MUTUAL HAIL AND CYCLONE INSURANCE COMPANIES.


r,   , r


All other disbursements:
Typewriter and desk ......      ...........      127 00
Adjusting losses .......    ...............      137 00
Salary and fees to directors     ...........      65 26
Total disbursements ........      ....................    3,739 94
Balance ...........     .......................   $6,007 79
LEDGER ASSETS.
Cash deposited in Seymour State Bank,
$1,070.19; First National Bank, Sey-
mour, $552.30 .......          .....          $t,622 49
Cash belonging to company, in hands of
treasurer and banks .......   ...........      1,32210
Mortgage loans on real estate, first liens       1,900 00
Agents' balances representing business
written prior to Oct. 1, 1912 .....11.....       113 20
Other ledger assets: Loans on notes se-
cured ............    ....................     1,050 00
Total ledger assets ............  ...................    $6,007 79
NON-LEDGER ASSETS.
Unpaid assessments levied during current
year prior to Nov. 1 ......    ............     $280 00
Furniture, fixtures and safes, $245; sup-
plies,  $10  ........   ....................     255  00
Other item's: Typewriter .....     ...........       80 00
Total non-ledger assets ...        ................         615 00
Gross assets ............   ..................    $6,622 79


DEDUCT ASSETS NOT ADMITTED.
Unpaid assessments levied during current
year prior to Nov. 1 ......  ............    $280 00
Furniture, fixtures and safes, $245; sup-
plies, $10 .255 00
Other items: Typewriter .80 00
Deduct total assets not admitted .....  ...........     615 00
Total admitted assets ......   ...............  $6,007 79


LIABILITIES.
Amount of losses due and unpaid (No., 1) .....      ........       $5 00
Amount due for salaries and commissions ............... ;1 50
Total liabilities ...........  ......................        $6 50