Showing for the various companies the amount of Premium Notes and Loans to Policyholders January 1, 1904. EXHIBIT X.-CASH ON HAND. Showing the amount of Cash in Offices and Banks held by the companies on January 2, 1904 and a comparison with similar items at January 1, 1903. Combined Aggregates...... 209,665,645 14,284,659 10,627,909 2,265,221,193 110,539,666 95.783.955 *Commenced business in 1903. A Includes money deposited at interest with trust co.'s, etc. d Reorganized in 1903. EXHIBIT XI.-DEFERRED AND UNPAID PREMIUMS. Showing the amount of Net Deferred and Unpaid Premiums of the several companies at January 1, 1904, and a comparison with similar items at January 1, 1903. |