Investments (Tables)
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6 Months Ended |
Jun. 30, 2026 |
| Investments Including Short Term And Cash And Cash Equivalents [Abstract] |
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| Investments Including Short Term And Cash And Cash Equivalents |
The Company invests primarily in fixed maturity securities as shown below.
| | | | | | | | | | | | | | | | | | | | | | | | Carrying Value (In thousands, except for %) | June 30, 2026 | | December 31, 2025 | | Amount | | % | | Amount | | % | | | | | | | | | | Cash and invested assets: | | | | | | | | | Fixed maturity securities | $ | 1,282,060 | | | 88.4 | % | | 1,287,861 | | | 87.9 | % | | Equity securities | 1,233 | | | 0.1 | | | 1,356 | | | 0.1 | | | Policy loans | 66,146 | | | 4.6 | | | 67,455 | | | 4.6 | | | Other long-term investments | 83,260 | | | 5.7 | | | 85,439 | | | 5.8 | | | | | | | | | | | Cash and cash equivalents | 16,960 | | | 1.2 | | | 22,976 | | | 1.6 | | | | | | | | | | | Total cash and invested assets | $ | 1,449,659 | | | 100.0 | % | | 1,465,087 | | | 100.0 | % |
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| Debt and Equity Securities, Unrealized Gain (Loss) |
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| Unrealized Gain (Loss) on Investments |
The following tables represent the amortized cost, gross unrealized gains and losses and fair value of fixed maturity securities as of the dates indicated. | | | | | | | | | | | | | | | | | | | | | | | | | Amortized Cost | | Gross Unrealized Gains | | Gross Unrealized Losses | | Fair Value | | June 30, 2026 | | | | | (In thousands) | | | | | | | | | | | | | Fixed maturity securities: | | | | | | | | | U.S. Treasury securities | $ | 5,667 | | | 18 | | | 113 | | | 5,572 | | | U.S. Government-sponsored enterprises | 1,261 | | | 53 | | | — | | | 1,314 | | | States and political subdivisions | 285,103 | | | 1,368 | | | 28,086 | | | 258,385 | | | Corporate: | | | | | | | | | Financial | 326,003 | | | 2,144 | | | 29,825 | | | 298,322 | | | Consumer | 249,191 | | | 492 | | | 40,120 | | | 209,563 | | | Utilities | 140,695 | | | 399 | | | 20,882 | | | 120,212 | | | Energy | 84,244 | | | 215 | | | 7,791 | | | 76,668 | | | Communications | 74,475 | | | 320 | | | 9,561 | | | 65,234 | | | All other | 123,430 | | | 392 | | | 16,376 | | | 107,446 | | | Commercial mortgage-backed | 10,368 | | | 1 | | | 99 | | | 10,270 | | | Residential mortgage-backed | 106,044 | | | 5 | | | 9,130 | | | 96,919 | | | Asset-backed | 32,221 | | | 597 | | | 663 | | | 32,155 | | | | | | | | | | | Total fixed maturity securities | $ | 1,438,702 | | | 6,004 | | | 162,646 | | | 1,282,060 | |
| | | | | | | | | | | | | | | | | | | | | | | | | Amortized Cost | | Gross Unrealized Gains | | Gross Unrealized Losses | | Fair Value | | December 31, 2025 | | | | | (In thousands) | | | | | | | Fixed maturity securities: | | | | | | | | | U.S. Treasury securities | $ | 5,692 | | | 61 | | | 99 | | | 5,654 | | | U.S. Government-sponsored enterprises | 1,268 | | | 86 | | | — | | | 1,354 | | | States and political subdivisions | 294,347 | | | 1,881 | | | 27,436 | | | 268,792 | | | Corporate: | | | | | | | | | Financial | 323,056 | | | 4,137 | | | 26,847 | | | 300,346 | | | Consumer | 244,480 | | | 797 | | | 39,093 | | | 206,184 | | | Utilities | 136,005 | | | 829 | | | 20,048 | | | 116,786 | | | Energy | 82,205 | | | 473 | | | 7,622 | | | 75,056 | | | Communications | 69,719 | | | 256 | | | 8,454 | | | 61,521 | | | All other | 122,240 | | | 764 | | | 16,027 | | | 106,977 | | | Commercial mortgage-backed | 8,872 | | | 24 | | | 2 | | | 8,894 | | | Residential mortgage-backed | 111,243 | | | 28 | | | 8,183 | | | 103,088 | | | Asset-backed | 33,327 | | | 412 | | | 530 | | | 33,209 | | | | | | | | | | | Total fixed maturity securities | $ | 1,432,454 | | | 9,748 | | | 154,341 | | | 1,287,861 | |
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| Equity Securities, Restricted |
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| Schedule of Equity Securities |
The Company's investments in equity securities are shown below.
| | | | | | | | | | | | Fair Value (In thousands) | June 30, 2026 | | December 31, 2025 | | | | | | Equity securities: | | | | | | | | | Bond mutual funds | $ | 217 | | | 219 | | Common stocks | 1,009 | | | 1,130 | | | Non-redeemable preferred stock | 7 | | | 7 | | | Total equity securities | $ | 1,233 | | | 1,356 | |
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| Unrealized Continuous Losses on Investments [Abstract] |
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| Debt Securities, Available-for-Sale, Unrealized Loss Position, Fair Value |
For fixed maturity security investments that have unrealized losses as of June 30, 2026 and December 31, 2025, the gross unrealized losses and related fair values that have been in a continuous unrealized loss position by timeframe are as follows:
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | June 30, 2026 | Less than 12 months | | Greater than 12 months | | Total | (In thousands, except for # of securities) | Fair Value | Unrealized Losses | # of Securities | | Fair Value | Unrealized Losses | # of Securities | | Fair Value | Unrealized Losses | # of Securities | | | | | | | | | | | | | | Fixed maturity securities: | | | | | | | | | | | | U.S. Treasury securities | $ | 406 | | 4 | | 1 | | | 875 | | 109 | | 7 | | | 1,281 | | 113 | | 8 | | | | | | | | | | | | | | | States and political subdivisions | 45,410 | | 615 | | 55 | | | 133,801 | | 27,471 | | 171 | | | 179,211 | | 28,086 | | 226 | | | Corporate: | | | | | | | | | | | | | Financial | 56,766 | | 1,041 | | 86 | | | 142,796 | | 28,784 | | 177 | | | 199,562 | | 29,825 | | 263 | | | Consumer | 29,360 | | 673 | | 55 | | | 159,785 | | 39,447 | | 213 | | | 189,145 | | 40,120 | | 268 | | | Utilities | 18,502 | | 472 | | 40 | | | 80,867 | | 20,410 | | 152 | | | 99,369 | | 20,882 | | 192 | | | Energy | 25,290 | | 424 | | 45 | | | 40,629 | | 7,367 | | 53 | | | 65,919 | | 7,791 | | 98 | | | Communications | 17,495 | | 470 | | 26 | | | 40,927 | | 9,091 | | 49 | | | 58,422 | | 9,561 | | 75 | | | All Other | 25,831 | | 292 | | 39 | | | 67,261 | | 16,084 | | 88 | | | 93,092 | | 16,376 | | 127 | | | Commercial mortgage-backed | 8,473 | | 97 | | 2 | | | 73 | | 2 | | 1 | | | 8,546 | | 99 | | 3 | | | Residential mortgage-backed | 8,367 | | 165 | | 12 | | | 87,476 | | 8,965 | | 71 | | | 95,843 | | 9,130 | | 83 | | | Asset-backed | 6,417 | | 93 | | 9 | | | 12,431 | | 570 | | 14 | | | 18,848 | | 663 | | 23 | | | | | | | | | | | | | | | Total fixed maturity securities | $ | 242,317 | | 4,346 | | 370 | | | 766,921 | | 158,300 | | 996 | | | 1,009,238 | | 162,646 | | 1,366 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | December 31, 2025 | Less than 12 months | | Greater than 12 months | | Total | (In thousands, except for # of securities) | Fair Value | Unrealized Losses | # of Securities | | Fair Value | Unrealized Losses | # of Securities | | Fair Value | Unrealized Losses | # of Securities | | | | | | | | | | | | | | Fixed maturity securities: | | | | | | | | | | | | U.S. Treasury securities | $ | — | | — | | — | | | 883 | | 99 | | 7 | | | 883 | | 99 | | 7 | | | | | | | | | | | | | | | States and political subdivisions | 21,991 | | 147 | | 28 | | | 145,859 | | 27,289 | | 180 | | | 167,850 | | 27,436 | | 208 | | | Corporate: | | | | | | | | | | | | | Financial | 13,485 | | 196 | | 23 | | | 148,244 | | 26,651 | | 182 | | | 161,729 | | 26,847 | | 205 | | | Consumer | 19,282 | | 361 | | 25 | | | 165,229 | | 38,732 | | 225 | | | 184,511 | | 39,093 | | 250 | | | Utilities | 12,109 | | 170 | | 35 | | | 82,012 | | 19,878 | | 152 | | | 94,121 | | 20,048 | | 187 | | | Energy | 11,650 | | 214 | | 24 | | | 44,795 | | 7,408 | | 55 | | | 56,445 | | 7,622 | | 79 | | | Communications | 10,682 | | 126 | | 14 | | | 39,964 | | 8,328 | | 50 | | | 50,646 | | 8,454 | | 64 | | | All Other | 4,289 | | 38 | | 13 | | | 72,186 | | 15,989 | | 93 | | | 76,475 | | 16,027 | | 106 | | | Commercial mortgage-backed | — | | — | | — | | | 79 | | 2 | | 1 | | | 79 | | 2 | | 1 | | | Residential mortgage-backed | 17 | | — | | 4 | | | 93,197 | | 8,183 | | 77 | | | 93,214 | | 8,183 | | 81 | | | Asset-backed | 1,569 | | 66 | | 2 | | | 11,569 | | 464 | | 13 | | | 13,138 | | 530 | | 15 | | | Total fixed maturity securities | $ | 95,074 | | 1,318 | | 168 | | | 804,017 | | 153,023 | | 1,035 | | | 899,091 | | 154,341 | | 1,203 | |
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| Debt and Equity Securities, Realized Gain (Loss) |
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| Schedule of Realized Gain (Loss) |
The Company uses the specific identification method of each individual security to determine the cost basis used in the calculation of realized gains and losses related to fixed maturity security sales.
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | Three Months Ended | | Six Months Ended | | | | | | June 30, | | June 30, | | | | | | (In thousands) | 2026 | 2025 | | 2026 | 2025 | | | | | | | | Fixed maturity securities, available-for-sale: | | | | | | | | | | | | Proceeds | $ | 4,718 | | 14,504 | | | 16,479 | | 14,569 | | | | | | | | | Gross realized gains | $ | 104 | | 91 | | | 159 | | 92 | | | | | | | | | Gross realized losses | $ | 53 | | 438 | | | 421 | | 442 | | | | | | | |
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| Schedule of Maturities by Contractual Maturity Date [Abstract] |
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| Investments Classified by Contractual Maturity Date |
The amortized cost and fair value of fixed maturity securities at June 30, 2026 by contractual maturity are shown in the table below. Actual maturities may differ from contractual maturities because borrowers may have the right to call or prepay obligations with or without call or prepayment penalties. Securities not due at a single maturity date have been reflected based upon final stated maturity.
| | | | | | | | | | | | | June 30, 2026 | Amortized Cost | | Fair Value | | (In thousands) | | | Fixed maturity securities: | | | | | Due in one year or less | $ | 16,462 | | | 16,466 | | | Due after one year through five years | 118,766 | | | 118,344 | | | Due after five years through ten years | 313,575 | | | 308,914 | | | Due after ten years | 989,899 | | | 838,336 | | | Total fixed maturity securities | $ | 1,438,702 | | | 1,282,060 | |
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