Lack of Volatility in Results and Excess Capital Returned to Shareholders slide image

Lack of Volatility in Results and Excess Capital Returned to Shareholders

ASSET ALLOCATION AT DECEMBER 31, 2021 Duration - 2.4 years; Average quality - AA- CATEGORY Fixed-maturity securities U.S. government State and municipal Mortgage-backed securities Asset-backed securities Corporate bonds Foreign government CARRYING VALUE ($MM) % TOTAL 855.3 3.6% 3,373.3 14.2% 1,072.9 4.5% 4,490.6 18.9% 5,595.7 23.6% 1,214.9 5.1% Total fixed-maturity securities $ 6,602,673 69.9% Equities 941.2 4.0% Real estate Investment funds Cash and cash equivalents Arbitrage trading account Loans receivable Total 1,852.5 7.8% 1,480.6 6.2% 1,568.8 6.6% 1,179.6 5.0% 115.2 0.1% $ 23,740.7 100.0%
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