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6. Fair Value of Financial Instruments (Details) (USD $)
Sep. 30, 2012
Dec. 31, 2011
Reinsurance balances payable $ 3,164,848 $ 2,761,828
Carrying Value
   
Fixed-maturity investments held to maturity 606,273 606,234
Cash and cash equivalents 2,447,849 173,126
Premiums receivable 6,854,026 5,779,085
Receivables - reinsurance contracts 2,668,123 1,734,535
Reinsurance receivables 27,182,289 23,880,814
Notes receivable-sale of business 331,207 393,511
Real estate net of accumulated depreciation 1,446,196 1,477,639
Reinsurance balances payable 3,164,848 2,761,828
Notes payable (including related parties) 1,097,000 1,047,000
Fair Value
   
Fixed-maturity investments held to maturity 792,101 777,953
Cash and cash equivalents 2,447,849 173,126
Premiums receivable 6,854,026 5,779,085
Receivables - reinsurance contracts 2,668,123 1,734,535
Reinsurance receivables 27,182,289 23,880,814
Notes receivable-sale of business 331,207 393,511
Real estate net of accumulated depreciation 1,510,000 1,510,000
Reinsurance balances payable 3,164,848 2,761,828
Notes payable (including related parties) $ 1,097,000 $ 1,047,000