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5. Fair Value of Financial Instruments (Details) (USD $)
Jun. 30, 2014
Dec. 31, 2013
Reinsurance balances payable $ 3,881,409 $ 2,566,729
Carrying Value
   
Fixed-maturity securities held-to-maturity 4,621,872 2,399,482
Cash and cash equivalents 6,824,249 19,922,506
Premiums receivable 9,249,702 7,590,074
Receivables - reinsurance contracts 1,068,551 974,989
Reinsurance receivables 44,423,447 37,560,825
Real estate net of accumulated depreciation 1,767,459 1,777,942
Reinsurance balances payable 3,881,409 2,566,729
Fair Value
   
Fixed-maturity securities held-to-maturity 4,829,265 2,425,261
Cash and cash equivalents 6,824,249 19,922,506
Premiums receivable 9,249,702 7,590,074
Receivables - reinsurance contracts 1,068,551 974,989
Reinsurance receivables 44,423,447 37,560,825
Real estate net of accumulated depreciation 1,816,122 1,816,122
Reinsurance balances payable $ 3,881,409 $ 2,566,729