v3.26.1
Capital provision assets (Tables)
6 Months Ended
Jun. 30, 2026
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Reconciliation of Capital Provision Assets
The table below sets forth the changes in capital provision assets as of the beginning and end of the relevant reporting periods.
Three months ended June 30,Six months ended June 30,
($ in thousands)2026202520262025
Beginning of period$3,120,499 $5,305,021 $5,609,949 $5,243,917 
Transfers(1)
— — (23,043)— 
Deployments110,076 100,304 250,023 316,780 
Realizations(148,970)(90,077)(250,279)(378,925)
Income/(loss) for the period(2)
105,779 211,186 (2,393,471)336,754 
Foreign exchange gains/(losses)(2,707)18,249 (8,502)26,157 
End of period3,184,677 5,544,683 3,184,677 5,544,683 
Deployed cost, end of period2,566,282 2,404,992 2,566,282 2,404,992 
Unrealized fair value, end of period618,395 3,139,691 618,395 3,139,691 
Total capital provision assets3,184,677 5,544,683 3,184,677 5,544,683 
1. Relates to certain costs previously included within capital provision assets that did not meet the applicable criteria for inclusion in the fair value of those assets. These amounts have been expensed in the three months ended March 31, 2026 within “Case-related expenditures ineligible for inclusion in asset cost”. The impact of this matter was not material to the three and six months ended June 30, 2026 or any of the prior periods.
2. Includes a capital provision loss of $2.4 billion for the six months ended June 30, 2026 relating to the YPF Judgment Reversal.
Schedule of Capital Provision Income on Consolidated Statement of Comprehensive Income
The table below sets forth the components of the capital provision income/(loss) for the periods indicated.
Three months ended June 30,Six months ended June 30,
($ in thousands)2026202520262025
Net realized gains/(losses)$65,655 $40,296 $97,825 $107,915 
Fair value adjustment during the period, net of previously recognized unrealized gains/(losses) transferred to realized gains/(losses)40,124 170,890 (2,491,296)228,839 
Income/(loss) on capital provision assets105,779 211,186 (2,393,471)336,754 
Foreign exchange gains/(losses)(2,514)10,966 (5,847)16,376 
Net income/(loss) from due from settlement of capital provision assets1,250 2,303 1,820 2,955 
Other income/(loss)(3,036)(291)212 (405)
Total capital provision income/(loss) as reported in the unaudited condensed consolidated statements of operations101,479 224,164 (2,397,286)355,680