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Fair Value Of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2019
Fair Value Of Financial Instruments  
Fair value of financial instruments

 

The following table presents information about the Company’s consolidated financial instruments and their estimated fair values, which are measured on a recurring basis and are allocated among the three levels within the fair value hierarchy, as of September 30, 2019, and December 31, 2018:

   Level 1  Level 2  Level 3  Total
September 30, 2019            
Financial instruments:                    
Available-for-sale fixed maturities:                    
U.S. treasury securities  $15,229,977   $—     $—     $15,229,977 
Corporate securities   —      43,061,430    —      43,061,430 
Agency mortgage backed securities   —      23,826,397    —      23,826,397 
Short-term investments   200,000    —      —      200,000 
Total financial instruments at fair value  $15,429,977   $66,887,827   $—     $82,317,804 

 

    Level 1    Level 2    Level 3    Total 
December 31, 2018                    
Financial instruments:                    
Available-for-sale fixed maturities:                    
U.S. treasury securities  $16,619,619   $—     $—     $16,619,619 
Corporate securities   —      40,003,723    —      40,003,723 
Agency mortgage backed securities   —      20,286,795    —      20,286,795 
Short-term investments   4,690,954    —      —      4,690,954 
Total financial instruments at fair value  $21,310,573   $60,290,518   $—     $81,601,091