XML 44 R26.htm IDEA: XBRL DOCUMENT v3.24.1
Note 4 - Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2023
Notes Tables  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]
  

December 31, 2023

 
  

Total

  

Level 1

  

Level 2

  

Level 3

 
                 

Fixed maturities:

                

US Treasury securities

 $724,668  $724,668  $-  $- 

Corporate bonds

  17,813,362   -   17,643,762   169,600 

Municipal bonds

  5,636,093   -   5,636,093   - 

Redeemable preferred stock

  3,305,569   -   3,305,569   - 

Term loans

  17,052,420   -   -   17,052,420 

Mortgage backed and asset backed securities

  29,977,408   -   29,489,908   487,500 

Total fixed maturities

  74,509,520   724,668   56,075,332   17,709,520 

Equities:

                

Common stock

  2,116,356   2,017,756   98,600   - 

Preferred stock

  1,469,529   -   1,469,529   - 

Total equities

  3,585,885   2,017,756   1,568,129   - 

Other invested assets

  2,239,683   -   -   2,239,683 
Reinsurance contract allocated hedge  673,681   -   -   673,681 
Limited partnership interests  389,827   -   -   389,827 

Total

 $81,398,596  $2,742,424  $57,643,461  $21,012,711 
  

December 31, 2022

 
  

Total

   

Level 1

  

Level 2

  

Level 3

 
                  

Fixed maturities:

                 

US Treasury securities

 $1,025,087   $1,025,087  $-  $- 

Corporate bonds

  15,869,078    -   15,687,478   181,600 

Municipal bonds

  5,420,409    -   5,420,409   - 

Redeemable preferred stock

  3,355,615    -   3,355,615   - 

Term loans

  18,149,718    -   -   18,149,718 

Mortgage backed and asset backed securities

  21,496,170    -   21,099,920   396,250 

Total fixed maturities

  65,316,077    1,025,087   45,563,422   18,727,568 

Equities:

                 

Common stock

  6,024,224    5,929,624   94,600   - 

Preferred stock

  1,370,820    -   1,370,820   - 

Total equities

  7,395,044    5,929,624   1,465,420   - 

Other invested assets

  1,760,777    -   -   1,760,777 
Reinsurance contract allocated hedge  724,998    -   -   724,998 

Total

 $75,196,896   $6,954,711  $47,028,842  $21,213,343 
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Input Reconciliation [Table Text Block]
      

Mortgage

      

Other

 

For the Year Ended December 31, 2023

 

Corporate

  

Backed

  

Term

  

Invested

 
  

Bonds

  

Securities

  

Loans

  

Assets

 

Fair value, beginning of period

 $181,600  $396,250  $18,149,718  $1,760,777 

Principal payment

  (12,000)  -   (2,278,802)  (547,952)

Acquisition

  -   -   1,233,677   898,961 

Investment related gains (losses)

  -   91,250   (52,173)  127,897 

Fair value, end of period

 $169,600  $487,500  $17,052,420  $2,239,683 
Fair Value, by Balance Sheet Grouping [Table Text Block]
  

December 31, 2023

             
                     
  

Carrying Value

  

Fair Value

  

Level 1

  

Level 2

  

Level 3

 

Financial Assets:

                    

Cash and cash equivalents

 $8,982,138  $8,982,138  $8,982,138  $-  $- 

Mortgage loans on real estate

  19,617,253   19,617,253   -   -   19,617,253 

Limited partnership interests

  389,827   389,827   -   -   389,827 

Investment income due and accrued

  1,878,620   1,878,620   -   -   1,878,620 

Reinsurance contract allocated hedge

  673,681   673,681   -   -   673,681 

Policy loans

  26,132   26,132   -   -   26,132 

Total Financial Assets (excluding available for sale investments)

 $31,567,651  $31,567,651  $8,982,138  $-  $22,585,513 
                     

Financial Liabilities:

                    

Federal Home Loan Bank advance

 $1,000,000  $1,000,000  $-  $-  $1,000,000 

Policyholder deposits in deposit-type contracts

  78,063,888   67,401,118   -   -   67,401,118 

Total Financial Liabilities

 $79,063,888  $68,401,118  $-  $-  $68,401,118 
  

December 31, 2022

             
                     
  

Carrying Value

  

Fair Value

  

Level 1

  

Level 2

  

Level 3

 

Financial Assets:

                    

Cash and cash equivalents

 $4,091,507  $4,091,507  $4,091,507  $-  $- 

Mortgage loans on real estate

  23,790,073   23,790,073   -   -   23,790,073 

Investment income due and accrued

  2,086,365   2,086,365   -   -   2,086,365 

Reinsurance contract allocated hedge

  724,998   724,998   -   -   724,998 

Policy loans

  34,980   34,980   -   -   34,980 

Total Financial Assets (excluding available for sale investments)

 $30,727,923  $30,727,923  $4,091,507  $-  $26,636,416 
                     

Financial Liabilities:

                    

Federal Home Loan Bank advance

 $1,000,000  $1,000,000  $-  $-  $1,000,000 

Policyholder deposits in deposit-type contracts

  79,035,350   67,741,524   -   -   67,741,524 

Total Financial Liabilities

 $80,035,350  $68,741,524  $-  $-  $68,741,524