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Fair Value of Financial Instruments and Real Estate (Details) - USD ($)
Mar. 31, 2024
Dec. 31, 2023
Reinsurance balances payable $ 10,797,386 $ 12,837,140
Carrying Value [Member]    
Fixed-maturity securities held-to- maturity, Level 1 7,051,252 7,052,541
Fixed-maturity securities available-for-sale, Level 1 110,398,994 111,909,412
Fixed-maturity securities available-for-sale, Level 2 66,945,701 67,513,136
Cash and cash equivalents 3,199,300 8,976,998
Premiums receivable, net 13,902,797 13,604,808
Reinsurance receivables, net 70,723,937 75,593,912
Real estate, net of accumulated depreciation 1,978,542 1,992,529
Reinsurance balances payable 19,392,748 12,837,140
Fair Value [Member]    
Fixed-maturity securities held-to- maturity, Level 1 6,043,911 6,106,148
Fixed-maturity securities available-for-sale, Level 1 104,350,834 91,046,936
Fixed-maturity securities available-for-sale, Level 2 56,896,236 57,873,861
Cash and cash equivalents 3,199,300 8,976,998
Premiums receivable, net 13,902,797 13,604,808
Reinsurance receivables, net 70,723,937 75,593,912
Real estate, net of accumulated depreciation 3,540,000 3,540,000
Reinsurance balances payable $ 19,392,748 $ 12,837,140