Legislative Document, Volume 17J.B. Lyon Company, 1943 |
Dari dalam buku
Hasil 1-3 dari 80
Halaman 1247
... claims $ 12,039 00 25 00 Sprinkler 635 00 635 00 Explosion 5,963 00 1,471 00 4,492 00 Total unpaid claims .. 20,562 00 3,371 00 17,191 00 claims Estimated expense of investigation and adjustment of unpaid Premium deposits ( less ...
... claims $ 12,039 00 25 00 Sprinkler 635 00 635 00 Explosion 5,963 00 1,471 00 4,492 00 Total unpaid claims .. 20,562 00 3,371 00 17,191 00 claims Estimated expense of investigation and adjustment of unpaid Premium deposits ( less ...
Halaman 1253
... claims : Fire Sprinkler Explosion Total unpaid claims ..... Total $ 9,198 00 224 00 2,950 00 Deduct reinsurance $ 1,644 00 Net unpaid claims $ 7,554 00 224 00 591 00 2,359 00 12,372 00 2,235 00 10,137 00 Estimated expense of ...
... claims : Fire Sprinkler Explosion Total unpaid claims ..... Total $ 9,198 00 224 00 2,950 00 Deduct reinsurance $ 1,644 00 Net unpaid claims $ 7,554 00 224 00 591 00 2,359 00 12,372 00 2,235 00 10,137 00 Estimated expense of ...
Halaman 1290
... claims allowed .. $ 747,133 95 Less : Payments made on policyholder claims . Payments made on $ 251,401 02 non - policyholder claims ... 212,097 23 463,498 25 Balance Unclaimed dividends on claims . * Reserve for interest on paid ...
... claims allowed .. $ 747,133 95 Less : Payments made on policyholder claims . Payments made on $ 251,401 02 non - policyholder claims ... 212,097 23 463,498 25 Balance Unclaimed dividends on claims . * Reserve for interest on paid ...
Isi
CHRONOLOGY 18601941 Table A 78 | 7 |
ASSETS Table 1 | 14 |
LIABILITIES Table 2 | 34 |
10 bagian lainnya tidak diperlihatkan
Edisi yang lain - Lihat semua
Legislative Document, Volume 2,Masalah 7,Bagian 1-2 New York (State). Legislature Tampilan utuh - 1924 |
Istilah dan frasa umum
Amortized or investment amount paid policyholders ASSETS Gross interest ASSETS NOT ADMITTED balances over three BONDS AND STOCKS Business written Capital Surplus ceded reinsurance balances companies and banks Contingent commissions December 31 DEDUCT ASSETS Deduct ceded reinsurance Deduct reinsurance Deposit premiums Deposits in trust due or accrued Estimated taxes due Field supervisory expense Fire risks Gross profit home office premium Industrial and Miscellaneous insurance company INTERROGATORIES What interest LIABILITIES licenses and fees Loss adjustment expense Losses and claims Marine maturity of bonds Mortgage loans Mutual Fire NON-LEDGER ASSETS Gross office premium balances paid losses Par value partnership or individual policyholders for losses Public Utilities real estate reinsurance balances payable reinsurance premiums reinsurance treaties sale or maturity schedules of Special securities owned December social security SUMMARY OF BONDS Surplus to policyholders Total Admitted Assets Total bonds trust companies Unearned premiums value Market value of bonds written after October written before October York