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Investments - Schedule of Available-For-Sale Securities with Unrealized Losses (Details)
6 Months Ended 12 Months Ended
Jun. 30, 2026
USD ($)
position
Dec. 31, 2025
USD ($)
position
Total fixed-maturity securities    
Net Investment Income [Line Items]    
Estimated Fair Value - less than 12 months $ 173,746,777 $ 39,581,407
Unrealized Losses - less than 12 months $ (1,857,071) $ (181,869)
Number of Positions Held - less than 12 months | position 198 44
Estimated Fair Value - 12 months or more $ 69,681,511 $ 78,277,742
Unrealized Losses - 12 months or more $ (9,673,512) $ (9,552,868)
Number of Positions Held - 12 months or more | position 75 81
Estimated Fair Value - total $ 243,428,288 $ 117,859,149
Unrealized Losses - total (11,530,583) (9,734,737)
U.S. Treasury securities and obligations of U.S. government corporations and agencies    
Net Investment Income [Line Items]    
Estimated Fair Value - less than 12 months 1,487,815  
Unrealized Losses - less than 12 months $ (10,291)  
Number of Positions Held - less than 12 months | position 2  
Estimated Fair Value - 12 months or more $ 0  
Unrealized Losses - 12 months or more $ 0  
Number of Positions Held - 12 months or more | position 0  
Estimated Fair Value - total $ 1,487,815  
Unrealized Losses - total (10,291)  
Political subdivisions of States, Territories and Possessions    
Net Investment Income [Line Items]    
Estimated Fair Value - less than 12 months 0 0
Unrealized Losses - less than 12 months $ 0 $ 0
Number of Positions Held - less than 12 months | position 0 0
Estimated Fair Value - 12 months or more $ 13,863,574 $ 13,926,802
Unrealized Losses - 12 months or more $ (2,582,468) $ (2,534,725)
Number of Positions Held - 12 months or more | position 12 12
Estimated Fair Value - total $ 13,863,574 $ 13,926,802
Unrealized Losses - total (2,582,468) (2,534,725)
Corporate and other bonds industrial and miscellaneous    
Net Investment Income [Line Items]    
Estimated Fair Value - less than 12 months 103,239,199 21,525,673
Unrealized Losses - less than 12 months $ (1,112,828) $ (118,901)
Number of Positions Held - less than 12 months | position 117 24
Estimated Fair Value - 12 months or more $ 30,041,135 $ 34,677,856
Unrealized Losses - 12 months or more $ (2,658,148) $ (2,540,470)
Number of Positions Held - 12 months or more | position 33 38
Estimated Fair Value - total $ 133,280,334 $ 56,203,529
Unrealized Losses - total (3,770,976) (2,659,371)
Residential mortgage and other asset backed securities    
Net Investment Income [Line Items]    
Estimated Fair Value - less than 12 months 69,019,763 18,055,734
Unrealized Losses - less than 12 months $ (733,952) $ (62,968)
Number of Positions Held - less than 12 months | position 79 20
Estimated Fair Value - 12 months or more $ 25,776,802 $ 29,673,084
Unrealized Losses - 12 months or more $ (4,432,896) $ (4,477,673)
Number of Positions Held - 12 months or more | position 30 31
Estimated Fair Value - total $ 94,796,565 $ 47,728,818
Unrealized Losses - total $ (5,166,848) $ (4,540,641)