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DEBT (Tables)
12 Months Ended
Dec. 31, 2024
Debt Instruments [Abstract]  
Schedule of Long-term Debt Instruments
The following describes all of our currently outstanding unsecured senior notes issued and sold in private placements (collectively, the “Senior Notes”) as of December 31, 2024:
(Principal Amount in thousands)
Issue DateDue DateSeriesPrincipal AmountCoupon RateSenior Note Agreement
12/11/201312/11/20252025 Series B Notes$75,000 4.04 %NY Life 2013 Note Agreement
9/4/20149/4/20262026 Senior Notes$75,000 3.72 %NY Life 2014 Note Agreement
6/18/20156/18/20252025 Series C Notes88,857 1.785 %Prudential 2015 Amended Agreement
4/14/20204/14/2030Prudential 2030 Series D Notes$75,000 2.50 %Prudential 2015 Amended Agreement
2/12/20152/12/20272027 Series B Notes$75,000 3.72 %MetLife 2014 Note Agreement
3/14/20193/14/20292029 Series C Notes$100,000 4.19 %MetLife 2014 Note Agreement
4/2/20204/2/2030MetLife 2030 Series D Notes$125,000 2.50 %MetLife 2014 Note Agreement
Schedule of Future Maturities of Long-term Debt
Future maturities of long-term debt as of December 31, 2024, are as follows:
(in thousands)
Years Ending December 31,Amount
 
2025$167,803 
202675,000 
202775,000 
2028— 
2029100,000 
Thereafter200,000 
$617,803