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Investments (Details) - USD ($)
3 Months Ended 12 Months Ended
Mar. 31, 2024
Dec. 31, 2023
Cost or amortized cost $ 177,344,695 $ 164,460,942
Fixed-Maturity Securities Political Subdivisions Of States Territories And Possessions [Member]    
Cost or amortized cost 16,600,086 16,607,713
Gross unrealized gains 0 0
Gross unrealized losses - less than 12 months 0 0
Gross unrealized loss - more than 12 months (3,289,577) (3,209,161)
Estimated fair value 13,310,509 13,398,552
Net unrealized gains (3,289,577) (3,209,161)
Fixed-Maturity Securities Corporate And Other Bonds Industrial And Miscellaneous [Member]    
Cost or amortized cost 74,663,044 75,993,042
Gross unrealized gains 0 0
Gross unrealized losses - less than 12 months 0 0
Gross unrealized loss - more than 12 months (6,019,568) (5,885,296)
Estimated fair value 68,643,476 70,107,746
Net unrealized gains (6,019,568) (5,885,296)
Fixed Maturity Securities Residential Mortgage and other asset backed securities [Member]    
Cost or amortized cost 50,345,615 50,905,423
Gross unrealized gains 133,220 113,761
Gross unrealized losses - less than 12 months (3,266) (2,144)
Gross unrealized loss - more than 12 months (6,889,842) (6,541,731)
Estimated fair value 43,585,727 44,475,309
Net unrealized gains (6,759,888) (6,430,114)
Fixed Maturity Securities Total Fixed Maturity Securities [Member]    
Cost or amortized cost 177,344,695 164,460,942
Gross unrealized gains 133,220 115,560
Gross unrealized losses - less than 12 months (31,858) (19,517)
Gross unrealized loss - more than 12 months (16,198,987) (15,636,188)
Estimated fair value 161,247,070 148,920,797
Net unrealized gains (16,097,625) (15,540,145)
U.S. Treasury securities and obligations of U.S. government corporations and agencies [Member]    
Cost or amortized cost 35,735,950 20,954,764
Gross unrealized gains 0 1,799
Gross unrealized losses - less than 12 months (28,592) (17,373)
Gross unrealized loss - more than 12 months 0 0
Estimated fair value 35,707,358 20,939,190
Net unrealized gains $ (28,592) $ (15,574)