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Disclosures About Fair Value of Financial Instruments (Details) (USD $)
3 Months Ended
Sep. 30, 2011
Financial assets: 
Cash and Cash Equivalents:Cash and Cash Equivalents: Carrying amounts for these items approximate fair value because of the short maturity of these instruments. The majority of the Company’s cash is held in the Federated Government Obligations Money Market Fund.
Investments in fixed maturities and equity securities:Investments in fixed maturities and equity securities: Fair values are estimated based on quoted market prices, or dealer quotes for the actual or comparable securities. The Company regularly evaluates the carrying value of securities to determine whether there has been any diminution in value that is other-than-temporary.
Financial liabilities: 
Debt:Debt: Carrying amounts for these items approximates fair value because they are based on current interest rates.
Financial assets: 
Available-for-sale securities$ 88,292,000
Investments with fixed maturities | Carrying Amount
 
Financial assets: 
Available-for-sale securities39,436,000
Investments with fixed maturities | Estimated Fair Value
 
Financial assets: 
Available-for-sale securities39,436,000
Equity Securities | Carrying Amount
 
Financial assets: 
Available-for-sale securities48,856,000
Equity Securities | Estimated Fair Value
 
Financial assets: 
Available-for-sale securities48,856,000
Carrying Amount
 
Financial assets: 
Cash and cash equivalents94,374,000
Notes and other receivables, net9,924,000
Reinsurance receivable13,446,000
Financial liabilities: 
Debt63,059,000
Estimated Fair Value
 
Financial assets: 
Cash and cash equivalents94,374,000
Notes and other receivables, net9,924,000
Reinsurance receivable13,446,000
Financial liabilities: 
Debt$ 63,059,000