| Summary of Investments Other-Than-Investments in Related Parties |
Schedule I — Summary of Investments Other-Than-Investments in Related Parties | | | | | | | | | | | | | | | | Cost or Amortized Cost | | Fair Value | | Amount at which shown in balance sheet | | | (in thousands) | Fixed maturity securities: | United States Government and government agencies and authorities | | $ | 646 |
| | $ | 813 |
| | $ | 813 |
| States, municipalities and political subdivisions | | 24,128 |
| | 25,674 |
| | 25,674 |
| Foreign governments | | 255 |
| | 369 |
| | 369 |
| Commercial mortgage-backed | | 385 |
| | 391 |
| | 391 |
| Residential mortgage-backed | | 6,356 |
| | 7,272 |
| | 7,272 |
| Corporate | | 45,323 |
| | 51,229 |
| | 51,229 |
| Total fixed maturity securities | | 77,093 |
| | 85,748 |
| | 85,748 |
| Equity securities: | Non-redeemable preferred stocks | | 6,932 |
| | 7,419 |
| | 7,419 |
| Commercial mortgage loans on real estate, at amortized cost | | 15,311 |
| | 16,217 |
| | 15,311 |
| Policy loans | | 244 |
| | 244 |
| | 244 |
| Short-term investments | | 10,498 |
| | 10,498 |
| | 10,498 |
| Total investments | | $ | 110,078 |
| | $ | 120,126 |
| | $ | 119,220 |
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