v3.26.1
CONSOLIDATED STATEMENTS OF CASH FLOWS (UNAUDITED) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended 12 Months Ended 18 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Dec. 31, 2025
Jun. 30, 2026
Cash flows from operating activities:            
Net income $ 258,095 $ 223,358 $ 512,859 $ 417,427    
Adjustments to reconcile net income to net cash provided by (used in) operating activities:            
Net investment (gains) losses     (21,242) (12,370)    
Net realized and unrealized gains on other investments     (22,899) (39,951)    
Amortization of fixed maturities     (20,042) (20,058)    
Interest in income of equity method investments (3,308) 705 (5,738) (1,586)    
Other amortization and depreciation     29,479 27,271    
Share-based compensation expense     31,076 23,089    
Changes in:            
Accrued interest receivable     (8,303) 5,641    
Reinsurance recoverable on unpaid losses and loss expenses     (11,447) (2,247,316)    
Reinsurance recoverable on paid losses and loss expenses     21,771 (124,418)    
Deferred acquisition costs     (146,218) (151,947)    
Prepaid reinsurance premiums     (483,932) (286,888)    
Reserve for losses and loss expenses     522,713 645,415    
Unearned premiums     997,632 942,072    
Insurance and reinsurance balances, net     (145,475) (502,453)    
Other items     (99,294) (19,067)    
Net cash provided by (used in) operating activities     1,150,940 (1,345,139)    
Purchases of:            
Fixed maturities, available for sale     (5,401,587) (4,836,342)    
Fixed maturities, held to maturity     (95,614) (43,923)    
Equity securities     (51,702) (81,146)    
Mortgage loans     (11,403) (10,225)    
Other investments     (70,738) (41,377)    
Equity method investments     (10,459) (7,340)    
Short-term investments     (415) (234,067)    
Proceeds from the sale of:            
Fixed maturities, available for sale     3,848,161 4,200,006    
Equity securities     30,326 101,326    
Other investments     55,537 72,684    
Equity method investments     39,716 0    
Short-term investments     17,377 290,531    
Proceeds from redemption of fixed maturities, available for sale     719,508 706,891    
Proceeds from redemption of fixed maturities, held to maturity     86,075 82,290    
Proceeds from redemption of equity securities (preferred stock)     8,517 0    
Proceeds from redemption of short-term investments     509 118,319    
Proceeds from the repayment of mortgage loans     28,330 73,655    
Purchase of other assets     (28,562) (19,342)    
Loan advances made     (143,209) (94,161)    
Net cash provided by (used in) investing activities     (979,633) 277,779    
Cash flows from financing activities:            
Repurchase of common shares     (148,775) (489,981)    
Taxes paid on withholding shares     (30,934) (25,614)    
Dividends paid - common shares     (68,448) (74,362)    
Dividends paid - preferred shares     (15,125) (15,125)    
Repayment of Federal Home Loan Bank advances     (5,250) 0    
Net cash used in financing activities     (268,532) (605,082)    
Effect of exchange rate changes on foreign currency cash, cash equivalents and restricted cash     (902) 18,022    
Decrease in cash, cash equivalents and restricted cash     (98,127) (1,654,420)    
Cash, cash equivalents and restricted cash - beginning of period     1,321,185 3,063,621 $ 3,063,621 $ 3,063,621
Cash, cash equivalents and restricted cash - end of period $ 1,223,058 $ 1,409,201 1,223,058 1,409,201 $ 1,321,185 $ 1,223,058
Supplemental disclosures of cash flow information:            
Income taxes paid     115,143 71,984    
Interest paid     $ 31,032 $ 31,293