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INVESTMENTS (Tables)
9 Months Ended
Sep. 30, 2014
INVESTMENTS [Abstract]  
Amortized cost and estimated values of investments in securities including investments held for sale
Investments in available for sale securities are summarized as follows:

September 30, 2014
 
Original or Amortized
Cost
  
Gross Unrealized Gains
  
Gross Unrealized Losses
  
Estimated
Fair
Value
Investments available for sale:
           
Fixed maturities
           
U.S. Government and govt. agencies and authorities
 
$
32,975,714
 
 
$
2,916,994
 
 
$
(76,928)
 
 
$
35,815,780
States, municipalities and political subdivisions
 
95,000
  
1,600
  
0
  
96,600
U.S. special revenue and assessments
 
1,703,536
  
70,642
  
(212,870)
  
1,561,308
Collateralized mortgage obligations
 
1,089,595
  
99,994
  
(7)
  
1,189,582
Public utilities
 
399,924
  
56,314
  
0
  
456,238
All other corporate bonds
 
133,748,188
  
7,131,299
  
(1,614,061)
  
139,265,426
  
170,011,957
  
10,276,843
  
(1,903,866)
  
178,384,934
Equity securities
 
39,959,006
  
4,368,467
  
(144,194)
  
44,183,279
Total
$
209,970,963
 
$
14,645,310
 
$
(2,048,060)
 
$
222,568,213


December 31, 2013
 
Original or Amortized
Cost
  
Gross Unrealized Gains
  
Gross Unrealized Losses
  
Estimated
Fair
Value
Investments available for sale:
           
Fixed maturities
           
U.S. Government and govt. agencies and authorities
 
$
32,963,938
 
 
$
3,156,158
 
 
$
(107,550)
 
 
$
36,012,546
States, municipalities and political subdivisions
 
110,000
  
0
  
(924)
  
109,076
U.S. special revenue and assessments
 
2,152,892
  
95,763
  
(239,620)
  
2,009,035
Collateralized mortgage obligations
 
1,289,975
  
116,900
  
(13)
  
1,406,862
Public utilities
 
399,913
  
49,567
  
0
  
449,480
All other corporate bonds
 
134,168,678
  
3,483,229
  
(3,229,082)
  
134,422,825
  
171,085,396
  
6,901,617
  
(3,577,189)
  
174,409,824
Equity securities
 
38,625,230
  
1,889,748
  
0
  
40,514,978
Total
$
209,710,626
 
$
8,791,365
 
$
(3,577,189)
 
$
214,924,802
 
Amortized cost and estimated market value of debt securities, by contractual maturity
The amortized cost and estimated market value of debt securities at September 30, 2014, by contractual maturity, is shown below.  Expected maturities will differ from contractual maturities because borrowers may have the right to call or prepay obligations with or without call or prepayment penalties.

Fixed Maturities Available for Sale
September 30, 2014
 
Amortized
Cost
  
Estimated
Fair Value
      
Due in one year or less
$
2,123,529
 
$
2,162,219
Due after one year through five years
 
30,119,653
  
32,271,787
Due after five years through ten years
 
88,663,220
  
93,033,930
Due after ten years
 
48,015,960
  
49,727,416
Collateralized mortgage obligations
 
1,089,595
  
1,189,582
Total
$
170,011,957
 
$
178,384,934

Fair value of investments with sustained gross unrealized losses
The fair value of investments with sustained gross unrealized losses at September 30, 2014 and December 31, 2013 are as follows:

September 30, 2014
 
Less than 12 months
  
12 months or longer
  
Total
            
  
Fair value
Unrealized losses
  
Fair value
Unrealized losses
  
Fair value
Unrealized losses
U.S. Government and govt. agencies and authorities
$
0
0
 
$
4,920,310
(76,928)
 
$
4,920,310
(76,928)
U.S. Special Revenue and Assessments
 
0
0
  
774,450
(212,870)
  
774,450
(212,870)
Collateralized mortgage obligations
 
0
0
  
1,034
(7)
  
1,034
(7)
All other corporate bonds
 
21,284,486
(237,864)
  
3,394,304
(1,376,197)
  
24,678,790
(1,614,061)
Total fixed maturities
$
21,284,486
(237,864)
 
$
9,090,098
(1,666,002)
 
$
30,374,584
(1,903,866)
            
Equity securities
$
1,055,295
(144,194)
 
$
0
0
 
$
1,055,295
(144,194)

December 31, 2013
 
Less than 12 months
  
12 months or longer
  
Total
            
  
Fair value
Unrealized losses
  
Fair value
Unrealized losses
  
Fair value
Unrealized losses
U.S. Government and govt. agencies and authorities
$
4,889,060
(107,550)
 
$
0
0
 
$
4,889,060
(107,550)
States, municipalities and political subdivisions
 
109,076
(924)
  
0
0
  
109,076
(924)
U.S. special revenue and assessments
 
747,700
(239,620)
  
0
0
  
747,700
(239,620)
Collateralized mortgage obligations
 
1,922
(13)
  
0
0
  
1,922
(13)
All other corporate bonds
 
49,430,637
(1,481,562)
  
7,318,832
(1,747,520)
  
56,749,469
(3,229,082)
Total fixed maturities
$
55,178,395
(1,829,669)
 
$
7,318,832
(1,747,520)
 
$
62,497,227
(3,577,189)
            
Equity securities
$
0
0
 
$
0
0
 
$
0
0

Additional information regarding investments in an unrealized loss position is as follows:

 
Less than 12 months
 
12 months or longer
 
Total
As of September 30, 2014
     
Fixed maturities
10
 
7
 
17
Equity securities
22
 
0
 
22
As of December 31, 2013
     
Fixed maturities
30
 
5
 
35
Equity securities
0
 
0
 
0

Other than temporary impairments
Based on Management's review of the investment portfolio, the Company recorded the following losses for other-than-temporary impairments in the Condensed Consolidated Statements of Operations:

  
Three Months Ended
  
September 30,
  
2014
  
2013
      
Other than temporary impairments:
     
Common stock
 $
0
  $
1,000,000
Mortgage loan
 
0
 
 
10,001
Total
 $
0
  $
1,010,001
      


  
Nine Months Ended
  
September 30,
  
2014
 
2013
     
Other than temporary impairments:
    
   Common stock
 
0
 
1,000,000
   Mortgage loan
 
0
 
10,001
    Real estate
$
0
$
26,926
Total
 
0
 
1,036,927

Trading revenue charged to investment
Trading revenue charged to net investment income from trading securities was:

  
Three Months Ended
  
September 30,
  
2014
  
2013
      
Net unrealized gains (losses)
$
(87,272)
 
$
200,447
Net realized gains (losses)
 
120,296
  
(258,099)
Net unrealized and realized gains (losses)
$
33,024
 
$
(57,652)


  
Nine Months Ended
  
September 30,
  
2014
  
2013
      
Net unrealized gains (losses)
$
(71,650)
 
$
249,992
Net realized gains (losses)
 
291,834
  
(42,237)
Net unrealized and realized gains (losses)
$
220,184
 
$
207,755