XML 48 R38.htm IDEA: XBRL DOCUMENT v3.22.2
Note 4 - Investments - Fixed Maturity Securities by Contractual Maturities (Details)
$ in Thousands
Jun. 30, 2022
USD ($)
Due in one year or less, amortized cost $ 0
Due in one year or less, amortized cost, percent 0.00%
Due in one year or less, fair value $ 0
Due in one year or less, fair value, percent 0.00%
Due after one year through five years, amortized cost $ 1,995
Due after one year through five years, amortized cost, percent 100.00%
Due after one year through five years, fair value $ 1,995
Due after one year through five years, fair value, percent 100.00%
Due after five years through ten years, amortized cost $ 0
Due after five years through ten years, amortized cost, percent 0.00%
Due after five years through ten years, fair value $ 0
Due after five years through ten years, fair value, percent 0.00%
Due after ten years, amortized cost $ 0
Due after ten years, amortized cost, percent 0.00%
Due after ten years, fair value $ 0
Due after ten years, fair value, percent 0.00%
Total, amortized cost $ 1,995
Total, amortized cost, percent 100.00%
Total, fair value $ 1,995
Total, fair value, percent 100.00%