v3.26.1
Investments - Schedule of Contractual Maturity (Details) - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Due to mature:    
Amortized Cost, Due to mature One year or less $ 19,560 $ 10,208
Fair Value, Due to mature One year or less 19,368 10,097
Amortized Cost, Due to mature After one year through five years 69,262 73,908
Fair Value, Due to mature After one year through five years 66,371 72,140
Amortized Cost, Due to mature After five years through ten years 63,023 64,118
Fair Value, Due to mature After five years through ten years 61,900 63,599
Amortized Cost, Due to mature After ten years 38,210 38,917
Fair Value, Due to mature After ten years 34,626 34,735
Amortized Cost, Due to mature Mortgage / asset-backed securities 120,264 123,917
Fair Value, Due to mature Mortgage / asset-backed securities 113,069 117,636
Amortized Cost, Due to mature Redeemable preferred stocks 3,736 3,736
Fair Value, Due to mature Redeemable preferred stocks 3,040 3,186
Amortized Cost, Due to mature, Total fixed income securities 314,055 314,804
Fair Value, Due to mature, Total fixed income securities $ 298,374 $ 301,393