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Fair Value (Tables)
12 Months Ended
Dec. 31, 2013
Fair Value [Abstract]  
Fair value measurements by level for assets measured at fair value on a recurring basis
The following tables summarize fair value measurements by level for assets measured at fair value on a recurring basis:
 
As of December 31, 2013:
 
Description
 
Total
  
Level 1
  
Level 2
  
Level 3
 
             
Fixed maturities:
            
U.S. government obligations
 $113,389  $113,389  $-  $- 
Residential mortgage-backed securities
  13,252   -   13,252   - 
Commercial mortgage-backed securities
  28,565   -   28,565   - 
State and municipal obligations
  115,250   -   115,250   - 
Corporate securities
  134,635   -   134,635   - 
Options embedded in convertible securities
  2,580   -   2,580   - 
Foreign government obligations
  23,879   -   23,879   - 
      Total fixed maturities
  431,550   113,389   318,161   - 
Equity securities:
                
Financial institutions
  18,850   18,850   -   - 
Industrial & miscellaneous
  126,978   126,978   -   - 
      Total equity securities
  145,828   145,828   -   - 
Short term
  4,891   4,891   -   - 
Cash equivalents
  52,002   -   52,002   - 
Total
 $634,271  $264,108  $370,163  $- 

 
As of December 31, 2012:
 
Description
 
Total
  
Level 1
  
Level 2
  
Level 3
 
              
Fixed maturities:
            
U.S. government obligations
 $70,742  $70,742  $-  $- 
Residential mortgage-backed securities
  25,040   -   25,040   - 
Commercial mortgage-backed securities
  11,828   -   11,828   - 
State and municipal obligations
  194,865   -   194,865   - 
Corporate securities
  118,945   -   107,263   11,682 
Options embedded in convertible securities
  1,651   -   1,651   - 
Foreign government obligations
  22,598   -   22,598   - 
      Total fixed maturities
  445,669   70,742   363,245   11,682 
Equity securities:
                
Financial institutions
  12,394   12,394   -   - 
Industrial & miscellaneous
  95,188   95,188   -   - 
      Total equity securities
  107,582   107,582   -   - 
Short term
  4,201   4,201   -   - 
Cash equivalents
  64,450   -   64,450   - 
Total
 $621,902  $182,525  $427,695  $11,682 
Reconciliation of beginning and ending balances of assets measured at fair value on a recurring basis using level 3 inputs
A reconciliation of the beginning and ending balances of assets measured at fair value on a recurring basis using Level 3 inputs is as follows for the years ended December 31:
 
   
2013
  
2012
 
Beginning of period balance
 $11,682  $17,050 
Total gains or losses (realized or unrealized)
        
included in income
  1,017   1,653 
Purchases
  1,258   400 
Settlements
  (6,698)  (7,421)
Transfers out of Level 3
  (7,259)  - 
End of period balance
 $-  $11,682 

A summary of the carrying value and fair value by level of financial instruments
A summary of the carrying value and fair value by level of financial instruments not recorded at fair value on the Company’s consolidated balance sheet at December 31, 2013 and 2012 is as follows:
 
 
2013:
 
Carrying
  
Fair Value
 
   
Value
  
Level 1
  
Level II
  
Level III
  
Total
 
Assets:
               
   Limited partnerships
 $68,988  $-  $-  $68,988  $68,988 
                      
Liabilities:
                    
   Short-term borrowings
  10,000   -   10,000   -   10,000 
                      
2012:
       
Assets:
                    
   Limited partnerships
 $59,954  $-  $-  $59,954  $59,954 
                      
Liabilities:
                    
   Short-term borrowings
  10,000   -   10,000   -   10,000