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Fair Values of Financial Instruments (Schedule of Financial Assets and Liabilities at Fair Value) (Details) - USD ($)
Dec. 31, 2018
Dec. 28, 2018
Dec. 31, 2017
Dec. 31, 2016
Assets:        
Cash $ 2,832,567   $ 951,527 $ 661,545
Liabilities:        
Surplus notes and accrued interest payable $ 876,400 550,000  
Fair Value, Inputs, Level 1 [Member]        
Assets:        
Policy loans    
Cash 2,832,567   951,527  
Liabilities:        
Policyholder deposits (Deposit-type contracts)    
Surplus notes and accrued interest payable    
Fair Value, Inputs, Level 2 [Member]        
Assets:        
Policy loans    
Cash    
Liabilities:        
Policyholder deposits (Deposit-type contracts)    
Surplus notes and accrued interest payable    
Fair Value, Inputs, Level 3 [Member]        
Assets:        
Policy loans 43,843   86,491  
Cash    
Liabilities:        
Policyholder deposits (Deposit-type contracts) 7,234,927   8,314,297  
Surplus notes and accrued interest payable 18,988,760   843,922  
Carrying (Reported) Amount, Fair Value Disclosure [Member]        
Assets:        
Policy loans 43,843   86,491  
Cash 2,832,567   951,527  
Liabilities:        
Policyholder deposits (Deposit-type contracts) 7,234,927   8,314,297  
Surplus notes and accrued interest payable 18,938,705   843,922  
Estimate Of Fair Value, Fair Value Disclosure [Member]        
Assets:        
Policy loans 43,843   86,491  
Cash 2,832,567   951,527  
Liabilities:        
Policyholder deposits (Deposit-type contracts) 7,234,927   8,314,297  
Surplus notes and accrued interest payable $ 18,988,760   $ 843,922