v3.26.1
Fair Value (Tables)
6 Months Ended
Jun. 30, 2026
Fair Value Disclosures [Abstract]  
Schedule of Fair Value Measurements by Level
A summary of fair value measurements by level for assets and liabilities measured at fair value on a recurring basis at June 30, 2026 and December 31, 2025 is as follows:
Level ILevel IILevel IIITotal
June 30, 2026
Assets:
Cash equivalents$5,305$$$5,305
Fixed maturity securities, available-for-sale:
United States Government securities1,3571,357
Government sponsored securities5252
Foreign government securities1313
States, municipalities and political subdivisions, tax-exempt3,4963,496
Corporate securities13,57541713,992
Residential mortgage-backed securities3,39833,401
Commercial mortgage-backed securities1,8381,838
Other asset-backed securities1,9618682,829
Total fixed maturity securities, available-for-sale25,6901,28826,978
Equity securities:
Exchange traded funds1,4811,481
Common equity securities3535
Private equity securities4747
Total equity securities1,48135471,563
Other invested assets - common equity securities44
Securities lending collateral2,8332,833
Derivatives - other assets55
Total assets$6,790$28,563$1,335$36,688
Percentage of total assets at fair value18%78%4%100%
Liabilities:
Derivatives - other liabilities$$(102)$$(102)
Total liabilities$$(102)$$(102)
December 31, 2025
Assets:
Cash equivalents$5,184$$$5,184
Fixed maturity securities, available-for-sale:
United States Government securities1,5031,503
Government sponsored securities8181
Foreign government securities1313
States, municipalities and political subdivisions, tax-exempt3,7013,701
Corporate securities13,37341013,783
Residential mortgage-backed securities3,090173,107
Commercial mortgage-backed securities2,0732,073
Other asset-backed securities1,8788662,744
Total fixed maturity securities, available-for-sale25,7121,29327,005
Equity securities:
Exchange traded funds650650
Common equity securities3535
Private equity securities5555
Total equity securities6503555740
Other invested assets - common equity securities66
Securities lending collateral2,6922,692
Derivatives - other assets6262
Total assets$5,840$28,501$1,348$35,689
Percentage of total assets at fair value16%80%4%100%
Liabilities:
Derivatives - other liabilities$$(28)$$(28)
Total liabilities$$(28)$$(28)
Schedule of Estimated Fair Value by Level
A summary of the estimated fair values by level for each class of financial instruments that is recorded at its carrying value on our consolidated balance sheets at June 30, 2026 and December 31, 2025 is as follows:
 Carrying
Value
Estimated Fair Value
 Level ILevel IILevel IIITotal
June 30, 2026
Assets:
Other invested assets$809 $— $— $787 $787 
Liabilities:
Debt:
Notes31,044 — 29,068 — 29,068 
Options1,726 — — 3,088 3,088 
December 31, 2025
Assets:
Other invested assets$781 $— $— $762 $762 
Liabilities:
Debt:
Short-term borrowings150 — 150 — 150 
Notes31,896 — 30,207 — 30,207 
Options1,726 — — 3,044 3,044