Annual report [Section 13 and 15(d), not S-K Item 405]

INSURANCE CONTRACTS ASSETS AND LIABILITIES FROM INSURANCE ACTIVITIES - Schedule of liability for future policy benefit, activity (Details)

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INSURANCE CONTRACTS ASSETS AND LIABILITIES FROM INSURANCE ACTIVITIES - Schedule of liability for future policy benefit, activity (Details) - USD ($)
$ in Thousands
12 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Present Value of Expected Net Premiums (PVENP)    
Balance, beginning of period $ 4,787 $ 4,520
Effect of discount rate change (to OCI) 187 (328)
Effect of cash flow assumption changes (377) 149
Effect of actual vs. expected experience 297 618
Interest accrual 558 449
Issuance expense 129,511 129,231
Net premiums collected (130,230) (129,303)
Effect of foreign currency translation 252 (549)
Balance, end of period 4,985 4,787
Present Value of Expected Future Policy Benefits (PVEFPB)    
Balance, beginning of period 216,171 128,973
Effect of discount rate change (to OCI) 1,068 (7,135)
Effect of cash flow assumption changes (1,872) 888
Effect of actual vs. expected experience 28,571 18,665
Interest accrual 24,166 9,786
Issuance expense 131,127 129,731
Benefit payments (34,997) (11,480)
Surrender / termination payments (50,563) (34,237)
Effect of foreign currency translation 19,602 (19,020)
Balance, end of period 333,273 216,171
Liability for Future Policy Benefits, net $ 328,288 $ 211,384