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Fair Value (Tables)
12 Months Ended
Dec. 31, 2025
Fair Value Disclosures [Abstract]  
Schedule of Fair Value Measurements on a Recurring Basis by Asset Class and Level of Input
The following tables present our fair value measurements on a recurring basis by asset class and level of input as of:

December 31, 2025
(in thousands)TotalLevel 1Level 2Level 3
Available-for-sale securities:
Corporate debt securities$844,479 $998 $839,542 $3,939 
Collateralized debt obligations133,267 133,267 
Commercial mortgage-backed securities140,541 117,520 23,021 
Residential mortgage-backed securities187,226 186,432 794 
Other debt securities35,152 35,152 
U.S. Treasury24,163 24,163 
Total available-for-sale securities (1)
1,364,828 998 1,336,076 27,754 
Equity securities:
Financial services sector74,614 2,593 66,350 5,671 
Utilities sector3,696 3,696 
Energy sector2,713 2,713 
Consumer sector5,563 2,393 3,170 
Technology sector3,224 3,224 
Communications sector953 953 
Total equity securities (2)
90,763 2,593 76,105 12,065 
Total$1,455,591 $3,591 $1,412,181 $39,819 

(1)    This includes $44.4 million of securities lent under a securities lending agreement.
(2)    This includes $20.1 million of securities lent under a securities lending agreement.

December 31, 2024
(in thousands)TotalLevel 1Level 2Level 3
Available-for-sale securities:
Corporate debt securities$643,943 $$637,675 $6,268 
Collateralized debt obligations114,127 114,127 
Commercial mortgage-backed securities124,982 100,893 24,089 
Residential mortgage-backed securities133,812 133,812 
Other debt securities26,751 26,751 
Total available-for-sale securities (1)
1,043,615 1,013,258 30,357 
Equity securities:
Financial services sector69,930 1,052 65,378 3,500 
Utilities sector5,629 5,629 
Energy sector4,117 4,117 
Consumer sector3,341 54 1,787 1,500 
Technology sector1,974 1,974 
Communications sector900 900 
Total equity securities85,891 1,106 77,811 6,974 
Total$1,129,506 $1,106 $1,091,069 $37,331 

(1)    This includes $7.3 million of securities lent under a securities lending agreement.
Schedule of Roll Forward of Level 3 Fair Value Measurements on a Recurring Basis
Level 3 Assets – 2025 Year-to-Date Change:
(in thousands)Beginning balance at December 31, 2024
Included in
earnings(1)
Included
in other
comprehensive
income (loss)
PurchasesSales
Transfers
into
Level 3(2)
Transfers
out of Level 3(2)
Ending balance at December 31, 2025
Available-for-sale securities:
Corporate debt securities$6,268 $(37)$(48)$4,773 $(2,324)$5,399 $(10,092)$3,939 
Collateralized debt obligations(4)700 (696)
Commercial mortgage-backed securities24,089 (1,089)429 4,769 (3,142)26,476 (28,511)23,021 
Residential mortgage-backed securities13 (42)2,207 (1,384)794 
Total available-for-sale securities30,357 (1,130)394 10,242 (6,204)34,082 (39,987)27,754 
Equity securities6,974 681 — 4,750 158 (498)12,065 
Total Level 3 securities$37,331 $(449)$394 $14,992 $(6,204)$34,240 $(40,485)$39,819 


Level 3 Assets – 2024 Year-to-Date Change:
(in thousands)Beginning balance at December 31, 2023
Included in
earnings
(1)
Included
in other
comprehensive
income (loss)
PurchasesSales
Transfers
into
Level 3(2)
Transfers
out of Level 3(2)
Ending balance at December 31, 2024
Available-for-sale securities:
Corporate debt securities$4,506 $(129)$126 $6,708 $(1,821)$8,379 $(11,501)$6,268 
Commercial mortgage-backed securities10,994 (1,519)664 3,826 (1,571)30,340 (18,645)24,089 
Residential mortgage-backed securities1,534 (5)(24)(40)(1,465)
Total available-for-sale securities17,034 (1,653)766 10,534 (3,432)38,719 (31,611)30,357 
Equity securities7,334 670 — 2,019 (84)553 (3,518)6,974 
Total Level 3 securities$24,368 $(983)$766 $12,553 $(3,516)$39,272 $(35,129)$37,331 

(1)    These amounts are reported as net investment income and net realized and unrealized investment gains (losses) for each of the periods presented above.
(2)    Transfers into and/or (out) of Level 3 are primarily attributable to the availability of market observable information and the re-evaluation of the observability of pricing inputs.
Schedule of Financial Instruments Not Carried at Fair Value
The following table presents the carrying values and fair values of financial instruments categorized as Level 3 in the fair value hierarchy that are recorded at carrying value as of:
December 31, 2025December 31, 2024
(in thousands)Carrying ValueFair ValueCarrying ValueFair Value
Agent loans, net (1)
$109,331 $113,850 $92,731 $90,713 
Other loans receivable, net (2)
15,491 12,509 11,555 11,555 
Held-to-maturity securities, net (3)
4,833 4,863 4,833 4,934 

(1)    The current portion of agent loans is included in the line item "Prepaid expenses and other current assets, net" in the Consolidated Statements of Financial Position.
(2)    The current and long-term portions of other loans receivable are included in the line items "Prepaid expenses and other current assets, net" and "Other assets, net", respectively, in the Consolidated Statements of Financial Position.
(3)    Held-to-maturity securities are included in the line item "Other assets, net" in the Consolidated Statements of Financial Position.