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Investments (Tables)
12 Months Ended
Dec. 31, 2024
Investments [Abstract]  
Schedule of Gain and Losses on Investments
The following table summarizes investment income and realized gains and losses on investments during the periods presented.
Year Ended December 31,
202420232022
Investment income, net of investment expenses$13,516$8,428$1,544
Realized gains on investments41711322
Realized losses on investments(236)(256)(392)
Investment income and realized gains and losses, net of investment expenses$13,697$8,285$1,174
Summary of Amortized Cost, Market Value and Unrealized Gains (Losses) of Debt Securities
The following tables summarize the amortized cost, fair value, and unrealized gains and losses of investment securities.
December 31, 2024
Amortized CostGross UnrealizedFair Value
GainsLosses
U.S. Treasuries$27,489$34$(421)$27,102
Obligations of states, municipalities and political subdivisions12,60226(756)11,872
Corporate bonds72,996192(2,292)70,896
Residential and commercial mortgage-backed securities62,72185(2,032)60,774
Other loan-backed and structured securities12,33528(256)12,107
Total investment securities$188,143$365$(5,757)$182,751
December 31, 2023
Amortized CostGross UnrealizedFair Value
GainsLosses
U.S. Treasuries$43,931$95$(330)$43,696
Obligations of states, municipalities and political subdivisions18,281100(961)17,420
Corporate bonds51,678430(2,067)50,041
Residential and commercial mortgage-backed securities25,452153(1,004)24,601
Other loan-backed and structured securities3,69413(289)3,418
Total investment securities$143,036$791$(4,651)$139,176
Summary of Remaining Time to Maturity
The amortized cost and fair value of securities at December 31, 2024, by contractual maturity, are shown in the following table. 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.
December 31, 2024
Remaining Time to MaturityAmortized CostFair Value
Due in one year or less$22,422$22,355
Due after one year through five years39,11938,328
Due after five years through ten years36,42434,586
Due after ten years15,12014,601
Residential and commercial mortgage-backed securities62,72160,774
Other loan-backed and structured securities12,33712,107
Total$188,143$182,751
Summary of Investments Pledged to the Department of Insurance
The following table presents investments pledged to the Department of Insurance in certain states as a condition of the Certificate of Authority for the purpose of meeting obligations to policyholders and creditors.
December 31,
20242023
Certificates of deposit$1,996$1,266
U.S. Treasury notes1,034706
3,0301,972
Summary of Securities with Gross Unrealized Loss Position
Securities with gross unrealized loss position, aggregated by investment category and length of time the individual securities have been in a continuous loss position, are as follows:
Less Than Twelve MonthsTwelve Months or GreaterTotal
As of December 31, 2024Gross
Unrealized
Loss
Fair
Value
Gross
Unrealized
Loss
Fair
Value
Gross
Unrealized
Loss
Fair
Value
U.S. Treasuries$(376)$7,881$(45)$525$(421)$8,406
Obligations of states, municipalities and political subdivisions(652)7,738(104)1,175(756)8,913
Corporate bonds(2,063)47,045(229)3,100(2,292)50,145
Residential and commercial mortgage-backed securities(1,671)49,585(361)2,691(2,032)52,276
Other loan-backed and structured securities(249)6,976(7)49(256)7,025
Total securities$(5,011)$119,225$(746)$7,540$(5,757)$126,765
Less Than Twelve MonthsTwelve Months or GreaterTotal
As of December 31, 2023Gross
Unrealized
Loss
Fair
Value
Gross
Unrealized
Loss
Fair
Value
Gross
Unrealized
Loss
Fair
Value
U.S. Treasuries$(280)$12,345$(50)$515$(330)$12,860
Obligations of states, municipalities and political subdivisions(813)8,445(148)1,639(961)10,084
Corporate bonds(1,698)21,104(369)4,677(2,067)25,781
Residential and commercial mortgage-backed securities(621)8,673(383)3,072(1,004)11,745
Other loan-backed and structured securities(281)2,790(8)52(289)2,842
Total securities$(3,693)$53,357$(958)$9,955$(4,651)$63,312