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Investments (Details) - USD ($)
3 Months Ended 12 Months Ended
Mar. 31, 2023
Dec. 31, 2022
US Treasury and Government One [Member]    
Cost or amortized cost $ 21,988,099 $ 23,874,545
Gross unrealized gains 36,038 1,479
Gross unrealized losses - less than 12 months (674) (6,928)
Gross unrealized loss - more than 12 months 0 0
Estimated fair value 22,023,463 23,869,096
Net unrealized gains   (5,449)
Fixed-Maturity Securities Political Subdivisions Of States Territories And Possessions [Member]    
Cost or amortized cost 17,098,969 17,108,154
Gross unrealized gains 0 0
Gross unrealized losses - less than 12 months (5,153) (2,195,273)
Gross unrealized loss - more than 12 months (3,338,913) (1,771,494)
Estimated fair value 13,754,903 13,141,387
Net unrealized gains (3,344,066) (3,966,767)
Fixed-Maturity Securities Corporate And Other Bonds Industrial And Miscellaneous [Member]    
Cost or amortized cost 80,264,856 80,338,464
Gross unrealized gains 0 0
Gross unrealized losses - less than 12 months (777,717) (5,796,994)
Gross unrealized loss - more than 12 months (6,479,111) (2,458,985)
Estimated fair value 73,008,028 72,082,485
Net unrealized gains (7,256,828) (8,255,979)
Fixed Maturity Securities Residential Mortgage and other asset backed securities [Member]    
Cost or amortized cost 53,022,594 53,597,264
Gross unrealized gains 67,556 58,398
Gross unrealized losses - less than 12 months (496,219) (882,664)
Gross unrealized loss - more than 12 months (6,739,006) (7,150,803)
Estimated fair value 45,854,925 45,622,195
Net unrealized gains (7,167,669) (7,975,069)
Fixed Maturity Securities Total Fixed Maturity Securities [Member]    
Cost or amortized cost 172,374,518 174,918,427
Gross unrealized gains 103,594 59,877
Gross unrealized losses - less than 12 months (1,279,763) (8,881,859)
Gross unrealized loss - more than 12 months (16,557,030) (11,381,282)
Estimated fair value 154,641,319 154,715,163
Net unrealized gains $ (17,733,199) $ (20,203,264)