v3.26.1
Investments - Schedule of Fixed Income Securities by Contractual Maturity (Details) - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
AFS, Fair Value    
Due in one year or less fair value, AFS $ 541,089  
Due after one year through five years fair value, AFS 3,618,127  
Due after five years through ten years fair value, AFS 4,120,238  
Due after ten years fair value, AFS 1,630,299  
Total AFS fixed income securities, Fair Value 9,909,753 $ 9,457,176
HTM, Carrying Value    
Due in one year or less carrying value, HTM 0  
Due after one year through five years carrying value, HTM 20,107  
Due after five years through ten years carrying value, HTM 0  
Due after ten years carrying value, HTM 0  
Fixed income securities, held-to-maturity, net of allowance for credit losses 20,107 23,942
HTM, Fair Value    
Due in one year or less fair value, HTM 0  
Due after one year through five years fair value, HTM 19,540  
Due after five years through ten years fair value, HTM 0  
Due after ten years fair value, HTM 0  
Total HTM fixed income securities, Fair Value $ 19,540 $ 23,939