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Indebtedness (Tables)
9 Months Ended
Sep. 30, 2025
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments
The table below provides a summary of our outstanding debt at September 30, 2025, and December 31, 2024:

Outstanding Debt Issuance DateMaturity DateInterest RateOriginal Amount2025Carry Value
($ in thousands)Unamortized Issuance CostsDebt DiscountSeptember 30, 2025December 31, 2024
Long-term
      FHLBI12/16/201612/16/20263.03 %60,000 $  $60,000 60,000 
      Senior Notes11/16/200411/15/20347.25 %50,000 89 66 49,845 49,831 
Senior Notes2/20/20254/15/20355.90 %400,000 3,740 84 396,176 — 
      Senior Notes11/3/200511/1/20356.70 %100,000 180 390 99,430 99,391 
Senior Notes3/1/20193/1/20495.375 %300,000 2,072 5,290 292,638 292,434 
Finance lease obligations4,228 6,282 
Total long-term debt$6,081 5,830 $902,317 507,938 
Schedule of Line of Credit Covenant Requirements
The table below outlines information regarding certain covenants in the Line of Credit:

Required as ofActual as of
September 30, 2025September 30, 2025
Consolidated net worth1
Not less than$2.4 billion$3.7 billion
Debt to total capitalization ratio1
Not to exceed35%19.8%
1Calculated in accordance with the Line of Credit.