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5. Fair Value of Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2012
Text Block [Abstract]  
Schedule of Fair Value of Financial Instruments
    June 30, 2012     December 31, 2011  
    Carrying Value     Fair Value     Carrying Value     Fair Value  
    (unaudited)  
                                 
Fixed-maturity investments held to maturity   $ 606,265     $ 797,992     $ 606,234     $ 777,953  
Cash and cash equivalents     1,025,724       1,025,724       173,126       173,126  
Premiums receivable     6,951,282       6,951,282       5,779,085       5,779,085  
Receivables - reinsurance contracts     3,423,759       3,423,759       1,734,535       1,734,535  
Reinsurance receivables     26,166,406       26,166,406       23,880,814       23,880,814  
Notes receivable-sale of business     339,102       339,102       393,511       393,511  
Real estate, net of accumulated depreciation     1,455,255       1,510,000       1,477,639       1,510,000  
Reinsurance balances payable     3,556,919       3,556,919       2,761,828       2,761,828  
Notes payable (including related parties)     997,000       997,000       1,047,000       1,047,000