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Schedule I Summary Of Investments
12 Months Ended
Dec. 31, 2020
Schedule I Summary of Investments [Abstract]  
Summary of Investments-Other than Investments in Related Parties [Text Block]
Radian Group Inc. and Its Consolidated Subsidiaries
Schedule I
Summary of Investments—Other Than Investments in Related Parties
December 31, 2020
(In thousands)Amortized
Cost
Allowance for Credit LossesFair ValueAmount Reflected on the Consolidated Balance Sheet
Type of Investment
Fixed-maturities available for sale:
Bonds:
U.S. government and agency securities$176,033 $— $174,099 $174,099 
State and municipal obligations149,258 — 165,271 165,271 
Corporate bonds and notes2,832,350 (948)3,078,415 3,078,415 
RMBS799,814 — 833,939 833,939 
CMBS645,071 — 681,265 681,265 
CLO569,173 — 568,558 568,558 
Other ABS249,988 — 252,457 252,457 
Foreign government and agency securities5,100 — 5,438 5,438 
Total securities available for sale5,426,787 (948)5,759,442 
(1)
5,759,442 
(1)
Trading securities260,863 — 290,983 
(2)
290,983 
(2)
Equity securities:
Common stocks166,721 — 172,539 172,539 
Total equity securities166,721 — 172,539 
(3)
172,539 
(3)
Short-term investments (4)
618,014 — 618,004 618,004 
Other invested assets3,145 — 4,973 4,973 
Total investments other than investments in related parties$6,475,530 $(948)$6,845,941 $6,845,941 
(1)Includes $36.1 million of fixed-maturity securities available for sale loaned under securities lending agreements that are classified as other assets in our consolidated balance sheets.
(2)Includes $0.1 million of trading securities loaned under securities lending agreements that are classified as other assets in our consolidated balance sheets.
(3)Includes $21.3 million of equity securities loaned under securities lending agreements that are classified as other assets in our consolidated balance sheets.
(4)Includes cash collateral held under securities lending agreements of $15.6 million that is reinvested in money market instruments.