110


MUTUAL TOWN INSURANCE COMPANIES.


All other disbursements:
Directors ...........      ..........           67 16
Adjusting losses ..............,      .        152 29
Agents .............                            23 00
Total disbursements ........      ...................  15,665 91
Balance ...................................       $426 82
LEDGER ASSETS.


Cash belonging to company, in hands of
treasurer .......................
Agents' balances representing business
written prior to Oct. 1, 1912...........


$401 37


25 45


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


$426 82


NON-LEDGER ASSETS.
Unpaid assessments levied
during current year prior
to Nov. 1........ . .......  $1, 795 93
Unpaid assessments levied
prior to current year ......    319 64


Total unpaid assessments.........
Furniture, fixtures and safes, $100.00;
supplies, $50.00 ...........   .   .


$2,115 57
150 00


Total non-ledger assets .......          ..................       2,265 57
Gross assets .........         ....................      $2,692 39


DEDUCT ASSETS NOT ADMITTED.
Unpaid assessments levied
during current year prior
to Nov. 1 ................  $1,795 93
Unpaid assessments levied
prior to current year ......   319 64


Total unpaid assessments .........
Agents' balances representing business
written prior to Oct. 1, 1912..........
Furniture, fixtures and safes, $100.00;
supplies, $50.00 ......................


$2,115 57
25 45
15'0 00


Deduct total assets not admitted ..........      2,291 02
Total admitted assets .....  ...............  $401 37
LIABILITIES.
Amount of losses adjusted, not due ....................  $178 00