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Condensed Consolidated Balance Sheets (Current Period Unaudited) - USD ($)
Jun. 30, 2024
Dec. 31, 2023
Investments and cash:    
Fixed maturity securities (amortized cost of $119,495,174 at 6/30/2024 and $119,336,041 at 12/31/2023) $ 109,696,001 $ 110,955,697
Other invested assets, net of allowances for credit losses of $250,000 at 6/30/2024 and $39,000 at 12/31/2023 14,086,652 8,898,409
Property held for investment, at cost, net of accumulated depreciation of $767,263 at 6/30/2024 and $682,402 at 12/31/2023 6,141,245 5,910,864
Cash and cash equivalents 3,421,284 1,478,135
Total investments and cash 149,844,755 142,331,022
Accrued investment income 932,084 915,156
Premiums and reinsurance balances receivable, net of allowances for credit losses of $135,000 at 6/30/2024 and $143,000 at 12/31/2023 37,189,945 37,220,433
Ceded unearned premiums 739,904 755,099
Reinsurance balances recoverable on unpaid losses and settlement expenses, net of allowances for credit losses of $79,000 at 6/30/2024 and $82,000 at 12/31/2023 12,374,256 12,736,579
Federal income taxes 3,653,936 2,775,366
Deferred policy acquisition costs, net 8,857,528 8,552,459
Property and equipment, at cost, net of accumulated depreciation of $7,270,456 at 6/30/2024 and $6,990,076 at 12/31/2023 3,353,851 3,325,322
Other assets, net of allowances for credit losses of $4,000 at 6/30/2024 and $5,000 at 12/31/2023 2,893,752 2,405,577
Total assets 219,840,011 211,017,013
Liabilities:    
Unpaid losses and settlement expenses 79,263,873 71,919,585
Unearned premiums 48,753,710 47,259,637
Reinsurance balances payable 899,514 1,132,301
Corporate debt 15,000,000 15,000,000
Accrued expenses 6,744,042 7,442,617
Other liabilities 1,565,195 1,259,324
Total liabilities 152,226,334 144,013,464
Equity:    
Common stock [1] 35,000 35,000
Treasury stock, at cost [2] (5,727,278) (5,710,324)
Additional paid-in capital 33,454,198 33,330,846
Accumulated other comprehensive (loss), net of tax (7,741,480) (6,621,336)
Retained earnings 49,351,697 47,844,368
Less: Unearned Employee Stock Ownership Plan shares at cost [3] (1,758,460) (1,875,005)
Total equity 67,613,677 67,003,549
Total liabilities and equity 219,840,011 211,017,013
Common Stock [Member]    
Investments and cash:    
Stocks at fair value 13,599,230 12,191,621
Preferred Stock [Member]    
Investments and cash:    
Stocks at fair value $ 2,900,343 $ 2,896,296
[1] Par value $0.01; authorized: 2024 and 2023 - 10,000,000 shares; issued: 2024 – 3,500,000 shares and 2023 – 3,500,000 shares; outstanding: 2024 – 3,142,973 and 2023 – 3,138,976 shares
[2] 2024 – 357,027 shares and 2023 – 361,024 shares
[3] 2024 – 175,844 shares and 2023 – 187,498 shares