1198               MECHANICS iIUTUAL FIRE INS. CO.
LEDGER ASSETS.
Book value of bon0(1s, $88,988.85; and stocks, $557,244.93  $646,233 78
I)eposits in trust companies and banks on interest...    64,660 82
Agents' balances representing business written sub -
sequent to Oct. 1, 1912 ..............................  13,755 59
Total ledger assets .........................$................ 7$,24,650
19
NON-LEDGER ASSETS.
Interest d(e, $175 and accrued $206.67 on bonds.                        ,181
67
Market value of bonds and stocks over book value.                      4,762
22
Gross assets .$810,594 08
LIABILITIES.
Gross claihs for losses in process of adjustment or in suspense,
plus $86.92 reserve for losses incurred prior to Dec. 31, of which
no notice had been received on that date .$2,707 84
Gross premiums (less reinsurance) received and re-
ceivable upon all unexpired risks running one year
or less from date of policy, $3,03,023.39; unearned
plremuums (fifty per cent) .......  ....................  $151,511 70
Gross premiums (less reinsurance) received and re-
ceivable upon all unexpired risks running more
than one year from date of policy, $414,805.50; un-
earned premiums (pro rata) ........................   205,743 99
Total unearned premiums as computed above .357,255 (39
Sa-laries, rents, expenses, bills, accounts, fees, etc., due or accrued 
147 22
Estimated amount hereafter payable for federal, state and other
taxes based upon the business of the year of this statement          2,999
06
Total amount of all liabilities .$363,109 81
Surplus .447,484 27
Total liabilities and surplus .$810,594 08
RISKS AND PREMIUMS.
Fire.       T Tornado.  j    Total.
In force ou the 31st day of Dec., 19111  $89,403,4391  $678,994 981 $3,394,974
90
Written or renewed during the year..1    49,445,9251   381,121 461 1,905,607
30
Total ...............I............ 1 $138,849,3641 $1,060,116 441 $5,300,582
20
D)educt those expired and marked off l             I             I
as terminated ..       ............. l  44,010,7421   342,287 551 1,711,437
75
1         ~I-I
In force at the end of the year. .1  $94,838,6221  $717,82S 891 $3,589,144
45
_     .   ...                                        .   .   ..   .   . 
 .  . . .