v3.26.1
Balance Sheet Offsetting (Tables)
6 Months Ended
Jun. 30, 2026
Balance Sheet Offsetting  
Schedule of the assets subject to an enforceable master netting arrangement or repurchase agreements

The following tables present the assets and liabilities subject to enforceable master netting arrangements, repurchase agreements, or similar agreements with offsetting rights (in thousands).

Gross Amounts Not Offset in

Net Amounts

the Balance Sheet

  ​ ​ ​

Gross Amounts

  ​ ​ ​

Gross Amounts

  ​ ​ ​

of Assets

  ​ ​ ​

  ​ ​ ​

  ​ ​ ​

Cash

  ​ ​ ​

  ​ ​ ​

of Recognized

Offset in the

Presented in the

Financial

Collateral

Net

Assets

Balance Sheet

Balance Sheet

Instruments

Pledged

Amount

June 30, 2026

Securities borrowed:

Institutional counterparties

$

1,469,831

$

$

1,469,831

$

(1,413,220)

$

$

56,611

Interest rate swaps:

Institutional counterparties

29,012

29,012

(26,930)

2,082

Reverse repurchase agreements:

Institutional counterparties

112,496

112,496

(111,952)

544

Forward MBS derivatives:

Institutional counterparties

 

6,082

 

 

6,082

 

(806)

 

 

5,276

$

1,617,421

$

$

1,617,421

$

(1,525,978)

$

(26,930)

$

64,513

December 31, 2025

Securities borrowed:

Institutional counterparties

$

1,501,548

$

$

1,501,548

$

(1,425,084)

$

$

76,464

Interest rate swaps:

Institutional counterparties

27,370

27,370

(24,380)

2,990

Credit default swaps:

Institutional counterparties

7

7

7

Reverse repurchase agreements:

Institutional counterparties

55,977

55,977

(55,601)

376

Forward MBS derivatives:

Institutional counterparties

7,852

7,852

(253)

7,599

$

1,592,754

$

$

1,592,754

$

(1,480,938)

$

(24,380)

$

87,436

Schedule of the liabilities subject to an enforceable master netting arrangement or repurchase agreements

Gross Amounts Not Offset in

Net Amounts

the Balance Sheet 

  ​ ​ ​

Gross Amounts

  ​ ​

Gross Amounts

  ​ ​

of Liabilities

  ​

 

  ​

Cash

  ​

 

of Recognized

Offset in the

Presented in the

Financial

Collateral

Net

Liabilities

Balance Sheet

Balance Sheet

Instruments

Pledged

Amount

June 30, 2026

Securities loaned:

Institutional counterparties

$

1,469,829

$

$

1,469,829

$

(1,411,272)

$

$

58,557

Interest rate swaps:

Institutional counterparties

 

2,120

 

 

2,120

 

 

 

2,120

Repurchase agreements:

Institutional counterparties

 

382,586

 

 

382,586

 

(382,586)

 

 

Forward MBS derivatives:

Institutional counterparties

 

7,562

 

 

7,562

 

(806)

 

(748)

 

6,008

$

1,862,097

$

$

1,862,097

$

(1,794,664)

$

(748)

$

66,685

December 31, 2025

Securities loaned:

Institutional counterparties

$

1,495,133

$

$

1,495,133

$

(1,418,288)

$

$

76,845

Interest rate swaps:

Institutional counterparties

2,943

 

 

2,943

 

 

 

2,943

Repurchase agreements:

Institutional counterparties

 

268,805

 

 

268,805

 

(268,805)

 

 

Forward MBS derivatives:

Institutional counterparties

 

6,885

 

 

6,885

 

(253)

 

(1,795)

 

4,837

$

1,773,766

$

$

1,773,766

$

(1,687,346)

$

(1,795)

$

84,625

Schedule of contractual maturities of repurchase agreements and secured borrowing transactions

The following tables present the remaining contractual maturities of repurchase agreement and securities lending transactions accounted for as secured borrowings (in thousands). The Company had no repurchase-to-maturity transactions outstanding at both June 30, 2026 and December 31, 2025.

Remaining Contractual Maturities

Overnight and

Greater Than

June 30, 2026

Continuous

Up to 30 Days

30-90 Days

90 Days

Total

Repurchase agreement transactions:

Asset-backed securities

$

121,649

$

246,230

$

$

$

367,879

Other

14,707

14,707

Securities lending transactions:

Corporate securities

52

52

Equity securities

1,469,777

1,469,777

Total

$

1,606,185

$

246,230

$

$

$

1,852,415

Gross amount of recognized liabilities for repurchase agreement and securities lending transactions in offsetting disclosure above

$

1,852,415

Amount related to agreements not included in offsetting disclosure above

$

Remaining Contractual Maturities

Overnight and

Greater Than

December 31, 2025

Continuous

Up to 30 Days

30-90 Days

90 Days

Total

Repurchase agreement transactions:

Asset-backed securities

$

61,704

$

204,993

$

$

$

266,697

Other

2,108

2,108

Securities lending transactions:

Corporate securities

52

52

Equity securities

1,495,081

1,495,081

Total

$

1,558,945

$

204,993

$

$

$

1,763,938

Gross amount of recognized liabilities for repurchase agreement and securities lending transactions in offsetting disclosure above

$

1,763,938

Amount related to agreements not included in offsetting disclosure above

$