XML 42 R31.htm IDEA: XBRL DOCUMENT v3.8.0.1
Fair Value of Financial Instruments - Fair Value of Invested Assets (Details) - USD ($)
Mar. 31, 2018
Dec. 31, 2017
Mar. 31, 2017
Dec. 31, 2016
Fixed maturity investments available for sale:        
U.S. treasury securities $ 10,202,657 $ 7,454,225    
Corporate securities 31,280,064 28,657,640    
Agency mortgage-backed securities 22,708,693 21,737,589    
Held to maturity fixed maturity investments:        
Certificates of deposit 23,848,000 28,098,000    
Total fixed maturities 88,039,414 85,947,454    
Cash and restricted cash 262,608 774,226 $ 13,602,118 $ 13,496,379
Short-term investments, at fair value 6,011,792 10,440,496    
Total financial instruments at fair value 94,313,814 97,162,176    
Level 1        
Fixed maturity investments available for sale:        
U.S. treasury securities 10,202,657 7,454,225    
Corporate securities 0 0    
Agency mortgage-backed securities 0 0    
Held to maturity fixed maturity investments:        
Certificates of deposit 0 0    
Total fixed maturities 10,202,657 7,454,225    
Cash and restricted cash 262,608 774,226    
Short-term investments, at fair value 6,011,792 10,440,496    
Total financial instruments at fair value 16,477,057 18,668,947    
Level 2        
Fixed maturity investments available for sale:        
U.S. treasury securities 0 0    
Corporate securities 31,280,064 28,657,640    
Agency mortgage-backed securities 22,708,693 21,737,589    
Held to maturity fixed maturity investments:        
Certificates of deposit 23,848,000 28,098,000    
Total fixed maturities 77,836,757 78,493,229    
Cash and restricted cash 0 0    
Short-term investments, at fair value 0 0    
Total financial instruments at fair value 77,836,757 78,493,229    
Level 3        
Fixed maturity investments available for sale:        
U.S. treasury securities 0 0    
Corporate securities 0 0    
Agency mortgage-backed securities 0 0    
Held to maturity fixed maturity investments:        
Certificates of deposit 0 0    
Total fixed maturities 0 0    
Cash and restricted cash 0 0    
Short-term investments, at fair value 0 0    
Total financial instruments at fair value $ 0 $ 0