v3.26.1
Investments - Schedule of Gross Unrealized Losses and Fair Value (Details) - USD ($)
$ in Thousands
Mar. 31, 2026
Dec. 31, 2025
Total fixed maturity securities, available-for-sale    
Debt Securities, Available-for-sale [Line Items]    
Fixed maturity securities, less than 12 months, fair value $ 460,884 $ 159,643
Fixed maturity securities, less than 12 months, gross unrealized losses (5,051) (826)
Fixed maturity securities, 12 months or more, fair value 552,064 621,814
Fixed maturity securities, 12 months or more, gross unrealized losses (55,999) (53,229)
Fixed maturity securities, fair value 1,012,948 781,457
Fixed maturity securities, gross unrealized losses (61,050) (54,055)
State and municipal    
Debt Securities, Available-for-sale [Line Items]    
Fixed maturity securities, less than 12 months, fair value 44,882 26,425
Fixed maturity securities, less than 12 months, gross unrealized losses (705) (369)
Fixed maturity securities, 12 months or more, fair value 146,154 152,646
Fixed maturity securities, 12 months or more, gross unrealized losses (19,777) (18,684)
Fixed maturity securities, fair value 191,036 179,071
Fixed maturity securities, gross unrealized losses (20,482) (19,053)
Residential mortgage-backed    
Debt Securities, Available-for-sale [Line Items]    
Fixed maturity securities, less than 12 months, fair value 189,307 63,405
Fixed maturity securities, less than 12 months, gross unrealized losses (1,962) (193)
Fixed maturity securities, 12 months or more, fair value 120,801 171,993
Fixed maturity securities, 12 months or more, gross unrealized losses (13,425) (13,402)
Fixed maturity securities, fair value 310,108 235,398
Fixed maturity securities, gross unrealized losses (15,387) (13,595)
Corporate    
Debt Securities, Available-for-sale [Line Items]    
Fixed maturity securities, less than 12 months, fair value 189,892 61,910
Fixed maturity securities, less than 12 months, gross unrealized losses (2,284) (243)
Fixed maturity securities, 12 months or more, fair value 206,722 214,235
Fixed maturity securities, 12 months or more, gross unrealized losses (18,527) (16,941)
Fixed maturity securities, fair value 396,614 276,145
Fixed maturity securities, gross unrealized losses (20,811) (17,184)
Commercial mortgage and asset-backed    
Debt Securities, Available-for-sale [Line Items]    
Fixed maturity securities, less than 12 months, fair value 27,496 7,662
Fixed maturity securities, less than 12 months, gross unrealized losses (52) (19)
Fixed maturity securities, 12 months or more, fair value 74,167 78,130
Fixed maturity securities, 12 months or more, gross unrealized losses (4,218) (4,140)
Fixed maturity securities, fair value 101,663 85,792
Fixed maturity securities, gross unrealized losses (4,270) (4,159)
U.S. Treasury securities and obligations guaranteed by the U.S. government    
Debt Securities, Available-for-sale [Line Items]    
Fixed maturity securities, less than 12 months, fair value 9,307 241
Fixed maturity securities, less than 12 months, gross unrealized losses (48) (2)
Fixed maturity securities, 12 months or more, fair value 4,220 4,810
Fixed maturity securities, 12 months or more, gross unrealized losses (52) (62)
Fixed maturity securities, fair value 13,527 5,051
Fixed maturity securities, gross unrealized losses $ (100) $ (64)