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Note 21 - Fair Value of Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2023
Notes Tables  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]

(in thousands)

 

June 30, 2023

 
  

Fair Value Measurements at the End of the Reporting Period Using

 
                     
      

Quoted Prices in

  

Significant

  

Significant

     
      

Active Markets for

  

Other Observable

  

Unobservable

     
      

Identical Assets

  

Inputs

  

Inputs

  

Measured at

 
  

Total

  

(Level 1)

  

(Level 2)

  

(Level 3)

  

Net Asset Value

 

Recurring fair value measurements:

                    
                     

Assets:

                    

Fixed maturities:

                    

U.S. government, government agencies and authorities

 $14,145  $  $14,145  $  $ 

States, municipalities and political subdivisions

  3,069      3,069       

Mortgage-backed

  8,042      8,042       

Asset-backed

  1,367      1,367       

Corporate

  9,570      9,570       

Total fixed maturities

  36,193      36,193       

Equity investments - common stock

  2,935   2,935          

Limited liability investments, at fair value

  3,688         3,688    

Derivative contract - interest rate swap

  204      204       

Total assets

 $43,020  $2,935  $36,397  $3,688  $ 
                     

Liabilities:

                    

Subordinated debt

 $12,544  $  $12,544  $  $ 

Contingent consideration

  3,283         3,283    

Total liabilities

 $15,827  $  $12,544  $3,283  $ 

(in thousands)

 

December 31, 2022

 
  

Fair Value Measurements at the End of the Reporting Period Using

 
                     
      

Quoted Prices in

  

Significant

  

Significant

     
      

Active Markets for

  

Other Observable

  

Unobservable

     
      

Identical Assets

  

Inputs

  

Inputs

  

Measured at

 
  

Total

  

(Level 1)

  

(Level 2)

  

(Level 3)

  

Net Asset Value

 

Recurring fair value measurements:

                    
                     

Assets:

                    

Fixed maturities:

                    

U.S. government, government agencies and authorities

 $15,080  $  $15,080  $  $ 

States municipalities and political subdivisions

  2,232      2,232       

Mortgage-backed

  8,412      8,412       

Asset-backed

  1,610      1,610       

Corporate

  10,257      10,257       

Total fixed maturities

  37,591      37,591       

Equity investments - common stock

  153   153          

Limited liability investments, at fair value

  17,059         3,196   13,863 

Derivative contract - interest rate swap

  326      326       

Derivative contract - trust preferred debt repurchase options

  19,034         19,034    

Total assets

 $74,163  $153  $37,917  $22,230  $13,863 
                     

Liabilities:

                    

Subordinated debt

 $67,811  $  $67,811  $  $ 

Contingent consideration

  3,218         3,218    

Total liabilities

 $71,029  $  $67,811  $3,218  $ 
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Table Text Block]

(in thousands)

 

Three months ended June 30,

  

Six months ended June 30,

 
  

2023

  

2022

  

2023

  

2022

 

Assets:

                

Limited liability investments, at fair value:

                

Beginning balance

 $3,442  $3,751  $3,196  $4,022 

Contributions

        35    

Distributions received

  (92)  (164)  (202)  (211)

Realized gains included in net (loss) income

  106   164   216   197 

Change in fair value of limited liability investments, at fair value included in net (loss) income

  232   (338)  443   (595)

Ending balance

 $3,688  $3,413  $3,688  $3,413 

Unrealized losses (gains) on limited liability investments, at fair value held at end of period:

                

Included in net (loss) income

 $232  $(338) $443  $(595)

Included in other comprehensive (loss) income

 $  $  $  $ 

Derivative - trust preferred debt repurchase options:

                

Beginning balance

 $  $  $19,034  $ 

Exercise of options included in net (loss) income

        (17,668)   

Change in fair value of derivative assets included in net (loss) income

        (1,366)   

Ending balance

 $  $  $  $ 

Unrealized gains recognized on derivative assets held at end of period:

                

Included in net (loss) income

 $  $  $(1,366) $ 

Included in other comprehensive (loss) income

            

Ending balance - assets

 $3,688  $3,413  $3,688  $3,413 

Liabilities:

                

Contingent consideration:

                

Beginning balance

 $3,218  $2,767  $3,218  $2,458 

Change in fair value of contingent consideration included in net (loss) income

  65   1,192   65   1,501 

Ending balance

 $3,283  $3,959  $3,283  $3,959 

Unrealized gains recognized on contingent consideration liability held at end of period:

                

Included in net (loss) income

 $65  $1,192  $65  $1,501 

Included in other comprehensive (loss) income

 $  $  $  $ 

Ending balance - liabilities

 $3,283  $3,959  $3,283  $3,959 
Fair Value Measurement Inputs and Valuation Techniques [Table Text Block]

Categories

 

Fair Value

 

Valuation Techniques

Unobservable Inputs

 

Input Value(s)

 

Limited liability investments, at fair value

 $3,688 

Market approach

Valuation multiples

 

1.0x - 9.0x

 

Contingent consideration

 $3,283 

Option-based income approach

Discount rate

  8.25%
      

Risk-free rate

 4.30%
      

Expected volatility

 13.00%

Categories

 

Fair Value

 

Valuation Techniques

Unobservable Inputs

 

Input Value(s)

 

Limited liability investments, at fair value

 $3,196 

Market approach

Valuation multiples

 

1.0x - 9.0x

 

Derivative - trust preferred debt repurchase options

 $19,034 

Binomial lattice option approach

Credit spread

  8.95%
      

Interest rate volatility

 2.3%
      

Debt coupon interest rate

 8.72%-8.87% 
      

Time to maturity (in years)

 10.4 - 10.59 

Contingent consideration

 $3,218 

Option-based income approach

Discount rate

  8.25%
      

Risk-free rate

 4.44%
      

Expected volatility

 13.0%
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Table Text Block]
  

Fair Value

       

Redemption

 

Category

 

(in thousands)

  

Unfunded Commitments

 

Redemption Frequency

  

Notice Period

 

Limited liability investments, at fair value

 $  n/a n/a  n/a 
  

Fair Value

       

Redemption

 

Category

 

(in thousands)

  

Unfunded Commitments

 

Redemption Frequency

  

Notice Period

 

Limited liability investments, at fair value

 $13,863  n/a n/a  n/a