMENTS - Schedule of Contractual Maturities of Fixed Maturity Investments (Details) - USD ($)
$ in Thousands
Jun. 30, 2023
Dec. 31, 2022
Amortized  Cost    
Due in less than one year $ 522,097 $ 364,501
Due after one through five years 8,653,072 8,117,971
Due after five through ten years 4,748,683 4,072,142
Due after ten years 331,809 356,268
Amortized  Cost 16,398,682 15,038,551
Fair Value    
Due in less than one year 515,445 356,770
Due after one through five years 8,444,588 7,875,771
Due after five through ten years 4,578,779 3,805,287
Due after ten years 303,056 311,856
Fixed maturity investments trading 15,888,564 14,351,402
Mortgage-backed    
Amortized  Cost    
Amortized  Cost 1,073,223 1,009,205
Fair Value    
Fixed maturity investments trading 997,917 924,416
Asset-backed    
Amortized  Cost    
Amortized  Cost 1,069,798 1,118,464
Fair Value    
Fixed maturity investments trading $ 1,048,779 $ 1,077,302