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Note 2 - Investments (Tables)
12 Months Ended
Dec. 31, 2023
Notes Tables  
Debt Securities, Available-for-Sale [Table Text Block]
  

December 31, 2023

 
  

Cost or

  

Gross

  

Gross

     
  

Amortized

  

Unrealized

  

Unrealized

     
  

Cost

  

Gains

  

Losses

  

Fair Value

 

Available for sale:

                

Fixed maturities:

                

US Treasury securities

 $790,976  $-  $(66,308) $724,668 

Corporate bonds

  20,234,444   95,085   (2,516,167)  17,813,362 

Municipal bonds

  6,207,596   4,044   (575,547)  5,636,093 

Redeemable preferred stock

  3,622,572   1,699   (318,702)  3,305,569 

Term loans

  17,177,179   162,011   (286,770)  17,052,420 

Mortgage backed and asset backed securities

  30,621,025   520,599   (1,164,216)  29,977,408 

Total available for sale

 $78,653,792  $783,438  $(4,927,710) $74,509,520 
  

December 31, 2022

 
  

Cost or

  

Gross

  

Gross

     
  

Amortized

  

Unrealized

  

Unrealized

     
  

Cost

  

Gains

  

Losses

  

Fair Value

 

Available for sale:

                

Fixed maturities:

                

US Treasury securities

 $993,805  $36,313  $(5,031) $1,025,087 

Corporate bonds

  19,018,738   722   (3,150,382)  15,869,078 

Municipal bonds

  6,228,636   -   (808,227)  5,420,409 

Redeemable preferred stock

  3,875,526   -   (519,911)  3,355,615 

Term loans

  18,086,124   209,989   (146,395)  18,149,718 

Mortgage backed and asset backed securities

  22,412,895   157,795   (1,074,520)  21,496,170 

Total available for sale

 $70,615,724  $404,819  $(5,704,466) $65,316,077 
Investments Classified by Contractual Maturity Date [Table Text Block]
  

As of December 31, 2023

  

As of December 31, 2022

 
  

Amortized Cost

  

Fair Value

  

Amortized Cost

  

Fair Value

 

Amounts maturing in:

                

One year or less

 $152,840  $147,835  $442,846  $450,461 

After one year through five years

  16,397,124   16,461,777   17,048,721   17,035,270 

After five years through ten years

  6,371,607   6,112,389   5,498,364   5,340,498 

More than 10 years

  21,488,624   18,504,542   21,337,372   17,638,063 

Redeemable preferred stocks

  3,622,572   3,305,569   3,875,526   3,355,615 

Mortgage backed and asset backed securities

  30,621,025   29,977,408   22,412,895   21,496,170 

Total amortized cost and fair value

 $78,653,792  $74,509,520  $70,615,724  $65,316,077 
Realized Gain (Loss) on Investments [Table Text Block]
  

Years Ended December 31,

 
  

2023

  

2022

 

Gross gains

 $14,399  $24,720 

Gross losses

  (772,000)  (133,363)

Realized gains (losses)

 $(757,601) $(108,643)
         
         

Mortgage loans on real estate

  128,729   - 

Decrease in allowance for credit losses

 $128,729  $- 
Debt Securities, Available-for-Sale, Unrealized Loss Position, Fair Value [Table Text Block]
  

Less than 12 months

  

Greater than 12 months

  

Total

 
  

Fair

  

Unrealized

  

Fair

  

Unrealized

  

Fair

  

Unrealized

 
  

Value

  

Loss

  

Value

  

Loss

  

Value

  

Loss

 

December 31, 2023

 

Available for sale:

                        

Fixed maturities:

                        

US Treasury securities

 $724,668  $(66,308) $-  $-  $724,668  $(66,308)

Corporate bonds

  262,673   (863)  15,653,914   (2,515,304)  15,916,587   (2,516,167)

Municipal bonds

  523,744   (4,792)  4,825,568   (570,755)  5,349,312   (575,547)

Redeemable preferred stock

  -   -   3,182,131   (318,702)  3,182,131   (318,702)

Term loans

  3,739,859   (174,955)  3,534,621   (111,815)  7,274,480   (286,770)

Mortgage backed and asset backed securities

  9,549,515   (219,946)  6,228,220   (944,270)  15,777,735   (1,164,216)

Total fixed maturities

 $14,800,459  $(466,864) $33,424,454  $(4,460,846) $48,224,913  $(4,927,710)
  

Less than 12 months

  

Greater than 12 months

  

Total

 
  

Fair

  

Unrealized

  

Fair

  

Unrealized

  

Fair

  

Unrealized

 
  

Value

  

Loss

  

Value

  

Loss

  

Value

  

Loss

 

December 31, 2022

 

Available for sale:

                        

Fixed maturities:

                        

US Treasury securities

 $398,375  $(5,031) $-  $-  $398,375  $(5,031)

Corporate bonds

  12,378,486   (1,883,706)  3,206,913   (1,266,676)  15,585,399   (3,150,382)

Municipal bonds

  4,711,896   (587,053)  708,514   (221,174)  5,420,410   (808,227)

Redeemable preferred stock

  2,384,771   (363,193)  970,844   (156,718)  3,355,615   (519,911)

Term loans

  6,309,005   (146,395)  -   -   6,309,005   (146,395)

Mortgage backed and asset backed securities

  10,358,560   (458,754)  3,281,132   (615,766)  13,639,692   (1,074,520)

Total fixed maturities

 $36,541,093  $(3,444,132) $8,167,402  $(2,260,334) $44,708,495  $(5,704,466)
Schedule of Accounts, Notes, Loans and Financing Receivable [Table Text Block]
  

December 31, 2023

  

December 31, 2022

 

Commercial mortgage loans by property type

        

Condominium

 $377,621  $1,696,975 

Land

  -   1,902,277 

Multi-property

  8,923,604   9,539,738 

Multi-family

  2,855,008   5,016,424 

Industrial

  1,000,000   - 

Retail/Office

  6,482,664   5,634,659 

Total commercial mortgages

 $19,638,897  $23,790,073 

Allowance for credit losses

  (21,644)  - 

Carrying value

 $19,617,253  $23,790,073 
Schedule of Mortage Loans by Loan-to-Value Ratio [Table Text Block]
  

December 31, 2023

  

December 31, 2022

 

Loan to value ratio

        

Over 70 to 80%

 $7,123,604  $8,219,763 

Over 60 to 70%

  3,137,953   5,196,975 

Over 50 to 60%

  2,322,273   4,682,750 

Over 40 to 50%

  2,327,436   3,235,951 

Over 30 to 40%

  377,621   - 

Over 20 to 30%

  2,689,619   1,319,975 

Over 10 to 20%

  1,660,391   1,134,659 

Total

 $19,638,897  $23,790,073 
         

Allowance for credit losses

  (21,644)  - 

Carrying value

 $19,617,253  $23,790,073 
Schedule of Mortgage Loans by Maturity Date [Table Text Block]
  

December 31, 2023

  

December 31, 2022

 

Maturity Date

        

One year or less

 $14,599,568  $15,354,542 

After one year through five years

  5,039,329   8,435,531 

Total

 $19,638,897  $23,790,073 
         

Allowance for credit losses

  (21,644)  - 

Carrying value

 $19,617,253  $23,790,073 
Financing Receivable, Allowance for Credit Loss [Table Text Block]
  

Year Ended December 31, 2023

 
         
  

Specific Allowance

  

General Allowance

 

Beginning allowance balance

 $-  $- 

Cumulative adjustment for changes in accounting principals

  -   150,373 

Charge-offs

  -   - 

Recoveries

  -   - 

Change in provision for credit losses

  -   (128,729)

Ending Allowance

 $-  $21,644 
Investment Income [Table Text Block]
  

Years Ended December 31,

 
  

2023

  

2022

 
         

Fixed maturities

 $4,712,515  $2,159,129 

Mortgages

  1,678,623   758,362 

Equity securities

  686,999   669,721 

Funds withheld

  -   1,581,453 

Other invested assets

  218,784   47,241 

Cash and cash equivalents

  129,188   47,285 
   7,426,109   5,263,191 

Less investment expenses

  (1,013,440)  (464,992)
  $6,412,669  $4,798,199