v3.26.1
Investments (Tables)
6 Months Ended
Jun. 30, 2026
Investments [Abstract]  
Amortized cost, gross unrealized gains and losses and fair value of fixed income securities
Our fixed income securities classified as available-for-sale at June 30, 2026 and December 31, 2025 are shown in tables 5.1a and 5.1b below.
Details of Fixed Income Securities by Category as of June 30, 2026
Table5.1a
(In thousands)Amortized CostGross Unrealized GainsGross Unrealized (Losses)Fair Value
U.S. Treasury securities and obligations of U.S. government corporations and agencies$284,121 $113 $(3,046)$281,188 
Obligations of U.S. states and political subdivisions1,849,688 9,958 (139,081)1,720,565 
Corporate debt securities2,722,787 16,908 (65,022)2,674,673 
ABS290,072 862 (2,813)288,121 
RMBS373,594 4,760 (16,758)361,596 
CMBS235,738 750 (3,008)233,480 
CLOs124,168 133 (52)124,249 
Foreign government debt4,488  (431)4,057 
Commercial paper13,130  (1)13,129 
Total fixed income securities
$5,897,786 $33,484 $(230,212)$5,701,058 
Details of Fixed Income Securities by Category as of December 31, 2025
Table5.1b
(In thousands)Amortized CostGross Unrealized GainsGross Unrealized (Losses)Fair Value
U.S. Treasury securities and obligations of U.S. government corporations and agencies$279,359 $958 $(2,505)$277,812 
Obligations of U.S. states and political subdivisions1,961,841 10,958 (134,035)1,838,764 
Corporate debt securities2,712,348 36,781 (57,857)2,691,272 
ABS225,478 2,418 (1,335)226,561 
RMBS366,671 8,169 (16,816)358,024 
CMBS237,974 2,484 (1,675)238,783 
CLOs99,182 129 (24)99,287 
Foreign government debt4,487 — (420)4,067 
Commercial paper56,661 — — 56,661 
Total fixed income securities
$5,944,001 $61,897 $(214,667)$5,791,231 
Amortized cost and fair values of fixed income securities by contractual maturity
The amortized cost and fair values of fixed income securities at June 30, 2026, by contractual maturity, are shown in table 5.2 below. Actual maturities will differ from contractual maturities because borrowers may have the right to call or prepay obligations with or without call or prepayment penalties. Because most mortgage and asset-backed securities are not due at a single maturity date, they are listed in separate categories.
Fixed Income Securities Maturity Schedule
Table5.2
June 30, 2026
(In thousands)Amortized costFair Value
Due in one year or less$668,519 $667,328 
Due after one year through five years1,668,459 1,628,072 
Due after five years through ten years1,672,759 1,608,662 
Due after ten years864,477 789,550 
4,874,214 4,693,612 
ABS290,072 288,121 
RMBS373,594 361,596 
CMBS235,738 233,480 
CLOs124,168 124,249 
Total$5,897,786 $5,701,058 
Cost and fair value of investments in equity securities
The cost and fair value of investments in equity securities at June 30, 2026 and December 31, 2025 are shown in tables 5.3a and 5.3b below.
Details of Equity Security Investments as of June 30, 2026
Table5.3a
(In thousands)Cost
Fair Value Gains
Fair Value Losses
Fair Value
Equity securities$16,360 $27 $(1,113)$15,274 
Details of Equity Security Investments as of December 31, 2025
Table5.3b
(In thousands)CostFair Value GainsFair Value LossesFair Value
Equity securities$16,286 $42 $(1,006)$15,322 
Schedule of realized gains (losses) and proceeds from sale of securities
The net gains (losses) on investments and other financial instruments and the proceeds from the sale of fixed income securities classified as available-for-sale securities are shown in table 5.4 below.

Details of Net Gains (Losses) on Investments and Other Financial Instruments
Table5.4Three Months Ended June 30,Six Months Ended June 30,
(in thousands)2026202520262025
Fixed income securities:
Gains on sales$497 $575 $707 $924 
Losses on sales(2,460)(2,520)(2,470)(2,549)
Equity securities gains (losses):
Changes in fair value
46 89 (122)209 
Change in embedded derivative on Home Re Transactions(1)
(309)430 (510)731 
Net gains (losses) on investments and other financial instruments$(2,226)$(1,426)$(2,395)$(685)
Proceeds from sales of fixed income securities$57,432 $20,280 $58,437 $41,017 
(1) See Note 6 "Fair Value Measurements" for discussion of the embedded derivative on the Home Re Transactions.
Aging of the fair value of securities in an unrealized loss position
Tables 5.5a and 5.5b below summarize, for all available-for-sale investments in an unrealized loss position at June 30, 2026 and December 31, 2025, the aggregate fair value and gross unrealized loss by the length of time those securities have been continuously in an unrealized loss position. The fair value amounts reported in tables 5.5a and 5.5b are estimated using the process described in Note 6 - “Fair Value Measurements” to these consolidated financial statements and in Note 2 - “Significant Accounting Policies” to the consolidated financial statements in our 2025 Annual Report on Form 10-K.
Unrealized Loss Aging for Securities by Type and Length of Time as of June 30, 2026
Table5.5a
Less Than 12 Months12 Months or GreaterTotal
(In thousands)Fair ValueUnrealized LossesFair ValueUnrealized LossesFair ValueUnrealized Losses
U.S. Treasury securities and obligations of U.S. government corporations and agencies$160,992 $(744)$30,819 $(2,302)$191,811 $(3,046)
Obligations of U.S. states and political subdivisions200,110 (3,037)1,030,622 (136,044)1,230,732 (139,081)
Corporate debt securities810,234 (6,333)761,003 (58,689)1,571,237 (65,022)
ABS172,169 (1,575)4,584 (1,238)176,753 (2,813)
RMBS51,103 (351)150,115 (16,407)201,218 (16,758)
CMBS120,580 (1,446)51,690 (1,562)172,270 (3,008)
CLOs32,231 (52)  32,231 (52)
Foreign government debt  4,057 (431)4,057 (431)
Commercial paper3,338 (1)  3,338 (1)
Total$1,550,757 $(13,539)$2,032,890 $(216,673)$3,583,647 $(230,212)
Unrealized Loss Aging for Securities by Type and Length of Time as of December 31, 2025
Table5.5b
Less Than 12 Months12 Months or GreaterTotal
(In thousands)Fair Value
Unrealized
 Losses
Fair Value
Unrealized
Losses
Fair Value
Unrealized
 Losses
U.S. Treasury securities and obligations of U.S. government corporations and agencies$15,762 $(60)$51,113 $(2,445)$66,875 $(2,505)
Obligations of U.S. states and political subdivisions144,148 (6,123)1,087,931 (127,912)1,232,079 (134,035)
Corporate debt securities258,349 (1,180)887,659 (56,677)1,146,008 (57,857)
ABS49,774 (1,103)22,965 (232)72,739 (1,335)
RMBS2,906 (8)187,553 (16,808)190,459 (16,816)
CMBS15,363 (30)82,994 (1,645)98,357 (1,675)
CLOs35,272 (24)— — 35,272 (24)
Foreign government debt— — 4,068 (420)4,068 (420)
Total$521,574 $(8,528)$2,324,283 $(206,139)$2,845,857 $(214,667)