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Investments (Summary of Impairment Analysis and Value of Securities in an Unrealized Loss Position) (Details) - USD ($)
Dec. 31, 2019
Dec. 31, 2018
Schedule of Available-for-sale Securities [Line Items]    
Less than 12 months, fair value   $ 42,452,663
Less than 12 months, Cost or amortized cost   45,013,612
Less than 12 months, unrealized loss   (2,560,949)
Greater than 12 months, fair value   19,869,687
Greater than 12 months, Cost or amortized cost   20,525,340
Greater than 12 months, unrealized loss   (655,653)
Fair value   62,322,350
Cost or amortized cost   65,538,952
Unrealized loss   (3,216,602)
US Treasury [Member]    
Schedule of Available-for-sale Securities [Line Items]    
Less than 12 months, fair value  
Less than 12 months, Cost or amortized cost  
Less than 12 months, unrealized loss  
Greater than 12 months, fair value 699,391 1,328,925
Greater than 12 months, Cost or amortized cost 700,318 1,348,575
Greater than 12 months, unrealized loss (927) (19,650)
Fair value 699,391 1,328,925
Cost or amortized cost 700,318 1,348,575
Unrealized loss (927) (19,650)
MBS/ABS/CMBS [Member]    
Schedule of Available-for-sale Securities [Line Items]    
Less than 12 months, fair value 6,398,581 16,890,857
Less than 12 months, Cost or amortized cost 6,420,488 17,039,357
Less than 12 months, unrealized loss (21,907) (148,500)
Greater than 12 months, fair value 5,056,732 11,956,493
Greater than 12 months, Cost or amortized cost 5,087,484 12,415,057
Greater than 12 months, unrealized loss (30,752) (458,564)
Fair value 11,455,313 28,847,350
Cost or amortized cost 11,507,972 29,454,414
Unrealized loss (52,659) (607,064)
Corporate [Member]    
Schedule of Available-for-sale Securities [Line Items]    
Less than 12 months, fair value 1,396,706 14,304,322
Less than 12 months, Cost or amortized cost 1,406,183 14,550,153
Less than 12 months, unrealized loss (9,477) (245,831)
Greater than 12 months, fair value 5,745,289
Greater than 12 months, Cost or amortized cost 5,892,700
Greater than 12 months, unrealized loss (147,411)
Fair value 1,396,706 20,049,611
Cost or amortized cost 1,406,183 20,442,853
Unrealized loss (9,477) (393,242)
Municipal [Member]    
Schedule of Available-for-sale Securities [Line Items]    
Less than 12 months, fair value 1,969,468 3,069,720
Less than 12 months, Cost or amortized cost 1,999,134 3,100,036
Less than 12 months, unrealized loss (29,666) (30,316)
Greater than 12 months, fair value 838,980
Greater than 12 months, Cost or amortized cost 869,008
Greater than 12 months, unrealized loss (30,028)
Fair value 1,969,468 3,908,700
Cost or amortized cost 1,999,134 3,969,044
Unrealized loss (29,666) (60,344)
Fixed Maturity Securities [Member]    
Schedule of Available-for-sale Securities [Line Items]    
Less than 12 months, fair value 9,764,755 34,264,899
Less than 12 months, Cost or amortized cost 9,825,805 34,689,546
Less than 12 months, unrealized loss (61,050) (424,647)
Greater than 12 months, fair value 5,756,123 19,869,687
Greater than 12 months, Cost or amortized cost 5,787,802 20,525,340
Greater than 12 months, unrealized loss (31,679) (655,653)
Fair value 15,520,878 54,134,586
Cost or amortized cost 15,613,607 55,214,886
Unrealized loss $ (92,729) (1,080,300)
Common Stocks [Member]    
Schedule of Available-for-sale Securities [Line Items]    
Less than 12 months, fair value   8,187,764
Less than 12 months, Cost or amortized cost   10,324,066
Less than 12 months, unrealized loss   (2,136,302)
Fair value   8,187,764
Cost or amortized cost   10,324,066
Unrealized loss   $ (2,136,302)