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Municipal Bond Guarantee Reinsurance - Narrative (Details)
$ in Millions
6 Months Ended 12 Months Ended
Dec. 31, 2024
USD ($)
Dec. 31, 2025
USD ($)
Dec. 31, 2024
USD ($)
Dec. 31, 2023
USD ($)
Jul. 01, 2024
USD ($)
Jun. 30, 2024
Guarantor Obligations [Line Items]            
Member surplus contributions, insurance premium charges, percentage   55.00%        
Direct written premiums     $ 56.0 $ 58.6    
Gross earned premiums     31.7 31.2    
Assets held-in-trust $ 950.1 $ 1,006.5 950.1      
Collateral trusts, investments and cash 289.4 323.3 289.4      
Surplus notes 300.9 276.8 300.9      
Interest receivable 7.7 7.0 7.7      
Debt 562.5 837.0 562.5      
Interest income from BAM Surplus Notes   29.8 15.8 0.0    
Change in fair value of BAM Surplus Notes   (37.5) 0.5 0.0    
Operating Segments | Financial Guarantee (HG Global)            
Guarantor Obligations [Line Items]            
Debt 147.4 147.8 147.4      
Interest income from BAM Surplus Notes   29.8 15.8 0.0    
Notes receivable, fair value disclosure 381.7 339.0 381.7   $ 387.4  
Change in fair value of BAM Surplus Notes   (37.5) 0.5 $ 0.0    
BAM Surplus Notes            
Guarantor Obligations [Line Items]            
Distribution received   61.0 79.7      
Accrued interest 58.5 30.1 58.5      
Cash distribution received   $ 30.9 21.2      
BAM Surplus Notes | Surplus Notes            
Guarantor Obligations [Line Items]            
Basis spread on variable rate   3.00%        
Interest rate         10.00% 8.20%
Cash repayments on notes   $ 35.0 30.0      
Repayment of principal   24.2 21.3      
Accrued interest payment held in trust   0.3 0.5      
Accrued interest payment held outside of trust   10.5 8.2      
Debt 300.9 276.8 300.9      
Interest receivable $ 194.8 $ 213.7 $ 194.8      
BAM Surplus Notes | Surplus Notes | Discount Rate            
Guarantor Obligations [Line Items]            
Debt instrument, measurement input 0.0810 0.0805 0.0810      
Subsidiary - HG Global            
Guarantor Obligations [Line Items]            
Purchase of surplus notes   $ 503.0        
Percentage of risk premium ceded   60.00%        
Renegotiation period   5 years        
Direct written premiums $ 31.9 $ 61.4        
Gross earned premiums 14.9          
Percent over a target trust balance   102.00%        
Subsidiary - HG Global | Regulation 114            
Guarantor Obligations [Line Items]            
Assets held-in-trust 352.1 $ 399.4 $ 352.1      
Supplement trust target   603.0        
Subsidiary - HG Global | Supplemental Trust            
Guarantor Obligations [Line Items]            
Assets held-in-trust $ 598.0 $ 607.1 $ 598.0      
Subsidiary - HG Global | Maximum            
Guarantor Obligations [Line Items]            
Percentage of par value of policy reinsured   15.00%        
Variable Interest Entity, Primary Beneficiary - Build America Mutual Assurance Company | Fidus Re Ltd.            
Guarantor Obligations [Line Items]            
Reinsured amount   $ 125.0