CENTRAL NATIONAL FIRE INS. CO.                        327
LIABILITIES.
Gross losses adjusted and unpaid ......     ............  $15,336 97
'lross claims for losses in process of adjustment or
in suspense, plus $5.004.56; reserve for losses iii-
curred prior to December 31, of which no notice
had been received on that date ......    .............  40, 577 35
Gross claims for losses resisted ......  ...............  4,450 {)l)
Total .$606..................................     6   6 32
Deduct reinsurance due of accrued ..........8 .......   ,638 48
Net amount of unpaid losses and claims ......................  $51,7125 84
(Gross premiums (less reinsurance) received and re-
ceivable upon all unexpired fire risks running one
year or less from date of policy, including interest
premiums on perpetual fire risks, $291,871.59; un-
earned premiums (fifty per cent) .        ............  $145,935 79.
Gross premiums (less reinsurance) received and re-
ceivable upon all unexpired fire risks riliminia  more
than one year from date of policy, $318,897.88; un-
earned premiums (pro rata) ......       ...............  177,726 41
Total unearned premiums as computed above .....      .........  323,662 20
Estimated amount hereafter payable for federal, state and other
taxes based upon business of the year of this statement .......     5,000
00
Reinsurance premiums ..........       ..................................
 11,514 86
Total amount of all liabilities except capital ...... . ........  $391,902
90
Capital actually paid up in cash ..........$..........  $2000 90 00
Surpus over all liabilities ............................  113,226 37
Surplus as regards policyholders .............   .....................  313,226
37
Total liabilities                   .           .$705,129 27
RISKS AND PREMIUMS.
Gross
premiums
Fire risks.   thereon.
In force on the 31st day of December as per last
year's statement .$50.68,326 $579,186 49
Written or renewed during the year .52,077,755                      703,147
17
Total .......................................... $103,646,081 $1,282,333
66
Deduct those expired and marked off as terminated      39.738,456   550.173
19
In force at the end of the year .....  ...........  $63,907,625  $732,160
47
Deduct amount reinsured .............................  11.249,475   121,391
00
Net amount in force ......................... $52,658,150    $610,769 47