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Investment Information - Net realized gains and losses (Details) - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Mar. 31, 2021
Mar. 31, 2020
Dec. 31, 2020
Available for sale securities:      
Available for sale securities, gross gains on investment sales $ 65,002 $ 178,200  
Available for sale securities, gross losses on investment sales (62,998) (31,968)  
Equity securities, at fair value:      
Net realized gains (losses) on sales during the period 37,849 (539)  
Net unrealized gains (losses) on equity securities still held at reporting date 19,708 (175,566)  
Allowance for credit losses:      
Allowance for credit losses - investment related (2,603)   $ (10,653)
Allowance for credit losses - underwriting related 5,268 (3,270)  
Net impairment losses 0 (533)  
Derivative instruments [1] 36,116 127,189  
Other (23,045) (2,097)  
Net realized gains (losses) 142,461 (366,960)  
Fixed maturities      
Available for sale securities:      
Change in fair value of assets and liabilities accounted for using the fair value option 16,553 (127,666)  
Allowance for credit losses:      
Allowance for credit losses - investment related (1,648) (9,320)  
Other investments      
Available for sale securities:      
Change in fair value of assets and liabilities accounted for using the fair value option 46,855 (307,800)  
Equity securities      
Available for sale securities:      
Change in fair value of assets and liabilities accounted for using the fair value option 2,065 (4,909)  
Short-term investments      
Available for sale securities:      
Change in fair value of assets and liabilities accounted for using the fair value option $ 736 $ (8,681)  
[1] See note 9 for information on the Company’s derivative instruments.