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Risk Management (Details) - Schedule of credit risk exposure of the Group by classifying assets according to the Group's credit rating of counterparties - USD ($)
$ in Thousands
Dec. 31, 2021
Dec. 31, 2020
Risk Management (Details) - Schedule of credit risk exposure of the Group by classifying assets according to the Group's credit rating of counterparties [Line Items]    
FVOCI - debts securities $ 418,445 $ 390,918
Financial assets at amortized cost 2,471 2,706
Insurance receivables 179,345 166,605
Reinsurance share of outstanding claims 182,248 187,485
Deferred excess of loss premiums 17,238 17,095
Cash and cash equivalents 242,146 133,439
Term deposits 179,966 172,212
Total 1,221,859 1,070,460
Investment grade [Member]    
Risk Management (Details) - Schedule of credit risk exposure of the Group by classifying assets according to the Group's credit rating of counterparties [Line Items]    
FVOCI - debts securities 418,240 389,250
Financial assets at amortized cost
Insurance receivables
Reinsurance share of outstanding claims 181,379 186,851
Deferred excess of loss premiums
Cash and cash equivalents 220,095 110,915
Term deposits 130,860 124,283
Total 950,574 811,299
Non-investment grade (satisfactory) [Member]    
Risk Management (Details) - Schedule of credit risk exposure of the Group by classifying assets according to the Group's credit rating of counterparties [Line Items]    
FVOCI - debts securities 205 1,668
Financial assets at amortized cost 1,979 1,982
Insurance receivables 113,294 110,618
Reinsurance share of outstanding claims 869 634
Deferred excess of loss premiums 17,238 17,095
Cash and cash equivalents 22,051 22,524
Term deposits 49,106 47,929
Total 204,742 202,450
In course of collection [Member]    
Risk Management (Details) - Schedule of credit risk exposure of the Group by classifying assets according to the Group's credit rating of counterparties [Line Items]    
FVOCI - debts securities
Financial assets at amortized cost 492 724
Insurance receivables 66,051 55,987
Reinsurance share of outstanding claims
Deferred excess of loss premiums
Cash and cash equivalents
Term deposits
Total $ 66,543 $ 56,711