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5. Fair Value of Financial Instruments (Details) - USD ($)
Mar. 31, 2016
Dec. 31, 2015
Reinsurance balances payable $ 3,225,893 $ 1,688,922
Carrying Value [Member]    
Fixed-maturity securities held-to-maturity 5,140,522 5,138,872
Cash and cash equivalents 5,579,224 13,551,372
Premiums receivable 10,522,191 10,621,655
Reinsurance receivables 35,830,346 31,270,235
Real estate, net of accumulated depreciation 1,698,035 1,710,897
Reinsurance balances payable 3,225,893 1,688,922
Fair Value [Member]    
Fixed-maturity securities held-to-maturity 5,366,630 5,241,095
Cash and cash equivalents 5,579,224 13,551,372
Premiums receivable 10,522,191 10,621,655
Reinsurance receivables 35,830,346 31,270,235
Real estate, net of accumulated depreciation 1,925,000 1,925,000
Reinsurance balances payable $ 3,225,893 $ 1,688,922