Verhovayak Lapja, 1947 (30. évfolyam, 1-24. szám)

1947 / Verhovay Journal

rune 11, 1947 Verhovay Journal PAGE 7 DISTRIBUTION OF ASSETS AND LIABILITIES ACCORDING TO FUNDS 2 3 'otal ledger Assets per ‘‘Balance” ,per item 51, page 3 .... vdd total interest and rents due and accrued, per itep 18 page 4 .........................................................-*..........-.......................... idd all other non-ledger assets, items 19-27, inclusive page 4 ross Assets, per item 28, page 4 .................................................. 'educt Assets, not admitted, per items 29-37, inclusive, page 4 ................................................................................................... otal Admitted Assets, per item 38, page 4 ................................ otal unpaid claims and other current pliabilities, per item 18, page 5 ....................................................................................... v-. «serves ...................:................................................................................. pedal Reserves and Contingency Reserves ................................. otal liabilities and reserves, except unassigned funds ............ nassigned funds per item 31, page 5 .......................................... otal to balance item 38, page 4 ...................................................... 1 Adult Mortuary Fund 7,034,614.87 52,348.63 20,377.11 7,107,340.61 67,642.94 7,039,697.67 90,862.12 5,776,841.27 400,000.00 Disability Fund Trust Fund 4 Juvenile Mortuary Fund 359,958.58 119,001.20 522,818.33 3,727.47 • 3,635.32 359,958.58 119,001.20 530,181.12 610.95 359,958.58 119.001.20 529,570. Ü 9,585.84 350,372.74 119,00120 21,854.47 305,204.25 35,000.00 Expense *Fund 25,990.17 25,990.17 25,990.17 6,584.15 Totals 8,062,383.15 56,076.10 24,012.43 8,142,471.68 68,253.89 8,074,217.79 247,887.78 6,082,045.52 785,372.74 6,267,703.39 771,994.28 359,958.58 119,001.20 362,058.72 167,511.45 6,584.15 19,406.02 7,115,306.04 958,911.75-7,039,697.67 359,958.58 119,001.20 529,570.17 25,990.17 8,074,217.79 VI. SCHEDULE OF CERTIFICATES, AMOUNT OF INSURANCE, NUMBER OF DEATHS AND LOSSES AT ATTAINED AGES ON THE ANNIVERSARIES OF THE CERTIFICATES DURING THE YEAR Attained Age No. of Certificates Dec. 31 of Current Year Amount of Insurance No. of Deaths Rept. During the Year Death Losses Rept. During the Year 0 706 501,450.00 1 686 432,950.00 4 2,000.00 2 80S 495,650.00 1 500t00 3 945 573,800.00 4 1,012 603,700.00 5 854 ‘481,500.00 6 846 458,950.00 1 500.00 7 782 413,100.00 8 806 421,320.00 1 1,000.00 9- 788 403,750.00 ^ \ 10 735 374,250.00 It . 742 382,600.00 1 500.00 12 712 368,550.00 13 693 351,250.00 1 500.00 14 787 397,950.00 15 881 461,950.00 16 689 508,850.00 17 815 586,550.00 1 1,000.00 18 881 646,250.00 19 991 748,550.00% . ß 20 1,043 802,250.00 2 1,000.00 21 1,108 849,250.00 1 1,000.00 22 1,189 928,863.00 1 500.00 23 1,157 880,750.00 3 2,000.00 24 1,227 943,200.00 5 4,500.00 25- 1,277 996,648.00 1 1,000.00 26 1,222 950,797.00 4 2,000.00 27 1,268 1,016.458.00 3 3,000.00 28 1,264 1,008,635.00 1 1,000.00 29 1,289 1,043,005.00 3 2,000.00 30 1,141 940,266.00 l 1.000.00 31 1,076 891,957.00 3 2,500.00 32 1,099 931,763.00 4 2,500.00 33 898 765,276.00 3 1,500.00 34 818 712,624.00 3 2,000.00 35 778 667,750.00 3 2,903.18 36 777 678,134.00 1 1,000.00 37 -700 597,510.00 3 3,000.00 38 653 569,544.00 1 1,000.00 39 605 502,026.00 4 2,250.00 40 551 472,632.00 3 t 2.000.00 41 512 427,750.00 1 1,000.00 42 483 408,680.00 1 500.00 43 455 374,040.00 % VII. EXHIBIT OF CERTIFICATES Total Business of the Year Number Amount nefit certificates in force December 31 of previous year 53,292 39,161,393.00 nefit certificates written during the year ................ . 5,402 4,471,750.00 nefit certificates revived during the year ............. 973 542,250.00 nefit certificates increased during the year ............ —— 20,163.18 TOTALS ......................................................../......................... 59.667 44,195,556.18 duct terminated, decreased or transferred during the year 3,965 2,462,928.18 tal benefit certificates in force Dec. 31 of current year 55,702 41,732,628.00 nefit certificates terminated by death reported during the year ...................!...................................................... 408 330,078.18 efit certificates terminated by lapse reported during the year ........ 3,107 1,807,020.00 nefit certificates terminated by Transfer to Senior reported during the year ........................................................... 450 306.000.00 nefit certificates decreased during the year ......................... ........ 19,830.00 • Attained Age No. of Certificates Amount Dec. 31 of of Current Year Insurance No. of Deaths Rept. During the Year Death Losses Rept. During the Year 44-473 379,420.00 5 5,000.00 45 394 340,800.00 3 2,500.00 46 495 401,800.00 47 477 391,570.00 1 1,000.00 48 559 461,310.00 5 5,0000.0 49 593 469,550.00 4 3.000.00 50 643 517,190.00 6 4,500.00 51 625 514,540.00 6 4,500.00 52 694 569,525.00 4 2,500.00 53 724 591,995.00 10 7,500.00 54 724 589,355.00 $ 7,000.00 55 707 569,460.00 12 9,250.00 56 775 612,240.00 7 5,500.00 57 899 710,325.00 15 11,000.90 58 1,001 795,095.00 16 13,000.00 59 849 662,950.00 9 6,700.00 60 854 647,618.00 19 16,500.00 61 778 609.289.00 10 7,500.00 62 711 560,581.00 15 12,500.00 63 664 526,899.00 15 10,550.00 64 569 456,937.00 14 12,500.00 65 486 409,282.00 20 16,050.00 66 385 331,931.00 14 12,890.00 ‘ 67 * 321 283,150.00 16 14,050.00 x 68 288 247,820.00 ,15 13,250.00 69 287 258,043.00 % 16 14,500.00 70 212 193,630.00 10 8,860.00 71 190 168,395.00 9 7,375.00 72 131 118,770.00 9 7,900.00 73 109 94,502.00 11 10,000.00 74 68 60,763.00 10 8,300.00 75 66 55,940.00% 2 2,000.00 76 55" 46,950.00 9 9,000.00 77 45 38,900.09 5 3,600.00 78 39 31,415.00 1 250.00 79 24 14,660.00 3 1,050.00 80 17 12,700.00 3 2,050.00 81 8 5,800.00 2 1.700.00 82 . 4 3,300.00 2 1.300.00 83 4 1,750.00 2 1,300.00 84 2 1.250.00 85 and over 4 2,500.00 Total 55,702$41,732,628.00 408 $330,078.18 VIII. EXHIBIT OF DEATH CLAIMS TOTALCLAIMS NumberAmouni Claims unpaid December 31 of previous year 24 19,312.50 Claims reported during the year ■............................................... 408 330,078.18 TOTALS ..............................:....................... 432 349,390.68 Claims paid during the year ...................................................................... 410 326,960.43 Balance .....................................................................................*........ 22 22,430.25 Saved by compromising or scaling down claims during the year * *.............................................................. — 3,830.25 Claims rejected during the year ....................................... 22 18,600.00 * * The amount of $2,927.50 represents the difference between the ultimate and graded 'benefits in the Juvenile Department, the amount of $902.75 designates compromised and scaled down claims.

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