Verhovayak Lapja, 1949 (32. évfolyam, 1-12. szám)

1949 / Verhovay Journal

May 18, 1949 — Verhovay Journal PAGE 7 (Liabilities, Reserves and Unassigned Funds Continued) Reserve (specify table of mortality and rate of interest) Senior, American Experience 4'?c -.................................-.................................................................-...................................................... Senior, American Experience 3Vt% ............................-........................................................................................................................ Senior, American Experience 3% ....:.......... ...... ..........................................-...........................................................-............................-............... Junior, American Experience 3 Vi % .........................'.............................-...................................................................................-....................... Junior, American Experience 3e/e .................................................................................................................................................................................... Reserve to Strengthen American Experience, 4% Business ..................................................—.................................................. TOTAL RESERVES L.....................................................................................................!...... .................................................... Total amount, of all liabilities (including reserves) ............................................................................. ..................... Special and contingency reserves: Disability Fund ................................................................................................................................................ Special Reserve — Juvenile Mortuary ........................................................... ........................... Unassigned Funds ...................................................................................................................................................................................................................................... Total ......................................................:...................................................................................................................................................................................................... Total to Balance With Admitted Assets ........................................................................................................................................................ 4,199,921.21 2,890,901.03 234,610.08 380,628.53 133,668.71 450,000.00 ......... 8,289,729.56 8,547,26L75 421,933.61 35,000.00 997,112.23 1,454,045.84 10,001,307.59 DISTRIBUTION OF ASSETS AND LIABILITIES ACCORDING TO FUNDS 1 Adult 2 3 4 Juvenile 5 6 Mortuary Disability Trust Mortuary Expense Totals Fund Fund Fund Fund Fund Total Ledger Assets per ‘•Balance”, ...................................... Add total interest and rents due and accrued, . . .. Add all other non-ledger assets, ............................................ Sross Assets, ................................................................................................... Deduct Assets, not admitted, ............................................................ Total Admitted Assets, ....................................................................... Total unpaid claims and other current liabilities, ... Reserves ............................................................................................................ Special Reserves and Contingency Reserves ................... Total liabilities and reserves, except unassigned funds Unassigned funds ........................................................................................ Total ....................................................................................,*............................. Unassigned funds at end of current year ........................... Unassigned funds at end of previous year ........................... Increase or decrease during the year ................................. 8,577,308.00 67,298.88 36,670.84 453,133.61 100,224.49 798,279.51 6,149.21 4,946.29 19,737.50 9,948,683.11 •43,448.09 41,617.13 ' * 8,681,277.72 62,440.74 453,133.61 100,224.49 809,375.01 19,737.50 10,001,307.59 62,440.74 8,618,836.98 453,133.61 100,224.49 809,375.01 19,737.50 10,001,307.59 88,926.51 7,775,432.32 31,200.00 100,224.49 19,164.72 514,297.24 35,000.00 18,016.47 257,532.19 8,289,729.59 456,933.61 421,933.61 7,864,358.83 754,478.15 453,133.61 100,224.49 568,461.96 240,913.05 18,016.47 1,721.03 9,004,195.36 997,112.23 * 8,618,836.98 453,133.61 100,224.49 809,375.01 19,737.50 10,001,307.59 754,478.15 730,902.13 240,913.05 207,165.90 1,721.03 21,293.21 997.112.23 959.361.24 23,576.02 33,747.15 —19,572.18 37,750.99 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-Certificate Dec. 31 of Current Year Amount No. of Deaths of Rept. During Insurance the year Death Losses Rept. During the year Attained Age No. of Certificate Dec. 31 of Current Year Amount of Insurance No. of Deaths Rept. During the year Death Losses Rept. During the year 1 , 1,259 918,350.00 6 4,500.00 45 515 417,820.00 1 1,000.00 2 862 611,550.00 1 500.00 46 522 410,059.00 2 2,000.00 3 A ■ 766 475,450.00 47 433 394,600.00 2 2,000.00 (" "—'Í75 487,650.00 2 1,500.00 48 550 437,299.00 4 3,000.00 5 ■ 910 563,328.00 I 300.00 49 533 427,116.00 2 1,000.00 6 1,007 606,340.00 50 624 498,080.00 3 2,500.00 7 897 504,150.00 1 500.00 51 681' 525,834.00 4 3,000.00 8 847 465,838.00 52 725 551,637.00 8 7,000.00 9 781 416,000.00 1 500.00 53 721 568,464.00 11 7,300.00 10 803 425,620.00 54 798 623,772.00 8 5,500.00 11 844 434,450.00 55 804 629,338.00 8 7,500.00 12 773 394,940.00 56 827 638,585.00 5 3,300.00 13 767 400,320.00 57 808 617,122.00 12 8,169.09 14 770 401,000.00 1 500.00 58 887 663,416.00 11 9,750.00 15 757 393,800.00 59 1,007 761,893.00 17 12,000.00 : 16 1,008 583,050.00 1 500.00 60 1,131 848,768.00 18 13,550.00 17 717 500,650.00 61 941 694,591.00 24 18,500.00 18 897 647,250.00 1 500.00 62 928 670,399.00 20 16.250.00 19 827 615,500.00 1 1,000.00 63 860 642,578.00 20 12,686.00 20 946 709,211.00 1 500.00 64 780 582,585.00 18 13,500.00 21 1,071 828,500.00 65 709 532,871.00 18 15,960.0fr 22 1,125 870,200.00 66 610 460,878.00 29 22,000.00 23 1,185 916,500.00 67 522 409,271.00 21 18,600.00 24 1,241 992,113.00 2 1,500.00 68 408 333,019.00 21 14,800.00 25 1,198 920,470.00 2 1,000.00 69 344 284,060.00 21 15,800.00 26 1,263 979,686.00 2 2.000.00 70 296 242,295.00 15 12,500.0fr i 27 1,295 1,002,661.00 1 500.00 71 291 246,662.00 18 14,200.00 28 1,251 981,737.00 1 500.00 72 215 166,730.00 13 10,550.00 29 1,298 1,040,294.00 1 500.00 73 186 156,320.00 18 13,675.00 30 1,291 tl,026,591.00 1 1,000.00 74 126 106,050.00 9 8,050.00 31 , 1,330 1,076,234.00 75 112 90,552.00 8 7,250.00 32 1,177 968,966.00 4 3,000.00 76 69 57,013.00 11 9,250.00 33 1,130 929,617.00 2 2,000.00 77 63 49,594.00 6 4,550.00 , 34 1,179 987,197.00 1 1,000.00 78 55 44,337.00 3 1,800.00 35 934 799,983.00 2 2,000.00 79 41 34,850.00 2 1,300.00 36 888 773,365.00 1 500.00 80 36 27,325.00 8 5,500.00 37 836 703,369.00 1 1,000.00 81 20-12,100.00 4 3,000.00 38 813 703,879.00 1 500.00 82- 21 14,200.00 39 770 639,561.00 3 1,970.00 83 7 5,300.00 1 300.00 40 ’ 711 601,144.00 3 2,500.00 8,4 4 2,800.00 1 í.ooo.oo 41 668 538,845.00 1 500.00 85 3 1,250.00 1 1,000.00 42 610 518,042.00 1 500.00 and over 8 5,250.00 2 750.00 43 573 472,850.00 3 2,000.00 . 369,110.09 44 519 430,635.00 3 2,500.00 Total 60,790 45,183,569.00 481 VII. EXHIBIT OF CERTIFICATES Total Business of the Year N umber Amount Benefitcertificates in force December 31of previous year, as per line 8 laststatement 61,015 44,903,038.00 Benefit certificates written during the year ..........3,190 2,449,800.00 Benefit certificates revived during the year ..........639 387,000.00 Benefitcertificates increased during the year ___ 5,500.00 TOTALS ________..............................:.................... 64,844 47,745,338.00 Deduct terminated, decreased or transferred during the year (total of lines 9-13 inclusive) .... Total benefit certificates in force December 31 of current year ................ Benefit certificates terminated by death reported during the year ............................................................. Benefit certificates terminated by lapse reported during the year ......................... .................................... Benefit certificates terminated by Transfer to Senior Order during the year ...... ........................... Benefit certificates decreased during the year .......... 4,054 2*561,769.00 60,790 45,183,569.00 481 369,110.09 3,259 1,963,674.00 313 203,500.00-/l 25,484.91

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