358            MUTUAL TOWN INSURANCE COMPANIES.
Postage, printing and stationery      ........        25 61.
Express, telegraph, telephone and ex-
change .    ...............................          2 9b
All other disbursements:
Losses on premium notes .....      .........        29 57
Moving safe    .........   ................          4 00
Total disbursements ........       ....................     4,391 47
Balance   ..........     .......................   $11,881 07
LEDGER ASSETS.


Cash in company's office, or in hands of
secretary  ...........................
Cash belonging to company, in hands of
treasurer ......                   -
Mortgage loans on real estate, first liens
Bills receivable secured .................
Other ledger assets:
Five years notes in hands of secretary
Premium notes in hands of secretary ..


$93 20
640 99
700 00
7,592 81
1,862 65
990 72


Total ledger assets ........    ......................  $11,881 07
NON-LEDGER ASSETS.


Furniture, fixtures and safes, $150; supplies, $50 ......


200 00


Gross assets .............      ......................    $12,081 07
DEDUCT ASSETS NOT ADMITTED.
Fu-niture, fixtures and safes, $150; supplies, $50 ......            200
00
Total admitted assets .......        ....................  $11,881. 07


RISKS.
No.
In force on the 31st day of December of the pre-
ceding year .622
Written and renewed during the year ....  ......  161
Total.3.
Toal................................... 78
Deduct those expired and cancelled ...........   128
In force at the end of the year .... .....  655


Amount.
$1,023,549 00
280,811 00
$1,304,360 00
180,784 00
$1,123,576 00


LOSSES AND CLAIMS
No.
Losses and claims incurred during the year .. .  9
Losses and claims paid during year ..... .......  9
Amount of losses paid since organization .............
Average insurance in force per policy .. :.............


Amount.
$3,524 00
3,524 00
$14,659 27
1,715 23