MUTUAL HAIL AND CYCLONE INSURANCE COMPANIES.


509


All other disbursements: Adjusters   .....        27 85
Total disbursements ........    .....................  1,441 45
Balance ....                                        $2 97
LEDGER ASSETS.
Cash belonging to company, in hands of treasurer    ....        $2 97
NON-LEDGER ASSETS.
Supplies ................................................        15 00
Gross assets         ..                  ........        $17 W7


DEDUCT ASSETS NOT ADMITTED.
Supplies ...............................................        15 00
Total admitted assets .............. .............       $2 97
LIABILITIES.
I order not presented for payment ....................         $10 00
RISKS.
No.        Amount.
In force on the 31st day of December of the pre-
ceding year .206                                       $351,235 00
Written and renewed during the year .30                    50,855 00
Total .236 $402,030 00
Deduct those expired and cancelled .52                      80,630 00
In force at the end of the year .184               $321,460 00
LOSSES AND CLAIMS.
No.        Amount.
Losses and claims Incurred during the year         5          $594 00
Losses and claims paid during year .4                          584 00
Losses and claims remaining unpaid Dec. 31st,
end of year .1                                               $10 00
Amount of losses paid since organization .$3,191 49
Average insurance in force per policy ...............1 ,747 00