360            MUTUAL TOWN INSURANCE COMPANUIS.
LEDGER ASSETS.
Cash deposited in Denmark State Bank              $734 00
Cash belonging to company, in hands of
treasurer  ............   ................        50 62
Bills receivable secured ....                  20,450 00
Other ledger assets. Notes for premium             917 55
Total ledger assets .........     ......................  $22,152 17
NON-LEDGER ASSETS.
Interest due or accrued ......     ..........     $360 00
Furniture, fixtures and safes, $100; sup-
plies, $50 .    ............................     150 00
Total non-ledger assets .......      .................     510 00
Gross aSsets ...........    ..................   $22,662 17
DEDUCT ASSETS NOT ADMITTED.
Furniture, fixtures and safes, $100; supplies, $50               150 00
Total admitted assets .............. ..............    $22,512 17


RISKS.
No.
In force on the 31st day of December of the pre-
ceding year ................................ 2,015
Written and renewed during the year ..        .    517
Total..                   .                2,532
Deduct those expired and cancelled ..        .     383
In force at the end of the year ..     .      2,149
LOSSES AND CLAIMS
No.
Losses and claims unpaid Dec. 31st -of previous
year  ...........     .......................      2
Losses and claims incurred during the year ..       49
Total   ............  ......................  51
Losses and claims paid during year .....    ......  51
Average insurance in force per policy ................


Amount.
$3,704, 415 00
863,250 00
$4,567,665 00
719,545 00
$3,848,120 00
Amount.
$1,761 38
9,979 62
$11,741 00
11,741 00
$1,800 00