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Investments (Details 1) - USD ($)
Mar. 31, 2021
Dec. 31, 2020
Amortized cost, fixed maturities, available for sale $ 86,519,732 $ 80,071,280
Estimated fair value, fixed maturities, available for sale 88,550,354 83,409,694
Amortized cost, fixed maturities, held to maturity 798,000 798,000
Estimated fair value, fixed maturities, held to maturity 798,000 798,000
Fixed maturities, at amortized cost 87,317,732 80,869,280
Gross unrealized gains, fixed maturities 2,487,338 3,416,535
Gross unrealized losses, fixed maturities (456,716) (78,121)
Fixed maturities, at estimated fair value 89,348,354 84,207,694
U.S. Treasury Securities    
Amortized cost, fixed maturities, available for sale 10,754,166 10,596,808
Gross unrealized gains, fixed maturities, available for sale 180,757 235,373
Gross unrealized losses, fixed maturities, available for sale (51,882) 0
Estimated fair value, fixed maturities, available for sale 10,883,041 10,832,181
Corporate Securities    
Amortized cost, fixed maturities, available for sale 46,200,918 44,159,926
Gross unrealized gains, fixed maturities, available for sale 1,601,092 2,347,826
Gross unrealized losses, fixed maturities, available for sale (339,765) (55,847)
Estimated fair value, fixed maturities, available for sale 47,462,245 46,451,905
Agency Mortgage-Backed Securities    
Amortized cost, fixed maturities, available for sale 29,564,648 25,314,546
Gross unrealized gains, fixed maturities, available for sale 705,489 833,336
Gross unrealized losses, fixed maturities, available for sale (65,069) (22,274)
Estimated fair value, fixed maturities, available for sale 30,205,068 26,125,608
Certificates of Deposit    
Amortized cost, fixed maturities, held to maturity 798,000 798,000
Gross unrealized gains, fixed maturities, held to maturity 0 0
Gross unrealized losses, fixed maturities, held to maturity 0 0
Estimated fair value, fixed maturities, held to maturity $ 798,000 $ 798,000