Legislative Document, Volume 11J.B. Lyon Company, 1941 |
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Halaman 260
... Adjustment & Inspection Co .. Book value of bonds over amortized or invest- ment value .... Book value of stocks over market value .. Adjustment due to rate of exchange on Cana- dian currency Total Total Admitted Assets ... 3,155 68 973 ...
... Adjustment & Inspection Co .. Book value of bonds over amortized or invest- ment value .... Book value of stocks over market value .. Adjustment due to rate of exchange on Cana- dian currency Total Total Admitted Assets ... 3,155 68 973 ...
Halaman 322
... Adjustment of control agents balance . Premium balances previously charged off . Gross profit on sale or maturity of bonds . Total Income Ledger Assets , December 31 , 1938 $ 360,059 48 3,174 34 7,432 95 1,271 15 11,878 44 189 67 151 01 ...
... Adjustment of control agents balance . Premium balances previously charged off . Gross profit on sale or maturity of bonds . Total Income Ledger Assets , December 31 , 1938 $ 360,059 48 3,174 34 7,432 95 1,271 15 11,878 44 189 67 151 01 ...
Halaman 835
... adjustment division for future losses .. 11,681 50 Total 5,902,737 20 NON - LEDGER ASSETS Interest due and accrued : Bonds ... Reinsurance recoverable on paid losses . Funds held for others pending adjustment .. 30,769 18 94 49 73,587 ...
... adjustment division for future losses .. 11,681 50 Total 5,902,737 20 NON - LEDGER ASSETS Interest due and accrued : Bonds ... Reinsurance recoverable on paid losses . Funds held for others pending adjustment .. 30,769 18 94 49 73,587 ...
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CHRONOLOGY 19001939 Table A | 7 |
LIABILITIES Table 2 | 40 |
NEW YORK STATE BUSINESS | 110 |
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Legislative Document, Volume 2,Masalah 7,Bagian 1-2 New York (State). Legislature Tampilan utuh - 1924 |
Istilah dan frasa umum
00 Total Amortized or investment amount paid policyholders ASSETS NOT ADMITTED balances over three Bonds and stocks bonds over amortized Business written Canada Capital Surplus ceded reinsurance balances companies and banks Contingent commissions corporation and/or group December 31 DEDUCT ASSETS Deposit premiums Deposits in trust due or accrued Estimated taxes due Field supervisory expense Fire risks Gross interest Gross profit Industrial & Miscellaneous insurance company INTERROGATORIES What interest LIABILITIES licenses and fees Loss adjustment expense Losses and claims Market value maturity of bonds Mortgage loans NON-LEDGER ASSETS Interest paid losses Par value policyholders for losses Premium balances receivable Public Utilities real estate reinsurance premiums reinsurance treaties return premiums sale or maturity schedules of Special securities owned December social security SUMMARY OF BONDS Surplus to policyholders Terr & Poss Total Admitted Assets Total bonds trust companies Unearned premiums United unpaid claims value of bonds written after October written before October York