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Investments (Details) - Schedule of Contractual Maturity - USD ($)
$ in Thousands
Dec. 31, 2023
Dec. 31, 2022
Due to mature:    
Amortized Cost, Due to mature One year or less $ 9,612 $ 10,130
Fair Value, Due to mature One year or less 9,436 9,971
Amortized Cost, Due to mature After one year through five years 75,794 81,879
Fair Value, Due to mature After one year through five years 72,602 77,031
Amortized Cost, Due to mature After five years through ten years 86,185 76,648
Fair Value, Due to mature After five years through ten years 79,281 65,966
Amortized Cost, Due to mature After ten years 47,806 39,696
Fair Value, Due to mature After ten years 42,620 32,284
Amortized Cost, Due to mature Mortgage / asset-backed securities 152,586 129,877
Fair Value, Due to mature Mortgage / asset-backed securities 139,631 114,353
Amortized Cost, Due to mature Redeemable preferred stocks 4,747 4,747
Fair Value, Due to mature Redeemable preferred stocks 4,161 3,719
Amortized Cost, Due to mature, Total fixed income securities 376,730 342,977
Fair Value, Due to mature, Total fixed income securities $ 347,731 $ 303,324