Quarterly Report — Form 10-Q
Filing Table of Contents
Document/Exhibit Description Pages Size
1: 10-Q Quarterly Report HTML 2.62M
2: EX-10.1 Material Contract HTML 101K
3: EX-15 Letter re: Unaudited Interim Financial Info HTML 25K
4: EX-31.1 Certification -- §302 - SOA'02 HTML 30K
5: EX-31.2 Certification -- §302 - SOA'02 HTML 30K
6: EX-32.1 Certification -- §906 - SOA'02 HTML 27K
7: EX-32.2 Certification -- §906 - SOA'02 HTML 27K
14: R1 Document and Entity Information HTML 92K
15: R2 Unaudited Consolidated Balance Sheets HTML 166K
16: R3 Unaudited Consolidated Balance Sheets HTML 58K
(Parentheticals)
17: R4 Unaudited Consolidated Statements of Income HTML 142K
18: R5 Unaudited Consolidated Statements of Comprehensive HTML 64K
Income
19: R6 Unaudited Consolidated Statements of Changes in HTML 153K
Shareholders' Equity
20: R7 Unaudited Consolidated Statements of Cash Flows HTML 134K
21: R8 Basis of Presentation and Recent Accounting HTML 36K
Pronouncements
22: R9 Share Transactions HTML 37K
23: R10 Earnings Per Common Share HTML 60K
24: R11 Segment Information HTML 376K
25: R12 Reserve for Losses and Loss Adjustment Expenses HTML 80K
26: R13 Allowance for Expected Credit Losses HTML 101K
27: R14 Investment Information HTML 401K
28: R15 Fair Value HTML 327K
29: R16 Derivative Instruments HTML 66K
30: R17 Commitments and Contingencies HTML 29K
31: R18 Variable Interest Entities and Noncontrolling HTML 174K
Interests
32: R19 Other Comprehensive Income (Loss) HTML 85K
33: R20 Income Taxes HTML 31K
34: R21 Legal Proceedings HTML 27K
35: R22 Transactions With Related Parties HTML 30K
36: R23 Subsequent Events HTML 28K
37: R24 Basis of Presentation and Recent Accounting HTML 38K
Pronouncements (Policies)
38: R25 Earnings Per Common Share (Tables) HTML 60K
39: R26 Segment Information (Tables) HTML 368K
40: R27 Reserve for Losses and Loss Adjustment Expenses HTML 65K
(Tables)
41: R28 Allowance for Expected Credit Losses (Tables) HTML 107K
42: R29 Investment Information (Tables) HTML 416K
43: R30 Fair Value (Tables) HTML 304K
44: R31 Derivative Instruments (Tables) HTML 65K
45: R32 Variable Interest Entities and Noncontrolling HTML 173K
Interests (Tables)
46: R33 Other Comprehensive Income (Loss) (Tables) HTML 86K
47: R34 Share Transactions - Share repurchases (Details) HTML 38K
48: R35 Share Transactions - Issuance of preferred shares HTML 52K
(Details)
49: R36 Earnings Per Common Share (Details) HTML 99K
50: R37 Segment Information - Summary of underwriting HTML 216K
income or loss by segment (Details)
51: R38 Reserve for Losses and Loss Adjustment Expenses - HTML 60K
Reconciliation of beginning and ending balances of
losses and loss adjustment reserves (Details)
52: R39 Reserve for Losses and Loss Adjustment Expenses - HTML 98K
Prior year development (Details)
53: R40 Allowance for Expected Credit Losses - Premiums HTML 63K
receivable (Details)
54: R41 Allowance for Expected Credit Losses - Reinsurance HTML 40K
recoverables (Details)
55: R42 Allowance for Expected Credit Losses - Ceded HTML 44K
credit risk (Details)
56: R43 Allowance for Expected Credit Losses - HTML 38K
Contractholder receivables (Details)
57: R44 Investment Information - Summary of available for HTML 126K
sale securities (Details)
58: R45 Investment Information - Aging of available for HTML 93K
sale securities in an unrealized loss position
(Details)
59: R46 Investment Information - Maturity profile of HTML 82K
available for sale securities) (Details)
60: R47 Investment Information - Securities lending HTML 71K
agreements (Details)
61: R48 Investment Information - Other investments HTML 62K
(Details)
62: R49 Investment Information - Equity method investments HTML 43K
(Details)
63: R50 Investment Information - Limited partnership HTML 36K
interests (Details)
64: R51 Investment Information - Net investment income HTML 45K
(Details)
65: R52 Investment Information - Net realized gains and HTML 66K
losses (Details)
66: R53 Investment Information - Investment in operating HTML 49K
affiliates (Details)
67: R54 Investment Information - Allowance for expected HTML 90K
credit losses (Details)
68: R55 Investment Information - Restricted assets HTML 41K
(Details)
69: R56 Investment Information - Cash and restricted cash HTML 36K
(Details)
70: R57 Investment Information - Narrative (Details) HTML 54K
71: R58 Fair Value - Fair Value Hierarchy (Details) HTML 205K
72: R59 Fair Value - Rollforward of Level 3 assets and HTML 116K
liabilities (Details)
73: R60 Fair Value - Narrative (Details) HTML 38K
74: R61 Derivative Instruments - Fair value and notional HTML 62K
amount of derivatives (Details)
75: R62 Derivative Instruments - Summary of net realized HTML 43K
gains (Losses) Recorded in the Consolidated
Statements of Income (Details)
76: R63 Commitments and Contingencies (Details) HTML 30K
77: R64 Variable Interest Entities and Noncontrolling HTML 67K
Interests - Variable interest entity (Details)
78: R65 Variable Interest Entities and Noncontrolling HTML 115K
Interests - Carrying amount of assets and
liabilities of variable interest entity (Details)
79: R66 Variable Interest Entities and Noncontrolling HTML 52K
Interests - Non-redeemable noncontrolling
interests (Details)
80: R67 Variable Interest Entities and Noncontrolling HTML 47K
Interests - Redeemable noncontrolling interests
(Details)
81: R68 Variable Interest Entities and Noncontrolling HTML 34K
Interests - Income or loss attributable to third
party investors (Details)
82: R69 Variable Interest Entities and Noncontrolling HTML 111K
Interests - Other variable interest entity
disclosures (Details)
83: R70 Other Comprehensive Income (Loss) - Amounts HTML 61K
reclassified from accumulated other comprehensive
income (Details)
84: R71 Other Comprehensive Income (Loss) - Components of HTML 72K
other comprehensive income (Details)
85: R72 Income Taxes (Details) HTML 32K
86: R73 Transactions With Related Parties (Details) HTML 37K
87: R74 Subsequent Events (Details) HTML 31K
89: XML IDEA XML File -- Filing Summary XML 165K
13: XML XBRL Instance -- acgl-20210630_htm XML 7.97M
88: EXCEL IDEA Workbook of Financial Reports XLSX 156K
9: EX-101.CAL XBRL Calculations -- acgl-20210630_cal XML 287K
10: EX-101.DEF XBRL Definitions -- acgl-20210630_def XML 1.16M
11: EX-101.LAB XBRL Labels -- acgl-20210630_lab XML 2.21M
12: EX-101.PRE XBRL Presentations -- acgl-20210630_pre XML 1.46M
8: EX-101.SCH XBRL Schema -- acgl-20210630 XSD 216K
90: JSON XBRL Instance as JSON Data -- MetaLinks 527± 806K
91: ZIP XBRL Zipped Folder -- 0000947484-21-000113-xbrl Zip 675K
Filing Submission 0000947484-21-000113 – SGML Text
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