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Fair Value Measurements (Financial instruments level within the fair value hierarchy) (Details) - USD ($)
$ in Thousands
Sep. 30, 2025
Mar. 31, 2025
Assets:    
Fixed maturities - available for sale $ 2,494,429 $ 2,479,498
Preferred stock 15,683 22,136
Common stock 47,289 43,413
Derivatives 10,304 13,200
Total 21,249 2,558,247
Liabilities:    
Derivatives 436 777
Guaranteed residual values of TRAC leases 8,593 8,693
Liabilities from investment contracts 2,461,369 2,436,537
Market risk benefits 12,220 13,432
Total 2,567,705 22,902
Level 1 [Member]    
Assets:    
Preferred stock 15,683 22,136
Common stock 47,289 43,413
Derivatives 7,657 8,819
Total   74,368
Liabilities:    
Total 70,629  
Level 2 [Member]    
Assets:    
Fixed maturities - available for sale 2,494,429 2,479,498
Derivatives 2,647 4,381
Total   2,483,879
Liabilities:    
Derivatives 436 777
Total 2,497,076 777
Level 3 [Member]    
Assets:    
Total 20,813  
Liabilities:    
Guaranteed residual values of TRAC leases 8,593 8,693
Liabilities from investment contracts 2,461,369 2,436,537
Market risk benefits $ 12,220 13,432
Total   $ 22,125