512     MUTUAL HAIL AND CYCLONE INSURANCE CQMPANIES.
Cash received as interest ..... ..........    26 63
Total income during year ........ ................   543 15
Total assets of previous year and income......    $2,034 38


DISBURSEMENTS.
Paid for losses ............ ...............      $50 00
Salaries, $81.00, and fees, $21.50 paid of-
ficials .............  ..................       102 50
Agents' compensation: Policy fees ......           43 00
Postage, printing and stationery    ........       10 40
All other disbursements:
Hall rent for annual meeting      .........       1 50
Wilton State Bank for collecting                  1 00
Total disbursements ........      ...................     208 40
Balance   ................................ .    $1,825  98
LEDGER ASSETS.
Cash deposited in Norwalk State Bank..           $425 98
Bills receivable -secured ..................   1, 400 00
Total ledger assets     .............. ..............  $1,825 98
NON-LEDGER ASSETS.
Supplies .........                                                5 00
Gross assets ...................................       $1,830 98


DEDUCT ASSETS NOT ADMITTED.
Supplies .....5 6 00
Total admitted assets      ...........................  $1,825 98
RISKS.
No.        Amount.
In force on the 31st day of December of the pre-
ceding year ...........   .....................  226   $320,735 00
Written and renewed during the year ....   .....  43       90,400 00
Total ................      ............  269      $411,13'5 00
Deduct these expired and cancelled .............. 1         1,200 00
In force at the end of the year .... ......  268   $409,935 00