Reports Made to the Senate and House of Representatives of the State of Illinois, Volume 51888 |
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Common terms and phrases
00 Market value 31st day amount in force Amount of risks Amount of unearned amount of unpaid ATTORNEY IN ILLINOIS available assets bond and mortgage capital stock paid Cash dividends paid Chicago Commissions and brokerage company to date course of collection date of policy day of December Deduct amount re-insured Deduct re-insurance Deduct those expired Deposit premiums due and accrued EXPENDITURES expired and marked fees and wages fire risks running force December 31 Gross liabilities inland risks Interest due INTERROGATORIES Loans on bond marine and inland mortgage first liens mortgage loans National Bank organization to date outstanding risks paid for fire paid from organization Par value premiums at 50 premiums in course rebate and return received for premiums received from organization RISKS AND PREMIUMS stocks and bonds Surplus as regards three months due Total losses incurred Total losses paid Total premiums received Unearned premiums unpaid losses Written or renewed
Popular passages
Page 23 - Interest due and accrued on bonds and stocks Interest due and accrued on collateral loans Interest due and accrued on premium notes, loans or liens.
Page 138 - Value of real estate owned by the company, unincumbered Loans on bond and mortgage (first liens) upon which not more than one year's interest is due Interest...
Page 132 - Cash on hand and in bank ........ . ...... .............. ....... ........ ............. Interest due and accrued on stocks not included in market value .......... Interest due and accrued on collateral loans ....... •/•••••^ .......... ;:••-: ••• Gross premiums in course of collection not more than three months due.
Page 386 - In force on the 31st day of December of the preceding year — Written or renewed during the year Fire risks.
Page 72 - Total $2,080,27932 iDeduct amount received from other companies for losses or claims on policies of this company re-insured...
Page 138 - Interest due and accrued on stocks not included in market value Interest due and accrued on collateral loans Gross premiums in course of collection not more than three months due Total cash assets . OTHEB RESODBCES.
Page 445 - Capital stock paid up in cash 200.000 00 ASSETS. Loans on bond and mortgage (first liens) upon which not more than one year's interest is due $227, 765 00 Interest due and accrued on bond and mortgage loans 5,683 07 Total value of mortgaged premises...
Page 18 - Premium notes, loans, or liens used in purchase of surrendered policies and voided by lapse.
Page 144 - Capital stock authorized ...*... $200, 000 00 Capital stock paid up in cash 200,000 00 ASSETS. Loans on bond and mortgage 'first liens) upon which not more than one year's interest is due , 5,500 00 Interest due and accrued on bond and mortgage loans 75 00 Total value of mortgaged premises...