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Note 2: Investments: Investments Classified by Contractual Maturity Date (Tables)
12 Months Ended
Dec. 31, 2016
Held-to-maturity Securities  
Investments Classified by Contractual Maturity Date

 

Amortized

Estimated Fair

 

   Cost   

    Value      

Held to Maturity:

Due in 2017

 $           6,148,334

 $           6,232,674

Due in 2018 through 2021

            42,886,637

            44,879,897

Due in 2022 through 2026

            42,090,383

            43,288,035

Due after 2026

            83,742,572

            87,324,617

Mortgage-backed securities

              9,488,083

              9,488,473

Redeemable preferred stock

                 623,635

                 637,053

Total held to maturity

 $       184,979,644

 $       191,850,749

Available-for-sale Securities  
Investments Classified by Contractual Maturity Date

 

 Estimated Fair

 Cost

     Value      

Available for Sale:

Common stock

$         10,985,338

$         10,573,356

Total available for sale

 $         10,985,338

 $         10,573,356