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Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2025
Fair Value Disclosures [Abstract]  
Schedule of Financial Assets Measured at Fair Value on Recurring Basis The tables below presents information about the Company’s financial assets measured at fair value on a recurring
basis:
December 31, 2025
Total
Level 1
Level 2
Level 3
U.S. Treasury and U.S. government agencies
$30,722
$30,722
$
$
Corporate debt securities
206,799
206,799
Asset-backed securities
92,968
92,968
Short-term investments
18,121
18,121
Total
$348,610
$30,722
$317,888
$
December 31, 2024
Total
Level 1
Level 2
Level 3
U.S. Treasury and U.S. government agencies
$75,234
$75,234
$
$
Corporate debt securities
108,790
28,222
80,568
Asset-backed securities
30,021
30,021
Total
$214,045
$103,456
$110,589
$
Summary of Carrying Value and Estimated Fair Value of Company's Financial Instruments Not Carried at Fait Value The following table summarizes the carrying value and estimated fair value of the Company’s financial instruments
not carried at fair value as of the date presented:
December 31, 2025
December 31, 2024
Carrying
Value
Estimated
Fair Value
Carrying
Value
Estimated
Fair Value
Long-term debt:
Surplus note
$618
$499
$1,029
$885