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Schedule of Changes in Condensed Consolidated Balance Sheet Line Items Measured Using Level 3 Inputs (Details) - USD ($)
3 Months Ended 9 Months Ended
Sep. 30, 2023
Sep. 30, 2022
Sep. 30, 2023
Sep. 30, 2022
Subsidiary, Sale of Stock [Line Items]        
Net loan commitments, beginning [1]     $ 4,089,856  
Loans Held for Sale, Beginning     141,179,620  
Fixed Maturity Securities Available for Sale, Beginning     345,858,492  
Originations and purchases     50,158,586 $ 115,680,915
Sales, maturities and paydowns     (33,160,924) (11,695,675)
Total gains (losses) included in other comprehensive income $ (6,725,752) $ (13,527,157) (6,310,923) (42,014,068)
Net loan commitments, ending [2] 4,817,703   4,817,703  
Loans Held for Sale, Ending 152,546,566   152,546,566  
Fixed Maturity Securities Available for Sale, Ending 356,448,259   356,448,259  
Net Derivatives Loan Commitments [Member]        
Subsidiary, Sale of Stock [Line Items]        
Net loan commitments, beginning 3,233,447 7,443,642 2,706,877 7,015,515
Originations and purchases
Sales, maturities and paydowns
Transfer to mortgage loans held for investment
Total gains (losses) included in earnings (1,504,286) [3] (3,271,282) [4] (977,716) [5] (2,843,155) [6]
Total gains (losses) included in other comprehensive income
Net loan commitments, ending 1,729,161 4,172,360 1,729,161 4,172,360
Loans Held For Sale [Member]        
Subsidiary, Sale of Stock [Line Items]        
Loans Held for Sale, Beginning 161,310,060 209,860,409 141,179,620 302,776,827
Fixed Maturity Securities Available for Sale, Beginning     141,179,620  
Originations and purchases 569,095,944 787,389,868 1,708,831,185 2,837,349,328
Sales, maturities and paydowns (585,545,472) (800,430,402) (1,726,023,095) (2,987,906,269)
Transfer to mortgage loans held for investment (1,867,552) (49,428,757) (3,017,626) (49,428,757)
Total gains (losses) included in earnings 9,553,586 [3] 14,590,805 [4] 31,576,482 [5] 59,190,794 [6]
Total gains (losses) included in other comprehensive income
Loans Held for Sale, Ending 152,546,566 161,981,923 152,546,566 161,981,923
Fixed Maturity Securities Available for Sale, Ending 152,546,566   152,546,566  
Fixed Maturity Securities Available For Sale 1 [Member]        
Subsidiary, Sale of Stock [Line Items]        
Net loan commitments, beginning     1,435,519  
Fixed Maturity Securities Available for Sale, Beginning 1,431,874 1,962,789 1,435,519 2,023,348
Originations and purchases
Sales, maturities and paydowns (129,521) (344,630) (129,521) (368,980)
Transfer to mortgage loans held for investment    
Total gains (losses) included in earnings (109) [7] [8] (109) [9] 1,957 [10]
Total gains (losses) included in other comprehensive income (70,057) 7,039 (73,702) (31,127)
Net loan commitments, ending 1,232,187   1,232,187  
Fixed Maturity Securities Available for Sale, Ending $ 1,232,187 $ 1,625,198 $ 1,232,187 $ 1,625,198
[1] Included in other assets on the consolidated balance sheets
[2] Included in other assets on the consolidated balance sheets
[3] As a component of Mortgage fee income on the condensed consolidated statements of earnings
[4] As a component of Mortgage fee income on the condensed consolidated statements of earnings
[5] As a component of Mortgage fee income on the condensed consolidated statements of earnings
[6] As a component of Mortgage fee income on the condensed consolidated statements of earnings
[7] As a component of Net investment income on the condensed consolidated statements of earnings
[8] As a component of Net investment income on the condensed consolidated statements of earnings
[9] As a component of Net investment income on the condensed consolidated statements of earnings
[10] As a component of Net investment income on the condensed consolidated statements of earnings