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Schedule of Restricted Assets in Cemetery and Mortuary Endowment Care and Pre need Merchandise Funds (Details) - USD ($)
6 Months Ended 12 Months Ended
Jun. 30, 2025
Dec. 31, 2024
Jun. 30, 2024
Dec. 31, 2023
Impairment Effects on Earnings Per Share [Line Items]        
Available for sale securities, amortized cost $ 393,340,165 $ 376,012,071    
Available for sale securities, gross unrealized gain 6,189,854 2,899,986    
Available for sale securities, gross unrealized losses (8,601,313) [1] (11,944,935) [2]    
Available for sale securities, estimated fair value 390,441,720 366,546,129    
Equity securities, amortized cost 11,657,063 11,386,454    
Equity securities, estimated fair value 16,556,531 15,771,681    
Mortgage loans on real estate and construction 324,403,996 301,747,358    
Other investments 26,477,699 11,473,961    
Cash and cash equivalents 92,403,463 150,102,620 $ 156,685,547 $ 139,923,399
Accrued investment income 9,659,711 8,499,168    
Total restricted assets 29,461,821 23,806,836    
Restricted Assets [Member]        
Impairment Effects on Earnings Per Share [Line Items]        
Available for sale securities, amortized cost 2,457,363 2,356,862    
Available for sale securities, gross unrealized gain 977 2,468    
Available for sale securities, gross unrealized losses (7,002) (7,961)    
Available for sale securities, estimated fair value 2,451,338 2,351,369    
Other investments 1,850,936 1,939,269    
Cash and cash equivalents 12,680,488 [3] 8,553,803 [4]    
Total restricted assets 29,461,821 23,806,836    
US Treasury Securities [Member] | Restricted Assets [Member]        
Impairment Effects on Earnings Per Share [Line Items]        
Available for sale securities, amortized cost 1,926,996 1,741,029    
Available for sale securities, gross unrealized gain 887 2,256    
Available for sale securities, gross unrealized losses (1,508) (1,511)    
Available for sale securities, estimated fair value 1,926,375 1,741,774    
US States and Political Subdivisions Debt Securities [Member] | Restricted Assets [Member]        
Impairment Effects on Earnings Per Share [Line Items]        
Available for sale securities, amortized cost 387,046 471,217    
Available for sale securities, gross unrealized gain 82 180    
Available for sale securities, gross unrealized losses (3,098) (4,223)    
Available for sale securities, estimated fair value 384,030 467,174    
Corporate Debt Securities [Member] | Restricted Assets [Member]        
Impairment Effects on Earnings Per Share [Line Items]        
Available for sale securities, amortized cost 143,321 144,616    
Available for sale securities, gross unrealized gain 8 32    
Available for sale securities, gross unrealized losses (2,396) (2,227)    
Available for sale securities, estimated fair value 140,933 142,421    
Industrial Miscellaneous and All Other [Member] | Restricted Assets [Member]        
Impairment Effects on Earnings Per Share [Line Items]        
Equity securities, amortized cost 9,601,907 8,547,709    
Equity securities, gross unrealized gain 2,121,588 1,914,309    
Equity securities, gross unrealized loss (396,055) (489,852)    
Equity securities, estimated fair value 11,327,440 9,972,166    
Equity Securities One [Member] | Restricted Assets [Member]        
Impairment Effects on Earnings Per Share [Line Items]        
Equity securities, amortized cost 9,601,907 8,547,709    
Equity securities, gross unrealized gain 2,121,588 1,914,309    
Equity securities, gross unrealized loss (396,055) (489,852)    
Equity securities, estimated fair value 11,327,440 9,972,166    
Residential Construction [Member] | Restricted Assets [Member]        
Impairment Effects on Earnings Per Share [Line Items]        
Mortgage loans on real estate and construction 1,146,280 985,806    
Fair value allowance for credit losses (2,293) (1,972)    
Mortgage loans on real estate and construction 1,143,987 983,834    
Accrued investment income $ 7,632 $ 6,395    
[1] Gross unrealized losses are net of allowance for credit losses
[2] Gross unrealized losses are net of allowance for credit losses
[3] Including cash and cash equivalents of $11,520,474 for the life insurance and mortgage segments.
[4] Including cash and cash equivalents of $7,657,958 for the life insurance and mortgage segments.