XML 25 R42.htm IDEA: XBRL DOCUMENT v2.4.0.8
Disclosures About Fair Values of Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2013
Disclosures About Fair Value of Financial Instruments [Abstract]  
Carrying amount, estimated fair value and level within the fair value hierarchy of financial instruments
The estimated fair values have been determined by the Company using available market information from various market sources and appropriate valuation methodologies as of the respective dates.  However, considerable judgment is necessary to interpret market data and to develop the estimates of fair value. Accordingly, the estimates presented herein are not necessarily indicative of the amounts which the Company could realize in a current market exchange.  The use of different market assumptions and/or estimation methodologies may have a material effect on the estimated fair value amounts.
 
 
 
  
2013
  
2012
 
 
 
Level in Fair Value Hierarchy (1)
  
Carrying
Amount
  
Estimated
Fair Value
  
Carrying
Amount
  
Estimated
Fair Value
 
Assets:
 
  
  
  
  
 
Cash and cash equivalents
 
Level 1
  
$
33,102
  
$
33,102
  
$
18,951
  
$
18,951
 
Fixed maturities
 
(1)
  
201,303
   
201,303
   
230,508
   
230,508
 
Equity securities
 
(1)
  
21,890
   
21,890
   
12,205
   
12,205
 
Other invested assets
 
Level 3
   
2,123
   
2,123
   
565
   
565
 
Policy loans
 
Level 2
   
2,369
   
2,369
   
2,338
   
2,338
 
Real estate
 
Level 2
   
38
   
38
   
38
   
38
 
Investments in unconsolidated trusts
 
Level 2
   
1,238
   
1,238
   
1,238
   
1,238
 
 
                    
Liabilities:
                    
Junior Subordinated Debentures
 
Level 2
   
41,238
   
41,238
   
41,238
   
41,238
 
Derivative financial instrument
 
Level 3
   
-
   
-
   
141
   
141
 

(1)See Note 2 for a description of the fair value hierarchy as well as a disclosure of levels for classes of these financial assets.