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FAIR VALUE MEASUREMENTS (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2016
Jun. 30, 2016
Dec. 31, 2015
Jun. 30, 2015
Dec. 31, 2014
Carrying Amount [Member]          
Assets [Abstract]          
Mortgage loans on real estate $ 19,379,549 $ 19,379,549 $ 17,769,930    
Discounted mortgage loans 0 0 0    
Investment real estate 51,475,190 51,475,190 47,650,102    
Policy Loans 10,566,130 10,566,130 10,684,244    
Notes receivable 14,963,160 14,963,160 10,597,907    
Cash and cash equivalents 14,033,579 14,033,579 11,822,615    
Liabilities [Abstract]          
Notes payable 0 0 0    
Estimated Fair Value [Member]          
Assets [Abstract]          
Mortgage loans on real estate 19,775,065 19,775,065 17,775,178    
Discounted mortgage loans 0 0 0    
Investment real estate 51,475,190 51,475,190 47,650,102    
Policy Loans 10,566,130 10,566,130 10,684,244    
Notes receivable 14,963,160 14,963,160 10,597,907    
Cash and cash equivalents 14,033,579 14,033,579 11,822,615    
Liabilities [Abstract]          
Notes payable 0 0 0    
Fixed Maturities, available for sale 191,847,215 191,847,215 185,119,097    
Trading Securities 63,000 63,000 0    
Trading Securities 53,721 53,721 28,609    
Beginning Balance   27,832,642      
Included in realized gains/(losses) 54,881        
Included in other comprehensive income 2,542,512        
Purchases 897,158        
Sales   (349,954)      
Ending Balance 30,977,239 30,977,239      
Discounted mortgage loans 0 0 0    
Investment real estate 51,475,190 51,475,190 47,650,102    
Notes receivable 14,963,160 14,963,160 10,597,907    
Cash and cash equivalents $ 14,033,579 $ 14,033,579 11,822,615 $ 20,644,252 $ 13,977,443
Minimum [Member]          
Liabilities [Abstract]          
Policy loan interest rate 4.00% 4.00%      
Maximum [Member]          
Liabilities [Abstract]          
Policy loan interest rate 8.00% 8.00%      
Measured on a recurring basis [Member]          
Assets [Abstract]          
Fixed Maturities, available for sale $ 191,847,215 $ 191,847,215 185,119,097    
Equity Securities, available for sale 54,367,773 54,367,773 45,685,340    
Trading Securities 63,000 63,000 0    
Total Financial Assets 246,277,988 246,277,988 230,804,437    
Liabilities [Abstract]          
Trading Securities 53,721 53,721 28,609    
Measured on a recurring basis [Member] | Level 1 [Member]          
Assets [Abstract]          
Fixed Maturities, available for sale 9,264,960 9,264,960 10,459,758    
Equity Securities, available for sale 19,730,733 19,730,733 13,312,331    
Trading Securities 63,000 63,000 0    
Total Financial Assets 29,058,693 29,058,693 23,772,089    
Liabilities [Abstract]          
Trading Securities 53,721 53,721 28,609    
Measured on a recurring basis [Member] | Level 2 [Member]          
Assets [Abstract]          
Fixed Maturities, available for sale 180,348,186 180,348,186 173,632,645    
Equity Securities, available for sale 5,893,870 5,893,870 5,567,061    
Trading Securities 0 0 0    
Total Financial Assets 186,242,056 186,242,056 179,199,706    
Liabilities [Abstract]          
Trading Securities 0 0 0    
Measured on a recurring basis [Member] | Level 3 [Member]          
Assets [Abstract]          
Fixed Maturities, available for sale 2,234,069 2,234,069 1,026,694    
Equity Securities, available for sale 28,743,170 28,743,170 26,805,948    
Trading Securities 0 0 0    
Total Financial Assets 30,977,239 30,977,239 27,832,642    
Liabilities [Abstract]          
Trading Securities 0 0 $ 0    
Fixed Maturities [Member]          
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation, Calculation [Roll Forward]          
Beginning Balance   1,026,694      
Total unrealized gain or (losses) [Abstract]          
Included in realized gains/(losses) 54,881        
Included in other comprehensive income 1,250,898        
Purchases 0        
Sales   (98,404)      
Ending Balance 2,234,069 2,234,069      
Equity Securities [Member]          
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation, Calculation [Roll Forward]          
Beginning Balance   26,805,948      
Total unrealized gain or (losses) [Abstract]          
Included in realized gains/(losses) 0        
Included in other comprehensive income 1,291,614        
Purchases 897,158        
Sales   (251,550)      
Ending Balance $ 28,743,170 $ 28,743,170