v3.26.1
Investments (Tables)
6 Months Ended
Jun. 30, 2026
Investments, Debt and Equity Securities [Abstract]  
Schedule of Fixed Maturity and Short-Term Investments
The Company’s fixed maturity and short-term investments are as follows:

June 30, 2026
($ in thousands)
Amortized CostGross Unrealized GainsGross Unrealized LossesFair Value
Fixed maturities:
U.S. government treasuries$642,619 $162 $(6,806)$635,975 
U.S. states, territories and municipalities10,706 13 (118)10,601 
Non-U.S. sovereign governments and supranationals110,285 962 (2,463)108,784 
Corporate1,737,396 10,459 (15,577)1,732,278 
Residential mortgage-backed securities - Agency221,454 1,403 (5,243)217,614 
Residential mortgage-backed securities - Non-agency58,086 156 (1,520)56,722 
Commercial mortgage-backed securities - Non-agency78,767 209 (586)78,390 
Other asset-backed securities274,194 433 (937)273,690 
Total fixed maturities3,133,507 13,797 (33,250)3,114,054 
Short-term investments
355,729 780 (56)356,453 
Total$3,489,236 $14,577 $(33,306)$3,470,507 

December 31, 2025
($ in thousands)
Amortized CostGross Unrealized GainsGross Unrealized LossesFair Value
Fixed maturities:
U.S. government treasuries$795,780 $4,782 $(2,728)$797,834 
U.S. states, territories and municipalities12,924 89 (53)12,960 
Non-U.S. sovereign governments and supranationals108,296 3,102 (537)110,861 
Corporate1,557,582 29,899 (3,337)1,584,144 
Residential mortgage-backed securities - Agency370,516 4,419 (9,285)365,650 
Residential mortgage-backed securities - Non-agency33,052 319 (826)32,545 
Commercial mortgage-backed securities - Non-agency94,223 835 (360)94,698 
Other asset-backed securities238,567 1,401 (117)239,851 
Total fixed maturities3,210,940 44,846 (17,243)3,238,543 
Short-term investments
200,052 419 (12)200,459 
 Total
$3,410,992 $45,265 $(17,255)$3,439,002 
Schedule of Contractual Maturities of Fixed Maturity Securities
The following table presents contractual maturities of fixed maturity securities. Expected maturities will differ from contractual maturities because borrowers may have the right to call or prepay obligations with or without call or prepayment penalties.

June 30, 2026
($ in thousands)
Amortized CostFair Value
Due less than one year
$54,757 $54,964 
Due after one through five years
1,583,956 1,578,545 
Due after five through ten years
790,011 782,759 
Due after ten years
72,282 71,370 
Mortgage-backed securities
358,307 352,726 
Asset-backed securities
274,194 273,690 
Total
$3,133,507 $3,114,054 
Schedule of Investments in Two Sigma Funds
The Company owns the following interest in each of the Two Sigma Funds:

June 30, 2026
Two Sigma FundsAbbreviation%
Two Sigma Spectrum Portfolio, LLCSTV13.3 %
Two Sigma Equity Spectrum Portfolio, LLCESTV10.4 %
Two Sigma Absolute Return Portfolio, LLCATV0.2 %
Two Sigma Futures Portfolio, LLCFTV6.6 %
Two Sigma Horizon Portfolio, LLCHTV5.4 %
Two Sigma Navigator Portfolio, LLCNTV6.0 %
Two Sigma Kuiper Portfolio, LLCKTV5.2 %
The Company’s investments in Two Sigma Funds are as follows:

($ in thousands)
June 30, 2026December 31, 2025
Two Sigma FundsCostNet Unrealized Gains (Losses)Fair ValueCostNet Unrealized Gains (Losses)Fair Value
Two Sigma Spectrum Portfolio, LLC$43,863 $9,324 $53,187 $500,616 $131,996 $632,612 
Two Sigma Equity Spectrum Portfolio, LLC915,005 170,510 1,085,515 187,718 49,906 237,624 
Two Sigma Absolute Return Portfolio, LLC10,784 1,417 12,201 93,092 8,882 101,974 
Two Sigma Futures Portfolio, LLC196,068 75,667 271,735 192,064 44,998 237,062 
Two Sigma Horizon Portfolio, LLC252,942 15,344 268,286 241,090 4,585 245,675 
Two Sigma Navigator Portfolio, LLC132,908 (1,545)131,363 110,577 (9,585)100,992 
Two Sigma Kuiper Portfolio, LLC22,521 (650)21,871 30,406 1,313 31,719 
Total
$1,574,091 $270,067 $1,844,158 $1,355,563 $232,095 $1,587,658 
Schedule of Certain Investments of Two Sigma Funds
The following table summarizes certain investments of the Two Sigma Funds where TS Hamilton Fund’s proportionate share of the fair value of the investment represents more than 5% of TS Hamilton Fund’s members’ equity:

June 30, 2026
($ in thousands)
Principal / Shares (1)
Fair
Value (1)
% of Members' Equity
State Street Treasury Obligations Money Market Fund157,162 $157,162 6.4 %
U.S. Treasury Securities, 0.0000% - 5.0000%, due 7/9/2026 - 5/15/20562,088,572 $2,054,490 83.8 %
U.S. Treasury Securities, 1.2500% - 5.0000%, due 1/31/2027 - 2/15/2056(230,397)$(227,862)(9.3)%
(1) Values represent TS Hamilton Fund’s proportionate share of the aggregate of the Two Sigma Funds' total holdings.
Schedule of Realized and Unrealized Gains (Losses) on Investments and Net Investment Income (Loss)
The components of total net realized and unrealized gains (losses) on investments and net investment income (loss) are as follows:

Three Months EndedSix Months Ended
June 30,June 30,
($ in thousands)
2026202520262025
Net realized and unrealized gains (losses) on investments:
Net realized gains (losses) on investments$232,135 $196,129 $387,751 $314,787 
Change in net unrealized gains (losses) on investments(4,279)11,905 (8,818)142,041 
Net realized and unrealized gains (losses) on investments227,856 208,034 378,933 456,828 
Net investment income (loss):
Fixed maturities34,307 27,317 68,785 52,604 
Short-term investments10 230 19 298 
TS Hamilton Fund1,948 2,858 3,584 4,594 
Cash and cash equivalents4,195 3,987 8,489 8,590 
Other(6)726 403 1,186 
Interest and other40,454 35,118 81,280 67,272 
Management fees(15,643)(13,719)(30,112)(26,685)
Other expenses(371)(332)(699)(593)
Net investment income (loss)
24,440 21,067 50,469 39,994 
Total net realized and unrealized gains (losses) on investments and net investment income (loss)$252,296 $229,101 $429,402 $496,822 
Schedule of Realized Gain (Loss) on Investments
The components of net realized gains (losses) on investments are as follows:

Three Months EndedSix Months Ended
June 30,June 30,
($ in thousands)
2026202520262025
Fixed maturities and short-term investments$(5,241)$1,343 $(2,332)$867 
TS Hamilton Fund 237,376 194,786 390,083 313,920 
Net realized gains (losses) on investments$232,135 $196,129 $387,751 $314,787 
Schedule of Unrealized Gain (Loss) on Investments
The components of net unrealized gains (losses) on investments are as follows:

Three Months EndedSix Months Ended
June 30,June 30,
($ in thousands)
2026202520262025
Fixed maturities and short-term investments$(6,529)$28,782 $(47,171)$63,269 
TS Hamilton Fund 2,250 (16,877)38,353 78,772 
Net unrealized gains (losses) on investments$(4,279)$11,905 $(8,818)$142,041