v3.25.4
Consolidated Statements of Cash Flows - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Cash Flows from Operating Activities:      
Net income $ 79,340,740 $ 50,862,252 $ 4,425,504
Adjustments to reconcile net income to net cash provided by operating activities:      
Depreciation, amortization and other non-cash items 3,075,115 3,873,161 4,326,446
Net investment gains (619,342) (4,981,072) (3,172,807)
Changes in Assets and Liabilities:      
Losses and loss expenses (20,935,113) (5,171,788) 5,111,080
Unearned premiums (21,435,617) 13,064,600 21,758,338
Accrued expenses (695,905) (1,030,269) (279,416)
Premiums receivable 302,601 (1,514,698) (5,745,527)
Deferred policy acquisition costs 4,676,985 1,696,437 (1,873,174)
Deferred income taxes 188,935 (481,743) 229,397
Reinsurance receivable 22,159,719 20,689,479 13,959,053
Accrued investment income (552,276) (416,245) (1,084,422)
Amounts due from affiliate 5,110,902 (6,502,563) (7,080,816)
Reinsurance balances payable (861,296) (4,413,550) 5,263,152
Prepaid reinsurance premiums 5,078,653 (7,437,407) (8,133,066)
Current income taxes (4,384,137) 8,458,424 408,576
Other, net (250,498) 745,019 511,426
Net adjustments (9,141,274) 16,577,785 24,198,240
Net cash provided by operating activities 70,199,466 67,440,037 28,623,744
Purchases of fixed maturities:      
Held to maturity (115,295,761) (56,707,019) (25,226,609)
Available for sale (343,036,018) (147,736,805) (150,423,864)
Purchases of equity securities (2,512,570) (8,697,500) (5,128,994)
Sales of fixed maturities:      
Available for sale 189,710,482 7,184,635 28,154,556
Maturity of fixed maturities:      
Held to maturity 43,456,162 30,548,257 32,923,991
Available for sale 148,552,675 116,612,046 58,277,402
Sales of equity securities 2,145,314 3,010,413 19,745,875
Net (purchases) sales of property and equipment (425) 743 (44,701)
Net (purchases) sales of short-term investments (14,153,597) 7,746,664 25,015,703
Net cash used in investing activities (91,133,738) (48,038,566) (16,706,641)
Cash Flows from Financing Activities:      
Issuance of common stock 20,468,239 32,433,403 8,645,530
Cash dividends paid (25,674,053) (22,701,216) (21,893,692)
Net cash (used in) provided by financing activities (5,205,814) 9,732,187 (13,248,162)
Net (decrease) increase in cash (26,140,086) 29,133,658 (1,331,059)
Cash at beginning of year 52,925,931 23,792,273 25,123,332
Cash at end of year $ 26,785,845 $ 52,925,931 $ 23,792,273