XML 39 R26.htm IDEA: XBRL DOCUMENT v3.24.2
Fair Value Measurement (Tables)
6 Months Ended
Jun. 30, 2024
Financial Instruments, Financial Assets, Balance Sheet Groupings [Abstract]  
Schedule Of Assets And Liabilities Measured At Fair Value On A Recurring Basis Valuation Techniques
The following tables present information about the Company’s assets and liabilities measured at fair value on a recurring basis, and indicate the fair value hierarchy of the valuation techniques utilized by the Company to determine such fair values:

 June 30, 2024
 Level 1Level 2Level 3Total
 (Amounts in thousands)
Assets
Fixed maturity securities:
U.S. government bonds and agencies$136,291 $59,288 $— $195,579 
Municipal securities— 2,860,186 — 2,860,186 
Mortgage-backed securities — 220,341 — 220,341 
Corporate securities— 741,587 — 741,587 
Collateralized loan obligations— 541,199 — 541,199 
Other asset-backed securities— 102,869 — 102,869 
Total fixed maturity securities136,291 4,525,470 — 4,661,761 
Equity securities:
Common stock678,705 — — 678,705 
Non-redeemable preferred stock— 45,131 — 45,131 
Private equity funds measured at net asset value (1)
92,088 
Total equity securities678,705 45,131 — 815,924 
Short-term investments:
Short-term bonds10,268 1,625 — 11,893 
Money market instruments135,928 — — 135,928 
Other44 — — 44 
Total short-term investments146,240 1,625 — 147,865 
Other assets:
Note receivable
— 9,803 — 9,803 
Total assets at fair value$961,236 $4,582,029 $— $5,635,353 
Liabilities
Other liabilities:
Options sold$663 $— $— $663 
Total liabilities at fair value$663 $— $— $663 
 December 31, 2023
 Level 1Level 2Level 3Total
 (Amounts in thousands)
Assets
Fixed maturity securities:
U.S. government bonds and agencies$123,182 $51,268 $— $174,450 
Municipal securities— 2,777,258 — 2,777,258 
Mortgage-backed securities — 186,887 — 186,887 
Corporate securities— 599,630 — 599,630 
Collateralized loan obligations— 484,947 — 484,947 
Other asset-backed securities— 96,164 — 96,164 
Total fixed maturity securities123,182 4,196,154 — 4,319,336 
Equity securities:
Common stock597,888 — 597,888 
Non-redeemable preferred stock— 51,563 — 51,563 
Private equity funds measured at net asset value (1)
81,242 
Total equity securities597,888 51,563 — 730,693 
Short-term investments:
Short-term bonds12,015 1,838 — 13,853 
Money market instruments164,595 — — 164,595 
Other43 — — 43 
Total short-term investments176,653 1,838 — 178,491 
Other assets:
Note receivable— 9,974 — 9,974 
Total assets at fair value$897,723 $4,259,529 $— $5,238,494 
Liabilities
Other liabilities:
Options sold$1,955 $— $— $1,955 
Total liabilities at fair value$1,955 $— $— $1,955 
__________ 
(1) The fair value is measured using the NAV practical expedient; therefore, it is not categorized within the fair value hierarchy. The fair value amount is presented in this table to permit reconciliation of the fair value hierarchy to the amounts presented in the Company's consolidated balance sheets.
The following tables present the carrying value and fair value of the Company’s financial instruments disclosed, but not carried, at fair value, and the level within the fair value hierarchy at which such instruments are categorized:

 June 30, 2024
 Carrying ValueFair ValueLevel 1Level 2Level 3
 (Amounts in thousands)
Liabilities
Notes payable:
Unsecured notes$373,928 $361,860 $— $361,860 $— 
Unsecured credit facility200,000 200,004 — 200,004 — 
Total$573,928 $561,864 $— $561,864 $— 
 December 31, 2023
 Carrying ValueFair ValueLevel 1Level 2Level 3
 (Amounts in thousands)
Liabilities
Notes payable:
Unsecured notes$373,729 $357,765 $— $357,765 $— 
Unsecured credit facility200,000 199,945 — 199,945 — 
Total$573,729 $557,710 $— $557,710 $—