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Junior Subordinated Debt - Schedule of Junior Subordinated Debt and Trust Preferred Securities (Details) - Junior Subordinated Debt
$ in Thousands
12 Months Ended
Dec. 31, 2025
USD ($)
James River Capital Trust I  
Debt Instrument [Line Items]  
Issue date May 26, 2004
Principal amount of Trust Preferred Securities $ 7,000
Principal amount of Junior Subordinated Debt 7,217
Carrying amount of Junior Subordinated Debt net of repurchases $ 7,217
Maturity date of Junior Subordinated Debt, unless accelerated earlier May 24, 2034
Trust common stock $ 217
Interest rate, per annum 4.30%
James River Capital Trust II  
Debt Instrument [Line Items]  
Issue date Dec. 15, 2004
Principal amount of Trust Preferred Securities $ 15,000
Principal amount of Junior Subordinated Debt 15,464
Carrying amount of Junior Subordinated Debt net of repurchases $ 15,464
Maturity date of Junior Subordinated Debt, unless accelerated earlier Dec. 15, 2034
Trust common stock $ 464
Interest rate, per annum 3.70%
James River Capital Trust III  
Debt Instrument [Line Items]  
Issue date Jun. 15, 2006
Principal amount of Trust Preferred Securities $ 20,000
Principal amount of Junior Subordinated Debt 20,619
Carrying amount of Junior Subordinated Debt net of repurchases $ 20,619
Maturity date of Junior Subordinated Debt, unless accelerated earlier Jun. 15, 2036
Trust common stock $ 619
Interest rate, per annum 3.30%
James River Capital Trust IV  
Debt Instrument [Line Items]  
Issue date Dec. 11, 2007
Principal amount of Trust Preferred Securities $ 54,000
Principal amount of Junior Subordinated Debt 55,670
Carrying amount of Junior Subordinated Debt net of repurchases $ 44,827
Maturity date of Junior Subordinated Debt, unless accelerated earlier Dec. 15, 2037
Trust common stock $ 1,670
Interest rate, per annum 3.40%
Franklin Holdings II (Bermuda) Capital Trust I  
Debt Instrument [Line Items]  
Issue date Jan. 10, 2008
Principal amount of Trust Preferred Securities $ 30,000
Principal amount of Junior Subordinated Debt 30,928
Carrying amount of Junior Subordinated Debt net of repurchases $ 15,928
Maturity date of Junior Subordinated Debt, unless accelerated earlier Mar. 15, 2038
Trust common stock $ 928
Interest rate, per annum 4.30%