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4. Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2014
Notes to Financial Statements  
Schedule of Fair Value Measurements

The Company’s investments are allocated among pricing input levels at June 30, 2014 and December 31, 2013 as follows:

 

   June 30, 2014 
($ in thousands)  Level 1   Level 2   Level 3   Total 
     
 Fixed-maturity securities available for sale                    
 Political subdivisions of                    
 States, Territories and                    
 Possessions  -   12,728   -   12,728 
                     
 Corporate and other                    
 bonds industrial and                    
 miscellaneous   21,219    7,648    -    28,867 
 Total fixed maturities   21,219    20,376    -    41,595 
 Equity securities   9,403    -    -    9,403 
 Total investments  $30,622   $20,376   $-   $50,998 

 

   December 31, 2013 
($ in thousands)  Level 1   Level 2   Level 3   Total 
     
 Fixed-maturity securities available for sale                    
 Political subdivisions of                    
 States, Territories and                    
 Possessions  $-   $7,068   $-   $7,068 
                     
 Corporate and other                    
 bonds industrial and                    
 miscellaneous   20,731    637    -    21,368 
 Total fixed maturities   20,731    7,705    -    28,436 
 Equity securities   6,797    -    -    6,797 
 Total investments  $27,528   $7,705   $-   $35,233