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Fair Value Measurements (Details 1) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jun. 30, 2013
Mar. 31, 2013
Jun. 30, 2012
Mar. 31, 2012
Changes in fair value of level 3 assets        
Balance at beginning of period $ 10,074 $ 513 $ 1,888 $ 2,686
Purchases   9,430    
Other comprehensive income (184) 15 3 2
Net earnings 145 116 115 215
Transfers out of Level 3       (1,015)
Balance at end of period 10,035 10,074 2,006 1,888
Fixed maturity securities [Member]
       
Changes in fair value of level 3 assets        
Balance at beginning of period 9,615 164 157 1,170
Purchases   9,430    
Other comprehensive income (184) 15 3 2
Net earnings 15 6 (1)  
Transfers out of Level 3       (1,015)
Balance at end of period 9,446 9,615 159 157
Other Assets [Member]
       
Changes in fair value of level 3 assets        
Balance at beginning of period 459 349 1,731 1,516
Net earnings 130 110 116 215
Balance at end of period 589 459 1,847 1,731
Earn Out Liability [Member]
       
Changes in fair value of level 3 assets        
Balance at beginning of period 7,071 7,009    
Net earnings 62 62    
Balance at end of period $ 7,133 $ 7,071