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Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2023
Fair Value Disclosures [Abstract]  
Schedule of Carrying Values and Estimated Fair Values of Financial Liabilities
June 30, 2023December 31, 2022
($ in thousands)Carrying AmountFair ValueCarrying AmountFair Value
Financial Liabilities
Long-term debt:
7.25% Senior Notes$49,924 52,312 49,921 51,705 
6.70% Senior Notes99,553 102,386 99,542 99,264 
5.375% Senior Notes294,472 275,149 294,424 258,459 
3.03% borrowings from FHLBI60,000 57,011 60,000 57,175 
Subtotal long-term debt503,949 486,858 503,887 466,603 
Unamortized debt issuance costs(2,814)(2,929)
Finance lease obligations2,487 3,718 
Total long-term debt$503,622 504,676 
Schedule of Quantitative Disclosures of Our Financial Assets That Were Measured At Fair Value
June 30, 2023 Fair Value Measurements Using
($ in thousands)Assets
 Measured at
 Fair Value
Quoted Prices in
Active Markets for
Identical Assets/
Liabilities (Level 1)
Significant Other
 Observable
Inputs
 (Level 2)
Significant Unobservable
 Inputs
 (Level 3)
Description    
Measured on a recurring basis:    
AFS fixed income securities:
U.S. government and government agencies$293,022 145,044 147,978  
Foreign government9,819  9,819  
Obligations of states and political subdivisions658,028  651,312 6,716 
Corporate securities2,384,970  2,139,481 245,489 
CLO and other ABS1,634,269  1,432,343 201,926 
RMBS1,407,835  1,407,835  
CMBS644,405  644,028 377 
Total AFS fixed income securities7,032,348 145,044 6,432,796 454,508 
Equity securities:
Common stock1
119,867 21,304  662 
Preferred stock1,773 1,773   
Total equity securities121,640 23,077  662 
Short-term investments319,456 315,574 3,882  
Total assets measured at fair value$7,473,444 483,695 6,436,678 455,170 

December 31, 2022 Fair Value Measurements Using
($ in thousands)Assets
 Measured at
 Fair Value
Quoted Prices in
 Active Markets for
Identical Assets/Liabilities
(Level 1)
Significant
Other Observable Inputs
(Level 2)
Significant Unobservable
Inputs
 (Level 3)
Description    
Measured on a recurring basis:    
AFS fixed income securities:
U.S. government and government agencies$189,239 109,240 79,999 — 
Foreign government9,608 — 9,608 — 
Obligations of states and political subdivisions918,018 — 911,357 6,661 
Corporate securities2,335,025 — 2,147,045 187,980 
CLO and other ABS1,485,973 — 1,332,631 153,342 
RMBS1,059,832 — 1,059,832 — 
CMBS614,412 — 614,037 375 
Total AFS fixed income securities6,612,107 109,240 6,154,509 348,358 
Equity securities:
Common stock1
160,355 55,846 — 897 
Preferred stock1,645 1,645 — — 
Total equity securities162,000 57,491 — 897 
Short-term investments440,456 418,199 22,257 — 
Total assets measured at fair value$7,214,563 584,930 6,176,766 349,255 
1Investments amounting to $97.9 million at June 30, 2023, and $103.6 million at December 31, 2022, were measured at fair value using the net asset value per share (or its practical expedient) and have not been classified in the fair value hierarchy. These investments are not redeemable and the timing of liquidations of the underlying assets is unknown at each reporting period. The fair value amounts in this table are intended to permit reconciliation of the fair value hierarchy to total assets measured at fair value
Schedule of Summary of the Changes in Fair Value of Securities Using Level 3 Inputs
June 30, 2023
($ in thousands)Obligations of States and Political SubdivisionsCorporate SecuritiesCLO and Other ABSCMBSCommon StockTotal
Fair value, December 31, 2022
$6,661 187,980 153,342 375 897 349,255 
Total net gains (losses) for the period included in:
Other comprehensive income (loss) ("OCI")(7)1,857 (1,168)64  746 
   Net realized and unrealized gains (losses)62 251 17  (235)95 
Net investment income earned 112 (20)(263) (171)
Purchases 58,586 39,713   98,299 
Sales      
Issuances      
Settlements (5,535)(3,153)(21) (8,709)
Transfers into Level 3 2,238 14,148 2,848  19,234 
Transfers out of Level 3  (953)(2,626) (3,579)
Fair value, June 30, 2023
$6,716 245,489 201,926 377 662 455,170 
Change in unrealized gains (losses) for the period included in earnings for assets held at period end62 251 17  (235)95 
Change in unrealized gains (losses) for the period included in OCI for assets held at period end(7)1,846 (1,168)64  735 

June 30, 2022
($ in thousands)Obligation of state and Political SubdivisionsCorporate SecuritiesCLO and Other ABSRMBSCMBSTotal
Fair value, December 31, 2021
$7,745 114,127 124,909 245 4,256 251,282 
Total net gains (losses) for the period included in:
OCI(581)(16,422)(8,592)(17)(446)(26,058)
   Net realized and unrealized gains (losses)(156)(2,047)(777)— (7)(2,987)
Net investment income earned— 14 68 — 47 129 
Purchases— 55,343 39,133 — — 94,476 
Sales— — — — — — 
Issuances— — — — — — 
Settlements— (3,903)(6,479)(11)(12)(10,405)
Transfers into Level 3— 19,214 — — — 19,214 
Transfers out of Level 3— (7,037)(24,646)(217)(3,431)(35,331)
Fair value, June 30, 2022
$7,008 159,289 123,616 — 407 290,320 
Change in unrealized gains (losses) for the period included in earnings for assets held at period end(156)(2,047)(777)— (7)(2,987)
Change in unrealized gains (losses) for the period included in OCI for assets held at period end(581)(16,424)(8,551)(17)(446)(26,019)
Fair Value Measurement Inputs and Valuation Techniques
June 30, 2023
($ in thousands)Assets Measured at Fair ValueValuation TechniquesUnobservable InputsRange Weighted Average
Internal valuations:
Corporate securities$116,155 Discounted Cash FlowIlliquidity Spread
(4.4)% - 5.3%
2.2%
CLO and other ABS90,768 Discounted Cash FlowIlliquidity Spread
0.01% - 19.6%
2.6%
Total internal valuations206,923 
Other1
248,247 
Total Level 3 securities$455,170 
December 31, 2022
($ in thousands)Assets Measured at Fair ValueValuation TechniquesUnobservable InputsRangeWeighted Average
Internal valuations:
Corporate securities$81,867 Discounted Cash FlowIlliquidity Spread
(4.4)% - 5.3%
1.3%
CLO and other ABS59,452 Discounted Cash FlowIlliquidity Spread
0.01% - 19.6%
2.5%
Total internal valuations141,319 
Other1
207,936 
Total Level 3 securities$349,255 
1Other is comprised of broker quotes or other third-party pricing for which there is a lack of transparency into the inputs used to develop the valuations. The quantitative details of these unobservable inputs are neither provided to us, nor reasonably available to us, and therefore are not included in the tables above.
Schedule of Quantitative Information of Our Financial Assets and Liabilities That Were Disclosed at Fair Value
June 30, 2023 Fair Value Measurements Using
($ in thousands)Assets/
Liabilities
Disclosed at
Fair Value
Quoted Prices in
 Active Markets for
 Identical Assets/
Liabilities
(Level 1)
Significant Other
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Financial Assets    
HTM:    
Corporate securities$22,356  22,356  
Total HTM fixed income securities22,356  22,356  
CMLs$163,068   163,068 
Financial Liabilities    
Long-term debt:
7.25% Senior Notes$52,312  52,312  
6.70% Senior Notes102,386  102,386  
5.375% Senior Notes275,149  275,149  
3.03% borrowings from FHLBI57,011  57,011  
Total long-term debt$486,858  486,858  

December 31, 2022 Fair Value Measurements Using
($ in thousands)Assets/
Liabilities
Disclosed at
Fair Value
Quoted Prices in
 Active Markets for
 Identical Assets/
Liabilities
(Level 1)
Significant Other
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Financial Assets    
HTM:    
Obligations of states and political subdivisions$3,405 — 3,405 — 
Corporate securities26,432 — 26,432 — 
Total HTM fixed income securities$29,837 — 29,837 — 
CMLs$139,243   139,243 
Financial Liabilities    
Long-term debt:
7.25% Senior Notes$51,705 — 51,705 — 
6.70% Senior Notes99,264 — 99,264 — 
5.375% Senior Notes258,459 — 258,459 — 
3.03% borrowings from FHLBI57,175 — 57,175 — 
Total long-term debt$466,603 — 466,603 —