356


MUTUAL TOWN INSURANCE COMPANIES.


All other disbursements: Over-paid      as-
sessment .....                   .                 2 50
Total disbursements ........     ....................    6,997 61
Balance   ...........   ......................    $1,436 00
LEDGER ASSETS.
Cash in company's office, or in hands of secretary ....       $1,436 00
NON-LEDGER ASSETS.
Unpaid assessments levied on or after
Nov. 1, of current year ...............          $68 18
Supplies ...                                        25 00
Total non-ledger assets .......      .................      93 18
Gross assets .........     ....................   $1,529 18
DEDUCT ASSETS NOT ADMITTED.
Supplies ............................                              25 00
Total admitted assets ....$1.....       ....            $1,504 18


RISKS.
No.
In force on the 31st day of December of the pre-
ceding year ...........    .....................  805
Written and renewed during the year ........       189
Total ...........                            994
Deduct those expired and cancelled .176
In force at the end of the year ....  .....  818
LOSSES AND CLAIMS
No.
Losses and claims unpaid Dec. 31st of previous
year ........................................      1
Losses and claims incurred during the year ...      19
Total ..............    .................     20
Losses and claims paid during year ....     ......  20
Amount of losses paid since organization ............
Average insurance in force per policy ...............


Amount.
$1,500,680 00
322.485 00
$1,823,165 00
300,095 00
$1,523,070 00
Amount.
$3 00
5,318 18
$5,321 18
5,321 18
$57,941 51
1,875 39