v3.26.1
Investments - Scheduled Contractual Maturities of Fixed-Maturity Securities (Detail) - USD ($)
$ in Thousands
Mar. 31, 2026
Dec. 31, 2025
Investments, Debt and Equity Securities [Abstract]    
Due in one year or less, Cost or Amortized Cost $ 15,139 $ 10,202
Due after one year through five years, Cost or Amortized Cost 377,942 353,454
Due after five years through ten years, Cost or Amortized Cost 501,794 209,970
Due after ten years, Cost or Amortized Cost 501 501
Commercial mortgage-backed securities Cost or Amortized Cost 25,597 21,256
Fixed-maturity securities, Cost or Amortized Cost 920,973 595,383
Due in one year or less, Estimated Fair Value 15,127 10,214
Due after one year through five years, Estimated Fair Value 375,912 354,648
Due after five years through ten years, Estimated Fair Value 497,957 210,963
Due after ten years, Estimated Fair Value 430 449
Commercial mortgage backed securities Estimated Fair Value 25,420 21,055
Estimated Fair Value Total $ 914,846 $ 597,329