1014                ROYAL EXCHANGE ASSURANCE CO.
Salaries, $39,870.92, and expenses, $36,310.04, of special and general
agents.....76,180 96
aglls  ..............................................................  6
 ()9
Salaries, fees, and all other charges of officers. directors, trustees
anld home office employes ........................................     95,066
58
Rents .     ..............................................................
 12,235 41
Advertising, $3,228.66; printing and stationery, $10,866.07  .  ......  
14,094 73
Postage, telegrams, telephloue .and express      .       .              
1'2,013 32
Legal expenses ............2.........................................   
   282 56
Furniture and fixtures     ......................... .....................
 575 66
Maps, including corrections          ......................             
 2,703 42.
Underwriters' boards and tariff associations .      .......................
 18.788 32
Fire department, fire patrol and salvage corps assessments, fees,
taxes and expenses             .........................               16,586
03.
Inspections and surveys ......................5; ,438 7:1
State taxes on premiums      ...................... ......................
 33,649 Sl
Insurance department licenses and fees .        ............................
.010.734 S5
All other licenses, fees and taxes:
Federal corporation tax .............................      $619 22
Municipal licenses .........     ........................  7, 032 59
County taxes ............ : .91 90
Publication fees ............   ........................    I86 50
9.240 21
Other disbursements:
Amount returned to home office of company ..........   $290, 701 62
Auditinig  fees .    .....................................  1,400 00
hooks of reference    ..............................        531 65
Fidelity bonds and insurance premiums ............          199 18
Mercantile reports, etc ..............................     7 46 83t
Incidenital expenses .........   ....................... .  496 58
294,075 S(;
Agents' balances charged oft ........................................   
  481 64
Trotal disbursements .........      ................................ $1,973,881
92'
Balance  ...........     ..................................... $2,869,679
 6.t-
LEDGER ASSETS.
Book value of bonds, $2,228,851.76, and stocks, $50,1000. $2,278,851 76
Cash in company's office ................      $359 84
Deposits in trust companies and banks
not oln interest ............1 22.633 63
Deposits in trust companies and banks
Oii interest ........... ................  98,515 68
221,509 15
Agents' balances representing business written sub-
sequent to Oct. 1, 1912 ..............................  360.155 82
Agents' balances representing business written prior
to Oct. 1, 1912 .......................................  9 ,162 90
Total ledger assets .$2,86,679 63
NON-LEDGER ASSETS.
Interest accrued on bonds .........................;.    $28,234 02
Bank interest .192 84
Total ........................................................     28,426
8R
Gross assets .     ................................................ $2,898,106
49
DEDUCT ASSETS NOT ADMITTED.
Agents' balances representing business written prior
to Oct. 1   1912 ...........   .........................  $9,162 90
Book value of bonds and stocks over market value:
Bonds and stocks .........        .......................  150,510 51
159,673 41
Total admnitted assets .............................   ....... $2,738,433
0&