MUTUAL hAIL AND CYCLONE INSURANCE, COMPANIES.


5 07


Cash received from all other sources:
Agents' balances representing business
written. prior to Jan 1, 1912 ........     60 01
Total income during year .......................
Total assets of previous year and income


579 70
$5,703 68


DISBURSEMENTS.


Paid for losses .........................
Fees paid officials ......................
Agents' compensation: Policy fees .......
Postage, printing and stationery .......
Express, telegraph, telephone and ex-
change ...............................


$108 34
55 80
73 75
6 30


6 25


Total disbursements  ........ ....................250 44
I
PBalance.$5,453 24
Balance  ..................................
I :  1.  .                                -
LEDGER ASSETS.


Cash deposited in Farmers' and Traders'
Bank, Wrightstown; National Bank and
State Bank DePere, and Wayside State
Bank ................................
Cash belonging to company, in. hands of
treasurer ............................
Agents' balances representing business
written subsequent to Oct. 1, 1912
Agents' balances representing business
written prior to Oct. 1, 1912 ..........


$5,277 45
110 83
9 33


55 63


Total ledger assets ..............................


$5,453 24


DEDUCT ASSETS NOT ADMITTED.
Agents' balances representing business written prior to
Oct. 1, 1912 .   ........................................       55 63
Total admitted assets .......      ...................  $5,397 61
LIABILITIES.
Amount carried for unearned premiums .....        ..........  $1,134 58


RISKS.
No.         Amount.
In force on the 31st day of December of the pre-
ceding year ............    ....................  464    $557,419 00
Written and renewed during the year ....    .....   59       61,646 50
Total ..........................             523     $619,065 50
Deduct those expired and cancelled .....    ......  44       41,802 95
In force at the end of the year .........   479      $577,262 55