v3.25.2
Investments - Schedule of Available-For-Sale Securities with Unrealized Losses (Details)
6 Months Ended 12 Months Ended
Jun. 30, 2025
USD ($)
position
Dec. 31, 2024
USD ($)
position
U.S. Treasury securities and obligations of U.S. government corporations and agencies    
Net Investment Income [Line Items]    
Estimated fair value - less than 12 months $ 3,972,290 $ 0
Unrealized losses - less than 12 months $ (683) $ 0
Number of positions held - less than 12 months | position 4 0
Estimated fair value - 12 months or more $ 0 $ 0
Unrealized losses - 12 months or more $ 0 $ 0
Number of positions held - 12 months or more | position 0 0
Estimated fair value - total $ 3,972,290 $ 0
Unrealized losses - total (683) 0
Political subdivisions of States, Territories and Possessions    
Net Investment Income [Line Items]    
Estimated fair value - less than 12 months 0 7,705,370
Unrealized losses - less than 12 months $ 0 $ (73,589)
Number of positions held - less than 12 months | position 0 6
Estimated fair value - 12 months or more $ 13,521,944 $ 13,167,726
Unrealized losses - 12 months or more $ (2,955,097) $ (3,324,491)
Number of positions held - 12 months or more | position 12 12
Estimated fair value - total $ 13,521,944 $ 20,873,096
Unrealized losses - total (2,955,097) (3,398,080)
Corporate and other bonds industrial and miscellaneous    
Net Investment Income [Line Items]    
Estimated fair value - less than 12 months 38,830,938 51,411,296
Unrealized losses - less than 12 months $ (185,250) $ (1,024,461)
Number of positions held - less than 12 months | position 40 60
Estimated fair value - 12 months or more $ 47,251,942 $ 55,381,083
Unrealized losses - 12 months or more $ (3,441,755) $ (4,690,597)
Number of positions held - 12 months or more | position 57 68
Estimated fair value - total $ 86,082,880 $ 106,792,379
Unrealized losses - total (3,627,005) (5,715,058)
Residential mortgage and other asset backed securities    
Net Investment Income [Line Items]    
Estimated fair value - less than 12 months 6,549,447 19,315,521
Unrealized losses - less than 12 months $ (15,023) $ (209,890)
Number of positions held - less than 12 months | position 10 22
Estimated fair value - 12 months or more $ 34,268,752 $ 35,206,442
Unrealized losses - 12 months or more $ (5,406,006) $ (6,211,339)
Number of positions held - 12 months or more | position 36 36
Estimated fair value - total $ 40,818,199 $ 54,521,963
Unrealized losses - total (5,421,029) (6,421,229)
Total fixed-maturity securities    
Net Investment Income [Line Items]    
Estimated fair value - less than 12 months 49,352,675 78,432,187
Unrealized losses - less than 12 months $ (200,956) $ (1,307,940)
Number of positions held - less than 12 months | position 54 88
Estimated fair value - 12 months or more $ 95,042,638 $ 103,755,251
Unrealized losses - 12 months or more $ (11,802,858) $ (14,226,427)
Number of positions held - 12 months or more | position 105 116
Estimated fair value - total $ 144,395,313 $ 182,187,438
Unrealized losses - total $ (12,003,814) $ (15,534,367)