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Consolidated Statements of Cash Flows (Unaudited) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2015
Dec. 31, 2014
Sep. 30, 2014
Sep. 30, 2015
Sep. 30, 2014
Dec. 31, 2014
Cash Flows from Operating Activities            
Net loss $ 1,145 $ 32 $ (2,252) $ 2,287 $ (6,971)  
Adjustments to reconcile net income (loss) to net cash used in operating activities:            
Depreciation and amortization of property and equipment, and intangibles       307 283  
Amortization of bond premium and discount, net       446 372  
Gains on investments       (238) $ (273)  
Other gains (104)     (104)    
Incentive awards expenses - vesting of RSU       $ 100  
Deferred income taxes       $ (178)  
Changes in operating assets and liabilities:            
Premiums and agents' balances receivable       $ (2,885) (955)  
Reinsurance recoverables       (2,132) (1,712)  
Ceded unearned premiums       1,217 702  
Deferred policy acquisition costs       (5,903) (1,795)  
Other assets       (679) (302)  
Unpaid losses and loss adjustment expenses       1,064 2,749  
Unearned premiums       2,302 7,750  
Reinsurance premiums payable       (6,071) 16  
Accounts payable and accrued expenses       1,019 601  
Other liabilities       (556) (1,571)  
Net cash used in operating activities       (9,826) (1,284)  
Cash Flows From Investing Activities            
Fixed maturity securities       (20,762) (21,138)  
Equity securities       (1,193) (970)  
Short-term investments       (55,569) (49,476)  
Proceeds from maturities and redemptions of investments:            
Fixed maturity securities       1,400 252  
Proceeds from sales of investments:            
Fixed maturity securities       5,771 3,441  
Equity securities       1,004 903  
Short-term investments       65,781 37,353  
Purchases of property and equipment       (126) $ (358)  
Deconsolidation of affilate       (1,323)  
Net cash used in investing activities       (5,017) $ (29,993)  
Cash Flows From Financing Activities            
Proceeds received from issuance of shares of common stock       $ 36,066 16,045  
Proceeds from issuance of shares of preferred stock       $ 5,310  
Repurchase of preferred stock       $ (6,275)  
Borrowings under debt arrangements       1,650 $ 15,700  
Repayment of borrowings under debt arrangements       (19,462) (750)  
Dividends paid to preferred shareholders       (384) (27)  
Payout of contingent consideration       (113) $ (113)  
Payment of offering costs       (1,546)  
Net cash provided by financing activities       9,936 $ 36,165  
Net (decrease) increase in cash       (4,907) 4,888  
Cash at beginning of period   16,184   18,488 11,296 $ 11,296
Cash at end of period $ 13,581 $ 18,488 $ 16,184 13,581 16,184 $ 18,488
Supplemental Disclosure of Cash Flow Information:            
Interest paid       $ 651 $ 383  
Net income taxes paid