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Reinsurance - Summary of Reinsurance Activity (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2024
Jun. 30, 2023
Direct Amount        
Net premiums written and contract deposits, Direct Amount $ 413.8 $ 394.7 $ 800.2 $ 762.5
Net premiums and contract charges earned, Direct Amount 293.1 271.6 581.1 535.6
Benefits, claims and settlement expenses, Direct Amount 213.0 217.5 399.9 410.4
Ceded to Other Companies        
Net premiums written and contract deposits, Ceded to Other Companies 18.1 17.9 36.2 34.5
Net premiums and contract charges earned, Ceded to Other Companies 19.8 20.0 39.6 38.5
Benefits, claims and settlement expenses, Ceded to Other Companies 10.2 14.3 24.8 27.0
Assumed from Other Companies        
Net premiums written and contract deposits, Assumed from Other Companies 7.8 9.4 15.1 19.8
Net premiums and contract charges earned, Assumed from Other Companies 7.6 9.1 14.6 19.5
Benefits, claims and settlement expenses, Assumed from Other Companies 4.5 2.0 8.5 5.0
Net Amount        
Net premiums written and contract deposits, Net Amount 403.5 386.2 779.1 747.8
Net premiums and contract charges earned, Net Amount 280.9 260.7 556.1 516.6
Benefits, claims and settlement expenses, Net Amount $ 207.3 $ 205.2 $ 383.6 $ 388.4