Verhovayak Lapja, 1951 (34. évfolyam, 1-12. szám)

1951-04-04 / 4. szám

1951. április 4. 7-IK OLDAL Verhovayak Lapja ----­(Liabilities, Reserves and Unassigned Funds Continue«; Reserve (specify table of mortality and rate of interest) Senior, American Experience 3% ...... ............................................................»........................................................... Senior, American Men, 2|% ...........................................................................-.................................................*......... Juvenile, American Experience, 31% ........................................................................................................................... Juvenile, American Experience, 3% ................................................................................... ..........-........................... Juvenile, American Men, 2{% ........................................................................................................-----..................... ..... Total Reserves ...............................r......... .............................................................................................-..............: Total amount of all liabilities (including reserves) ................................................................-.................­Special and contingency reserves: Disability Fund — 553,259.20 ........................................-..........-............................ Special Reserve — Juvenile Mortuary .......... ........................-.......................... Unassigned Funds ......................................................................................................._..................................-.......................... Total ...................................................................................................................................................................................— Total to Balance With Admitted Assets ............................................................................-.....-....................... 9,641,665.39 20,037.54 452,284.39 278,623.87 19,262.07 (518.259.20 ( 35,000.00 577,788.57 10,411,873.26 10,689,836.02 1,131,047.77 11,820.883.79 DISTRIBUTION OF ASSETSAND LIABILITIES ACCORDING TO FUNDS -1 2 3 4 5 Adult Juvenile Mortuary■Disability Trust Mortuary Expense Fund Fund Fund Fund Fund < Totals 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 ..:......................................................................... Total Liabilities and Reserves ....................................... Special and Contingency Reserves .............................. Unassigned funds ............................................................... Total ................................................................;................. Unassigned funds at end of current year .................. LTnassigned funds at end of previous year ................... increase or decrease during the year ....................... 9,938,751.06 82,346.27 44,544.46 553,950.36 107,865.46 1,090,813.21 9,289.76 5,005.10 8,949.63 15,700,329.72 91,636.03 49,549.5ft 10,065,641.79 20,047.98 553,950.36 107,865.16 1,105,108.07 583.54 8,949.63 11,841,515.31 20,631.52 10,045,593.81 553,950.36 107,865.46 1,104,524.53 8,949.63 11,820,883.79 98,251.59 9,661,702.93 35,691.16 107,865.46 20,802.64 750,170.33 15,351.91 277,962.76 10,411,873.26 9,759,954.52 35,691.16 107,865.46 770,972.97 15,351.91 10,689,836.02 518,259.20 35,000.00 298,551.56 553,259.20 577,788.57 285,639.29 —6.402.28 10,045,593.81 553,950.36 107,865.46 1,104,524.53 8,949.63 11,820,883.79 285,639.29, 789,548.54 298,551.56 292,787.64 —6,402.28 4,438.66 577,788.57 1,086,774.84 —503,909.25 5.763.92—10,840.91 —508.986.27 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 of Insurance No. of Deaths Rept. During the year Death Losses Rept. During the year 0 406 351,500.00 5 _ 4,000.00 1 512 410,000.00 2 1,500.00 2 693 510,000.00 1 250.00 3 892 628,390.00 4 914 637,830.00 1 500.00 5 716 457,950.00 6 812 512,390.00 7 967 599,808.00 8 1,002 603,860.00 9 865 498,070.00 1 500.00 10 845 473,238.00 11 766 418,760.00 12 830 456,420.00 1 500.00 13 802 429,500.00 14 759 408,800.00 15 766 424,680.00 16 458 342,000.00 17 481 341,600.00 1 1,000.00 18 625 460,650.00 19 686 501,290.00 20 794 622,000.00 2 2,000.00 21 790 597,590.00 3 2,500.00 22 1,044 816,730.00 1 500.00 23 1,053 834,890.00 24 1,113 870,173.00 25 1,174 920,992.00 26 1,218 976,650.00 3 2,000.00 27 1,152 894,939.00 2 2,000.00 28 1,232 971,303.00 4 3,000.00 29 1,243 1,003,641.00 1 1,000.00 30 1,242 1,000,400.00 4 3,000.00 31 1,284 1,042,483.00 32 1,267 1,022,581.00 2 2,000.00 33 1,326 1,085,517.00 5 3,000.00 34 1,178 982,416.00 2 2,000.00 35 1,087 894,997.00 5 4,000.00 36 1,176 992,933.00 37 961 839,659.00 38 887 778,042.00 i 500.00 39 846 726,788.00 4 3,500.00 40 830 714,763.00 2 1.500.00 41 774 644,611.00 1 1,000.00 42 723 634,244.00 2 2,000.00 43 667 547,289.00 1 256.00 No. of Certificate Amount No. of Deaths Death Losses Attained Dec. 31 of of Kept, During Kept. During Age Current Year Insurance the year the year 44 614 521,622.00 1 1.000.00 45 563 464,850.00 5 4,500.00 16 543 461,025.00 4 2,500.00 47 526 434,319.00 48 531 420,299.00 4 3,500.00 49 441 375,490.00 50 548 432,469.00 3 2,000.00 51 550 438,586.00 5 3,750.00 52 608 491,100.00 4 2,500.00 53 663 523,514.00 5 4,000.00 54 717 543,067.00 10 7,000.00 55 713 558,380.00 6 4,500.00 56 783 615,459.00 8 6,800.00 57 788 615,478.00 9 7,800.00 58 796 609,980.00 18 16,000.00 59 807 616,401.00 8 6,250.00 60 849 633,726.00 25 19,000.00 61 958 722,577.00 19 16,800.00 62 1,072 808,529.00 22 15,800.00 63 885 651,391.00 30 22,750.00 64 859 622,796.00 25 17,000.00 65 807 605,910.00 22 15,000.00 66 735 550,078.00 23 16,000.00 67 678 509,719.00 11 9,000.00 68 554 422,422.00 24 16,750.00 69 470 365,348.00 28 24,700.00 70 367 303,651.00 19 15,686.24 71 309 257,680.00 12 9,500.00 72 261 214,654.00 18 13.500.00 73 255 214,992.00 18 15,050.00 74 184 159,275.00 15 12,785.00 75 159 134,220.00 11 j 9,300.00 76 108 90,350.00 11 9,500.00 77 97 79,510.00 € 4,300.00 78 58 47,013.00 4 3,500.00 79 55 43,544.00 3 2,300.00 80 48 36,960.00 2 2,000 00 81 31 26,100.00 6 5,500.00 82 31 23,435.00 1 1.000.00 83 18 10,600.00 1 500.00 84 16 11,100.00 4 2,800.00 85 6 4,300.00 , and over 9 5,550.00 2 1,250.00 TOTAL:59,928 45,559,836.00 509 397.377.24 VII. EXHIBIT OF CERTIFICATES Total Business of the Year Number Amount Benefitcertificates in force December 31 of previous year .............. ...... 60,241 15,188,810.00 Benefitcertificates written during the year .......... 2,470 2,321,000.00 Transfers from Juvenile .. 322 225,250.00 Benefitcertificates revived during the year .... 157 296.120.00 Benefitcertificates increased during the vear ....... —.— 25,870.00 TOTALS ...... 63,490 48,057,050.00 Deduct terminated, decreased or transferred during the year ................................................................... 3.562 2,497,214.C0 Total benefit certificates in force December 31 of current year ............. 59,928 45,559,836.00 Benefit certificates terminated by death reported during the year ...... 509 397,377.24 Benefit certificates terminated by lapse reported during the year .........................................-...... 2,731 1,827,585.761 Benefit certificates terminated ...... 322 225.250.CO Benefit certificates decreased during the year ....... —.— 47.001.00

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