v3.26.1
CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Investments:    
Fixed maturities, available for sale, at fair value (Amortized cost 2026: $13,916,563; 2025: $12,937,728 Allowance for expected credit losses 2026: $1,898; 2025: $1,836) $ 13,828,314 $ 13,018,027
Fixed maturities, held to maturity, at amortized cost (Fair value 2026: $402,105; 2025: $395,942 Allowance for expected credit losses 2026: $nil; 2025: $nil) 407,024 397,430
Equity securities, at fair value (Cost 2026: $606,505; 2025: $581,275) 748,532 707,569
Mortgage loans, held for investment, at fair value (Allowance for expected credit losses 2026: $27,957; 2025: $29,742) 335,537 356,840
Other investments, at fair value 1,062,933 1,027,798
Equity method investments 203,661 227,181
Short-term investments, at fair value 2,828 20,298
Total investments 16,588,829 15,755,143
Cash and cash equivalents 780,002 820,252
Restricted cash and cash equivalents 443,056 500,933
Accrued interest receivable 124,281 116,252
Insurance and reinsurance premium balances receivable (Allowance for expected credit losses 2026: $14,479; 2025: $15,821) 4,011,370 3,244,661
Reinsurance recoverable on unpaid losses and loss expenses (Allowance for expected credit losses 2026: $41,354; 2025: $40,340) 8,949,022 8,951,763
Reinsurance recoverable on paid losses and loss expenses 626,691 673,765
Deferred acquisition costs 946,416 801,778
Prepaid reinsurance premiums 2,610,988 2,139,294
Receivable for investments sold 4,796 12,806
Goodwill 66,498 66,498
Intangible assets 161,258 166,050
Operating lease right-of-use assets 92,801 93,900
Loan advances made 316,342 231,542
Other assets 900,128 887,289
Total assets 36,622,478 34,461,926
Liabilities    
Reserve for losses and loss expenses 18,613,412 18,122,256
Unearned premiums 6,807,320 5,825,698
Insurance and reinsurance balances payable 2,410,199 1,882,021
Debt 1,317,502 1,316,710
Federal Home Loan Bank advances 61,130 66,380
Payable for investments purchased 189,180 36,982
Operating lease liabilities 108,326 110,095
Other liabilities 612,199 745,349
Total liabilities 30,119,268 28,105,491
Shareholders’ equity    
Preferred shares 550,000 550,000
Common shares (shares issued 2026: 176,580; 2025: 176,580 shares outstanding 2026: 73,141; 2025: 74,135) 2,206 2,206
Additional paid-in capital 2,399,137 2,405,792
Accumulated other comprehensive income (loss) (107,803) 28,431
Retained earnings 8,613,341 8,181,699
Treasury shares, at cost (2026: 103,439; 2025: 102,445) (4,953,671) (4,811,693)
Total shareholders’ equity 6,503,210 6,356,435
Total liabilities and shareholders’ equity $ 36,622,478 $ 34,461,926