THURSDAY, JUNE 15, 1944.
HERMISTON HERALD HERMISTON OREGON
■ Legal Notices :
====================
NOTICE OF IMND SALE
NOTICE IS HEREBY GIVEN,
That the undersigned. Sheriff of
Umatilla County, Oregon, by virtue
of an order duly made and entered
herein by the County Court of Uma
tilla County, Oregon, on the 13th day
Lots 1 to 8 Inc., Block 104, Ward-
of May, 1944, will, on the 20th day
well’s Addition to Umatilla. Uma
of June. 1944, at the hour of 10:00
tilla County, Oregon.
o’clock in the forenoon, sell to the
R. E. GOAD. Sheriff of
highest bidder for cash at the front
Umatilla County.
door of the Umatilla County Court (May 18-June 15)
House. Pendleton. Oregon. subject to
a minimum price of $80.00 therefor,
NOTICE OF HEARING ON
to be paid in cash, at the time of sale,
the following described parcel of
FINAL ACCOUNT
land, heretofore by Umatilla County.
Oregon, acquired for delinquent tax IN THE COUNTY COURT OF THE
es. to-wit:
STATE OF OREGON FOR
Notice of School Election upon Question of Increasing Tax Levy
Over Amount Limited by Section 11, Article XI,
State Constitution.
Notice is hereby given that an election will be held in School District No.
14, of Umatilla County, State of Oregon, at 8 o’clock p. m., July 5,at the school
house in said school district, for the purpose of submitting to the legal voters
of said district the question of increasing the tax levy for the year 1943-44
over the amount limited by section 11, article XI, of the Constitution of Ore.
gon.
The reasons for increasing such levy are: Additional cost in running
the school.
The amount of tax, in excess of the 6% limitation, proposed to be levied
for said year is $5,849.32.
Dated this 5th day of June, 1944.
Attest:
R. A. BROWNSON,
F. C. WOUGHTER.
District Clerk.
Chairman Board of Directors.
NOTICE OF SCHOOL MEETING
NOTICE IS HEREBY GIVEN to the legal voters of School District No.
14, of Umatilla County, State of Oregon, that a SCHOOL MEETING of the
said district will be held at Schoolhouse on the 5th day of July, 1944, at 8:00
, o’clock p. m., for the purpose of discussing the budget for the fiscal school
year, beginning July 1, 1944, and ending June 30, 1945, hereinafter set forth.
BUDGET
Ettiinated Receipts and Available Cash Bolanee»
1. E*imeted Receipts from Delinquent Taxes during
fiscal year for which this budget is made .....
$ 3,972.52
2. Estimated Receipts from County School Fund ......
10,975.16
3. Estimated Receipts from Elementary School Fund
7,140.00
4. Estimated Receipts from State Irreducible School
Fund ........................................................................
1,442.20
5. Estimated Receipts from Federal Works Agency . ..» 24,418.82
6. Estimated Receipts from Other Sources .................
5,116.93
7. Estimated Total Receipts and Available Cash Bal
ance or Deficit ............ -................................................
$53,065.63
ESTIMATED EXPENDITURES
Estimated
Expenditures and Budget
Allowance for Six Months
of Current School Year
for the
Expendi-
Expenditures for Three
Fiscal Years Next Preceding
the Current School Year
Budget
Ensuing
tures
Allowance
School Year
in Detail
in Detail
Detailed
Expenditures
for the Last
,
Second
Year
Year
Year of the
Yearly
Yearly
Three-year
Period
Totals
Totals
. .
irsi
I. GENERAL CONTROL—
1. Personal service:
(1) Superintendent ........................... $ 800.00
$ 400.00
$ 400.00
(2) Clerk .............................................
155.00
80.00
80.00
(3) Stenographers A other office
assistants
500.00
250.00
250.00
(4) Compulsory education & cen
sus - ....................... ...... ...............
500.00
250.00
250.00
(5) Other services . ......................
10.00
5.00
5.00
2. Supplies
........
1500
10.00
10.00
3. Legal service (clerk's bond, audit,
etc.) .........................
...................
150.00
75.00
75.00
4. Other expense of general control
15.00
10.00
10.00
S. Total Expense of General Control
2,145.00
1,080.00
1,080.00
$
646.08
155.00
$
$
360.00
297.00
10.00
12.15
143.00
11.23
1,634.46
2,184.35
2,542.13
IL INSTRUCTION—Teaching
1. Personal service:
(1 ) Teachers ..........
2. Supplies (chalk, paper, etc.) . ......
3. Textbooks ............................... ...........
4. Total Expense of Teaching
35,760.00
6,000.00
1.100.00
42,860.00
17,880.00
3,000.00
800.00
21,680.00
17.880.00
3,000.00
800.00
21,680.00
31,121.13
5,837.93
1,156.18
38,115.24
26,993.85
23,427.24
III. OPERATION OF PLANT—
1. Persona! service:
(1) Janitors and other employees
2. Janitors’ supplies .............................
3. Fuel .......................................................
4. Light and power
......................
5. Water ............................... ..................
6. Total Expense of Operation ...........
2,600.00
450.00
700.00
810.00
120.00
4,680.00
1,300.00
225.00
350.00
405.00
60.00
2,340.00
1.300.00
225.00
350.00
405.00
60.00
2,340.00
2,491.72
486.77
657.32
809.83
114.16
4,559.79
3,955.70
4,695.08
IV. MAINTENANCE & REPAIRS—
1. Repair and maintenance of furni
ture and equipment
2. Repair and maintenance of build
ings and grounds ...........................
3. Total Expense of Maintenance and
Repairs ................. *..... ....................
-w :
A
* •
.7
r
200.00
100.00
100.00
194.00
120.00
60.60
60.00
104.80
320.00
160.00
160.00
298.80
3,305.84
50.00
26.09
25.00
6.25
*
8,500.00
4,250.00
4,250.00
8,468.79
179.25
V. AUXILIARY AGENCIES—
1. Health service:
(1) Supplies and other expenses
2. Transportation of pupils:
(1) Personal service
.........
3. Other auxiliary agencies:
( 1 ) Library ................................
(2) School Lunches
.........
4. Total Expense of Auxiliary Agen
cies ....................................................
250.00
540.00
125.00
270.00
125.00
270.00
274.25
540.00
9,340.00
4,670.00
4,670.00
9,289.29
5,999.61
5,465.54
VI. FIXED CHARGES—
1. Insurance .............................................
2. Rent .....................................................
3. Total Fixed Charges
290.00
500.00
790.00
145.00
250.00
395.00
145.00
250.00
395.00
289.98
509.70
799.68
1,514.17
1,078.51
618.76
26.90
12,524.10
43,980.42
49,911.85
7,991.63
3,600.07
•
VIL CAPITAL OUTLAYS—
1. New buildings
2. New furniture, equipment and re-
replacements ......................................
3. Other capital outlays:
( 1 ) Refund to U. S. .........................
Total Capital Outlays ..................
500.00
250.00
250.00
2,000.00
1,000.00
1,000.00
2,500.00
1,250.00
1,250.00
VIII. DEBT SERVICE—
1. Interest on warrants ......................
2. Total Debt Service ...........................
220.00
220.00
IX. EMERGENCY
GENERAL FUND—Total estimated
expenses for the year .-----
4.828.07
5.446.83
•
212.89
212.89
1.000.00
63.855.00
31,575.00
31,575.00
60,356.98
BOND INTEREST AND SINKING
FUND —
1. Total Debt Service ................... --------
Summary of Estimates of Expenditures, Receipts and Available Cash
Balances, and Tax Levies
Total estimated expenditures .................................................................... $63,855.00
DEDUCT:
Total estimated receipts and available cash balances ......................... 53,065.63
Amount necessary to balance the budget ............—............................ 10,789.37
Balance to be raised by taxation ................................. ............ -........... 10,789.37
TOTAL ESTIMATED TAX LEVIES FOR ENSUING FISCAL
10,789.37
YEAR
ANALYSIS OF ESTIMATED TAX LEVIES
4,940.05
Amount inside 6% limitation ............................
5,849.32
Amount outside 6% limitation .......................
INDEBTEDNESS
1 Amount of bonded indebtedness (include all negotiable
interest-bearing warrants issued under section 111-
1016. O. C. L. A.) - .............................. ----------- none
2 Amount of warrant indebtedness on warrants issued
none
and endorsed "not paid for want of funds” .......
3 Amount of other indebtedness none
................. .......................
4 . TOTAL INDEBTEDNESS ........................
Patedathis 5th day %. X"BROWNSON,
District Clerk.
Approved by Budget Committee June 5, 1944.
timid
A. H. CABLE,
‘ *"
Secretary, Budget Committee.
(June 8-15)
none
F. C. WOUGHTER.
Chairman, Board of Directors.
CHAS. HODGE,
Chairman, Budget Committee.
NOTICE TO CREDITORS
PAGE THREE
Synopsis of Annual Statement of the Commis. & salaries
466,318.15
Taxes, licenses & fees
96,726.21
UNION CENTRAL LIFE
Policy divids, paid
340,039.36
NOTICE IS HEREBY GIVEN j
INSURANCE CO.
Other expenses
that the undersigned has been ap- |
202,686.66
Cincinnati, in the State of Ohio on T . > .warding.
2,011,036.89
pointed administratrix of the estate ! of
012. 1943,
1040 made . to . it
i-
tXpenuitures
December
31st,
the
In-
ADMITTED ASSETS
of Jesse S. Arnold, deceased, in the |
surance Commissioner of the State of | Realty (mkt. val.)
County Court of the State of Oregon Oregon,
214.482.00
pursuant to law:
i-
.
Mortg. & collateral loans 171.856.19
for Umatilla County. All persons Capital Stock
2,500,000.00
Bonds- (amortz. val.)
having claims against said estate are
3,231.128.97
FOR 1943
Stocks- (mkt. val.)
hereby required to present such Premium INCOME
376,382.42
Income
37,221,808.72
Cash in banks & on hand 570,788.97
claims, duly verified, with proper
Int.
divids.
&
rents
18.666,494.40
Premiums in collection
vouchers attached, to the undersigned
11,143,773.53
9-30-43
at the office of W. H. Crary, Echo, From other sources
177.264.67
Total
income
67,032.076.65
I
Int. A rents due & accrued
Oregon, within six months from the |
16.197.27
DISBURSEMENTS FOR 1943
i Other Assets
date of this notice, the same being
70,014.65
dated and published the first time Losses, endows, annuities o, in or? 10 Total admitted assets
4,828,065,14
etc. paid
24,134.217.19 ,
LIABILITIES
this 25th day of May, 1944.
Divids, paid policyholders 3,172,682.98 Unpaid claims
NELL 1. ARNOLD.
254,154.91
100,000.00 ! Unearned premiums
1,719,892.53
Administratrix of the Estate of Stock divids, paid
i
Commis.
&
salaries
4,907,030.20 Commis. * brokerage due
Jesse S. Arnold, deceased.
51.024.11
Taxes, licenses & fees
2.659,867.61 I Other liabilities
W. H. Crary. Attorney
131,549.79
I
Other
expenses
9,687,169.84 Contingency reserve
for Administratrix.
671.443.80
Total expenses
44,660,967.82 Total Liab. except capital 2,828,065.14
(May 25-June 22)
ASSETS
Surplus over Liab. 2,000,000.00
Synopsis of Annual Statement of the , Realty sold under contract
Policyholders surplus
2,000,000.00
(book val.)
25,954,683.69
4.828.065.14
Total
WESTERN MILLERS MUTUAL •Realty, (Book val.)
38,434,391.02
1943 BUSINESS IN OREGON
FIRE INSURANCE CO.,
Morte. & collateral
Premiums received
18 652.67
of Kansas City, in the State of Mis
loans
117.117.878.77 Losses paid
945.75
souri on December 31st, 1943, made Bonds- (amortz. val.) 238,395.999.89
Pennsylvania Lumbermens Mutual
to the Insurance Commissioner of the Premium notes & policy
! Fire Ins. Co.. H. J. Pelstrine. Presi-
State of Oregon, pursuant to law:
dent. A. Kellock, Secretary, Attorney
INCOME FOR 1943
j Cash in banks & on hand 33-478-542-72
10,581,866.39 | for service. Insurance Commissioner
Premiums received
943,871.41 Int. A rents due A ac-
of Oregon.
Int. divids. & rents
29.870.381 crued
4,296,908.18
F rom other sources
4,777.04 Uncollected A deferred
Synopsis of Annual Statement of the
Total income
978,518.83 |
premiums
4.468.754.24 PENNSYLVANIA MILLERS MU
92,636.24
: Other assets
DISBURSEMENTS FOR 1943
TUAL FIRE INSURANCE CO.
391 925 50 Total admitted assets 477,821,661.14
Losses paid
222,257.13 1
LIABILITIES
of Wilkes-Barre in the State of Penn
Commis. A salaries
390,731,816.00 sylvania on December 31, 1943, made
Taxes, licenses A fees
32,258.53 Net reserves
2.109.264.90 to the Insurance Commissioner of the
Policy divids, paid
165,051.45 : "Inpaid claims
22,740,041.17
Other expenses
109,711.71 Other liabilities
_________ State of Oregon, pursuant to law:
INCOME FOR 1943
921/204.32 Policy proceeds left to ac-
Total expenditures
1,119,911.17
— TS
' . ! cumulate at interest 49.198,882.85 Premiums received
ADMITTED ASSETS
Int.,
divids.
& rents
147,823.93
Bonds- (mkt. val.)
740,667.27 I Total Liab. except cap
From
other
sources
3,923.70
ital
464.780,004.92
Stocks- (mkt. val.)
179.074.75
Total
income
1.271,658.80
2.500.000.00
Cash in banks & on hand
95,045.84 i Capital paid n
DISBURSEMENTS
FOR
1943
Surplus over liab. 10,541,656.22
Premiums in collection
479,164.11
13.041.656.22 Losses paid
9-30-43
116.650.43 Policyholders surplus
302,703.81
447.821.661.14 Commis. & salaries
Int. & rents due & accrued
3,119.62 Total
Taxes, licenses & fees
48,318.36
1943 BUSINESS IN OREGON
Other assets
26.243.26
Divids, paid policyholders 232,724.78
Total admitted assets
1,160.801.17 Prominms & annuities
89,420.49
received
261.832.06 Other expenses
LIABILITIES
1.152,331.55
15,737.37 Total expenditures
Unpaid claims
80.960.81 Dividends naid
ADMITTED ASSETS
Unearned premiums
697.231.89 I eces, claims, endws. annui-
94,600.00
ties etn naid
97.979.76 Realty (mkt. val.)
Other liabilities
28,857.57
3,327,391.50
The TInion Central Life Insurance Ronds- (amortz. val.)
Total liab. excent capital 807.050.27
359,418.00
Co W. Howard Cox. President. Rich- Stocks- (mkt. val.)
Surplus over Liab.
353,750.90
Policyholders surplus
353.750.90 ard S. Rust Secretary. Attorney for Cash in banks A on hand 195,310.45
Premiums in collection
Total
1.160.201.17 sorvien. Farle p Kaufman.
9-30-43
124,787.67
*Marlet value Realty owned
1943 BUSINESS IN OREGON
Int. & Rents due & accrued 33,513.47
$41.210.307.99
Premiums received
16.113.4%
Other assets
417.03
Losses paid
1.958.55
4,135,501.12
Western Millers Mutual Fire Insur Svnansis of Annusi Statement of the Total admitted assets
LIABILITIES
ance Co.. R. M Rovers. President. UNION INSURANCE SOCIETY OF
Unpaid claims
134,394.31
Carl W. Trapp. Secretary.
CANTON. Ltd.
Unearned premiums
838,536.44
of head A registered office, Sydney, Commis. A brokerage due
32.000.00
Svnonsis of Annual Statement of the in the Country of Australia, on Dec.
liabilities
432,870.82
FEDERAL LIFE A CASUALTY 31st, 1943, made to the Insurance Other
Total Liab. except capital 1.437.801.57
Commissioner of the State of Oregon, Guaranty fund
COMPANY
250,000.00
of Detroit, in the State of Michigan pursuant to law:
Surplus over Liab. 2,447,699.55
500,000.00 Policyholders surplus
on the 31st day of December, 1943, Capital Deposit
2.697,699.55
INCOME FOR 1943
made to the Insurance Commissioner
Total
4.135.501.12
2,032,343.45
of the State of Oregon, pursuant to Premiums received
1943 BUSINESS IN OREGON
91.394.64 Premiums received
Int. divids. & rents
law:
13,244.77
390,599.02 Losses paid
Capital stock paid up
450,000,00 From other sources
87 91
2,514,337.11
Total income
INCOME FOR 1943
Pennsylvania Millers Mutual Fire
DISBURSEMENTS FOR 1943
Premiums received
1,609,082.52
Insurance Co., John Hoffa. President.
999,831.55 Tra J. Milligan, Secretary. Attorney
Int. divids. & rents
61.620.75 Losses paid
671,040.34 for service. Insurance Commissioner.
From other sources
145,893.25 Commis. & salaries
31,122.86
Total income
1.816,596.53 Taxes, licenses A fees
99,771.73 Synopsis of Annual Statement of the
Other expenses
DISBURSEMENTS FOR 1943
1.801,766.48 SECURITY MUTUAL CASUALTY
Net losses paid
553,596.94 Total expenditures
ADMITTED ASSETS
Commissions & salaries
793,904.74
COMPANY
3,549.387.00
Taxes, licenses A fees
106,978.73 Bonds- (amortz. val.)
418,640.00 of Chicago, in the State of Illinois on
Stock divids, paid
31.500.00 Stocks (mkt. val.)
31st day of December, 1943, made to
Other expenses
256,799.50 Cash in banks & on hand 779,102.24 the Insurance Commissioner of the
Total expenditures
1.742,779.51 Prnminms in collection
219,777.75 State of Oregon, pursuant to law :
9-30-43
ADMITTED ASSETS
INCOME FOR 1943
Realty, mkt. val.
149,067.75 Int. & rents due & accrued 18,061.60 Premiums received
2,827,454,98
113,677.55
Mortg. & collateral loans
41,008.95 Other assets
301,343.83
5,098,646.14 Int., Divids. A Rents
Bonds, amortz. val.
1,147,796.95 •Total admitted assets
From other sources
100,283.74
LIABILITIES
Stocks- mkt. val.
3,000.00
3,229,082.55
1,253,760.14 Total Income
Cash in banks & on hand 131,236.57 Unpaid claims
DISBURSEMENTS FOR 1943
1,110,065.30
Premiums in collection
12,641.65 Unearned premiums
1,324,930.84
5,000.00 Losses paid
Int. & rents due & accrued 9,107.35 Commi». & brokerage due
209,145.66
706,202.57 Commis. A Salaries
Other liabilities
Other assets, Inc. A. & H.
142,851.63
Total Liab. except capital 3.075,028.01 Taxes, Licenses A Fees
Dep. •
39,718.75
Divids, paid policyholders 429,142.12
Capital deposit
500,000.00
Life Dpt.
342,946.04
Other expenses
306,021.93
382.664.7 9 Surplus over Liab. 1.523,618.13
20% At» 19 Total expenditures
2,412,092.18
Total admitted assets
1.876,524.01 Policyholders surplus
2202104?
ADMITTED ASSETS
5,098,646.14
Total
LIABILITIES
Bonds (Amortz. Vai.)
10,737,743.67
1943 BUSINESS IN OREGON
Unpaid claims
189,696.72
504,900.00
56,925.85 Stocks (Mkt. Vai.)
Unearned premiums
303,209.70 Premiums received
28.854.89 Cash in Banks & on hand .324,348.46
Losses paid
Commission & brokerage
in collection
Union Insurance Society of Canton, I Premiums
due
17,140.65
218.388.90
9-30-43
T td., W. J. Roberts A Co. Inc., U. S. Int.
Other liabilities, ine. Life <
A
Rents
due & accrued 77,466.08
Managers,
Atty,
for
service.
Ins.
Com
A. & H.
435,406.55
Other Assets (net)
86.43
Gen’l. Voluntary reserve
50,000.00 missioner of Oregon.
Total admitted asests
11,862,933.54
Total liab. except capita)
995,453.62 •On the basis of Market quotations
LIABILITIES
December 31st. 1943, for all Bonds A
Capital paid up
450,000.00
3,783.606.74
unpaid
stocks owned, this Society’s assets Claims
Surplus over Liab. 431,070.39
1,265.269.83
Unearned premiums
would
be
increased
to
$5,192,405.08.
Policyholders surplus
881,070.39
1,753.73
Commis. & Brokerage due
Total
1,876,524.01
838,103.43
Other Liabilities
Synopsis
of
Annua)
Statement
of
the
1943 BUSINESS IN OREGON
2.774.199.81
Voluntary Reserve
UNITED MUTUAL FIRE IN
Premiums received
16,048.81
Total Liab. except capital 8.662,933.54
Losses paid
3,037.05
SURANCE COMPANY
200.000.00
Guaranty Fund
Federal Life A Casualty Co., V. D. of Boston, in the State of Massachu Surplus over Liab. 3,000,000.00
Cliff. President, F. V. Cliff. Secreta setts on December 31st, 1943, made to Policyholders Surplus
3.200.000.00
ry, Attorney for service. Insurance the Insurance Commissioner of the Total
11 862.923.54
Commissioner.
1943 BUSINESS IN OREGON
State of Oregon, pursuant to law:
6,832.14
Premiums received
INCOME FOR 1943
Synopsis of Annual Statement of the Premiums received
97.45
6,740,371.44 Losses paid
260,050.20
Security Mutual Casualty Co.. T.
AMERICAN CASUALTY
Int. divids. A rents
152,153.37 M. Coen, president, John R. Kitch,
From other sources
COMPANY
7,152.575.01 secretary. Attorney for Service. In
of Reading, in the State of Pennsyl Total income
surance Commissioner.
DISBURSEMENTS FOR 1943
vania, on the 31st day of December,
2,395,194.11 !
1943, made to the Insurance Commis Losses paid
1,212,668.53 Synopsis of Annual Statement of the
sioner of the State of Oregon, pursu- Commis. A salaries
207.854.77 ¡
SERVICE FIRE INSURANCE
Taxes, licenses A fees
ant to law:
COMPANY
Capital Stock paid up
1,000,000.00 Divids. pd. policyholders 2,049,865.97 i
526.797.94 of New York in the State of New
Other expenses
INCOME FOR 1943
6,392,381.32 York, on December 31st, 1943, made
Premiums received
5,904,578.44 Total expenditures
ADMITTED ASSETS
to the Insurance Commissioner of the
Int. Divids. & rents
181,803.64
8,467,508.70 State of Oregon, pursuant to law:
From other sources
285,844.37 i Bonds- (amortz. val.)
941,068.00
I
Stocks-
(mkt.
val.)
2,000,000.00
Total income
6,372,226.45
Capital Stock
I Cash in banks & on hand 1,597,303.63
INCOME FOR 1943
DISBURSEMENTS FOR 1943
j
Premiums
in
collection
914,573.75
Losses paid
Premiums received
2,523,638.20
669,425.34 Int., divids. & rents
9-30-43
196.375.86
Commis. & salaries
1.592,812.93
Int.
A
rents
due
&
accrued
47,251.23
219.525.25
Taxes, licenses A fees
From other sources
207,179.33
53,330.08 Total income
1.330.474.86
Stock Divids, paid
105,000.00 Other assets
11,775,886.98
DISBURSEMENTS FOR 1943
Other expenses
572,441.94 Total admitted assets
LIABILITIES
1,181.288.10
Losses paid
Total expenditures
5.001.072.40
685.250.00 Commis. A salaries
| Unpaid claims
117,263.98
ADMITTED ASSETS
5,958,805.11 Taxes, licenses * fees
572,034.53
Realty, (Mkt. val.)
223.206.87 Unearned premiums
12.000.00
Commis.
A
brokerage
due
700,000.00
Mortg. * Collateral loans
1
265,403.14
Stock divids, paid
1,360,138.73 ; Other expenses
89,687.90
Bonds (Amortz. Vai.) I
4,235.550.87 Other liabilities
Total
Liab.
except
capital
8.016,193.84
2 660,274.51
( Mkt. Vai.)
expenditures
Stocks (Mkt.
817,949.57 • - ---> ,
Total
325.000.00
Cash in Banks A on hand 1.030.433.65 Guaranty fun.
ADMITTED ASSETS
Surplus over Liab. 3,434,693.14
3,004,257.15
Bonds- (amortz. val.)
Premiums in collection
3,759.693.14
Policyholders
surplus
3,018.041.66
9-30-43
Stocks- (mkt. val.)
1.256,634.97
al
11.775,886.98
197.893.20
Cash in banks & on hand
Int. A rents due & accrued
22,822.17 I
1943 BUSINESS IN OREGON
81,061.28
Premiums in collection
Other assets (net)
78,717.48
38,545.40 Int. & rents due A accrued 11 0T0 28
Total admitted assets
7,930,718.72 Premiums received minus 256,4
50.08 Total admitted assets
Losses paid
114 RÎT TTÎFS
6,312,323.57
LIABILITIES
Claims unpaid
'
“2,686,447.05 United Mutual . Fire Ins.Co. S.
Unearned premiums
2.618,177.74 I Bruce Black. President. E. N. Harri- Unpaid claims
150.640.00
596.548.96
Commis: A brokerage due 332,989.84 man. Secretary: • —_______
Unearned premiums
2,900.00
Other liabilities
273,436.49 „
, .
...
... Commis. & brokerage due
Voluntary & Contingent
Synopsis of Annual Statement of the
541.967.84
Reserve
-ontngent
gag-c PENNSYLVANIA LUMBERMEN’S Other liabilities
Total Bab except capital 1.292.056.80
Total Liab. except Capital 5,920,718.72 MUTUAL FIRE INSURANCE CO. Capital paid un
2,000,000.00
Capital paid up
1,000,000.00
of Philadelphia in the State of Penn- Surplus over Liab. 3.020,266.77
Surplus over liab. 1,000,000.00
sylvania on December 31st, 1943, made Policyholders surplus
5,020.266.77
2,000,000.00 to the Insurance Commissioner of the Total
6,312.323.57
Policyholders surplus
Total
7,930,718.72 State of Oregon, pursuant to law
1943 BUSINESS IN OREGON
11.348.92
INCOME FOR 1943
1943 BUSINESS IN OREGON
Premiums received
2,019,152.15 Losses paid
15.944.97
111,922.04 : Premiums received
Premiums received
98,555.61
Losses paid
40.524.20 Int., divida. * rents
Service Fire Insurance Co. of New
11,890.71 York. Arthur 0. Dietz, president. Al
American Casualty Company. H. From other sources
2,129,598.47 phonse A. Laporte, secretary. Attor
G. Evans, president. W. 8. Dearolf, Total income
secretary. Attorney for service, Wm. j
DISBURSEMENTS FOR 1942
ney far service, A. A. Comrie, Port
905,266.51 land. Ore.
H. Morrison. Portland. Oregon.
I Losses paid