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Investments, Fixed Maturity Securities in Unrealized Loss Position (Details) - USD ($)
Dec. 31, 2023
Dec. 31, 2022
[1]
Fixed Maturity Securities, Estimated Fair Value [Abstract]    
Less than 12 months $ 2,042,000 $ 104,554,839
12 months or longer, fair value 93,077,414 0
Total 95,119,414 104,554,839
Fixed Maturity Securities, Unrealized Losses [Abstract]    
Less than 12 months (6,015) (9,032,290)
12 months or longer (6,227,891) 0
Total (6,233,906) (9,032,290)
U.S. Government and Govt. Agencies and Authorities [Member]    
Fixed Maturity Securities, Estimated Fair Value [Abstract]    
Less than 12 months 1,497,390 17,211,175
12 months or longer, fair value 12,090,389 0
Total 13,587,779 17,211,175
Fixed Maturity Securities, Unrealized Losses [Abstract]    
Less than 12 months (3,696) (1,104,146)
12 months or longer (725,501) 0
Total (729,197) (1,104,146)
U.S. Special Revenue and Assessment [Member]    
Fixed Maturity Securities, Estimated Fair Value [Abstract]    
Less than 12 months 0 7,199,100
12 months or longer, fair value 7,308,458 0
Total 7,308,458 7,199,100
Fixed Maturity Securities, Unrealized Losses [Abstract]    
Less than 12 months 0 (335,918)
12 months or longer (220,527) 0
Total (220,527) (335,918)
All Other Corporate Bonds [Member]    
Fixed Maturity Securities, Estimated Fair Value [Abstract]    
Less than 12 months 544,610 80,144,564
12 months or longer, fair value 73,678,567 0
Total 74,223,177 80,144,564
Fixed Maturity Securities, Unrealized Losses [Abstract]    
Less than 12 months (2,319) (7,592,226)
12 months or longer (5,281,863) 0
Total $ (5,284,182) $ (7,592,226)
[1] The Company has elected to reclassify certain investments to conform with the presentation for the year ended December 31, 2023. These reclassifications had no impact on previously reported net income.