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16) Fair Value of Financial Instruments: Schedule of fair value assets and liabilities measured on a recurring basis (Details) (USD $)
Dec. 31, 2012
Non-redeemable preferred stock $ 18,438
Trading Securities, Equity 6,280,954
Available-for-sale Securities 6,299,392
Restricted assets of cemeteries and mortuaries 548,761
Cemetery perpetual care trust investments 617,107
Derivatives - interest rate lock commitments 1,904,901
Assets, Fair Value Disclosure 9,370,161
Policyholder account balances (50,926,020)
Future policy benefits - annuities (65,281,586)
Derivatives - bank loan interest rate swaps (117,812)
Derivatives - bank loan interest rate swaps, Call Options (80,102)
Derivatives - bank loan interest rate swaps, Interest rate lock commitments (210,360)
Liabilities accounted for at fair value (116,615,880)
Fair Value, Inputs, Level 1
 
Non-redeemable preferred stock 18,438
Trading Securities, Equity 6,280,954
Available-for-sale Securities 6,299,392
Restricted assets of cemeteries and mortuaries 548,761
Cemetery perpetual care trust investments 617,107
Assets, Fair Value Disclosure 7,465,260
Derivatives - bank loan interest rate swaps, Call Options (80,102)
Liabilities accounted for at fair value (80,102)
Fair Value, Inputs, Level 3
 
Derivatives - interest rate lock commitments 1,904,901
Assets, Fair Value Disclosure 1,904,901
Policyholder account balances (50,926,020)
Future policy benefits - annuities (65,281,586)
Derivatives - bank loan interest rate swaps (117,812)
Derivatives - bank loan interest rate swaps, Interest rate lock commitments (210,360)
Liabilities accounted for at fair value $ (116,535,778)