MUTUAL TOWN INSURANCE COMPANIES.


.125


INCOME
Gross premiums on all business written
during the year .......     ..............      $814 05
Assc ssments actually received on current
year's assessments ......      .............    6, 479 87
Policy fees: New, No. 150; fee, $1.00;
anolulnt  ...............................         150  00
Total income    ...........    .......................     7,443 92
Total assets of previous year and income        .......   $7,444 80


DISBURSEMENTS.
Paid for losses ........     .................    $5,416 22
Borrowed money (date repaid, March 1,
1912) ............    ....................         850 00
Interest en borrowed money         ............        8 50
Salaries and fees paid officials ..     ........     313 83
Policy fecs ..............                           150 00
Postage, printing and stationery       ........       24 11
Total disbursements     ......     .....................    6,762 66
Balance   ....                                        $682 14


LEDGER ASSETS.
Cash deposited in Farmers and Merchants'
Bank, Kewaunee, Wis .....       ..........     $650 00
Cash belonging to company, in hands of
treasurer  ........    ....................      32  14
Total ledger assets .............................


$682 14


NON-LEDGER ASSETS.
Furniture, fixtures and safes ......   ....................    25 00
Gross assets .........     ..........................  $707 14
DEDUCT ASSETS NOT ADMITTED.
Furniture, fixtures and safes ......   ....................    25 00
Total admitted assets ......     ....................  $682 14
RISKS.
No.        Amount.
In force on the 31st day of December of the pre-
ceding year ........              '            776   $1,625,617 00
Written and renewed during the year ....   .....  150     382, 632 00
Total      ..........  ...................  926  $2,008,249  00