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Investments (Tables)
6 Months Ended
Jun. 30, 2022
Investments, Debt and Equity Securities [Abstract]  
Amortized cost and fair values
The following tables present cost or amortized cost and fair values of investment in fixed maturities as of June 30, 2022 and December 31, 2021 ($ in millions):
Cost or Amortized CostGross
Unrealized
Fair
Value
GainsLosses
June 30, 2022
Corporate debt securities$597.7 $— $(20.8)$576.9 
U.S. Government obligations99.5 — (3.5)96.0 
Municipal securities1.2 — — 1.2 
Total$698.4 $— $(24.3)$674.1 
December 31, 2021
Corporate debt securities$593.4 $— $(4.7)$588.7 
U.S. Government obligations102.2 0.1 (0.8)101.5 
Municipal securities1.2 — — 1.2 
Total$696.8 $0.1 $(5.5)$691.4 
Contractual maturities of bonds
The following table presents the cost or amortized cost and estimated fair value of investments in fixed maturities as of June 30, 2022 by contractual maturity ($ in millions). Expected maturities may differ from contractual maturities because borrowers may have the right to call or prepay obligations with or without call or prepayment penalties.
June 30, 2022
Cost or
Amortized
Cost
Fair Value
Due in one year or less$217.3 $213.7 
Due after one year through five years481.1 460.4 
Due after five years through ten years— — 
Due after ten years— — 
Total$698.4 $674.1 
Net investment income
An analysis of net investment income follows ($ in millions):
Three Months Ended June 30,Six Months Ended June 30,
2022202120222021
Interest on cash and cash equivalents$0.1 $0.1 $0.1 $0.3 
Fixed maturities1.1 0.1 2.0 0.1 
Short-term investments0.1 — 0.2 — 
Total1.3 0.2 2.3 0.4 
Investment expense0.1 — 0.2 — 
Net investment income$1.2 $0.2 $2.1 $0.4 
Aging of gross unrealized losses
The following table presents the gross unrealized losses and related fair values for the Company’s investment in fixed maturities, grouped by duration of time in a continuous unrealized loss position as of June 30, 2022 and December 31, 2021 ($ in millions):
Less than 12 Months12 Months or MoreTotal
Fair ValueGross Unrealized LossesFair ValueGross Unrealized LossesFair ValueGross Unrealized Losses
June 30, 2022
Corporate debt securities$1.0 $— $— $— $1.0 $— 
U.S. Government obligations655.8 (24.3)0.5 — 656.3 (24.3)
Municipal securities1.2 — — — 1.2 — 
Total$658.0 $(24.3)$0.5 $— $658.5 $(24.3)
Less than 12 Months12 Months or MoreTotal
Fair ValueGross Unrealized LossesFair ValueGross Unrealized LossesFair ValueGross Unrealized Losses
December 31, 2021
Corporate debt securities$581.9 $(4.7)$— $— $581.9 $(4.7)
U.S. Government obligations95.0 (0.8)0.5 — 95.5 (0.8)
Municipal securities1.2 — — — 1.2 — 
Total$678.1 $(5.5)$0.5 $— $678.6 $(5.5)