
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 |
|---|---|---|---|---|---|
| Net earned premiums | $380.0M-5.7% | $403.0M+17.2% | $344.0M-30.4% | $494.0M+19.3% | $414.0M |
| Net investment income | $359.0M+5.6% | $340.0M-6.8% | $365.0M+35.7% | $269.0M+0.0% | $269.0M |
| Asset management fees | $0 | $0-100.0% | $53.0M-43.0% | $93.0M+5.7% | $88.0M |
| Net realized investment gains (losses) | -$40.0M-544.4% | $9.0M+164.3% | -$14.0M+75.0% | -$56.0M-473.3% | $15.0M |
| Fair value gains (losses) on credit derivatives | $121.0M+404.2% | $24.0M-78.9% | $114.0M+1136.4% | -$11.0M+81.0% | -$58.0M |
| Fair value gains (losses) on committed capital securities | $20.0M+300.0% | -$10.0M+71.4% | -$35.0M-245.8% | $24.0M+185.7% | -$28.0M |
| Fair value gains (losses) on financial guaranty variable interest entities | $6.0M+154.5% | -$11.0M-237.5% | $8.0M-63.6% | $22.0M-4.3% | $23.0M |
| Fair value gains (losses) on consolidated investment vehicles | $79.0M+14.5% | $69.0M-21.6% | $88.0M+417.6% | $17.0M-86.6% | $127.0M |
| Foreign exchange gains (losses) on remeasurement | $96.0M+455.6% | -$27.0M-150.9% | $53.0M+147.3% | -$112.0M-387.0% | -$23.0M |
| Fair value gains (losses) on trading securities | $13.0M-75.0% | $52.0M-29.7% | $74.0M+317.6% | -$34.0M | $0 |
| Gain on sale of asset management subsidiaries | $0 | $0-100.0% | $262.0M | $0 | $0 |
| Other income (loss) | $76.0M+230.4% | $23.0M-62.3% | $61.0M+258.8% | $17.0M-19.0% | $21.0M |
| Total revenues | $1.11B+27.3% | $872.0M-36.5% | $1.37B+89.9% | $723.0M-14.7% | $848.0M |
| Loss and loss adjustment expenses (benefit) | $56.0M+315.4% | -$26.0M-116.0% | $162.0M+912.5% | $16.0M+107.3% | -$220.0M |
| Interest expense | $89.0M-2.2% | $91.0M+1.1% | $90.0M+11.1% | $81.0M-6.9% | $87.0M |
| Amortization of deferred acquisition costs | $22.0M+10.0% | $20.0M+53.8% | $13.0M-7.1% | $14.0M+0.0% | $14.0M |
| Employee compensation and benefit expenses | $209.0M+3.5% | $202.0M-19.5% | $251.0M-2.7% | $258.0M+12.2% | $230.0M |
| Other operating expenses | $174.0M+9.4% | $159.0M-26.7% | $217.0M+29.9% | $167.0M-6.7% | $179.0M |
| Total expenses | $550.0M+23.3% | $446.0M-39.2% | $733.0M+36.8% | $536.0M+15.3% | $465.0M |
| Income (loss) before income taxes and equity in earnings (losses) of investees | $560.0M+31.5% | $426.0M-33.4% | $640.0M+242.2% | $187.0M-51.2% | $383.0M |
| Equity in earnings (losses) of investees | $102.0M+64.5% | $62.0M+121.4% | $28.0M+171.8% | -$39.0M-141.5% | $94.0M |
| Income (loss) before income taxes | $662.0M+35.7% | $488.0M-26.9% | $668.0M+351.4% | $148.0M-69.0% | $477.0M |
| Current | $124.0M+24.0% | $100.0M+58.7% | $63.0M+350.0% | $14.0M-85.4% | $96.0M |
| Deferred | -$5.0M-25.0% | -$4.0M+97.4% | -$156.0M-5100.0% | -$3.0M+92.1% | -$38.0M |
| Total provision (benefit) for income taxes | $119.0M+24.0% | $96.0M+203.2% | -$93.0M-945.5% | $11.0M-81.0% | $58.0M |
| Net income (loss) | $543.0M+38.5% | $392.0M-48.5% | $761.0M+455.5% | $137.0M-67.3% | $419.0M |
| Less: Noncontrolling interest | $40.0M+150.0% | $16.0M-27.3% | $22.0M+69.2% | $13.0M-56.7% | $30.0M |
| Net income (loss) attributable to Assured Guaranty Ltd. | $503.0M+33.8% | $376.0M-49.1% | $739.0M+496.0% | $124.0M-68.1% | $389.0M |
| Basic (in dollars per share) | $10390000.00+48.2% | $7010000.00-44.1% | $12540000.00+543.1% | $1950000.00-63.1% | $5290000.00 |
| Diluted (in dollars per share) | $10260000.00+49.3% | $6870000.00-44.1% | $12300000.00+540.6% | $1920000.00-63.3% | $5230000.00 |
Source: SEC EDGAR XBRL. % change vs prior period shown where available.
Source: SEC EDGAR 10-K and 10-Q filings. Up to 10 years annual / 16 quarters shown.