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Schedule II - Cash Flows Financial Statement (Details) - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Dec. 31, 2023
Sep. 30, 2023
Jun. 30, 2023
Mar. 31, 2023
Dec. 31, 2022
Sep. 30, 2022
Jun. 30, 2022
Mar. 31, 2022
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Cash flows from operating activities:                        
Net income (loss) $ 10,741 $ 2,698 $ 6,126 $ 4,872 $ 13,659 $ 3,407 $ 2,492 $ 6,449 $ 24,437 $ 26,007 $ 72,706  
Investment related gains (losses), net                 (760) 10,291 (10,991)  
Federal income tax receivable                 (922) 161 (44,678)  
Amortization of premiums and discounts on investments                 4,940 4,240 5,568  
Depreciation                 515 536 1,140  
Change in accrued investment income                 (229) (934) (60)  
Stock-based compensation                 588 461 646  
Other, net                 (1,616) (674) 875  
Net cash provided by operating activities                 22,056 56,920 40,455  
Cash flows from investing activities:                        
Purchases of fixed maturity securities, available-for-sale                 (72,802) (120,094) (94,265)  
Maturities and calls of fixed maturities, available-for-sale                 29,488 44,493 53,089  
Sales of fixed maturity securities, available-for-sale                 29,883 33,914 8,238  
Sales of property and equipment                 0 0 14  
Sales of equity securities                 6,631 500 7,383  
Sale of other long-term investments                 5,394 5,033 24,238  
Funding of mortgage loans                 0 0 (1,000)  
Principal payments on mortgage loans                 7 1,098 10  
Purchases of property and equipment                 (442) (100) (1,007)  
Purchase of short-term investments                 0 (1,250) 0  
Maturity of short-term investments                 750 0 0  
Sales of short-term investments                 499 0 0  
Net cash used in investing activities                 (14,496) (60,742) (41,077)  
Cash flows from financing activities:                        
Issuance of common stock                 0 2,244 2,255  
Acquisition of treasury stock                 (919) (2,705) (9,090)  
Other                 (60) (118) (456)  
Net cash provided by financing activities                 (3,536) (499) (6,215)  
Net increase (decrease) in cash and cash equivalents                 4,024 (4,321) (6,837)  
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents 26,997       22,973       26,997 22,973 27,294 $ 34,131
Parent Company [Member]                        
Cash flows from operating activities:                        
Net income (loss)                 24,437 26,007 72,706  
Investment related gains (losses), net                 63 188 (1,197)  
Equity in income of consolidated subsidiaries                 (27,615) (23,156) (73,686)  
Accrued expenses and other liabilities                 (1,398) 643 (11,458)  
Federal income tax receivable                 0 (9,318) (2,683)  
Deferred federal income tax expense (benefit)                 0 0 227  
Amortization of premiums and discounts on investments                 107 281 473  
Depreciation                 228 224 239  
Change in accrued investment income                 112 97 32  
Stock-based compensation                 588 461 646  
Decrease (increase) in receivable from subsidiaries and other assets                 795 705 (921)  
Other, net                 481 188 151  
Net cash provided by operating activities                 (2,202) (3,680) (15,471)  
Cash flows from investing activities:                        
Purchases of fixed maturity securities, available-for-sale                 (723) (11,232) (2,678)  
Maturities and calls of fixed maturities, available-for-sale                 6,027 9,721 7,548  
Sales of fixed maturity securities, available-for-sale                 2,580 4,314 6,952  
Sales of property and equipment                 0 2 14  
Sales of equity securities                 770 500 0  
Sale of other long-term investments                 0 0 8,790  
Funding of mortgage loans                 0 0 (1,000)  
Principal payments on mortgage loans                 0 1,000 0  
Purchases of property and equipment                 (130) (32) (119)  
Purchase of short-term investments                 0 (1,250) 0  
Maturity of short-term investments                 750 0 0  
Sales of short-term investments                 499 0 0  
Net cash used in investing activities                 9,773 3,023 23,059  
Cash flows from financing activities:                        
Issuance of common stock                 0 2,244 2,255  
Acquisition of treasury stock                 (919) (2,705) (9,090)  
Capital contribution to subsidiary                 (4,850) 0 0  
Other                 (60) (118) (456)  
Net cash provided by financing activities                 (5,829) (579) (7,291)  
Net increase (decrease) in cash and cash equivalents                 1,742 (1,236) 297  
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents $ 3,905       $ 2,163       3,905 2,163 3,399 $ 3,102
Parent Company [Member] | Land and Land Improvements                        
Cash flows from investing activities:                        
Sale of other long-term investments                 $ 0 $ 0 $ 3,552