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Note 13: Correction of Errors: Schedule of Error Corrections and Prior Period Adjustments (Details) - USD ($)
3 Months Ended 12 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Dec. 31, 2016
Dec. 31, 2015
Receivables, net $ 6,302,801   $ 6,373,364  
Other assets 12,397,267   10,413,394  
Total Assets 959,517,363   951,678,583  
Future life, annuity, and other benefits 588,248,948   584,067,692  
Bank and other loans payable 153,594,078   152,140,679  
Income taxes 25,370,027   24,318,869  
Total liabilities 824,836,347   819,119,452  
Retained earnings 69,265,920   67,409,204  
Total stockholders' equity 134,681,016 $ 120,986,390 132,559,131 $ 117,716,679
Total Liabilities and Stockholders' Equity 959,517,363   951,678,583  
Mortgage fee income 38,427,854 41,212,008    
Total revenues 70,829,297 69,456,348    
Increase in future policy benefits 5,568,042 4,121,701    
Commissions 16,355,048 19,210,968    
Provision for loan loss reserve     1,700,000  
Costs related to funding mortgage loans 2,219,649 2,632,754    
Total benefits and expenses 67,931,527 65,385,268    
Earnings before income taxes 2,897,770 4,071,080    
Income tax expense 1,037,770 1,533,139    
Net earnings $ 1,860,000 $ 2,537,941    
Net earnings per Class A Equivalent common share (1) $ 0.12 $ 0.17    
Net earnings per Class A Equivalent common share-assuming dilution (1) $ 0.12 $ 0.17    
Net cash provided by operating activities $ 30,431,376 $ 27,275,404    
Net change in warehouse line borrowings (6,376,739) (1,412,370)    
Net cash used in financing activities (147,217) $ (1,513,256)    
Scenario, Previously Reported        
Represents the monetary amount of LoansHeldForSale, as of the indicated date. 54,401,522   82,491,091  
Receivables, net 15,736,045   18,870,119  
Other assets 8,141,683   6,891,468  
Total Assets 867,205,117   854,004,671  
Future life, annuity, and other benefits 589,405,726   585,610,063  
Bank and other loans payable 61,548,686   53,718,548  
Income taxes 28,717,508   27,904,294  
Total liabilities 737,292,214   725,825,117  
Retained earnings 64,494,807   63,029,627 54,054,950
Total stockholders' equity 129,909,903   128,179,554  
Total Liabilities and Stockholders' Equity 867,205,117   854,004,671  
Mortgage fee income 37,050,926   39,110,967  
Total revenues 69,452,369   67,355,307  
Increase in future policy benefits 5,182,449   4,160,260  
Commissions 15,721,074   16,842,270  
Provision for loan loss reserve 426,634   586,778  
Costs related to funding mortgage loans 2,065,134   2,154,397  
Total benefits and expenses 67,184,079   63,163,550  
Earnings before income taxes 2,268,290   4,191,757  
Income tax expense (799,826)   (1,580,220)  
Net earnings $ 1,468,464   $ 2,611,537  
Net earnings per Class A Equivalent common share (1) $ 0.10   $ 0.18  
Net earnings per Class A Equivalent common share-assuming dilution (1) $ 0.09   $ 0.17  
Net cash provided by operating activities $ 24,054,637   $ 25,863,034  
Net cash used in financing activities 6,229,522   (100,886)  
Scenario, Adjustment        
Represents the monetary amount of LoansHeldForSale, as of the indicated date. 97,489,906   106,648,741  
Receivables, net (9,433,244)   (12,496,755)  
Other assets 4,255,584   3,521,926  
Total Assets 92,312,246   97,673,912  
Future life, annuity, and other benefits (1,156,778)   (1,542,371)  
Bank and other loans payable 92,045,392   98,422,131  
Income taxes (3,347,481)   (3,585,425)  
Total liabilities 87,544,133   93,294,335  
Retained earnings 4,771,113   4,379,577 6,470,454
Total stockholders' equity 4,771,113   4,379,577  
Total Liabilities and Stockholders' Equity 92,312,246   97,673,912  
Mortgage fee income 1,376,928   2,101,041  
Total revenues 1,376,928   2,101,041  
Increase in future policy benefits 385,593   (38,559)  
Commissions 633,974   2,368,698  
Provision for loan loss reserve (426,634)   (586,778)  
Costs related to funding mortgage loans 154,515   478,357  
Total benefits and expenses 747,448   2,221,718  
Earnings before income taxes 629,480   (120,677)  
Income tax expense (237,944)   47,081  
Net earnings $ 391,536   $ (73,596)  
Net earnings per Class A Equivalent common share (1) $ 0.03   $ (0.01)  
Net earnings per Class A Equivalent common share-assuming dilution (1) $ 0.03   $ (0.00)  
Net cash provided by operating activities $ 6,376,739   $ 1,412,370  
Net change in warehouse line borrowings (6,376,739)   (1,412,370)  
Net cash used in financing activities (6,376,739)   (1,412,370)  
Restatement Adjustment        
Represents the monetary amount of LoansHeldForSale, as of the indicated date. 151,891,428   189,139,832  
Receivables, net 6,302,801   6,373,364  
Other assets 12,397,267   10,413,394  
Total Assets 959,517,363   951,678,583  
Future life, annuity, and other benefits 588,248,948   584,067,692  
Bank and other loans payable 153,594,078   152,140,679  
Income taxes 25,370,027   24,318,869  
Total liabilities 824,836,347   819,119,452  
Retained earnings 69,265,920   67,409,204 $ 60,525,404
Total stockholders' equity 134,681,016   132,559,131  
Total Liabilities and Stockholders' Equity 959,517,363   951,678,583  
Mortgage fee income 38,427,854   41,212,008  
Total revenues 70,829,297   69,456,348  
Increase in future policy benefits 5,568,042   4,121,701  
Commissions 16,355,048   19,210,968  
Costs related to funding mortgage loans 2,219,649   2,632,754  
Total benefits and expenses 67,931,527   65,385,268  
Earnings before income taxes 2,897,770   4,071,080  
Income tax expense (1,037,770)   (1,533,139)  
Net earnings $ 1,860,000   $ 2,537,941  
Net earnings per Class A Equivalent common share (1) $ 0.12   $ 0.17  
Net earnings per Class A Equivalent common share-assuming dilution (1) $ 0.12   $ 0.17  
Net cash provided by operating activities $ 30,431,376   $ 27,275,404  
Net change in warehouse line borrowings (6,376,739)   (1,412,370)  
Net cash used in financing activities $ (147,217)   $ (1,513,256)