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81.110 81


NOM-LBDGBB LIABILITIBS-Mom.










88.160 81









EXHIBIT OP GEBTiriGATBS.



Bonoflt oortifloatat In f oreo Dee. 8U 1008. m per last itatemeat. .
Benefit eertlfleatoe written diuiiiff the year



Totals

Dednet decreased or eeased tobe In foree dorinc the year.,



Totalbeneflt eertUieates In f oree Deo. Sl« 1908

EXHIBIT OV DEATH CLAIMS.



Claims (f aee Talne) Inearred darbur the year. .
Claims



Dlalms paid daring the year.,



Total business of the
year. aU Illlnota.
No. Amount.
081 896.100 00
119 11.900 00



S80,100 00
8,000 00



7tt 874.1(10 88



AU Illinois elalma.
No. Amount.
860000

. 8 tiOOQO



EXHIBIT OF DI8ABIUTT CLAIMS-Noim.

Beeelred dorlns the year from members In Illinois : Mortnary, 81« 961.00: ex-
pense. 8161.10; total 81.186 10



Digitized by VjOOQIC



561



MODERN WOODMEN OF AMERICA.
Tear Ending Dbobmbbb 31, 190S.



A. B. TALBOT, Head OonsnL 0. W. HAWBS. Head Clerk.

(Ineorporated May 5. 1884; commenoed bmineee Jan. I, laSS; home office Book Island, 111. J

BAIiANCB SHEET.
Amount of net ledser assets Dee. tl. of preTlons year 91,691,317 07

INCOME DUBING TEAB.

Gross amount paid by members to the Society, without dedactlons,as follows:

Does for expenses, per capita tax, etc I 688,046 60

Assossments— Mortuary 6,170,116 60

. ^ Total paldbymembera...;^ 86.868,111 10

Interest, $18,790.19: rent, 98iaq|...... 81,700188

From all other sources. Til.: Supplies sold. 958,888.81: certtfl-
cate fees. 918,618.60: adrertlslnr 9hmMi dividend D. 0. Zlnk
claim. 91.886.86; sale old buUdlnff. 9686.00 80,689 68

Total Income durlnff the year. 7.070.680 08

Sumof both amounts 88,661,887 09

DISBUBSEMENTS DUBING TEAB.

Death claims ..* •• 96.978,474 16

Payments returned to appllcantsor members 8,110 19

Total paid to members or applicants.... 96,976.684 84

Commissions, fees and salaries paid or allowed to acents for

orsanliatlon of subordinate bodies 188,668 29

Head officers traToUnff expenses 10.876 18

Salaries of officers, 914,188.00: per diem directors, 881,860.00; per

diem auditors. 99.688,00 42.070 00

Salaries and other compensation of office employes 180, 848 98

Salaries or fees paid supreme or srand medical superrlsors... 6,074 98

Bent, 9686.60: taxes, 91,914.21: adTertlsloff and printlns. 987.446J7 90, 047 69
Postage, express and telegraph. 988,861.86: lend expenses.

881,747.66 66.699 41

GoTomlnff bodies, 9186.947.81: official publication. 874, 168.66

Insurance departments, 88,848.68; miscellaneous, 946,069.67

All other Items, t1i.: Expense head, physicians, 98,-

486.88: readjustment 9tt. 190,11; flood relief. 960,000; roTlslon

record, 96,896.91; suppUes purchased, 986,044.84 116,166 09

• (Total expenses 9868, »8 68)

Total disbursements 6,829.877 97

Balance. 91.881.969 ii

LEDGEB ASSETS.

Book Talue of real estate, unincumbered 9 168,869 08

Furniture 67,871 16

Library 8,790 96

Cash in office, 9I1«462.84: deposited In bank, 91,670.474.04 1,601.916 88

Tote] 91,881. 959 J2

— 36L

Digitized by VjOOQIC



810.106 86
48,918 80



Dbduot Lbdosb LiABiLimt— Nons.

Total net ledflrerMteti 11,831.969 12

Gemprlsed under the following funds:

MortowT $1,200,159 66

Expense 691,799 67

Non-Lbdobb Assets.

Interest aeemed on assets I 8.168 05

Benta seemed on property or lesse 19 90

Mortnsry assessments to become dne on pat mortem policies,

notexoeedlnff one assessment 620,000 00

Otiieritams: Bnpplies as per inrentory 18,97115

Total non-ledffer assets 616,666 20

Gross assets 91,978.626 92

DsDUOT AsiBTt Not Admittbd.

Famitnre, fixtures and safes, supplies, printed matter, station-
ery, etc 986.216 41

Library 9.790 96

Total non-admitted asseta 90.099 99

Total admitted assets n[2BB.48B96

NOM-LBDGEB LIABILITIB8.

Losses on post mortam eertifloatos dne and unpaid 9 96. 628 66

Losses on pott mortem certificates not adjusted, 9628.600.00; re-
sisted, 964,00000 602,606 00

Salaries rents, expenses, taxes, bills, aceonnta, fees, etc., dne
and accrued 21.166 70

Total llabiUties 762,284 21

Balance to protect eontraete $l,6te,204 71

EXHIBIT OF CERTIFICATES.

^ ^ Total ^, Business in

business of year. Illinois during year.

No. Amount No. Amount.
Benefit certificates in force Dee. 91, 1901, as

per last statement 064,166 $1,161,286,000 00 190,609 9260,818,600 00

Benefit certificates written duriuff the year.... 00,204 86,219,000 00 4,618 6,776,900 00

Benefit certlfleatss Increased dunnff the year. 982, 000 00 90. 000 00

Total!. 724.870 9U 218, 480, 000^ 186.218 9267,219,600 00

Deduct decreased or ceased to be in force dur-
Inff the year 64,219 99,174,600 00 8,892 16,965,600 00

Total benefit certificates in force Dec. 81,
1909 600.161 91.149.906.500 00 116,826 $241,818.000 00

EXHIBIT OF DEATH CLAIMS.

Total claims. Illinois claims.

Number. Amount. Number. Amount.
Claims unpaid Dec. 81, 1902, as per last statement. 402 9 716.086 70 02 9 179,000 00

Claims ( face Tslue) incurred during the year 9.9M 6.966.000 00 769 1,610.600 09

Dropped 1899 and 1902. reinstated 1908 2 4.900 00

Totals 9.747 98.786.016 70 861 91,689.500 00

Claims paid during the year 9.814 5.979.474 M 778 1.628,867 U

Balance 489 98l2.56rK » 9100 942 86

Saved by compromising or scaling down claims
or dropped during the year 19 89.48 8 00 4 12.300 00

Claims unpaid Dec. 81. 1909 414 9729.128~66 79 9118.842 86



Digitized by V^OOQIC



563



EXHIBIT OF DISABILITY CLAIMS-NONB.

BeeelTed dnrlnc fh« j—r from mtmben In Ulinoli: Mortuary and disability,
njm^VLU; expenM,$140.f»L68; total $I,471,8W 1»



MODERN BROTHERHOOD OF AMERICA,
Tbab Ending Dbobmbbb 31, 1903.



T. B. BANLBT, President B. L. BALZ. Secretary.

[Incorporated March SO, 1897: commenced business April 6, 1897; home of&ce. Mason City, la.]

Attorney for serrioe of process In Illinois. WM. R. VBBDBNBUBGEU Insnranoe Superin-
tendent.



BALANCB 8HBBT.
Amount of net ledcer assets December 81 of prcTloas year. ,



$170.664 61



INCOMB DUBIMG TEAR.

Gross amount paid by members to the society, without deductions, as follows:

Dues for expenses, per capita tax, etc 8100,286 68

Assessments: Mortuary, 8288,684.56; reserre, 8»>.88A.87 808.719 42



Total paid by members

Interest

From all other sources, Tii.: Supplies..



8468,006 10
6,608 72
4,816 48



Total income during the year .
Sum of both amounts.



419,98180



8680.686 84



DISBURSEMENTS DURING TEAR.

Death claims, 82644104.90: permanent disabiUty claims, 86,600.00. 8269,594 90

Temporary dlsabUlty 18,617 99

Payments returned to applicants or members t041 20



Total paid to members or applicants.

Salaries of of&oers

Salaries and other compensation of i/f&ce employes

Advertislnff and printing...'

Postace, express and telejrraph,S8,74af8; lesal expenses, 82.54128

Field work, 860.41&50; offlelafpabiioation. 84. 180.16

Insurance departments, 81,096.79; miscellaneous, 81,968.26: sup,

resale, 84,222.86 ..-"v

Com. exp.. 848186; mileaffe and per diem board, 8631180

MUeaffe, 8877 98: office exp„ 864.48; office fixtures, 82, 182.06.
(Tota'



(Total expenses.

Total disbursements.



886,207 88)



8284.274 00
6,091 62
7,017 21
4,519 96
6,282 81
64,699 66

7,806 41
6,246 76
8,124 47



879.48197



8211,108 97



LEDGER ASSETS.



Mortffage loans on real estate, first Hens .
Cash deposited In bank



TotaL.



8180,200 00
80.80197



DlDUOT LniHim LlABILITIli— Nonb.



8211,108 97



Total net ledger assets.. .-.

Comprised under the foUowinc funds:
Moi



jiortuary .
ReserTC ..
Expense. .



845,990 96
152,687 29
12.425 72



8211.108 97



Digitized by VjOOQIC



564

NOM-IiSDOBB AlIBTS.

Interest Monied on mortffMres $4,207 96

Intereat aeomed on other asseu 119 U

$ 4,157 t7
MertoMT asieBiments dne on last eall, made within 60 deye, on

Inanraneeln foree $ 0,600 00

Reierre fond, per eeplte tax, rappllet, ete 16,100 00

Total non-ledffer assets 60,167 67

Gross assets 6161,261 64

DnnuoT Ambts Not kDumwD,

Per eaplta tax, supplies, ete 610,660 00

Total non-admitted assets 10,600 60

Total admitted assets $I60,961M

NON-LEDQSB LIABILITIES.

Losses on post mortem eertlfleates not adjasted, 921,426.00: re-
sisted, 61,700.00 626,126 00

Salaries, rents, expenses, taxes, blUs, aocoonts, fees, ete., dne
andaeemed 600 00

Losses on eertlfleates, not ralld elalms, airalnst soelety and re-
Jeeted by dlreetors, on whloh one year nas not expired, snlt
not filed 16,700 00

Total llabUltles r, 126 00

Balanee, to protect eontraets 6216,866 64

EXHIBIT OF 0EBTIFIGATE8.

Total business of the

year.

No. Amoont.

Benefit eertlfleates In force Dee. 61, 1802, as per last statement 62,894 648.186,000 00

Benefit eertlfleates written dnrlns: the year 14.286 18,090,600 00

Totals 47.179 666.476.500 00

Dednet deoreased or eeased to be In f oree dnrinc the year 4,706 6.468.000 00

Total beneflt eertlfleates In force Dec 61. 1906 42.476 660.018.500 00

EXHIBIT OF DEATH CLAIMS.

Total claims.
Nnmber. Amonnt.

glatans (faeevalne) incurred dnrlns: the year 202 . 6286.500 00
lalms paid durln6r the year 187 264.094 90

Balance 15 622,406 10

SaVed by compromlsln6r or scallns: down claims or dropped during the
year 5,40610

Claims unpaid Dec. 61, 1902 15 617.000 00

EXHIBIT OF DISABILITY CLAIJdS.

Total claims.
Number. Amount.

Claims Incurred durlns: the year 91 615.676 00

Claims paid during the year 75 19,167 90

Balance. 17 66.667 01

Sared by compromlslnc or scalln6r down claims or dropped durlnc the
year 412 01

Claims unpaid Dec 61, 1966 17 66.116 00



Digitized by VjOOQIC



565

MODERN AZTECS.
Ybab Ending Dbobmbbb 31, 190«S.

WILBUR B. DAVIS. PMildent THOS. F. MoTNTTBB. SeoreUry.

Ilnoorporated F«b. 11. 1901: eommeiUMd boslneti Feb. 17, 1901; home of&oe No. 86 Dearborn

street, Chloaffo. 111.]

BALANCB 8HBBT.
Amoont of net ledger Mietfl, Dee. tl of preTlooe year t Ml 41

INCOMB DURING THB TBAR.

Gross amonnt paid by members to the soelety. wlthont deduction, as follows:
Assessments : Mortnary. 91.MS.W; expense, tS,a9.06 96. 176 U

Total paid by members 16.176 41

Bent 40 60

From all other sonrees 147 46

Total Ineomednrlnc the year 6.16186

Sam of both amount! 86.797 87

DI8BUBSBMBNT8 DURING THB TBAR.

Death elalms 9 784 18

Total paid to members or applicants 8 784 18

Commissions, fees and salaries paid or allowed to agents for

organisation of subordinate bodies 1,088 80

Salaries of of&cers 408 07

Salaries and other eompensation of office employes 886 60

;ent. 8864.00; adrertlsinipr and printing, 99.96 878 96



Fostage, express and teregraph. 96 80

GoTemlng bodies. 819.96; official publication, 960.00. 79 96

Insurance departments, 918.60; miscellaneous. 9848.87 886 17

All other items. Tis : Supreme and local council supplies 896 87

(Total expenses 92.866 68)

Total disbursements... 88,690 80

Balance. 88.U8 4T

LEDGER ASSETS.
Cash in office, 9896.96; deposited in bank. 91. 817.49 88.U6 47

DnDUOT Lbdoxb Liabilitibs— Nomb.

Total net ledger assets 91.116 47

Comprised under the following funds:

Biortoary 91.646 61

Resenre 192 21

Emergency 192 20

Expense 186 45

NOM-LBDeBB ASSBTt.

Mortuary assessments due on last call, made within sixty days,
on insurance in force 648 86

Total non-ledger assets 648 86

Digitized by V^OOQIC



566



Total Admitted ms«U I2.ff» 81



NON-LBDGBB LIAB LITIES.

LoMM on pott mortem eertlfleatei due and unpaid. tUI.91; ad-
justed, not dne« 11186 81 $8,819 72

Baltfles, rents, expenses, taxes, bills, aceoonts, fees, etc.. dne
and aeemed 88 81

Total llabUltles 8,418 M

Deiiolenoy In balanee to protect oontraets 8788 11



BZHIBIT OF CBBTIPICATES.

Total bntlness of the

year, all In Illinois

No. Amount.

Benefit oertliieates In foree Dee. 81, 1902, as per last statement 818 8889,600 00

Benefit oertlflcates written dnrlnff year * 441 688,000 00

Totals 768 8927,600 00

Dednet decreased or ceased to be In force dnrlnff the year 818 847,600 00

Total benefit certifieates in foree Dec, 81. 1908 m 8680.000 00



EXHIBIT OF DBATH CLAIMS.

Illinois claims.

No. Amount

Claims unpaid Dec. 81, 1902, as per last statement 2 8 l« 127 91

Claims (face Talue) incurred durinc the year 4 2,886 08

TotaU 8 84,064 00

Claims paid durinc the year 784 88

Claims unpaid Dec 81,1901 8 88,818 71



BZHIBIT OF DISABILITY CLAIMS-NOMB.

BecelTed durlnc the year from members in Illinois : Mortuary and disability,
81,180.96; reserre. 8866.40; expense, 82.416.60; total 86,868 88



MUTUAL BENEFIT AND AID SOCIETY,
Tbab Ending Dbobmbbb 31, 1903.



LOBBNZ SCHLEQAL, President JOSEPH 8IBBEN, Secretary.

[Incorporated Feb. 26, 1876; commenced business May 18, 1871; home oflice Chlcaco, 111., Ash-
land block, room 427.1

BALANCE SHEET.
Amount of net ledger assets. Dec 81 of prcTloms year 818.040 98



Digitized by VjOOQIC



667



INCOME DURING THE TEAB.

Qroii amoont paid by members to the soelety. without dednetloni, m follows:

Groii unoant of membership feet $14,116 88

Dmes for expenses, per capita tax, etc t,5» 84

Assessments: Mortnary 8.6M 75

Medieal examiner's fees paid by applicant and entrance fee. 1,020 Ot



Total paid bV members

Interest

From all other sources, tIs: Pines..



Total income during year.
Sum of both amounts.



127.846 97

n4 00

88 86



28,168 81
$16.198 80



DISBURSEMENTS DURING THE TEAR.



Death claims

Temporary disability

Payments returned to applicants or members..



Total paid to members or applicants.,
slons,



Commissions, fees and salaries paid or allowed to airents for

oriranisation of subordinate bodies

Salaries of of&eers

Medical examiners' fees, paid subordinate medical examiners..

Rent, $878.00; adTertlsins and printing, $834.40

Miscellaneous

All other items. Til : Premiums on bonds

(Total expenses $8.906 94)



Total disbursements..
Balance ,



$9.000 00
11,972 76
1,606 40



$22,479 16

60100
1,880 00
82160
612 40
464 04
127 00



$26,886 01



$19,814 71



LEDGER ASSETS.

Book value of bonds (exdudinc Interest) and stocks owned ab-
solutely

Cash in office, $189je: deposited in bank. $8,726.86



Total.



$16,900 00
8,914 71



$19,814 71



DBDUOT LKDOKB LlABIUTIKa— Nomb.



Total net ledger assets.,

Comprised under the following funds:
Moi



J,ortuary,
Bmer8:ency.



$ 42S 20
19.891 61



$19,814 71



NON-LlDGIB ASiBTt— NOMI.



Total admitted assets.



$19,814 71



NON-LEDGER LIABILITIES.

Losses adjusted on certificates with periodical assessments

payable in adTaace, due

Adrance assessments



Total Uabilities

Balance, to protect contracts.



$1.800 00
423 20



$ 1.728 20



$18,091 61



EXHIBIT OF CERTIFICATES.

Total business of the

year, all in Illinois.

No. Amount.

Benefit certificates in force Dec. 81. 1902, as per last statement 1. 622 $761, 000 00

Benefit certificates written during the year 187 93.600 00

Totals 1,709 $864,600 00

Deduct decreased or ceased to be in force during the year 71 86.600 00

Total benefit certificates in force Dec. 81, 1908 1.688 88 1 9.000 00



Digitized by VjOOQIC



568

EXHIBIT OF DEATH CLAIMS.

All IlUnoii clrnhnm.

No. Amoimu

Saimt nnpAld Dec. tl. IMS, as per last statement 3 9 l.SOO It

alms (faee Talne) Inoarred dnrinff the year 18 9,000 00

Totals n $10,100 00

Claims paid daring the year 18 0,000 00

Claims unpaid Dee. tl.lMI S 01.800 00

EXHIBIT OF DI8IBIL1TT CLAIMS.

Illinois claims.

No. Amount.

glaims incnrred dnrinc the year 890 fll.972 18

laims paid during the year 890 11.978 TO

BecelTed dorinc the year from members in Illinois : Mortuary and disability.

888,798.18: expense, $8,618.84; total $86,886 9t



MUTUAL PROTEOTIVE LEAGUE.
Year Ending Deoembbb 31, 1903.



E. E. BUBSON. President J. B. PAISLBT. Secretary.

»mmenced business April 16,:
Ryder street. Litchfield. lU.J



(Incorporated April 16, 1897: commenced business April 16,1897: homeoflloe No. 118-lU

Jld, '" •



BALANCE SHEET.
Amount of net ledger assets Dee. 81, of previous year $ 10,118 IS

INCOME DUBINQ TEAR

Gross amount paid by members to the society, without deductions, as follows:

Dues for expenses, per capita tax, etc $ 84,168 88

Assessments: Mortuary. U7,0A6 97

Total paid by members $171,816 19

Interest. 8A4 60

From all other sources, tIs: Certlflcate fees, $1, 117.77: supplies,
$969.00; miscellaneous, $861.71; sale of bonds, manrin orer
book Talue, $107.60. 8,478 98

Total income durinir the year 174,688 67

Sum of both amounts $814,714 48

DISBURSEMENTS DURING TEAR.

Death claims, $180,804.88: permanent disabUity claims, $1, 488.10. . $181, 742 48
Payments returned to applicants or members 41 00

Total paid to members or applicants 8181,788 48

Gommlsslons, fees and salaries paid or allowed to scents for

organisation of subordinate bodies 8,642 77

Salaries of officers 7,292 02

Salaries and other compensation of oflice employes 8, 124 00

Salaries or fees paid supreme or grand medical superrisors.... 278 86

Bent, 8180.00: adTertising and printing. $828.80 808 20

Postage, express and telegraph. 81.298.02; legal expenses, 8229.06. . 1, 621 07

Goreming bodies, 81.022.61: official publication. $978.46 2.000 96

Insurance departments, $201.00: miscellaneous, $744.06 946 06

All other litems, tIs: Supplies for resale. $2,494.49: office

furniture. 9176.91 8.671 40

(Total expenses $26469.48)

Total disbursements 168,068 91

Balance .' 868.68181



Digitized by VjOOQIC



569

LEDGER ASSETS.

Book valae of bonds (ezoludiiiff Interest) and stoeks owned ab-

solntely tM,itt6 99

-Cash In office, 9493.88; deposited In bank 911,472.64 11,966 69

Total 966.66161

DiDUOT LSDOBB LIABILITIB9— NONB..

Total net ledger assets 966.66161

Comprised under the following funds:

Mortuary 9 6.198 69

Bmersenoy 49,186 96

Expense 1.916 97

NOM-LBDOBB A99ST8.

Interest due. 976.00 aocmed. 9486.89; on assets 9 660 89

Mortuary assessments due on last eall, made within 60 days, on

insurance in force 16,604 60

Furniture, fixtures, supplies, etc 4,876 70

Personal or asrents* debit balances Sa 99

Total non-ledffer assets ^ 21,769 86

Gross assets 978,426 96

DkDUOT A98BT9 NOT ADMmSO.

Fnmiture, flztnres. safes, supplies, printed matter, stationery,
etc , 94,876 70

Personal or asrents^ debit balances unsecured 8a 92

Depreciation of ledger assets to bring same to market raiue,
bonds and stocks 9U 98

Total non-admitted assets 6,011 00

Total admitted assets 972,414 96

NON-LEDGER LIABILITIES.

Losses on post mortem certificates not adjusted, 920,600.00;

resisted, 96,062.00 996,662 00

Salaries, rents, expenses, taxes, bills, accounts, fees, etc., due

and accrued 2,067 44

Total liabilities 1... 928,719 44

Balance to protect contracts 949,694 92



EXHIBIT OF CEBTIFIGATES.

^ . Total Business in

business of year. Illinois during year
No. Amount No. Amount.

Benefit certificates in force Dec. 91, 1902, as per
last statement 18,612 921.809.600 00 18.190 918,628.000 00

Benefit certificates written during the year 9,849 4,969.60000 2,618 2,961,60000

Totals v. "i v-v" ^^*^ 926,179,000 00 16,806 921.689,609 00

Deduct decreased or ceased to be in force during
theyear 2,429 2,960,000 00 1,808 2,264,260 00

Total benefit certificates in force Dec 91, 1909. 17,099 928.229.900 00 14.000 919,996,260 09



Digitized by VjOOQIC



570



EXHIBIT or DEATH CLAIMS.

Total cUlms.
No. Amoimt.

8UI11U unpaid Deo. 61. 1602. as per last statement. 12 6 17. 600 00
lalms (face ralae) Incurred dorlns: the year 107 161. 000 00

_ Totals 119 8171,600 00

Claims paid dnrlnc the year 99 180.60i 68

^ Balance 20 641,196 62

Sared by oompremislns: or scaling: down claims
or dropped durlnff the year 16,046 62

Claims unpaid Dee. 81. 1906 20 626.162 00



Illinois claims.



No.



10
90



Amount.
6 16,600 00
161.600 00



100
80


6146.000 00
6107.264 68


20


667,746 62
11,696 62


_2p


626.162 00



EXHIBIT OF DISABILITY CLAIMS.



Claims unpaid Dec. 61. 1902, as per last statement.
Claims incurred durlns: the year.


Tot
No.


al claims. Illlno
Amount No.

6 600 00

1,626 00 4

62.126 00 4
1.468 10 6

668660 1

6186 90

660060 1

nary and dUabillty,


is claims.
Amount

""'ii.'iS'oo


Totals


61,676 00
815 06


Claims paid durlnif the year ........l


Bslanee .*..a.... .. . x


9660 00
GO 00


Sared by compromislns: or scallns: down claims
or dropped durinc the year ,








Claims unpaid Dec. 81, 1906




6500 00






ReeeiTod during the year from members In Illinois:
6120,666.99; expense, 622, 164.85; total


: Mort


6142.791 84



MYSTIC WORKERS OF THE WORLD.
Yeab Ending Dboembbb 31, 1903,



GBOBGE LEIN, Actinc Supreme Master. EDMUND JACKSON, Supreme Seo*y.
(Incorporated Feb. 14, 1896; commenced business Feb. 24, 1896; home office. Fulton, Illinois.)

BALANCE SHEET.
Amount of net ledsrer assets Dec.61of preTious year 645,686 84

INCOME DURING TEAB.

Gross amount paid by members to the society, without deductions, as follows:

Quarterly dues, ftoclal members 6 618 76

Assessments: Mortuary, 6226,416.90; expense, 641. 849.07 267,769 97

Total paid by members 9268,078 72

Interest 1,16106

Supplies 2,600 12

Certificate fees 618 40

Total income durins the year. 6272.028 29

Sum of both amounts 6617,622 II



Digitized by VjOOQIC



571



DISBUBSBMENTS DURING TEAB.

Death elftlmi. $176,975.00: permanent diiablUty claims, 916,860.00. 919^826 00
Payment! retnmed te appUoanta or members 89 00

Total paid to members or applicant! 9192,864 00

Commissions, fees and salaries paid or allowed to atents for

organisation of subordinate bodies 92,916 48

Salaries of oilleers, 91149.98; other compensation of of&cers,

92,248.76 6.498 79

Salaries and other compensation of office employes' 2,996 02

Rent, 9900.00; advertlslns and printlnr. 9264.90 664 10

Postage, express and telesraph. 91,48L0l ; local expenses, 92.921.12 4, 402 19

Official publication 4,767 90

Insurance departments. 9971.94; mlseellaneons, 9966.49 1,969a

All other items. tIs.: Snpplies purchased, 92.719.66; furniture

and fixtures, 9489.78; real estate, 996.68; accrued interest on

mortffafre purchased, 9627.02 9.896 99

(Total expenses 946,901 98)

Total disbursements 9299,166 98

Balance 978,466 76

LEDGER ASSETS.

Book Talue of real estate unincumbered 9 1.122 78

Mortffaffe loans on real estate first liens 96,960 00

Gash deposited in bank. 41, 989 97

Total 178,466 76

Dkduot LBDen Liabilitibb— Nows.

Total net ledcer assets 978.466 76

Gomprised under the foUowins funds:

Mortuary 929.092 00

Reserre. 97,664 27

Expense, real estate 1,122 78

Gash 10.687 70

NOM-LlDOBB A88BT8.

Interest accrued on mortsraffes 9 878 26

Mortuary assessments to become due on post mortem policies,
not exceeding one assessment 29,799 16

Total non-ledger assets $21677 4$

Grosi assets 9109.144 16

Dkduot Abists Not Admittbd.

Excess of mortuary assessments due and to become due oyer
chances in liabilities on same account 9 6,099 16

Total non-admitted assets 6,099 16

Total admitted assets 997,046 90

NON-LEDGER LIABILITIES.

Losses on post mortem certificates not adjusted, 918,700.90; re-
sisted. 94.000.00 917,700 00

Total liabmtles 17,700 06

Balance to protect contracts 979.946 00



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572



EXHIBIT OF GBBTIFICATSS.

Total
basinets of year.
No. Amonnt.
Benefit eertlfleates In foree Dec tl, 1901, mn per

iMtstatement 22,685 932,047,060

Benefit certificates written dorlnsr the year T,660 8,981,500

Benefit certificates Increased dorinff the year 65,500

Totals 80,246 912,081,060

Dednet decreased or ceased to be In force dnrloff
the year. 2,816 8,806,215

Total benefit certificates in force Dec. 21, 1908. 27.899 988.228.775



Business In

Illinois dnrins year.

No. Amount.

00 12,640 820,926.496 00
00 2.668 4,812.000 00
00 29,500 00



00 17,198 925.208,976 00
00 1,276 1,779,576 00
00 16,917 922,489.400 OP



EXHIBIT OF DEATH CLAIMS.

Total claims.
No. Amount.

glaims unpaid Dec. 21, 1902, as per last statement 22 8 88,000 00
lalms (face ralue) ineurred during the year 120 179,000 00

Totals 142 9212,000 00

Claims paid dnrtaiff the year 120 176,975 09

Balance 12 886,026 00

Bared by compromlsinc or scaUnc down claims
or dropped duriaff the year 15,026 00

Claims unpaid Dec. 81, 1908 12 920.000 00

NetUabUity 916,700 60



Illinois claims.



No.



17
77



94
88



Amount.
8 27,000 00
115,000 00

9142,000 00
120,576 00

921.426 00
U.426 00

910.000 00



Online LibraryIllinois. Office of the Insurance SuperintendentAnnual insurance report of the Insurance Superintendent, of the ..., Part 2 → online text (page 52 of 62)