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Fair Value of Financial Instruments and Real Estate - Schedule of Fair Value of Financial Instruments (Details) - USD ($)
Sep. 30, 2024
Dec. 31, 2023
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]    
Reinsurance balances payable, Level 3 $ 9,866,555 $ 12,837,140
Carrying Value    
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]    
Fixed-maturity securities held-to- maturity, Level 1 7,048,662 7,052,541
Fixed-maturity securities available-for-sale, Level 1 109,780,907 91,046,936
Fixed-maturity securities available-for-sale, Level 2 55,677,438 57,873,861
Cash and cash equivalents, Level 1 33,760,798 8,976,998
Premiums receivable, net, Level 1 17,601,417 13,604,808
Reinsurance receivables, net, Level 3 65,746,827 75,593,912
Real estate, net of accumulated depreciation, Level 3 1,941,671 1,992,529
Reinsurance balances payable, Level 3 9,866,555 12,837,140
Fair Value    
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]    
Fixed-maturity securities held-to- maturity, Level 1 6,278,968 6,106,148
Fixed-maturity securities available-for-sale, Level 1 109,780,907 91,046,936
Fixed-maturity securities available-for-sale, Level 2 55,677,438 57,873,861
Cash and cash equivalents, Level 1 33,760,798 8,976,998
Premiums receivable, net, Level 1 17,601,417 13,604,808
Reinsurance receivables, net, Level 3 65,746,827 75,593,912
Real estate, net of accumulated depreciation, Level 3 3,540,000 3,540,000
Reinsurance balances payable, Level 3 $ 9,866,555 $ 12,837,140