<ARTICLE> 7 <PERIOD-TYPE> YEAR <FISCAL-YEAR-END> DEC-31-1995 <PERIOD-END> DEC-31-1995 <DEBT-HELD-FOR-SALE> 116,428,921 <DEBT-CARRYING-VALUE> 116,428,921 <DEBT-MARKET-VALUE> 116,428,921 <EQUITIES> 15,297 <MORTGAGE> 1,067,605 <REAL-ESTATE> 0 <TOTAL-INVEST> 135,602,668 <CASH> 12,289,801 <RECOVER-REINSURE> 17,635,580 <DEFERRED-ACQUISITION> 16,610,280 <TOTAL-ASSETS> 182,912,401 <POLICY-LOSSES> 0 <UNEARNED-PREMIUMS> 0 <POLICY-OTHER> 22,099,350 <POLICY-HOLDER-FUNDS> 118,608,836 <NOTES-PAYABLE> 369,698 <COMMON> 69,575 <PREFERRED-MANDATORY> 0 <PREFERRED> 4,000,000 <OTHER-SE> 0 <TOTAL-LIABILITY-AND-EQUITY> 182,912,401 <PREMIUMS> 36,810,937 <INVESTMENT-INCOME> 2,855,420 <INVESTMENT-GAINS> 673,868 <OTHER-INCOME> 3,381,496 <BENEFITS> 21,029,905 <UNDERWRITING-AMORTIZATION> (3,363,353) <UNDERWRITING-OTHER> 204,564 <INCOME-PRETAX> 2,650,864 <INCOME-TAX> 9,032 <INCOME-CONTINUING> 2,641,822 <DISCONTINUED> 0 <EXTRAORDINARY> 0 <CHANGES> 0 <NET-INCOME> 2,641,822 <EPS-PRIMARY> .25 <EPS-DILUTED> .25 <RESERVE-OPEN> 0 <PROVISION-CURRENT> 0 <PROVISION-PRIOR> 0 <PAYMENTS-CURRENT> 0 <PAYMENTS-PRIOR> 0 <RESERVE-CLOSE> 0 <CUMULATIVE-DEFICIENCY> 0