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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, 2013
Dec. 31, 2012
Trading Securities, Equity $ 4,498,756 $ 5,386,317
Available-for-sale Securities 4,498,756 5,405,112
Restricted assets of cemeteries and mortuaries 667,149 585,412
Cemetery perpetual care trust investments 695,616 626,048
Derivatives - interest rate lock commitments 1,511,111 3,127,689
Assets, Fair Value Disclosure 7,372,632 9,744,261
Policyholder account balances (48,000,668) (49,746,337)
Future policy benefits - annuities (65,052,928) (65,171,687)
Derivatives - bank loan interest rate swaps (58,310) (93,572)
Derivatives - bank loan interest rate swaps, Call Options (124,174) (126,215)
Derivatives - bank loan interest rate swaps, Interest rate lock commitments (23,203) (166,224)
Liabilities accounted for at fair value (113,259,283) (115,304,035)
Non-redeemable preferred stock   18,795
Fair Value, Inputs, Level 1
   
Trading Securities, Equity 4,498,756 5,386,317
Available-for-sale Securities 4,498,756 5,405,112
Restricted assets of cemeteries and mortuaries 667,149 585,412
Cemetery perpetual care trust investments 695,616 626,048
Assets, Fair Value Disclosure 5,861,521 6,616,572
Derivatives - bank loan interest rate swaps, Call Options (124,174) (126,215)
Liabilities accounted for at fair value (124,174) (126,215)
Non-redeemable preferred stock   18,795
Fair Value, Inputs, Level 3
   
Derivatives - interest rate lock commitments 1,511,111 3,127,689
Assets, Fair Value Disclosure 1,511,111 3,127,689
Policyholder account balances (48,000,668) (49,746,337)
Future policy benefits - annuities (65,052,928) (65,171,687)
Derivatives - bank loan interest rate swaps (58,310) (93,572)
Derivatives - bank loan interest rate swaps, Interest rate lock commitments (23,203) (166,224)
Liabilities accounted for at fair value $ (113,135,109) $ (115,177,820)