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3) Investments: Investments Classified by Contractual Maturity Date (Details) - USD ($)
Sep. 30, 2015
Dec. 31, 2014
AmortizedCost $ 133,357,324 $ 135,018,347
Represents the monetary amount of HeldToMaturitySecuritiesEstimatedFairValue, as of the indicated date. 142,625,644 150,757,375
Available-for-sale Securities, Amortized Cost Basis 9,012,605  
Represents the monetary amount of AvailableForSaleSecuritiesEstimatedFairValue, as of the indicated date. 7,208,726  
Collateralized Mortgage Backed Securities    
AmortizedCost 3,052,011 4,263,206
Represents the monetary amount of HeldToMaturitySecuritiesEstimatedFairValue, as of the indicated date. 3,286,917 4,556,693
Redeemable Preferred Stock    
AmortizedCost 612,023 612,023
Represents the monetary amount of HeldToMaturitySecuritiesEstimatedFairValue, as of the indicated date. 639,552 $ 634,055
Common Stock    
Available-for-sale Securities, Amortized Cost Basis 9,012,605  
Represents the monetary amount of AvailableForSaleSecuritiesEstimatedFairValue, as of the indicated date. 7,208,726  
Due in 2015    
AmortizedCost 749,780  
Represents the monetary amount of HeldToMaturitySecuritiesEstimatedFairValue, as of the indicated date. 753,840  
Due in 2016 through 2019    
AmortizedCost 30,426,998  
Represents the monetary amount of HeldToMaturitySecuritiesEstimatedFairValue, as of the indicated date. 33,178,552  
Due in 2020 through 2024    
AmortizedCost 28,926,814  
Represents the monetary amount of HeldToMaturitySecuritiesEstimatedFairValue, as of the indicated date. 30,445,969  
Due after 2024    
AmortizedCost 69,589,698  
Represents the monetary amount of HeldToMaturitySecuritiesEstimatedFairValue, as of the indicated date. $ 74,320,814