MUTUAL TOWN INSURANCE COMPANIES.


475


INCOME.
Gross premiums on all business written
during the year .................$242 41
Policy fees: New, No., 4;
fee, $1.50; amount ...,           $6 00
Renewals:    No.   73;  fee
$1.50; amount     ..........     109 50
Total policy  fees ......    .........      115 50
Total collections ..... .......      $357 91
Returned on cancellations ..............           18 07
Total income .........      ......................        339 84
Total assets of previous year and income ..   .    $539 86
DISBURSEMENTS.
Paid for losses ..........1........               lt  16
Salaries  .....            ..............65
Postage, printing and stationery ........           6 19
All other disbursements:
Hall rent       ...........................
Justice and Clerk of Circuit Court fees             50
Adjusting losses ........   ..............        7 00
Total disbursements ........     ....................     117 34
Balance   ...........   ......................     $301 36
LEDGER ASSETS.
Cash belonging to company, in hands of treasurer ......         $301 36
NON-LEDGER ASSETS.
Furniture, fixtures and safes, $10.00; supplies, $15.00..        25 00
Gross assets ....       .... ... ..............          $326 36
DEDUCT ASSETS NOT ADMITTED.
Furniture, fixtures and safes, $10.00; supplies, $15.00          25 00
Total admitted   assets .      ........................  $301 36


RISKS.
No.
In force on the 31st day of December of the pre-
ceding year .............     ..     ............  400
Written and renewed during the year .....     .....   77
Total .    ...................................  477
Deduct those expired and cancelled .....     ......  73
In force at the end of the year ....   .......  404


Amount.
$1,086,886 00
242,233 00
$1,329,119 00
201,451 00
$1,127,568 00