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Statements of Cash Flow (Cash Flow Supplemental Disclosures) (Details) (USD $)
6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Interest $ 11,113,000 $ 10,295,000
Federal income tax 3,699,000 11,000,000
Tax-free exchange of fixed maturity security, AFS 9,180,000 13,615,000
Tax-free exchange of fixed maturity security, HTM 15,000 10,710,000
Stock Split Related To Equity Securities, AFS 334,000 0
Assets acquired under capital lease arrangements 2,124,000 1,898,000
National Flood Insurance Program [Member]
   
Restricted Cash $ 8,500,000