Legislative Document, Volume 10J.B. Lyon Company, 1942 |
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Hasil 1-3 dari 65
Halaman 176
... Accounts receivable Total 887,591 28 102,466 73 26 , 146 03 9 , 878 , 880 59 NON - LEDGER ASSETS Gross interest accrued : Bonds Other assets Total Gross Assets 3,870 05 3 , 188 51 7,058 56 9,885 , 939 15 DEDUCT ASSETS NOT ADMITTED ...
... Accounts receivable Total 887,591 28 102,466 73 26 , 146 03 9 , 878 , 880 59 NON - LEDGER ASSETS Gross interest accrued : Bonds Other assets Total Gross Assets 3,870 05 3 , 188 51 7,058 56 9,885 , 939 15 DEDUCT ASSETS NOT ADMITTED ...
Halaman 1016
... Accounts receivable .. Mill Owners Mutual Fire Ins . Company . Associated Factory Mutuals Total ... 7,374 86 7.488 42 22,909 17 1 , 459 , 932 81 NON - LEDGER ASSETS Gross interest accrued : Bonds ..... Market value of stocks over book ...
... Accounts receivable .. Mill Owners Mutual Fire Ins . Company . Associated Factory Mutuals Total ... 7,374 86 7.488 42 22,909 17 1 , 459 , 932 81 NON - LEDGER ASSETS Gross interest accrued : Bonds ..... Market value of stocks over book ...
Halaman 1102
... account $ 12,000 00 2,280 , 733 07 50 00 858,547 60 304,027 60 6 , 614 39 133,641 41 177,000 58 1,353 87 20,488 69 Association deposits , $ 3,550.00 ; accounts receivable , $ 3,538.48 Total NON - LEDGER ASSETS Gross interest accrued ...
... account $ 12,000 00 2,280 , 733 07 50 00 858,547 60 304,027 60 6 , 614 39 133,641 41 177,000 58 1,353 87 20,488 69 Association deposits , $ 3,550.00 ; accounts receivable , $ 3,538.48 Total NON - LEDGER ASSETS Gross interest accrued ...
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 Canada Capital Surplus ceded reinsurance balances companies and banks Contingent commissions corporation and/or group December 31 DEDUCT ASSETS Deduct ceded reinsurance Deposit premiums Deposits in trust due or accrued Estimated taxes due Field supervisory expense Fire risks Gross profit Income Ledger Assets Industrial and Miscellaneous insurance company INTERROGATORIES What interest LIABILITIES licenses and fees Loss adjustment expense Losses and claims Market value maturity of bonds Mortgage loans Mutual Fire NON-LEDGER ASSETS Gross paid losses Par value policyholders for losses Premium balances receivable 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 Total Income Ledger trust companies Unearned premiums unpaid claims value of bonds written after October written before October York