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Investments (Details) - Schedule of Contractual Maturity - USD ($)
$ in Thousands
Jun. 30, 2024
Dec. 31, 2023
Due to mature:    
Amortized Cost, Due to mature One year or less $ 12,663 $ 9,612
Fair Value, Due to mature One year or less 12,454 9,436
Amortized Cost, Due to mature After one year through five years 64,545 75,794
Fair Value, Due to mature After one year through five years 61,560 72,602
Amortized Cost, Due to mature After five years through ten years 72,035 86,185
Fair Value, Due to mature After five years through ten years 65,882 79,281
Amortized Cost, Due to mature After ten years 44,682 47,806
Fair Value, Due to mature After ten years 40,147 42,620
Amortized Cost, Due to mature Mortgage / asset-backed securities 131,823 152,586
Fair Value, Due to mature Mortgage / asset-backed securities 120,074 139,631
Amortized Cost, Due to mature Redeemable preferred stocks 3,738 4,747
Fair Value, Due to mature Redeemable preferred stocks 3,298 4,161
Amortized Cost, Due to mature, Total fixed income securities 329,486 376,730
Fair Value, Due to mature, Total fixed income securities $ 303,415 $ 347,731