INVESTMENTS (Details) (USD $) | 3 Months Ended | 9 Months Ended | |
Sep. 30, 2014 | Sep. 30, 2013 | Sep. 30, 2014 | Sep. 30, 2013 | Dec. 31, 2013 |
Loans | Loans | Loans |
Amortized cost and estimated value of debt securities, by contractual maturity [Abstract] | ' | ' | ' | ' | ' |
Due in one year or less | $2,162,219 | ' | $2,162,219 | ' | ' |
Due after one year through five years | 32,271,787 | ' | 32,271,787 | ' | ' |
Due after five years through ten years | 93,033,930 | ' | 93,033,930 | ' | ' |
Due after ten years | 49,727,416 | ' | 49,727,416 | ' | ' |
Collateralized mortgage obligations | 1,189,582 | ' | 1,189,582 | ' | ' |
Total | 178,384,934 | ' | 178,384,934 | ' | ' |
Fixed maturities [Abstract] | ' | ' | ' | ' | ' |
Original or Amortized Cost | 209,970,963 | ' | 209,970,963 | ' | 209,710,626 |
Gross Unrealized Gains | ' | ' | 14,645,310 | 8,791,365 | ' |
Gross Unrealized Losses | ' | ' | -2,048,060 | -3,577,189 | ' |
Estimated Market Value | 222,568,213 | ' | 222,568,213 | ' | 214,924,802 |
Available-for-sale Securities, Continuous Unrealized Loss Position [Abstract] | ' | ' | ' | ' | ' |
Twelve months or longer, Fair value | ' | ' | ' | ' | 0 |
Other than Temporary Impairment Losses, Investments, Available-for-sale Securities [Abstract] | ' | ' | ' | ' | ' |
Other than temporary impairment losses, investments, available-for-sale securities | 0 | 1,010,001 | 0 | 1,036,927 | ' |
Amortized cost and estimated market value of debt securities, by contractual maturity [Abstract] | ' | ' | ' | ' | ' |
Due in one year or less | 2,123,529 | ' | 2,123,529 | ' | ' |
Due after one year through five years | 30,119,653 | ' | 30,119,653 | ' | ' |
Due after five years through ten years | 88,663,220 | ' | 88,663,220 | ' | ' |
Due after ten years | 48,015,960 | ' | 48,015,960 | ' | ' |
Collateralized mortgage obligation | 1,089,595 | ' | 1,089,595 | ' | ' |
Total | 170,011,957 | ' | 170,011,957 | ' | ' |
Trading Securities [Abstract] | ' | ' | ' | ' | ' |
Fair value, derivatives included in trading security assets | 41,000 | ' | 41,000 | ' | 194,000 |
Fair value, derivative included in trading security liabilities | -107,202 | ' | -107,202 | ' | -353,907 |
Trading securities, net unrealized gain (loss) | -87,272 | 200,447 | -71,650 | 249,992 | ' |
Trading securities, realized gain (loss) | 120,296 | -258,099 | 291,834 | -42,237 | ' |
Increase (Decrease) in Trading Securities [Abstract] | ' | ' | ' | ' | ' |
Net Realized and Unrealized Gain (Loss) on Trading Securities | 33,024 | -57,652 | 220,184 | 207,755 | ' |
Mortgages [Abstract] | ' | ' | ' | ' | ' |
Number of Mortgage Loans including Discounted Mortgage Loans | 35 | ' | 35 | ' | 39 |
Mortgage Loans including Discounted Mortgage Loans | 26,234,213 | ' | 26,234,213 | ' | 27,285,269 |
Mortgage loans reserve | ' | ' | ' | ' | 0 |
Average purchase price to outstanding loan (in hundredths) | ' | ' | 31.98% | ' | ' |
U.S. Government and Government Agencies and Authorities [Member] | ' | ' | ' | ' | ' |
Fixed maturities [Abstract] | ' | ' | ' | ' | ' |
Original or Amortized Cost | 32,975,714 | ' | 32,975,714 | ' | 32,963,938 |
Gross Unrealized Gains | ' | ' | 2,916,994 | 3,156,158 | ' |
Gross Unrealized Losses | ' | ' | -76,928 | -107,550 | ' |
Estimated Market Value | 35,815,780 | ' | 35,815,780 | ' | 36,012,546 |
Available-for-sale Securities, Continuous Unrealized Loss Position [Abstract] | ' | ' | ' | ' | ' |
Less than 12 months, Fair value | 0 | ' | 0 | ' | 4,889,060 |
Less than 12 months, Unrealized losses | ' | ' | 0 | -107,550 | ' |
Twelve months or longer, Fair value | 4,920,310 | ' | 4,920,310 | ' | ' |
Twelve months or longer, Unrealized losses | ' | 0 | -76,928 | ' | ' |
Total Fair value | 4,920,310 | ' | 4,920,310 | ' | 4,889,060 |
Total Unrealized losses | ' | -107,550 | -76,928 | ' | ' |
US Special Revenue and Assessments [Member] | ' | ' | ' | ' | ' |
Fixed maturities [Abstract] | ' | ' | ' | ' | ' |
Original or Amortized Cost | 1,703,536 | ' | 1,703,536 | ' | 2,152,892 |
Gross Unrealized Gains | ' | ' | 70,642 | 95,763 | ' |
Gross Unrealized Losses | ' | ' | -212,870 | -239,620 | ' |
Estimated Market Value | 1,561,308 | ' | 1,561,308 | ' | 2,009,035 |
Available-for-sale Securities, Continuous Unrealized Loss Position [Abstract] | ' | ' | ' | ' | ' |
Less than 12 months, Fair value | 0 | ' | 0 | ' | 747,700 |
Less than 12 months, Unrealized losses | ' | ' | 0 | -239,620 | ' |
Twelve months or longer, Fair value | 774,450 | ' | 774,450 | ' | ' |
Twelve months or longer, Unrealized losses | ' | 0 | -212,870 | ' | ' |
Total Fair value | 774,450 | ' | 774,450 | ' | 747,700 |
Total Unrealized losses | ' | -239,620 | -212,870 | ' | ' |
States, Municipalities and Political Subdivisions [Member] | ' | ' | ' | ' | ' |
Fixed maturities [Abstract] | ' | ' | ' | ' | ' |
Original or Amortized Cost | 95,000 | ' | 95,000 | ' | 110,000 |
Gross Unrealized Gains | ' | ' | 1,600 | 0 | ' |
Gross Unrealized Losses | ' | ' | 0 | -924 | ' |
Estimated Market Value | 96,600 | ' | 96,600 | ' | 109,076 |
Available-for-sale Securities, Continuous Unrealized Loss Position [Abstract] | ' | ' | ' | ' | ' |
Less than 12 months, Fair value | ' | ' | ' | ' | 109,076 |
Less than 12 months, Unrealized losses | ' | ' | ' | -924 | ' |
Twelve months or longer, Unrealized losses | ' | 0 | ' | ' | ' |
Total Fair value | ' | ' | ' | ' | 109,076 |
Total Unrealized losses | ' | -924 | ' | ' | ' |
Collateralized Mortgage Obligations [Member] | ' | ' | ' | ' | ' |
Fixed maturities [Abstract] | ' | ' | ' | ' | ' |
Original or Amortized Cost | 1,089,595 | ' | 1,089,595 | ' | 1,289,975 |
Gross Unrealized Gains | ' | ' | 99,994 | 116,900 | ' |
Gross Unrealized Losses | ' | ' | -7 | -13 | ' |
Estimated Market Value | 1,189,582 | ' | 1,189,582 | ' | 1,406,862 |
Available-for-sale Securities, Continuous Unrealized Loss Position [Abstract] | ' | ' | ' | ' | ' |
Less than 12 months, Fair value | 0 | ' | 0 | ' | 1,922 |
Less than 12 months, Unrealized losses | ' | ' | 0 | -13 | ' |
Twelve months or longer, Fair value | 1,034 | ' | 1,034 | ' | 0 |
Twelve months or longer, Unrealized losses | ' | ' | -7 | 0 | ' |
Total Fair value | 1,034 | ' | 1,034 | ' | 1,922 |
Total Unrealized losses | ' | ' | -7 | -13 | ' |
Common Stock [Member] | ' | ' | ' | ' | ' |
Other than Temporary Impairment Losses, Investments, Available-for-sale Securities [Abstract] | ' | ' | ' | ' | ' |
Other than temporary impairment losses, investments, available-for-sale securities | 0 | 1,000,000 | 0 | 1,000,000 | ' |
Mortgage Loans on Real Estate [Member] | ' | ' | ' | ' | ' |
Other than Temporary Impairment Losses, Investments, Available-for-sale Securities [Abstract] | ' | ' | ' | ' | ' |
Other than temporary impairment losses, investments, available-for-sale securities | 0 | 10,001 | 0 | 10,001 | ' |
Commercial Real Estate [Member] | ' | ' | ' | ' | ' |
Other than Temporary Impairment Losses, Investments, Available-for-sale Securities [Abstract] | ' | ' | ' | ' | ' |
Other than temporary impairment losses, investments, available-for-sale securities | ' | ' | 0 | 26,926 | ' |
Public Utilities [Member] | ' | ' | ' | ' | ' |
Fixed maturities [Abstract] | ' | ' | ' | ' | ' |
Original or Amortized Cost | 399,924 | ' | 399,924 | ' | 399,913 |
Gross Unrealized Gains | ' | ' | 56,314 | 49,567 | ' |
Gross Unrealized Losses | ' | ' | 0 | 0 | ' |
Estimated Market Value | 456,238 | ' | 456,238 | ' | 449,480 |
Debt Securities [Member] | ' | ' | ' | ' | ' |
Fixed maturities [Abstract] | ' | ' | ' | ' | ' |
Original or Amortized Cost | 170,011,957 | ' | 170,011,957 | ' | 171,085,396 |
Gross Unrealized Gains | ' | ' | 10,276,843 | 6,901,617 | ' |
Gross Unrealized Losses | ' | ' | -1,903,866 | -3,577,189 | ' |
Estimated Market Value | 178,384,934 | ' | 178,384,934 | ' | 174,409,824 |
Available-for-sale Securities, Continuous Unrealized Loss Position [Abstract] | ' | ' | ' | ' | ' |
Less than 12 months, Fair value | 21,284,486 | ' | 21,284,486 | ' | 55,178,395 |
Less than 12 months, Unrealized losses | ' | ' | -237,864 | -1,829,669 | ' |
Twelve months or longer, Fair value | 9,090,098 | ' | 9,090,098 | ' | 7,318,832 |
Twelve months or longer, Unrealized losses | ' | ' | -1,666,002 | -1,747,520 | ' |
Total Fair value | 30,374,584 | ' | 30,374,584 | ' | 62,497,227 |
Total Unrealized losses | ' | ' | -1,903,866 | -3,577,189 | ' |
Less than 12 months Number of Securities | 10 | ' | 10 | ' | 30 |
Twelve months or longer Number of Securities | 7 | ' | 7 | ' | 5 |
Total Number of Securities | 17 | ' | 17 | ' | 35 |
Equity Securities [Member] | ' | ' | ' | ' | ' |
Fixed maturities [Abstract] | ' | ' | ' | ' | ' |
Original or Amortized Cost | 39,959,006 | ' | 39,959,006 | ' | 38,625,230 |
Gross Unrealized Gains | ' | ' | 4,368,467 | 1,889,748 | ' |
Gross Unrealized Losses | ' | ' | -144,194 | 0 | ' |
Estimated Market Value | 44,183,279 | ' | 44,183,279 | ' | 40,514,978 |
Available-for-sale Securities, Continuous Unrealized Loss Position [Abstract] | ' | ' | ' | ' | ' |
Less than 12 months, Fair value | 1,055,295 | ' | 1,055,295 | ' | 0 |
Less than 12 months, Unrealized losses | ' | ' | -144,194 | 0 | ' |
Twelve months or longer, Fair value | 0 | ' | 0 | ' | 0 |
Twelve months or longer, Unrealized losses | ' | ' | 0 | 0 | ' |
Total Fair value | 1,055,295 | ' | 1,055,295 | ' | 0 |
Total Unrealized losses | ' | ' | -144,194 | 0 | ' |
Less than 12 months Number of Securities | 22 | ' | 22 | ' | 0 |
Twelve months or longer Number of Securities | 0 | ' | 0 | ' | 0 |
Total Number of Securities | 22 | ' | 22 | ' | 0 |
All Other Corporate Bonds [Member] | ' | ' | ' | ' | ' |
Fixed maturities [Abstract] | ' | ' | ' | ' | ' |
Original or Amortized Cost | 133,748,188 | ' | 133,748,188 | ' | 134,168,678 |
Gross Unrealized Gains | ' | ' | 7,131,299 | 3,483,229 | ' |
Gross Unrealized Losses | ' | ' | -1,614,061 | -3,229,082 | ' |
Estimated Market Value | 139,265,426 | ' | 139,265,426 | ' | 134,422,825 |
Available-for-sale Securities, Continuous Unrealized Loss Position [Abstract] | ' | ' | ' | ' | ' |
Less than 12 months, Fair value | 21,284,486 | ' | 21,284,486 | ' | 49,430,637 |
Less than 12 months, Unrealized losses | ' | ' | -237,864 | -1,481,562 | ' |
Twelve months or longer, Fair value | 3,394,304 | ' | 3,394,304 | ' | 7,318,832 |
Twelve months or longer, Unrealized losses | ' | ' | -1,376,197 | -1,747,520 | ' |
Total Fair value | 24,678,790 | ' | 24,678,790 | ' | 56,749,469 |
Total Unrealized losses | ' | ' | ($1,614,061) | ($3,229,082) | ' |