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Discontinued Operations and Disposal Groups (Details) - USD ($)
3 Months Ended 9 Months Ended
Sep. 30, 2023
Sep. 30, 2022
Sep. 30, 2023
Sep. 30, 2022
Feb. 27, 2023
Dec. 31, 2022
Dec. 31, 2021
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]              
Increase (Decrease) in Unearned Premiums     $ 121,742,000 $ 32,036,000      
Investment Income, Net $ 2,709,000 $ 2,236,000 7,990,000 5,479,000      
Fixed maturities (amortized cost of $559,163 and $672,139 153,857,000   153,857,000     $ 204,682,000  
Equity Securities, FV-NI 0   0     15,657,000  
Other investments (amortized cost of $16,780 and $17,131 2,599,000   2,599,000     3,675,000  
Cash and Cash Equivalents 111,061,000   111,061,000     70,903,000  
Restricted Cash 19,427,000   19,427,000     45,988,000  
Accrued Investment Income 1,540,000   1,540,000     1,605,000  
Property and equipment, net 3,910,000   3,910,000     5,293,000  
Premiums receivable, net (credit allowance of $28 and $32) 22,441,000   22,441,000     39,301,000  
Reinsurance Recoverable for Paid and Unpaid Claims and Claims Adjustments (credit allowance of $552 and $563) 448,358,000   448,358,000     796,546,000  
Prepaid Reinsurance Premiums 241,270,000   241,270,000     90,496,000  
Deferred policy acquisition costs 28,852,000   28,852,000     52,369,000  
Assets 1,149,690,000   1,149,690,000     2,837,496,000  
Liabilities 1,029,041,000   1,029,041,000     3,019,535,000  
Other assets, net 35,581,000   35,581,000     3,920,000  
Disposal Group, Including Discontinued Operation, Assets 11,183,000   11,183,000     1,434,815,000  
Unpaid losses and loss adjustment expenses 443,406,000 540,182,000 443,406,000 540,182,000   842,958,000 $ 250,642,000
Unearned Premiums 325,423,000   325,423,000     258,978,000  
Reinsurance Payable 3,963,000   3,963,000     30,503,000  
Payments outstanding 11,636,000   11,636,000     2,000,000  
Accounts Payable 84,772,000   84,772,000     74,386,000  
Other Liabilities 8,504,000   8,504,000     5,849,000  
Notes Payable 148,604,000   148,604,000     148,355,000  
Disposal Group, Including Discontinued Operation, Liabilities 1,792,000   1,792,000     1,654,817,000  
Amortization     2,604,000 6,482,000      
Discontinued Operation, Gain (Loss) on Disposal of Discontinued Operation, Net of Tax     238,440,000 0      
Continuing Operations              
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]              
Gross premiums written 103,872,000 103,153,000 534,880,000 453,199,000      
Increase (Decrease) in Unearned Premiums 61,888,000 35,207,000 (66,445,000) (62,623,000)      
Gross premiums earned 165,760,000 138,360,000 468,435,000 390,576,000      
Ceded premiums earned (109,952,000) (68,134,000) (242,134,000) (198,072,000)      
Premiums Earned, Net, Property and Casualty 55,808,000 70,226,000 226,301,000 192,504,000      
Investment Income, Net 2,709,000 2,236,000 7,990,000 5,479,000      
Gain (Loss) on Investments 2,000 (4,000) (6,806,000) (44,000)      
Increase (Decrease) in Equity Securities, FV-NI 177,000 (897,000) 792,000 (4,058,000)      
Other revenue 18,000 1,191,000 52,000 1,213,000      
Revenues 58,714,000 72,752,000 228,329,000 195,094,000      
Losses and loss adjustment expenses 13,764,000 52,765,000 51,091,000 93,112,000      
Policy acquisition costs 15,600,000 26,030,000 68,117,000 69,908,000      
Operating Costs and Expenses 2,799,000 3,123,000 8,241,000 10,650,000      
General and administrative expenses 6,131,000 15,959,000 21,507,000 32,231,000      
Interest expense 2,718,000 2,358,000 8,156,000 7,080,000      
Costs and Expenses 41,012,000 100,235,000 157,112,000 212,981,000      
Operating Income (Loss) 17,702,000 (27,483,000) 71,217,000 (17,887,000)      
Other income (226,000) (29,000) 1,168,000 1,562,000      
Provision for income taxes 3,103,000 (66,000) 7,293,000 24,705,000      
Assets 1,138,506,000 1,180,344,000 1,138,506,000 1,180,344,000      
Discontinued Operations              
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]              
Gross premiums written 0 168,587,000 (120,608,000) 489,509,000      
Increase (Decrease) in Unearned Premiums 0 7,810,000 198,154,000 80,779,000      
Gross premiums earned 0 176,397,000 77,546,000 570,288,000      
Ceded premiums earned 0 (130,437,000) (48,203,000) (434,343,000)      
Premiums Earned, Net, Property and Casualty 0 45,960,000 29,343,000 135,945,000      
Investment Income, Net 0 2,033,000 2,182,000 4,408,000      
Gain (Loss) on Investments 0 (4,000) 1,343,000 (1,811,000)      
Increase (Decrease) in Equity Securities, FV-NI 0 (1,622,000) 2,080,000 (5,813,000)      
Other revenue 0 4,650,000 2,717,000 14,124,000      
Revenues 0 51,017,000 37,665,000 146,853,000      
Losses and loss adjustment expenses 851,000 64,443,000 37,268,000 205,558,000      
Policy acquisition costs 0 12,914,000 (1,522,000) 24,040,000      
Operating Costs and Expenses 153,000 6,492,000 4,656,000 24,232,000      
General and administrative expenses 2,872,000 10,433,000 5,431,000 24,660,000      
Interest expense 0 34,000 22,000 84,000      
Costs and Expenses 3,876,000 94,316,000 45,855,000 278,574,000      
Operating Income (Loss) (3,876,000) (43,299,000) (8,190,000) (131,721,000)      
Other income 0 14,000 0 37,000      
Discontinued Operation, Income (Loss) from Discontinued Operation, before Income Tax (3,876,000) (43,285,000) (8,190,000) (131,684,000)      
Provision for income taxes (71,000) 153,000 (285,000) 482,000      
Income (Loss) from Discontinued Operations, Net of Tax, Attributable to Parent (3,805,000) $ (43,438,000) (7,905,000) $ (132,166,000)      
Discontinued Operations | UPC Insurance              
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]              
Fixed maturities (amortized cost of $559,163 and $672,139         $ 1,380,000 171,781,000  
Equity Securities, FV-NI         272,000 23,363,000  
Other investments (amortized cost of $16,780 and $17,131         12,882,000 12,952,000  
Cash and Cash Equivalents         224,824,000 158,990,000  
Restricted Cash         7,758,000 7,730,000  
Accrued Investment Income         875,000 1,457,000  
Premiums receivable, net (credit allowance of $28 and $32)         22,733,000 46,736,000  
Reinsurance Recoverable for Paid and Unpaid Claims and Claims Adjustments (credit allowance of $552 and $563)         548,929,000 834,863,000  
Prepaid Reinsurance Premiums         75,262,000 122,533,000  
Deferred policy acquisition costs         (89,000) (2,046,000)  
Other assets, net         51,625,000 33,548,000  
Disposal Group, Including Discontinued Operation, Assets         946,451,000 1,411,907,000  
Unpaid losses and loss adjustment expenses         920,431,000 1,103,980,000  
Unearned Premiums         98,655,000 286,842,000  
Reinsurance Payable         12,612,000 29,394,000  
Payments outstanding         144,238,000 213,058,000  
Accounts Payable         1,361,000 (872,000)  
Other Liabilities         3,476,000 14,658,000  
Notes Payable         4,118,000 4,118,000  
Disposal Group, Including Discontinued Operation, Liabilities         $ 1,184,891,000 1,651,178,000  
Discontinued Operations | Service Entities              
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]              
Property and equipment, net 11,183,000   11,183,000     14,299,000  
Deferred policy acquisition costs 0   0     8,609,000  
Assets 11,183,000   11,183,000     22,908,000  
Accrued Sales Commission 1,792,000   1,792,000     987,000  
Unearned Policy Fees 0   0     2,652,000  
Liabilities $ 1,792,000   $ 1,792,000     $ 3,639,000