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5. Fair Value of Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2019
Financial Instruments, Owned, at Fair Value [Abstract]  
Schedule of Fair Value of Financial Instruments
    December 31, 2019     December 31, 2018  
    Carrying     Estimated     Carrying     Estimated  
    Value     Fair Value     Value     Fair Value  
                   
 Fixed-maturity securities-held-to maturity   $ 3,825,952     $ 4,124,767     $ 4,222,855     $ 4,426,416  
 Cash and cash equivalents   $ 32,391,485     $ 32,391,485     $ 21,138,403     $ 21,138,403  
 Premiums receivable, net   $ 12,706,411     $ 12,706,411     $ 13,961,599     $ 13,961,599  
 Reinsurance receivables, net   $ 40,750,538     $ 40,750,538     $ 26,367,115     $ 26,367,115  
 Real estate, net of accumulated depreciation   $ 2,292,743     $ 2,705,000     $ 2,300,827     $ 2,705,000  
 Reinsurance balances payable   $ 11,714,724     $ 11,714,724     $ 1,933,376     $ 1,933,376