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Deposit-Type Contracts (Schedule of Contracts) (Details) - USD ($)
12 Months Ended
Dec. 31, 2019
Dec. 31, 2018
Deposit contract liabilities    
Beginning balance $ 7,234,927 $ 8,314,297
US Alliance 657,986 804,187
Commutation of assumption agreement   (1,881,411)
Deposits received 161,392,700 650
Investment earnings (includes MVA adjustment and embedded derivative) 9,271 47,936
Withdrawals (160,590) (50,732)
Ending balance 171,168,785 7,234,927
Ironbound Reinsurance Company Limited    
Deposit contract liabilities    
Deposit contract 1,839,551
SDA [Member]    
Deposit contract liabilities    
Deposit contract $ 194,940