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Investments - Schedule of Available For Sale Maturity (Details) - USD ($)
$ in Thousands
Sep. 30, 2025
Dec. 31, 2024
Amortized Cost    
Amortized Cost $ 6,283,239 $ 6,231,018
Fair Value    
Fair Value 6,089,865 5,876,721
U.S. Treasury securities:    
Amortized Cost    
Due in 1 year 140,056  
Due after 1 but within 5 years 210,066  
Due after 5 but within 10 years 23,405  
Due after 10 years 14,502  
Subtotal 388,029  
Amortized Cost 388,029 561,853
Fair Value    
Due in 1 year 137,943  
Due after 1 but within 5 years 209,870  
Due after 5 but within 10 years 22,195  
Due after 10 years 12,783  
Subtotal 382,791  
Fair Value 382,791 547,290
Municipal debt securities    
Amortized Cost    
Due in 1 year 19,761  
Due after 1 but within 5 years 90,903  
Due after 5 but within 10 years 148,128  
Due after 10 years 387,526  
Subtotal 646,318  
Amortized Cost 646,318 631,015
Fair Value    
Due in 1 year 19,689  
Due after 1 but within 5 years 89,416  
Due after 5 but within 10 years 142,643  
Due after 10 years 361,341  
Subtotal 613,089  
Fair Value 613,089 583,501
Non-U.S. government securities    
Amortized Cost    
Due in 1 year 6,075  
Due after 1 but within 5 years 25,922  
Due after 5 but within 10 years 7,691  
Due after 10 years 32,037  
Subtotal 71,725  
Amortized Cost 71,725 81,631
Fair Value    
Due in 1 year 6,028  
Due after 1 but within 5 years 25,520  
Due after 5 but within 10 years 6,780  
Due after 10 years 24,814  
Subtotal 63,142  
Fair Value 63,142 69,798
Corporate debt securities:    
Amortized Cost    
Due in 1 year 150,218  
Due after 1 but within 5 years 631,054  
Due after 5 but within 10 years 998,984  
Due after 10 years 190,297  
Subtotal 1,970,553  
Amortized Cost 1,970,553 1,887,647
Fair Value    
Due in 1 year 149,673  
Due after 1 but within 5 years 618,712  
Due after 5 but within 10 years 996,383  
Due after 10 years 166,152  
Subtotal 1,930,920  
Fair Value 1,930,920 1,783,046
U.S. agency mortgage-backed securities    
Amortized Cost    
Amortized Cost 1,256,150 1,249,259
Fair Value    
Fair Value 1,178,691 1,125,436
Residential and commercial mortgage securities    
Amortized Cost    
Amortized Cost 488,453 519,613
Fair Value    
Fair Value 463,344 478,086
Asset-backed securities    
Amortized Cost    
Amortized Cost 821,935 642,395
Fair Value    
Fair Value 817,812 631,959
Money market funds    
Amortized Cost    
Amortized Cost 640,076 657,605
Fair Value    
Fair Value $ 640,076 $ 657,605