XML 33 R23.htm IDEA: XBRL DOCUMENT v3.22.1
Fair Value of Financial Instruments and Real Estate (Tables)
3 Months Ended
Mar. 31, 2022
Fair Value of Financial Instruments and Real Estate (Tables)  
Schedule Of Fair Value Of Financial Instruments

March 31, 2022

December 31, 2021

Carrying Value

Fair Value

Carrying Value

Fair Value

Fixed-maturity securities-held-to maturity

$7,765,138$7,629,300$8,266,334$8,753,159

Cash and cash equivalents

$5,833,886$5,833,886$24,290,598$24,290,598

Premiums receivable, net

$11,029,208$11,029,208$12,318,336$12,318,336

Reinsurance receivables, net

$49,341,690$49,341,690$40,292,438$40,292,438

Real estate, net of accumulated depreciation

$2,126,029$3,025,000$2,144,464$3,025,000

Reinsurance balances payable

$5,091,070$5,091,070$12,961,568$12,961,568