v3.26.1
Consolidated Statements of Cash Flows - USD ($)
6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Cash Flows from Operating Activities:    
Net income $ 33,816,353 $ 42,071,294
Adjustments to reconcile net income to net cash provided by operating activities:    
Depreciation, amortization and other non-cash items 1,371,151 1,932,514
Net investment gains (2,788,184) (1,072,860)
Changes in assets and liabilities:    
Losses and loss expenses 29,084,971 (3,975,352)
Unearned premiums 48,651,185 23,062,029
Premiums receivable (37,015,225) (17,778,303)
Deferred acquisition costs (3,230,073) (3,273,237)
Deferred income taxes 94,222 341,554
Reinsurance receivable (14,536,433) 9,617,024
Prepaid reinsurance premiums (26,881,261) (6,633,206)
Accrued investment income (511,775) (231,469)
Due from affiliate (1,994,246) 1,557,386
Reinsurance balances payable (1,525,710) (1,045,052)
Current income taxes 1,335,419 (6,399,981)
Accrued expenses (138,318) (183,779)
Other, net 341,261 (107,301)
Net adjustments (7,743,016) (4,190,033)
Net cash provided by operating activities 26,073,337 37,881,261
Cash Flows from Investing Activities:    
Purchases of fixed maturities, held to maturity (37,339,004) (48,228,392)
Purchases of fixed maturities, available for sale (110,149,362) (93,483,260)
Purchases of equity securities (1,421,238) (2,512,570)
Maturity of fixed maturities:    
Held to maturity 10,567,228 15,298,111
Available for sale 77,654,245 47,403,605
Sales of fixed maturities:    
Available for sale 30,895,776 45,876,392
Sales of equity securities 976,059 2,145,314
Net sales (purchases) of property and equipment 325 (100)
Net sales (purchases) of short-term investments, available for sale 12,182,255 (205,257)
Net cash used in investing activities (16,633,716) (33,706,157)
Cash Flows from Financing Activities:    
Cash dividends paid (13,689,601) (12,523,188)
Issuance of common stock 1,186,490 12,859,239
Net cash (used in) provided by financing activities (12,503,111) 336,051
Net (decrease) increase in cash (3,063,490) 4,511,155
Cash at beginning of period 26,785,845 52,925,931
Cash at end of period 23,722,355 57,437,086
Cash paid during period - Interest 684,551 677,151
Net cash paid during period - Taxes $ 6,550,050 $ 15,547,439