THE LIBRARY OF THE UNIVERSITY OF GEORGIA REPORT OF THE ComptrollerGeneral OF THE STATE OF GEORGIA FOR THE YEAR ENDING SEPTEMBER 30 1893 H Atlanta Ga GEO W HARRISON STATE PRINTER Franklin Printing and Publishing Co 1893LI BRARY reo sREPORT STATE OF GEORGIA ComptrollerGenerals Office Atlanta Ga October 1 1893 To His Excellency W J Northern Governor SirI have the honor to submit herewith the annual report of this Department for the year ending September 301893 exhibiting by tabular statements the amount and the sources from which the revenue of the State is derived and the disbursements of same from the 1st day of October 1892 to the 30th of September 1893 both inclusive and also such other information as it is made my duty by law to submit for your consideration Since the date of my last report October 1 1892 the State Treasurer has received and properly certified to this Department and my vouchers given for the sum of 285597424 which has been charged to the Treasurers account on the books of this office Warrants drawn on the Treasurer under the General Appropria tion Act and the several Special Acts amounting to 246418842 have been audited by me and paid by him for the same period and his account credited therewith The condition therefore of the Treasury on October 1 1892 was as follows Balance in Treasury Oct 1st 1892 748051 63 Receipts from Oct 1st 1892 to Sept 30th 1893 2855974 24 Total amount to be accounted for 3004025 87 Executive warrants paid by Treasurer2398620 43 Warrants Speaker House and President Senate 05567 99 Making total payments by Treasurer 2404188 42 Balance in Treasury Oct 1st 18931139837 45 The very large and continued increase in the assessed value of most of the items of property in our State until the present year makes such statistical information interesting and is the highest evidence of the general growth and development which has been going on in our State during this period I therefore have pre pared a statement showing the valuation from 1879 to 1893 COMPTROLLERGENERALS REPORT STATEMENT OF THE ASSESSED VALUE OF THE WHOLE PROP ERTY OF THE STATE SUBJECT TO TAXATION Year Property on Digests Railroads Taxable Total 1879 225093419 9866129 234959548 1880 238934126 12490525 251424651 1881 254252630 16741258 270993888 1882268519976 18729427 287249408 1883284881951 22030404 306921355 1884 294885370 22188901 317074271 1885 299146798 22548818 321695616 1886 306507578 22981927 329489555 1887 316605329 24899592 341504921 1888 327863331 29304127 357167458 1889 345938837 34250477 380189314 1890 377366784 38462161 415828945 1891 402586468 42383287 444969755 1892 421149509 42604025 463753534 1893 410644753 42000154 452644907 Property of railroads which is exempt by their charters from ad valorem taxation is not included in the above statement which is estimated to be worth 20000000 The net increase for the period has been 130949291 and I think we may confidently expect in the future the same percentage of increase in our wealth In order to carry this comparison more into detail and show to what extent our chief items of property have increased in value I have also prepared the following table 1879 1893 City and town real estate49007286 122540587 Agricultural lands 90493822 131214047 Livestock 21017634 27386992 Farm implements 2971372 5673809 Household furniture 9156404 16291708 Merchandise 12012755 20132510 Money notes accounts etc 25513005 36782066 Cotton mills 1640000 12062767 Ironworks foundries etc 295640 1574918 Capital invested in mining 97580 270730 Bank capital 4667567 14310178 Shipping 896003 1091852 Stocks and bonds 4869354 6345497 Railroads taxable 9866129 42000154 STATEMENT OF PROPERTY OWNED AND RETURNED BY COL ORED TAXPAYERS FROM 1879 TO 1893 1879 5182398 1880 5764293 1881 6478951 1882 6589876 1883 7582395 1884 8021525 L885 8153390COMPTROLLERGENERALS REPORT 5 1886 8655298 1887 8939479 1888 9631271 1889 10415330 1890 12322003 1891 14196735 1892 14869575 1893 14960675 STATE SCHOOL FUND DERIVED FROM THE FOLLOWING SOURCES Amount received from direct assessment 600000 00 Half rental of Western and Atlantic Railroad 210000 00 Tax on liquor dealers 115868 47 Fees from inspection of fertilizers 8000 02 Net hire of State convicts 16025 48 Dividends from stock of Georgia Railroad 2046 00 Taxonshows 3598 00 Fees inspection of oils 14609 84 Excess of property over 415000000 to 445000000 88560 00 Lease oyster lands 4944 Total1063657 81 Less expenses Department of Education 5125 29 Balance to be appportioned1058532 52 This does not include polltax Before concluding I desire to most respectfully renew the sug gestion made in my last annual report that the Acts of 1889 and 1890 subjecting railroad property to county and municipal taxa tion be amended so as to require tax officers of the counties and municipalities to assess and collect the taxes when advised by the ComptrollerGeneral of the value of the property of said railroads in the counties and cities in the same manner as taxes due by in dividuals are collected This would greatly facilitate the collection of these taxes and re lieve the Acts of much circumlocution in their enforcement In conclusion permit me to thank you for the many courtesies shown me and your hearty cooperation in the discharge of my offi cial duties Respectfully WM A WRIGHT ComptrollerGeneral I 0O4HTABLE No 1 Showing Balance in Treasury October 1st 1892 and Receipts and Disbursements at Treasury for Year ending September 30th 1893 RECEIPTS Balance in Treasury October 1st 1892 From Artists Tax 1892 From Artists Tax 1893 From Auctioneers Tax 1892 From Auctioneers Tax 1893 From Billiard Tax 1892 From Billiard Tax 1893 From Citizens Bank From City of Chattanooga From Costs on FL Fas From Dividends from Stocks From Fees of Officers From Fees of Oil Inspectors From Fees of Inspection of Fertilizers From General Tax 1891 Foni General Tax 1892 From Hire of Convicts 1892 From Insolvent General Tax From Insurance Agents 1892 From Insurance Agents 1893 From Insurance Fees 1892 From Insurance Fees 1893 From Insurance Taxe 1893 From Interest from Bank of Americus From Interest from Railroads From Lease of Oyster Lands From Lightning Rod Dealers 1890 From LightaingRod Dealers 1891 From Lightning Rod Dealers 1892 From Lightning Rod Dealers 1893 From Liquor Tax 1892 From Liquor Tax 1893 From Money Refunded From Railroad Tax 1891 From Railroad Tax 1892 From Rental W A R R From Rental Public Buildings From Penalties against Collectors From Sale Supreme Court Reports 451 20 901 90 429 00 697 50 1219 00 5941 00 1095 03 925 00 13 50 2871 00 1677 46 15424 39 14538 05 82 417 21 1926863 20 25000 00 7324 75 1080 00 7740 00 296 00 8800 00 48772 62 169 60 60 35 459 00 22 50 40 00 1S2 00 225 00 9316 17 102737 67 15 00 6570 62 136976 67 385011 00 71 25 22 49 2185 00 78051 63 DISBURSEMENTS On account of Academy for Blind 1892 On account of Academy for Blind 1893 On account of Civil Establishment 1892 On account of CivilEstablishment 1893 On account of Contingent Fund 1892 On account of Contingent Fund 1893 On account of Contingent Fund R R Com 1892 On account of Contingent Fund R R Com 1893 On account of Contingent Expenses Supreme Ct 1892 On account of Contingent Expenses Supreme Ct 1893 On account of Clerk Supreme Court Costs On account of Deaf and Dumb Institute 1892 On account of Deaf and Dumb Institute 1893 On account of Department of Agriculture 1892 On account of Department of Agriculture 1893 On account of Direct Tax On account of Fertilizer Fund On account of Fund for Maimed Soldiers On account of Geological Fund On account of Insurance Public Buildings 1892 On account of Insurance Public Buildings 1893 On account of Laud Scrip Fund 1893 On account of Legislative Pay Roll Session 1892 On account of Library Fund 1892 n account of Library Fund 1893 On account of Lunatic Asylum 1892 On account of Lunatic Asylum 1893 On account of Military Fund 1892 On account of Military Fund 1893 On account of Overpayment of Taxes On account of Penitentiary Fund On account of Printing Fund 1892 Onaccountof Printing Fund 1893 On account of Printing Fund R R Com 1892 On account of Printing Fund R R Com 1893 On account of Public Building Fund 1892 On account of Public Building Fund 1893 Onaccountof Public Debt On account of Salary of Chemist 1892 4000 00 12000 00 60121 36 59252 50 10459 57 6207 11 200 00 600 00 823 69 845 85 950 00 4250 00 14250 00 2500 00 5000 00 6000 00 4999 92 185000 00 6650 58 4022 35 3067 72 6314 14 65567 99 756 30 1038 06 47 499 99 150000 03 5149 53 14851 86 25338 72 3481 64 894 53 11356 12 364 00 402 09 4435 41 14363 89 280230 00 1000 00 o o w o f IS o on W fJ OFrom Sale of Acts From Sewing Machine Agents 1892 From Sewing Maohine Agents 1893 From Sewing Machine Cos 1893 From Show Tax 1892 From Show Tax 1893 From Street Railroad Tax 1892 From Supreme Court Costs From Surplus from Sale of Wild Land From Tax on Agencies 1892 From Tax on Agencies 1893 From lax on Brewing Cos 1892 From Tax on Brewing Cos 1893 From Tax on Clock Peddlers 1892 From Tax on Clock Peddlers 1893 From Tax on Cold Storage 1893 From Tax on Express Cos 1892 From Tax on Express Cos 1893 From Tax on Futures 1893 From Tax on Games 1892 From Tax on Games 1893 From Tax on Pawnbrokers 1892 From Tax on Pawnbrokers 1893 From Tax on Pistol Dealers 1892 From Tax on Pistol Dealers 1893 From Tax on Sleeping Car Cos 1892 From Tax on Specialists 1892 From Tax on Specialists 1893 From Tax on Special Nostrums 1891 From Tax on Special Nostrums 1892 From Tax on Special Nosrums 1893 From Tax on Telegraph Cos 1892 From Tax on Telegraph Cos 1893 From Tax on Telephone Cos 1892 From Tax on Telephone Cos 1893 From Wild Land Tax 178 86 45 00 1095 00 1400 00 3445 00 334 20 8689 76 222 50 325 98 45 00 450 00 540 00 1890 00 180 00 90 00 1811 66 1920 67 1805 30 2900 00 382 50 427 50 90 00 030 00 260 00 3870 00 200 57 63 00 90 00 22 50 632 80 857 50 1812 77 1266 29 1761 00 1791 50 47 76 2855974 24 3601025 87 On account of School Fund 1892 On account of School Fund 1893 On account of School Fund 1894 On account of School for Colored 1S92 On account of School for Colored 1893 On account oi School of Technology 1892 On account of School of Technology 1893 On account of SolicitorsGeneral On account of SolicitorsGeneral in U S Court On account of Special Appropriations On account of Supreme Court Reports On account of Trustees Lunatic Asylum 1892 On account of Trustees Lunatic Asylum 1893 On account of Trustees University of Georgia 1892 On account of Trustees University of Georgia 1893 On account of University of Georgia 1893 On account of Widows Pensions 1893 Balance in Treasury September 30th 1893 947001 71 4005 72 1191 65 2000 00 4000 00 5625 00 16875 00 3630 00 15 00 195488 80 6000 00 1151 07 787 17 106 23 459 12 8000 00 243600 00 2404188 42 1139837 45 3604026 87 o o H W O f f O ir1 02 H O w 8 COMPTROLLERGENERALS REPORT TABLE No 2 Showing an Itemized Exhibit of the Receipts at the Treasury as shown by the Treasurers Certificates from October 1st 1892 to September 30th 1893 from whom received artists tax 1892 Tax Collector Appling county Berrien county Butts county Carroll county Chatham county Clinch county Co I quitt county Douglas county Ployd county Forsyth county Fulton county Gilmer county Gordon county Houston county Jackson county Lowndes county Milton county Morgan county Newton county Pickens county Pierce county Polk county Rabun county Randolph county Rockdale county Stewart county Talbot county Tattnall county Thomas county Ware county Wayne county Whitfleld county Wilcox county artists tax 1893 Tax Collector Bartow county Berrien county Bibb county Butts county Charlton county Chatham county Cherokee county Clarke county Clay county Cobbcounty Coweta county Decatur county DeKalb county Dooy county Douyherty county Elbert county Emanuel county Forsyth county Fulton county Gilmer county Glynn county AMOUNT TOTAL 9 00 9 40 9 00 9 00 9 00 9 00 18 JO 18 00 45 00 8 90 18 00 18 00 9 00 9 00 18 00 9 00 9 00 18 00 18 00 18 00 9 00 18 00 9 00 9 40 9 00 9 50 9 00 9 00 9 00 18 00 9 00 27 00 18 00 451 20 18 00 10 00 45 00 9 00 9 00 72 00 9 00 27 00 9 00 18 00 18 00 18 00 9 00 9 00 9 00 9 00 9 00 9 00 81 00 9 50 9 00 srjtsf m COMPTROLLERGENERALS REPORT FROM WHOM RECEIVED Tax Collector Gordon county Greene county Gwinnett county Haralson county Hart county Heard county Henry county Houston county Jasper county Laurens county Lowndes county Macon county McDuffie county Mclntosh county Monroe county Muscogee county Newton countyj Oglethorpe county Pike county Polk county Pulaski county Rabun county Randolph county Richmond county Rockdale county Sehley county Spalding county Stewart county Sumtercounty Thomas county Troup county TJpson county Ware county Warren county Whitfield county Wilcox county Wilkes county auctioneers tax 1892 Tax Collector Berrien county Bibb county Chatham county Emanuel county Fulton county Gilmer county Jefferson county Mitchell county Morgan county Muscoge county Rockdale county Sumtercounty White county Wilcox county auctioneers tax 1893 Tax Collector Bibb county Chatham county Clarke county DeKalb county Fulton county Glynn county Muscogee county Richmond county Spalding county Sumtercounty 27 00 9 40 18 00 9 00 9 00 18 00 9 00 9 00 18 00 9 00 9 00 9 00 9 00 9 00 9 00 18 00 9 00 9 00 18 00 9 00 9 00 9 00 9 00 45 00 9 00 9 00 18 00 9 00 27 00 18 00 9 00 9 00 18 00 18 00 9 00 9 00 9 00 23 50 22 50 45 00 22 50 112 50 23 00 22 50 22 50 22 50 22 50 22 50 22 50 22 50 22 50 90 00 225 00 22 50 22 50 225 00 22 50 22 50 22 50 22 50 22 50 901 90 429 00 697 50mxMB mme 10 COMPTROLLErVGENERALS REPORT FROM WHOM RECEIVED BILLIARD TAX 1892 Tax Collector Bibb county Chatham county Fulton county Houston county Morgan county Muscogee county Pulaskicounty Randolph county Sumter county TIpson county BILLIARD TAX 1893 Tax Collector Berrien county Bibb county Brooks county Calhoun county Chatham county Chattooga county Clarke county Clay county Cobb county Colquitt county Coweta county Decatur county Bodge county Dougherty county Early county Elbert county Fulton county Glynn county Gordon county Laurens county Lowndes county Marion county Mclntosh county Morgan county Muscogee county Pike county Polk county Pulaski county Putnam county Randolph countymm Richmond county Spalding county Stewart county Sumter county Terrell county Thomas county Tronp county TJpson county Ware county Whitfield county Wilcox county CITIZENS BANK AMOU vr 225 00 135 id 315 Oil 22 50 184 00 67 50 22 50 67 50 157 50 22 50 45 on 450 00 67 50 45 00 4C5 111 22 50 157 50 45 00 90 00 45 00 45 00 90 00 45 00 90 00 67 50 45 00 1305 00 247 50 45 00 22 50 180 00 22 50 90 00 67 50 720 00 22 50 90 00 45 Hi 45 01 112 50 135 00 180 00 22 50 180 00 67 50 270 00 90 00 112 50 45 00 22 50 46 00 2747 70 1219 00 5941 00 By Receiverssame being amount collected from Atlanta National Bank less attorneys fees said amount being settlement of claim against said National Bank By Receiverssame being claim ofStaters Gate City National Bank said amount being 15958 79 and by order of Court and of the Governor the sum of 175346 paid Attorneys before payment into the Treasury 14205 33 16953 Q3COMPTROLLERGENERALS REPORT 11 FROM WHOM RECEIVED W A Little State Agent CITY OF CHATTANOOGA COSTS ON FI FAS W A Wright ComptrollerGeneral W A Wright ComptrollerGeneral W A Wright ComptrollerGeneral DIVIDENDS FROM STOCKS Georgia Railroad and Banking Company Georgia Railroad and Banking Company Georgia Eailroad and Banking Company Georgia Railroad and Banking Company S A Telegraph stock S A Telegraph stock FEES OF OFFICERS Philip Cook Secretary of State J W Warren Secretary Executive Department R U Hardeman Treasurer Barrett Inspector Reilly Inspector Hollis Inspector Lyle Inspector Nelms Inspector Murphey Inspector Hatchef Inspector Flemiag Inspector McAfee Inspector Davenport Inspector Kimbrougb Inspector FEES OF OIL INSPECTORS FEES OF INSPECTORS OF FERTILIZERS R T Nesbitt Commissioner of Agriculture R T Nesbitt Commissioner of Agriculture R T Nesbitt Commissioner of Agriculture GENERAL TAX 1891 Tax Collector Bartow county Cobb county Douglas county Fulton county Hall county Quitman county Richmond countv 925 00 925 00 GENERAL TAX 1892 Tax Collector Appling county Baker count Baldwin county Banks county Bartow county Berrien county Bibb county Brooks county Bryan county Bulloch county Burke county Butts county Calhoun county 10 50 1 00 2 00 13 50 511 50 511 50 511 50 511 50 550 00 275 00 2871 00 1632 96 41 50 3 00 1677 46 1066 25 8911 71 558 04 147 93 3877 75 435 45 229 43 174 66 3 00 16 07 4 10 15424 39 4200 00 8338 05 2000 00 14538 05 505 23 15 34 240 72 76672 82 1964 14 18 96 3000 00 82417 21 7419 85 3688 07 8365 97 5109 10 19998 26 11067 39 89840 90 13635 66 3212 54 11742 20 15605 80 7377 48 4534 00 imt 12 COMPTROLLERGENERALS REPORT FEOM WHOM RECEIVED AMOUNT Tax Collector Camden county 4 943 00 Campbell county 7Z2 26 Carroll county 16796 32 Catoosa county 5 162 60 Charlton county 2 496 79 Chatham county 136906 48 Cbattahoochee county 2857 80 Chattooga county 10703 52 Cherokee county 9678 58 Clarke county 35 621 62 Clay county 5206 46 Clayton county 6749 00 Clinch county 5081 24 Cobb county 24896 33 Coffee county io937 69 Colquitt county 5274 18 Columbia county 5914 40 Coweta county 21758 53 Crawford county 4889 30 Dade county 5550 03 Dawson county 3488 34 Decatur county 15807 68 DeKalb county Dodge county Dooly county 27986 52 8254 96 14382 01 5639 85 7276 81 1 756 10 5654 Dougherty county 16874 19 Douglas county Early county Echols county Effingham county Elbert county 10371 52 Emanuel county 11588 61 Fannin county 4875 70 Fayette county 5006 61 Floyd county 4lJ700 11 Forsyth county 6774 20 Franklin county 8545 00 Fulton county 232742 60 Gihner county 5730 20 Glassoock county 2112 28 Glynn county 30387 23 Cordon county 11347 92 Greenecounty 9 492 87 Gwinnett county 13788 72 Habersham county 8653 80 Hall county 19358 20 Hancock county Haralson county Harris county 10728 75 9631 22 9387 20 Hart county 6178 47 Heard county 5430 00 Henry county 10245 95 Houston county 14 331 95 Irwin county 7331 87 Jackson county 14122 57 Jasper county 7582 62 Jefferson county 1186185 Johnson county 5l07 12 Jones county 6971 80 Laurens county 13J06 38 Lee county 5674 68 Liberty county 7 545 10 Lincoln county 3823 40 Lowndes county 15779 31 Lumpkin county 3 792 80 Macon county 9339 98COMPTROLLERGENERALS REPORT 13 FROM WHOM RECEIVED AMOUNT TOTAL Tax Collector Madison county 5803 90 Marion countv 6457 0o McDuffie county 5096 70 Mclntosh county 4322 13 Meri wether county 12822 90 Miller county 2691 04 Milton county 4658 32 Mitchell county 8848 31 Monroe county 11570 98 Montgomery county 8697 80 Morgan county 13700 78 Murray county 5699 85 Muscogee county 74836 73 Newton county 1i5 9 Oconee count7 5365 71 Oglethorpe countv 8850 00 Paulding county 0677 70 Pickens county 4642 80 Pierce county 6411 39 Pike countv 12908 52 Polk county 14622 96 Pulaski county 10400 33 Putnam county 10188 70 Quitman county 2586 60 Rabun countv 3009 10 Kandolph county 11367 16 Richmond countv 109514 01 Rockdale county 6244 90 Schley county 422105 Screven countv 7854 10 Spalding county 14776 26 Stewart county 10256 19 Surnter county 28044 60 Talbot county 7517 50 Talialerro county 4275 60 Tattnall county 13235 74 Taylor county 5011 70 Telfair county 5438 38 Terrell countv 12356 00 Thomas county 24139 92 Towns county 2346 10 Troup county 18502 89 Union county 422120 TJpson county 7281 69 Walkercountv 13249 97 Walton county 13032 58 Ware county 11735 58 Warren county 6796 70 Washington county 17594 15 Wavne county 6256 95 Webster county 3488 15 White county 3529 30 Whitfield county 14580 60 Wilcox countv 7638 09 Wilkes county 14463 86 Wilkinson countv 6225 50 Worth countv 8988 951926863 20 JURE OF CONVICTS Penitentiary Company No 1 from April 1st 1892 to April 1st 1893 Penitentiarv Company No 2 from April 1st 1892 to April 1st 1893 Penitentiary Company No 3 from April 1st 1892 to April 1st 1893 8126 73 8945 49 7927 78 25000 0014 COMPTROLLERGENERALS REPORT FROM WHOM RECEIVED AMOUNT INSOLVENT GENEEAL TAX Tax Collector Bibb county 991 68 Heard county 45 60 Columbia county lj 27 Fulton county 1019 35 Thomas county 3 53 Warren county 23 00 McDuffie county 18 00 County Commissioners Burke county 40 11 Ordinary Burke county 106 00 Washington county 46 70 Tax Collector McDuffie county 12 75 Walker county 687 11 Clinch county 4 28 Mclmffie county 30 00 Ordinary Banks county 40 00 Camden county 54 ig Tax Collector Thomas county 168 34 Newton county 24 63 Campbell county 1 14 Clay county 157 J6 Lowndes county 556 Crawford county 96 80 Gwinnett county 50 00 Pickens county 10 00 Chatham county 2 071 50 Gordon county 26 75 Laurens county 28 38 Hancock county 2 42 Echols county 1 qo Ordinary Dooly county 1437 74 Tax Collector Gwinnett county 84 82 Invin county 19 95 INSURANCE AGENTS 1892 w Wrrsnt CompGeneral for October 1892 180 00 w a Vrnght CompGeneral for November 1892 260 00 w a ht CompGeneral for December 1892 440 00 w a a nght CompGeneral for January 1893 160 00 tjV Sr8 CompGeneral for February 1893 30 00 VV A Wright CompGeneral for March 1893 10 00 INSURANCE AGENTS 1893 w rJgrlt CompGeneral for January 1893 50 00 a wrlg CompGeneral for February 1893 2 260 00 a a rg CompGeneral for March 1893 ho 00 W f K CompGeneral for April 1893 1 570 00 w a wlg 9omp9enera1 tor Mayim sao oo w k w g CompGeneral tor June 1893 230 00 w w1 CompGeneral for July 1893 90 00 w a wSuJ CompGeneral for August 1893 190 00 vv A Wright CompGeneral for September 1893 120 00 INSURANCE FEES 1892 w wright CompGeneral for October 1892 131 20 v A Wright CompGeneral for November 1892 68 00 W A Wnght CompGeneral for December 1892 82 40 W A Wright CompGeneral for January 1893 14 40 INSURANCE FEES 1893 w 5rr8t CompGeneral for January 1893 972 00 w f wrgw CompGeneral for February 1893 4 832 40 W A Wright CompGeneral for March 1893 2 206 40 TOTAL 7324 75 1080 00 740 00 296 00J B iPB HW I COMPTROLLERGENERALS RE FROM WHOM RECEIVED W A Wright CompGeneral for April 1893 W A Wright CompGeneral for June 1893 W A Wright CompGeneral for August 1893 W A Wright CompGeneral for September 1893 INSURANCE TAXES 1893 London Guaranty and Accident Insurance Company PORT 15 AMOUNT TOTAL 285 80 206 40 75 20 31 20 104 80 85 80 8800 00 3 38 32 14 3 54 173 22 60 95 479 92 54 43 11 00 84 66 8 03 550 10 16 27 991 60 11 09 28 24 381 46 26 96 21 36 230 15 27 08 468 58 831 63 532 59 329 99 496 89 139 53 32 57 57 07 400 69 17 14 183 66 579 12 342 83 42 40 1203 83 119 50 304 05 147 28 191 43 80 48 286 72 465 32 341 16 624 30 191 79 300 25 334 99 169 83 219 25 98 18 68 37 364 92 70 01 4 77 13 31 328 57 206 38 489 68 Michigan Mutual Life Insurance Company United States Mutual Accident Insurance Company Thames and Mersey Marine Insurance Company Provident Savings Life Insurance Company Northeastern Mutual Accident Insurance Company Standard Life and Accident Insurance Company Travelers Accident Insurance Company British and Foreign Marine Insurance Company National Life and Maturity Insurance Company Phoenix Insurance Company of Brooklyn Hartford Life and Annuity Insurance Company National Life Insurance Company of Connecticut Industrial Aid Insurance Company of Alabama Scottish Union and National Insurance Company 16 COMPTROLLERGENERALS REPORT FROM WHOM RECEIVED AMOUNT T Southern Mutual Insurance Company 2564 14 Loyds Plate Glass Insurance Company 9 88 American Fire Insurance Company 246 04 Home Fire Insurance Company of New Orleans 291 51 Atlanta Home Insurance Company 707 29 Macon Fire Insurance Company 293 15 Connecticut Fire Insurance Company 181 35 Caledonian Fire Insurance Company 130 00 Connecticut Indemnity Association 24 02 Kochester German Insurance Company 216 09 United Underwriters Insurance Company 378 53 London Assurance Corporation 114 97 United States Guarantee Insurance Company 1 57 Georgia Home Insurance Company 936 88 Mutual Benefit Life Insurance Company 1116 83 Valley Mutual Life Insurance Company 54 85 Home Friendly Society 121 96 American Casualty and Security Company 126 45 Commercial Union Insurance Company 674 17 Manhattan Life Insurance Company 1419 71 General Marine Insurance Company 17 g North British and Mercantile Insurance Company 530 26 American Accident Insurance Company 45 48 Northwestern Masonic Aid Insurance Company 45 60 Sun Fire Insurance Company 223 09 American Surety Company 81 98 Guarantors Insurance Company 18 27 London and Lancashire Insurance Company 261 99 New York Plate Glass Insurance Company 3 52 Mechanics and Traders Insurance Company 115 34 Union Central Life Insurance Company 469 23 Fidelity Mutual Life Insurance Company 325 50 Phoenix Insurance Company of England 1 99 Equitable Life Insurance Company 4230 21 Mutual Life Insurance Company of New York 5309 42 Liverpool London and Globe Insurance Company lo74 33 Merchants Insurance Company 352 88 Girard Fire Insurance Company 70 22 Greenwich Fire Insurance Company 373 80 Royal Insurance Company 781 87 Railway Officials Accident Insurance Company 44 83 American Employers Liability Insurance Company 377 24 Mutual Life Insurance Company of Kentucky 327 70 Atlanta Accident Insurance Company 38 27 Peoples Mutual Benefit Society 13 93 Germania Insurance Company 9 72 Southern Live Stock Insurance Company 73 is Lancashire Insurance Company 346 25 St Paul Fire and Marine Insurance Company 173 80 Northwestern Mutual Life Insurance Company 2 130 31 Phoenix Mutual Life Insurance Company V5 76 New York Life Insurance Company 4 312 50 Connecticut Mutual Life Insurance Company 178 02 Penn Fire Insurance Company 292 43 Delaware Fire Insurance Company 270 06 GermanAmerican Fire Insurance Company 353 83 United States Masonic Benefit Association 1404 Niagara Fire Insurance Company 229 63 Stephens Industrial Society 26 66 Glenns Falls Insurance Company 78 45 Mutual Reserve Fund Life Insurance Company 367 12 Bankers Life Insurance Company n 49 Mutual Fire Insurance Company of New York 150 32 Massachusetts Benefit Insurance Company 17 16 American Fire Insurance Company of Pennsylvania 271 99 Bay State Beneficiary Association 96 48 72 62COMPTROLLERGENERALS REPORT 17 PROM WHOM RECEIVED AMOUNT TOTAL INTEREST FROM BANK OP AMERICUS 1 M Terrell AttorneyGeneral 169 GO 169 60 INTEREST FROM RAILROADS East West R R of Alabama 31 09 Augusta Gibson Sandersville R R 29 26 60 35 LEASE OP OYSTER LANDS County Commissioners Chatham County 459 00 459 00 LIGHTNING ROD DEALERS 1890 G D Hollis Admr Tax Collector Chattooga county 22 50 22 50 LIGHTNING ROD DEALERS 1891 Tax Collector Pickens county 40 00 40 00 LIGHTNING ROD DEALERS 1892 Tax Collector Walker county 47 00 Douglas county 45 00 Union county 45 00 Laurens county 45 00 182 00 LIGHTNING ROD DEALERS 1893 Tax Collector Eabun county 45 00 Milton county 45 00 Forsyth county 45 00 Bartow county 45 00 Gordon county 45 00 225 00 LIQUOR TAX 1892 Tax Collector Bibb county 1473 75 Calhoun county 94 00 Chatham county 2462 50 Colquitt county 94 00 Coweta county 94 00 Dodge county 94 00 Dougherty county 188 00 Floyd county 1324 00 Fulton county 752 00 Glynn county 94 00 Lowndes county 188 00 Macon county 94 00 Meriwether county 375 17 Miller county 188 00 Morgan county 96 00 Muscogee county 376 00 Pulaski county 470 00 Richmond county 294 75 Spalding county 188 00 Sumter county 188 00 Walker county 188 00 9316 17 LIQUOR TAX 1893 Tax Collector Baker county 376 00 Baldwin county 470 00 Banks county 94 00 Bibb county 13043 00 Brookscounty 282 00 Calhoun county 564 00 Chatham county 30367 50 Cherokee county 282 00 218 COMPTROLLERGENERALS REPORT FROM WHOM RECEIVED Tax Collector Clarke county Clay county Colquitt county Coweta county Crawford county Dade county Decatur county Dodge county Dougherty county Early county Fannin county Fulton county Glynn county Gieene county Gwinnett county Hancock county Lee county Lowndes county Macon county Marion county Mclntosh county Morgan county Muscogee county Newton county Pickens county Pike county Pulaski county Rabun county Randolph county Richmond county Spalding county Sumter county Taliaferro county Terrell county Thomas county Upson county Walton county Wilcox county Wilkes county MONEY REFUNDED J S Candler SolicitorGeneral fee in case W E King vs State PENALTIES AGAINST COLLECTORS G D Hollis Admr T C Chattooga county RAILROAD TAX 1891 Tom Eason SolicitorGeneral on ft fa vs Empire Dublin Railroad W A Wright ComptrollerGenera on fi fa vs Ma rietta North Georgia Railroad W A Wright ComptrollerGeneral onfifa vs Ma rietta North Georgia Railroad J T Nisbet attorney on fi fa vs Macon Bir mingham Railroad W A Wright ComptrollerGeneral oofi fa vs At lanta Florida Railroad RAILROAD TAX 1892 94 376 382 282 282 376 658 940 3058 2S2 94 10177 4716 376 94 376 564 1320 658 282 752 846 5200 470 94 94 940 188 282 13190 1222 2185 282 1318 1420 470 1130 1605 282 IT TOTAL 00 00 00 00 00 00 00 00 00 00 00 50 50 00 00 00 00 00 00 00 00 00 50 00 00 00 00 00 00 12 00 00 00 05 00 00 00 50 00 102737 67 15 00 22 49 15 00 22 49 Sandersville and Tennille Nashville Chattanooga and St Louis Wadley and Mount Vernon Eatonton Branch 568 40 1800 00 900 00 300 00 3002 22 6570 62 72 10 189 34 294 62 814 80 COMPTROLLERGENERALS REPORT 19 FROM WHOM RECEIVED Brunswick and Western Indian Springs and Flovilla Rome South Carolina Millen and Southern Georgia Carolina and Northern Charleston and Savannah Jacksonville Div Savannah Florida and Western Junction Branch Savannah Florida and Western Albany Div Savannah Florida and Western Monticello Div Savannah Florida and Western Gainesville Div Savannah Florida and Western Main Line Savannah Florida and Western Georgia Midland and Gulf Lexington Terminal South Brunswick Terminal Darien Short Line Georgia income Georgia property Macon and Augusta Gainesville Jefferson and Southern Union Point and White Plains Alabama Great Southern Alabama Division E T V and G Atlanta Division E T V and G Brunswick Division E T V and G Rome and Decatur Division E T V and G Atlanta and West Point South Bound Alabama Midland Smithonia and Dunlop Macon Dublin and Savannah Augusta and Chattanooga Blue Ridge and Atlantic Sylvania Hartwell Roswell Lawrenceville Columbia Charlotte and Augusta North Eastern Elberton Atlanta and Charlotte AirLine Georgia Pacific AVrightsville and Tennille Talbotton Middle Georgia and Atlantic Louisville and Wadley Abbeville and Waycross Midville Swainsboro and Red Bluff Columbus Southern Fast and West of Alabama Augusta Gibson and Sandersville Atlanta and Florida Empire and Dublin Augusta and Savannah income 6984 91 10 62 386 48 278 14 406 57 4153 04 963 08 1661 19 182 12 2840 01 459 22 920 24 20116 98 3971 30 45 85 411 76 569 52 1557 20 10527 47 2528 93 714 71 79 66 2107 91 6175 21 9449 78 12265 16 624 77 7991 75 1501 05 1963 95 61 26 1492 61 64 90 485 72 125 19 192 66 157 93 177 27 341 33 1894 88 958 41 9044 41 7277 89 966 36 162 47 303 58 134 53 393 91 346 95 2735 14 1332 73 1189 53 2064 13 582 01 1221 43136976 67 RENTAL PUBLIC BUILDINGS Jno Mclntosh Kell K P B and G 71 25 1 25 RENTAL WESTERN AND ATLANTIC RAILROAD Nashville Chattanooga and St Louis Railway for October 1892 35001 00 Nashville Chattanooga and St Louis Railway for November 1892 35001 00 Nashville Chattanooga and St Louis Railway for December 1892 35001 0020 COMPTROLLERGENERALS REPORT FROM WHOM RECEIVED AMOUNT TOTAL Nashville Chattanooga and St Louis Railway for January1893 35001 00 Nashville Chattanooga and St Louis Railway for February 1893 35001 00 Nashville Chattanooga and St Louis Railway for March 1893 35001 00 Nashville Chattanooga and St Louis Railway for April 1893 35001 00 Nashville Chattanooga and St Louis Railway for May 1893 35001 00 Nashville Chattanooga and St Louis Railway for June 1893 35001 00 Nashville Chattanooga and St Louis Railway for July 1893 35001 00 Nashville Chattanooga and St Louis Railwav for August 1893 35001 00385011 00 SALE SUPREME COURT REPORTS John Milledge Librarian 2185 00 2185 00 SALE OF ACTS John Milledge Librarian 178 35 178 35 SEWING MACHINE AGENTS 1892 W A Wright CompGeneral for October 1892 25 00 V A Wright CompGeneral for November 1892 20 00 45 00 SEWING MACHINE AGENTS 1893 W A Wright CompGeneral for January 1893 500 00 W A Wright CompGeneral for February 1893 100 00 A Wright CompGeneral for March 1893 105 00 W A Wright CompGeneral for April 1803 90 00 W A Wright CompGeneral for May 1893 45 00 W A Wright CompGeneral for June 1893 20 00 W A Wright CompGeneral for July 1893 40 00 W A Wright CompGeneral for August 1893 70 00 W A Wright CompGeneral for September 1893 5 00 1095 00 SEWING MACHINE COMPANIES 1893 New Homo Sewing Machine Co 200 00 Domestic Sewing Machine Co 200 00 Singer Sewing Machine Co 200 00 AVhite Sewing Machine Co 200 00 Davis Sewing Machine Co 200 00 Wheeler Wilson Sewing Machine Co 00 00 Standard Sewing Machine Co 200 00 1400 00 SHOW TAX 1802 Tax Collector Baldwin county 27 00 Bibb county 360 00 hatham county 4l0 00 Clay county 27 00 JJecatur county 30 00 Dooly county 27 00 Dougherty county 7 00 Fmanuel county 97 00 Floyd county 342 00 Fulton county 450 oo Glynn county 4 00 Jefferson county 00 Lowndes county 27 00 Macon county Z qq Morgan county ZZZZZ 297 00 Muscogee county 360 00COMPTROLLERGENERALS REPORT 21 FROM WHOM RECEIVED AMOUNT TOTAL Tax Collector Eandolph county 27 00 Richmond county 360 00 Sumter county 315 00 Talbot county 27 00 Thomascounty 90 00 Ware county 27 00 3445 00 snow tax 1893 Tax Collector Calhoun county 27 00 Chatham county 45 00 Colquitt county 27 00 Decatur county 27 00 Early count v 27 00 Franklin county 27 00 Fulton county 45 00 Glasscock county 27 00 Greene county 28 20 Hart county 27 00 Ware county 27 00 334 20 STREET RAILROAD TAX 1892 Augusta and Summerville 129 98 Covington and Oxford 62 56 Savannah and Isle of Hope 86 56 Savannah 606 25 Artesian City 38 60 Americus 72 75 North and South 27 88 Griffin 52 67 City and Suburban of Savannah 742 91 Central City 79 39 Macon City and Suburban 298 74 Rome 146 61 Atlanta Traction 727 50 Athens 106 70 Columbus 291 00 Gainesville and Hall county 12 12 Augusta 783 37 Electric of Savannah 339 50 Atlanta Consolidated 3188 09 Metropolitan 618 65 Milledgeville and Asylum 77 63 Brunswick 200 30 8689 76 SUPREME COURT COSTS Z D Harrison ClerkSupreme Court 222 50 222 50 SURPLUS FROM SALE WILD LANDS Sheriff Lumpkin county 133 18 Sheriff Decatur county 192 80 325 98 TAX ON AGENCIES 1892 Tax Collector Fulton county 45 00 45 00 TAX ON AGENCIES 1893 Tax Collector Bibb county 45 00 Chathan county 135 00 Fulton county 135 00 Muscogee county 45 00 Richmond county 90 00 450 00 TAX ON BREWING COMPANIES 1892 Tax Collector Bibb county 180 00 Chatham county 360 00 540 0022 COMPTROLLERGENERALS REPORT PROM WHOM RECEIVED TAX ON BREWING COMPANIES 1893 Tax Collector Bibb county Chatham county Fulton county Glynn county Richmond county Spalding county TAX ON CLOCK PEDDLERS 1892 Tax Collector Floyd county Morgan county TAX ON CLOCK PEDDLERS 1893 Tax Collector Newton county TAX ON COLD STORAGE 1893 Tax Collector Bibb county Richmond county Southern Express Co TAX EXPRESS COMPANIES 1892 TAX EXPRESS COMPANIES 1893 Southern Express Co TAX ON DEALERS IN FUTURES 1893 Tax Collector Fulton county Muscogee county Spalding county TAX ON GAMES 1892 Tax Collector Bibb county Butts county Chatham county Clarke county Floyd county Fulton county Houston county Lowndes county Mclntosh county Newton county Sumter county Troup county Whitfield county TAX ON GAMES 1893 Tax Collector Baldwin county Bibb county Brooks county Butts county Chatham county Elbert county Fulton county Mclntosh county Muscogee county Hunter county Ware county TAX ON PAWNBROKERS 1892 Tax Collector Fulton county MOUNT 360 00 540 00 180 00 ISO 00 360 00 270 00 90 00 90 00 90 00 900 00 911 66 1805 30 1800 00 900 00 200 00 67 50 22 50 22 50 22 50 22 50 67 50 22 50 22 50 22 50 22 50 22 50 22 50 22 50 22 50 67 50 22 50 22 50 45 00 22 50 112 50 22 50 45 00 22 50 22 50 90 00 1890 00 180 00 90 00 1811 66 1920 67 1920 67 1805 30 2900 00 382 50 427 50 90 00COMPTROLLERGENERALS REPORT 23 FROM WHOM RECEIVED TAX ON PAWNBROKERS 1893 Tax Collector Bibb county Chatham county Fulton county Glynn county Richmond county TAX ON PISTOL DEALERS 1892 Tax Collector Bibb county Floyd county TAX ON PISTOL DEALERS 1893 135 00 180 00 180 00 90 00 45 00 80 00 180 00 630 00 260 00 Tax Collector Bibb county Brooks county Burke county Chatham county Clarke county Coweta county Dougherty county Fulton county Glynn county Lowndes county Muscogee county Pulaski county Richmond county Thomas county Troup county 360 00 90 00 90 00 540 00 180 00 90 00 90 00 450 00 180 00 180 00 90 00 90 00 1170 00 180 00 90 00 3870 00 TAX ON SLEEPING CAR COMPANIES 1892 Pullman Palace Car Co 200 57 200 57 TAX ON SPECIALISTS 1892 Tax Collector Brooks county Clayton county Coffee county Jasper county Meriwether county Mitchell county Union county TAX ON SPECIALISTS 1893 Tax Collector Bartow county Bibb county Bnrke county Chatham county Cobb county Glynn county Richmond county Whitfield county 9 00 9 00 9 00 9 00 9 00 9 00 9 00 9 00 9 00 9 00 9 00 9 00 27 00 9 00 9 00 63 00 90 00 TAX ON SPECIAL NOSTRUMS 1891 G D Hollis Administrator T C Chattooga Co TAX ON SPECIAL NOSTRUMS 1892 Tax Collector Baldwin county Berrien county Cobb county Douglas county Floyd county Fulton county Gwinnett county Hart county 22 50 22 50 47 00 45 00 22 45 22 22 50 22 50 22 5024 COMPTROLLERGENERALS REPORT FROM WHOM RECEIVED TOTAL Tax Collector Lowndes county Macon county Madison county Monroe county Newton county Pierce county Pulaski county Schley county Spalding county Sumter county Union county Walker county AVhitfleld county Wilcox county TAX ON SPECIAL NOSTRUMS 183 Tax Collector Baldwin county Berrien county Bibb county Crawford county Emanuel county Fayette county Laurens county Morgan couty Sumter county Thomas county Troup county Upson county AValker county White county Wilcox county 22 50 22 50 22 50 22 50 22 50 22 30 22 50 22 50 22 50 22 50 90 00 23 50 22 50 22 50 45 00 45 00 90 00 45 00 45 00 47 50 67 50 45 00 45 00 22 50 45 00 135 00 90 00 45 00 45 00 TAX ON TELEGRAPH COMPANIES 1892 Western Union PostalCable Darien Alabama Midland Ry 1041 13 138 21 25 50 7 93 TAX ON TELEGRAPH COMPANIES 1893 Western Union Darien Alabama Midland Rv 1252 64 9 00 4 65 TAX ON TELEPHONE COMPANIES 1892 Southern Bell T T Co TAX ON TELEPHONE COMPANIES 1893 Southern Bell T T Co 632 80 857 50 1812 77 1266 29 1761 00 1761 00 WILD LAND TAX Tax Collector Appling county Fannin count Ware county 1791 SO lO 31 15 33 22 12 1791 50 47 76 TABLE No 3 Showing Disbursements at the Treasury from October 1st 1892 to September 30th 1893 showing from what Fund said Disbursements were made and for what purpose ACADEMY FOR THE BLIND 1892 When Approved 1892 Oct 25 1072 Date of Warrant In Whose Favor Drawn For What Purpose Drawn 1892 Oct 24 H L Jewett Treasurer Balance undrawn October 1st 1892 For balance appropriation ACADEMY FOE THE BLIND 1893 1893 1893 Jan 24 166 Jan 24 April 4 414 April 3 July 15 812 July 14 H L Jewett Treasurer H L Jewett Treasurer H L Jewett Treasurer Act 1892 For amount requisition 1st quarter 1893 For amount requisition 2d quarter 1893 For amount requisition 3d quarter 1893 Balance undrawn October 1st 1893 Amount of Warrant 4000 00 4000 00 Amount of Appropriation 4000 00 4000 00 4000 00 4000 00 10000 00 4000 00 4000 00 16000 00 o o s hj a o f tr H O ftl o 3 16000 00 9ih TABLE tfo 3ContinuedCivil Establishment 1892 ki When Approved 1892 Oct 1 1 1 1 1 1 1 1 1 1 1 4 4 4 7 7 8 10 11 12 12 17 21 20 3 Date of Warrant In Whose Favor Drawn 937 938 939 940 942 943 944 949 950 955 956 957 961 967 969 959 954 1004 960 945 1011 994 1020 936 941 990 946 947 1892 Oct J W Warren V H Harrison Stanhope Sams Philip Cook W A Wright C T Furlow R C Irwin R T Nebitt W H Joyner G W Stevens J M Graham C L Glessner W R Rankin Virgil Rowers A C Briscoe J W Vauehan H C Peeples A A Carson John Milledge A E Cox B D Evans W M Henry J S Candler W J Northern H W Thomas D M Roberts lR U Hardeman 1IW J Speer Jr For What Purpose Drawn Amount of Warrant For salary Secretary Executive Department 3d quarter 1892 For salary Secretary Executive Department 3d quarter 1892 For salary Clerk Executive Department 3d quarter 1892 For salary Secretary of State 3d quarter 1892 For salary ComptrollerGeneral 3d quarter 1892 For salary Clerk ComptrollerGeneral 3d quarter 1892 For salary Clerk ComptrollerGeneral 3d quarter 1892 For salary Commissioner of Agriculture 3d quarter 1892 For salary Clerk Agricultural Department 3d quarter 1892 For salary Assistant Reporter Supreme Court 3d quarter 1891 For salary Stenographer Supreme Court 3d quarter 1892 For salary Stenographer Supreme Court 3d quarter 1892 For salary Assistant Librarian 3d quarter 1892 For salary Railroad Commissioner 3d quarter 1892 For salary Clerk Railroad Commission 3d quarter 1892 For salary Sheriff Supreme Court 3d quarter 1892 For salary Reporter Supreme Court 3d quarter 1892 For salary SolicitorGeneral Chattahoochee Circuit 3d qr 1892 For salary Librarian 3d quarter 1892 For salary Clerk ComptrollerGeneral 3d quarter 1892 For salary SolicitorGeneral Middle Circuit 3d quarter 1892 For salary Judge Rome Circuit Sept 1st to 30th 3d qr 1892 For salary SolicitorGeneral Stone Mountain Circuit 3d qr 1892 For salary Governor 3d quarter 1892 For salary Clerk Secretary of State 3d qr 1892 For salary Judge Oconee Circuit 3d qr 1892 For salary Treasurer 3d quarter 1892 For salary Clerk Treasurer 3d quarter 1892 Amount of Appropriation 525 00 500 00 475 00 500 00 500 00 450 00 300 00 500 00 300 00 500 00 375 00 375 00 200 00 625 00 375 00 250 00 500 00 02 50 450 00 250 00 62 50 163 04 62 50 750 00 250 00 500 00 500 00 400 00 o o v H so o t1 a SO 6 a A a S3 SO a o so H20 948 20 952 20 953 20 965 20 966 20 968 20 975 20 970 20 977 21 978 20 979 20 980 20 981 20 982 20 983 20 984 20 985 20 986 20 988 20 989 20 991 20 992 20 993 20 995 20 996 20 997 20 998 20 1000 20 1003 20 1005 20 1006 20 1007 2 1013 20 1014 2 1016 20 1022 22 958 VV A LittleFor salary AttorneyGeneral 3d quarter 1892 T J Simmons For salary Judge Supreme Court 3d quarter 1892 Samuel Lumpkin For salary Judge Supreme Court 3d quarter 1892 T O Powell For salary Principal Physician Lunatic Asylum 3d quarter 1892 L N TrammellFor salary Railroad Commissioner 3d quarter 1892 Allen Fort For salary Railroad Commissioner 3d quarter 1892 B B Bower For salary Judge Albany Circuit 3d quarter 1892 M J Clarke For salary Judge Atlanta Circuit 3d quarter 1892 II C Roney For salary Judge Augusta Circuit 3d quarter 1892 G F GoberiFor salary Judge Blue Ridge Circuit 3d quarter 1S92 J L SweatFor salary Judge Brunswick Circuit 3d quarter 1892 H Martin W Harris T W Milner Robt Falligant J S Roynton A L Miller R L Gamble H McWhorter W F Jenkins J H Guerry A H Hanseil J W Maddox W H Fish R H Clark C G Janes N L Hutchins C D Hill W G Brantley A W Fite T A Atkinson W W Fraser W M Howard H G Lewis J M Griggs R B Russell A H Davis 1892 For salary Judge Chattahoochee Circuit 3d quarter For salary Judge Coweta Circuit 3d quarter 1892 Forsalary Judge Cherokee Circuit 3d quarter 1892 For salary Judge Eastern Circuit 3d quarter 1892 For salary Judge Flint Circuit 3d quarter 1892 For salary Judge Macon Circuit 3d quarter 1892 For salary Judge Middle Circuit 3d quarter 1892 For salary Judge Northern Circuit 3d quarter 1892 For salary Judge Ocmulgee Circuit 3d quarter 1892 For salary Judge Pataula Circuit 3d quarter 1892 For salary Judge Southern Circuit 3d quarter 1892 For salary Judge Rome Circuit July and Aug 3d quarter 1892 For falary Judge Southwestern Circuit 3d quarter 1892 For salary Judge Stone Mountain Circuit 3d quarter 1892 For salary Judge Tallapoosa Circuit 3d quarter 1892 For salary Judge Western Circuit 3d quarter 1892 For salary SolicitorGeneral Atlanta Circuit 3d quarter 1892 For salary SolicitorGeneral Brunswick Circuit 3d quarter 1892 For salary SolicitorGeneral Cherokee Circuit 3d quarter 1892 For salary SolicitorGeneral Coweta Circuit 3d quarter 1892 For salary SolicitorGeneral Eastern Circuit 3d quarter 1892 For salary SolicitorGeneral Northern Circuit 3d quarter 1892 For salary SolicitorGeneral Ocmulgee Circuit 3d quarter 1892 For salary SolicitorGeneral Pataula Circuit 3d quarter 1892 For salary SolicitorGeneral Western Circuit 3d quarter 1892 For salary Stenographer Supreme Court 3d quarter 1892 500 00 750 00 750 00 625 00 025 00 625 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 336 96 500 00 500 00 500 00 500 00 62 50 62 50 62 50 62 50 62 50 62 50 62 50 62 50 62 50 375 00 o d H W O fel O Ed m a o aTABLE No 3ContinuedCivil Establishment 1892 When Approved Date of Warrant In Whose Favor Drawn For What Purpose Drawn 1892 Oct 24 27 27 27 27 28 Nov 1010 406 704 1017 1018 987 962 1080 1012 963 696 1008 Dec 1 1148 Dec 1892 Oct April July Oct July Oct 9 9 9 12 12 12 1893 Jan 3 3 3 410 708 1021 3 II 689 100J 14 15 5 32 964 1 April July Oct April July Oct 1893 Jan 1892 Oct w Helton JrFor salary SolicitorGeneral Macon Circuit 3d quarter 1892 v J JNunnallyFor salary SolicitorGeneral Rome Circuit 1st quarter 1892 w t xt i yior salary SolicitorGeneral Rome Circuit 2d quarter 1892 ut unavor salary SolicitorGeneral Rome Circuit 3d quarter 1892 fP68 For salary SolicitorGeneral Southern Circuit 3d quarter 1892 U J WellbornFor salary Judge Northeastern Circuit 3d quarter 1892 For salary Principal Keeper Penitentiary 3d quarter 1892 salary AttorneyGeneral Oct 1st to 29th 3d quarter 1892 For salary SolicitorGeneral Northeastern Circuit 3d quarter 92 For salary Assistant Keeper Penitentiary 3d quarter 1892 For salary SolicitorGeneral Flint Circuit 3d quarter 1892 For salary SolicitorGeneral Flint Circuit July 1st to 29th 3d quarter 1892 For salary Stenographer Supreme Court OctlBttoNoviistb 3d quarter 1892 W A LittleFor sal Howard Thompson R F Wright J H Turner J H Turner A H Davis A Richardson A Richardson A Richardson Boykin Wright Boykin Wright Boykin Wright R T Nesbitt W H Joyner Philip Cook tor salary SolicitorGeneral Tallapoosa Circuit 1st quarter 1892 For salary SolicitorGeneral Tallapoosa Circuit 2d quarter 1892 For salary SolicitorGeneral Tallapoosa Circuit 3d quarter 1892 For salary SolicitorGeneral Augusta Circuit 1st quarter 1892 For salary SolicitorGeneral Augusta Circuit 2d quarter 1892 For salary SolicitorGeneral Augusta Circuit 3d quarter 1S92 For salary Commissioner of Agriculture 4th quarter 1892 For salary Clerk of Agricultural Department 4th quarter 1892 For salary Secretary of State 4th quarter 1892 uirij n Virgil PowersFor salary Railroad Commissioner 4th quarter 1892 1 Wm ODanielForsala ry Principal Physician Penitentiary 3d quarter 1892 Amount of Warrant Amount of Appropriation 62 50 62 50 62 50 62 50 62 50 500 00 500 00 157 47 62 50 300 00 62 50 19 70 187 50 62 50 62 50 62 50 62 50 62 50 62 50 500 00 800 0C 500 00 625 00 nfi no o o H ft o t1 I Q H IS ft d5 ft t O ft H1893 20 84 3 7 8 9 2 65 21 1009 72 70 1002 9 9 10 11 11 11 L3 13 13 13 13 13 13 13 13 13 13 1893 Jan 66 22 25 4 24 2s 11 i 18 30 31 3 40 ii 42 43 1892 Oct 1893 Jan 1892 Oct 1893 Jan G W Stevens A Richardson W H Harrison W AWright C T Furlow R O Irwin J W Warren Boykin Wright J M Graham J J Hunt J J Hunt A W Fite J S Candler G R Brown G R Brown C L Glessner Jno Milledge Stanhope Sams J W Vaughan R F Wright R U Hardeman W J Speer T J Simmons Samuel Lumpkin T O Powell L N Trammell Allen Fort B B Bower M J Clarke H O Raney G F Gober For salary For salary For salary For salary For salary For salary For salary For salary For salary Assistant Reporter Supreme Court 4th quarter 1892 SolicitorGeneral Tallapoosa Circuit 4th quarter 1892 Secretary Executive Department 4th quarter 1892 ComptrollerGeneral 4th quarter 1892 Clerk ComptrollerGeneral 4th quarter 1892 Clerk ComptrollerGeneral 4th quarter 1892 Secretary Executive Department 4th quarter 1892 SolicitorGeneral Augusta Circuit 4th quarter 1892 Stenographer Supreme Court 4th quarter 1892 For salary SolicitorGeneral Flint Circuit Aug 3d to Oct 1st 4th quarter 1892 For salary SolicitorGeneral Flint Circuit 4th quarter 1892 For salary SolicitorGeneral Cherokee Circuit 4th quarter 1892 For salary SolicitorGeneral Stone Mountain Circuit 4th qr 92 For salary SolicitorGeneral Blue Ridge Circuit 3d quarter 92 For salary SolicitorGeneral Blue Ridge Circuit 4th quarter 92 For salary Stenographer Supreme Court 4th quarter 1892 For salary Librarian 4th quarter 1892 For salary Clerk Executive Department 4th quarter 1892 For salary Sheriff Supreme Court 4th quarter 1892 For salary Assistant Keeper Penitentiary 4th quarter 1892 For salary Treasurer 4th quarter 1892 For salary Clerk Treasurer 4th quarter 1892 For salary Justice Supreme Court 4th quarter 1892 For salary Justice Supreme Court 4th quarter 1892 For salary Principal Physician Lunatic Asylum 4th quarter 92 For salary Railroad Commissioner 4th quarter 1892 For salary Railroad Commissioner 4th quarter 1892 For salary Judge Albany Circuit 4th quarter 2892 For salary Judge Atlanta Circuit 4th quarter 1892 For salarv Judge Augusta Circuit 4th quarter 1892 For salary Judge Blue Ridge Circuit 4th quarter 1892 500 00 62 50 500 00 500 00 450 00 300 00 525 00 o 62 50 o B 375 00 H v 40 10 o fcl 62 50 a 62 50 62 50 i 0 62 50 H 62 50 a 375 00 450 00 i 475 00 w 250 00 a 300 00 a 500 00 itj 400 00 o a 750 00 750 00 625 00 625 00 625 00 500 00 500 00 500 00 500 00 CD TABLE No 3Continued Civil Establishment 1892 When Approved 1893 I Jan 13 13 13 13 13 13 13 13 13 13 13 13 13 13 13 13 13 13 IS 13 13 13 13 13 13 13 i Date of Warrant In Whose Favor Drawn 41 45 40 47 48 49 50 51 53 54 55 56 57 58 59 60 01 64 67 69 71 73 74 75 77 79 82 1893 Jan 2 J L Sweat 2 8 W Harris 2 J H Martin 2T W Milner 2 Robert Falligant 2 J S Boynton 2 A L Miller 2RL Gamble 2 Hamilton McWhorter 2 W F Jenkins 2D MRoberts 2 J H Guerry 2AH Hansel 2 W M Henry 2W H Fish 2R HClark 2 C G Janes 2 0 I Hill 2 W G Brantlev 2T A Atkinson 2 W W Fraser 2WII Felton Jr 2B DEvans 2 Howard Thompson 2 H G Lewis 2 J M Griggs 2 0 B Hudson For What Purpose Drawn Amount of Warrant For salary Judge Brunswick Circuit 4th quarter 1892 For salary Judge Coweta Circuit 4th quarter 1892 tor salary Judge Ohattahoochee Circuit 4th quarter 1892 tor salary Judge Cherokee Circuit 4th quarter 1892 for salary Judge Eastern Circuit 4th quarter 1892 For salary Judge Flint Circuit 4th quarter 1892 tor salary Judge Macon Circuit 4th quarter 1892 For salary Judge Middle Circuit 4th quarter 1892 For salary Judge Northern Circuit 4th quarter 1892 For salary Judge Ocmulgee Circuit 4th quarter 1892 For salary Judge Oconee Circuit 4th quarter 1892 For salary Judge Pataula Circuit 4th quarter 1892 lor salary Judge Southern Circuit 4th quarter 1892 For salary Judge Rome Circuit 4th quarter 1892 For salary Judge Southwestern Circuit 4th quarter 1892 Ifni calm T1 QTTl tor salary SolicitorGeneral Coweta Circuit 4th quarter 1892 lor salary SolicitorGeneral Eastern Circuit 4th quarter 1892 bor salary SolicitorGeneral Macon Circuit 4th quarter 1892 tor sa ary Solicitor General Middle Circuit 4th quarter 18tr tor salary SolicitorGeneral Northeastern Circuit 4th qr 1892 tor salary SolicitorGeneral Ocmulgee Circuit 4th quarter 1892 tor salary SolicitorGeneral Pataula CirCuit 4th quarter 1892 tor salary SolicitorGeneral Southwestern Circuit 4th qr 189 Amount of Appropriation 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 62 50 62 50 62 50 62 50 62 50 62 50 62 50 62 50 62 50 62 50 O o g hi o t1 l Q cc W H o WFeb 21 March 2 2 April 17 17 May 26 26 30 June 8 13 1019 13 1015 13 85 14 1 14 14 14 132 14 80 16 6 18 27 21 342 21 639 24 13 25 23 31 19 31 52 31 10 7 26 21 999 1892 Oct a 1893 Jan C B Hudson Tom Eason 2 R B Russell 63 68 29 62 78 951 16 76 81 1892 Oct 1893 Jan WJ Northen A C Briscoe W J Nunnally W J Nunnally H W Thomas G H Jones 1892 April July 1893 Jan 1892 Oct 1893 Jan u L E Bleckley L E Bleckley J MTerrell E H Cutts H C Peeples C J Willborn A E Cox W R Rankin Jr W N Spence W N Spence A A Carson Wm ODaniel N L Hutchins Tom Eason L E Bleckley 2L E Bleckley 2 W M Howard 2H B Peeples For salary SolicitorGeneral Southwestern Circuit 3d qr 1892 For salary SolicitorGeneral Oconee Circuit 3d quarter 1892 For salary SolicitorGeneral Western Circuit 4th quarter 1892 For salary Governor 4th quarter 1892 For salary Clerk Railroad Commission 4th quarter 1892 For salary SolicitorGeneral Rome Circuit Dec 5th to 31st 1890 For salary SolicitorGeneral Rome Circuit 4th quarter 1892 For salary Clerk Secretary of State 4th quarter 1892 For salary Principal Keeper Penitentiary 4th quarter 1892 For salary Chief Justice Supreme Court 1st quarter 1892 For salary Chief Justice Supreme Court 2d quarter 1892 For salary AttorneyGeneral Oct 30th to Dec 31 1892 For salary Stenographer Supreme Court Nov 16 to Dec 31 9 For salary Reporter Supreme Court 4th quarter 1892 For salary Judge Northeastern Circuit 4th quarter 1892 For salary Clerk ComptrollerGeneral 4th quarter 1892 For salary Assistant Librarian 4th quarter 1892 For salary SolicitorGeneral Albany Circuit 3d quarter 1892 For salary SolicitorGeneral Albany Circuit 4th quarter 1892 For salary SolicitorGeneral Chattahoochee Circuit 4th qr92 For salary Principal Physician Penitentiary 4thquarter 1892 For salary Judge Western Circuit 4th quarter 1892 For salary SolicitorGeneral Oconee Circuit 4th quarter 1892 For salary Chief Justice Supreme Court 3d Quarter 1892 For salary Chief Justice Supreme Court 4th quarter 1892 For salary SolicitorGeneral Northern Circuit 4th qurter 1892 For salary SolicitorGeneral Southern Circuit 4th quarter 1892 62 50 62 50 62 50 750 00 375 00 11 56 62 50 250 00 500 00 750 00 750 00 342 5 187 50 500 00 500 00 250 00 200 00 62 50 62 50 62 50 500 00 500 00 62 50 750 00 750 00 62 50 62 50 00121 36 a o g A a o ti f O EC 02 SI a o o 60121 36 2E TABLE No 3ContinuedCivil Establishment 1893 When Approved 1893 April 10 If 13 14 14 17 17 Date of Warrant In Whose Favor Drawn 320 31 333 348 330 34 332 334 339 340 368 331 328 322 323 324 344 345 317 342 319 338 325 343 321 341 316 326 1893 April Philip Cook W H Harrison R T Nesbitt G II Jones W M Harper A C Briscoe W R Rankin Jr B F Carter G W Stevens 1 M Graham C L Bartlett Jno Milledge J M Terrell W A Wright 0 T Furlow R C Irwin L Trammell Virgil Powers I W Warren E H Cutts Stanhope Sams H C Peeples A E Cox J W Yaughan H W Thomas For What Purpose Drawn Amount of Warrant For salary Secretary of State 1st quarter 1893 For salary Secretary Executive Department 1st quarter 1893 For salary Commissioner of Agriculture 1st quarter 1893 For salary Principal Keeper Penitentiary 1st quarter 1893 For salary Stenographer AttorneyGeneral March 1893 For salary Clerk Railroad Commission 1st quarter 1893 For salary Assistant Librarian 1st quarter 1893 For salary Clerk Agricultural Department 1st quarter 1893 lor salary Assistant Reporter Supreme Court 1st qr 1893 For salary Stenographer Supreme Court 1st quarter 1893 lor salary Judge Macon Circuit 1st quarter 1893 For salary Librarian 1st quartar 1893 For salary AttorneyGeneral 1st quarter 1893 For salary ComptrollerGeneral 1st quarter 1893 For salary Clerk ComptrollerGeneral 1st quarter 1893 For salary Clerk ComptrollerGeneral 1st quarter 1893 For salary Railroad Commissioner 1st quarter 1893 For salary Railroad Commissioner 1st quarter 1893 For salary Secretary Executive Department 1st quarter 1893 For salary Stenographer Supreme Court 1st quarter 1893 For salary Clerk Executive Department 1st quarter 1893 For salary Reporter Supreme Court 1st quarter 1893 For salary Clerk ComptrollerGeneral 1st quarter 1893 For salary Sheriff Supreme Court 1st quarter 1893 For salary Clerk Secretarv of State 1st quarter 1893 w t lessnerFor salary Stenographer Supreme Court 1st quarter 1893 VY J NorthenFor salary Governor 1st quarter 1893 R U HardemanFor salary Treasurer 1st quarter 1893 Amount of Appropriation 500 00 500 00 500 00 500 00 50 00 375 00 200 00 300 00 500 00 375 00 500 00 450 00 500 00 500 00 450 00 300 00 625 00 625 00 525 00 375 00 475 00 500 00 250 00 250 00 250 00 375 00 750 00 500 00 Q O 3 H w o tr1 H W i o H w O w t317 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 17 18 20 327 329 336 337 346 356 357 358 359 360 361 363 364 365 366 369 371 372 374 375 376 377 378 379 380 382 383 386 387 390 392 395 396 400 403 384 373 W J Speer FL H Revill T 1 Simmons Samuel Lumpktii Allen Fort T 0 Powell B B Bower M J Clarke H CRoney G F Gober J L Sweat V B Butt T WMilner Robt Falligant J S Boynton R L Gamble Hamilton McWhorter W F Jenkins J H Guerry A HHansell W M Henry W H Fish R H Clark C G Janes X L Hutchins CD Hill W HDavis S PGilbert T A Atkinson M W Beck B I Evans H G Lewis Tom Eason C B Hudson R IS Russell Geo R Brown CC Smith For For For For For For lor For For For For For For For For For For For For For For For For For For For Fcr For For For For For For For For For For salary Clerk Treasurer 1st quarter 1893 salary Stenographer AttorneyGeneral for Jan Feb 93 salary Justice Supreme Court 1st quarter 1893 salary Justice Supreme Court 1st quarter 1893 salary Railroad Commissioner 1st quarter 1893 salary Principal Physician Lunatic Asylum 1st qr 1893 salary Judge Albany Circuit 1st quarter 1893 salary Judge Atlanta Circuit 1st quarter 1893 salary Judge Augusta Circuit 1st quarter 1893 salary Judge Blue Ridge Circuit 1st quarter 1893 salary Judge Brunswick Circuit 1st quarter 1893 salary Judge Chattahoochee Circuit 1st quarter 1893 salary Judge Cherokee Circuit 1st quarter 1893 salary Judge Eastern Circuit 1st quarter 1893 salary Judge Flint Circuit 1st quarter 1893 salary Judge Middle Circuit 1st quarter 1893 salary Judge Northern Circuit 1st quarter 1893 salary Judge Ocmulgee Circuit 1st quarter 1893 salary Judge Pataula Circuit 1st quarter 1893 salary Judge Southern Circuit 1st quarter 1893 salary Judge Rome Circuit 1st quarter 1893 salary Judge Southwestern Circuit 1st quarter 1893 salary Judge Stone Mountain Circuit 1st quarter 1893 salary Judge Tallapoosa Circuit 1st quarter 1893 salary Judge AYestern Circuit 1st quarter 1893 salary SolicitorGeneral Atlanta Circuit 1st quarter 1893 salary SolicitorGeneral Augusta Circuit 1st quarter 1893 salary SolicitorGeneral Chattahoochee Circuit lstqr 93 salary SolicitorGeneral Coweta Circuit 1st quarter 1893 salary SolicitorGeneral Flint Circuit 1st quarter 1893 salary SolicitorGeneral Middle Circuit 1st quarter 1893 salary SolicitorGeneral Ocmulgee Circuit 1st qr 1893 salary SolicitorGeneral Oconee Circuit 1st quarter 1893 salary SolicitorGeneral Southwestern Circuit 1st qr 93 salary SolicitorGeneral AVestern Circuit 1st quarter 1893 salary SolicitorGeneral Blue Ridge Circuit 1st qr 1893 salary Judge Oconee Circuit 1st quarter 1893 400 00 100 00 750 00 750 00 625 00 625 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 62 50 62 50 62 50 62 50 62 50 62 50 62 50 62 50 62 50 62 50 62 50 500 00 o O Q W w W T O wTABLE No 3ContinuedCivil Establishment 1893 When Approved May June July 189 April 21 22 2 28 1 2 4 9 22 24 30 8 8 12 99 o Date of Warrant In Whose Favor Drawn 1893 362April 401 349 393 388 391 389 398 40 394 397 399 370 350 676 077 707 697 698 706 745 090 700 701 085 0S9 750 May April July 1 S W Harris 1 J S Candler 1 R F Wright 1 Howard Thompson 1 A W Fite 1 W H Felton Jr 1 YV W Fraser 9 J S Boynton 1 W J Nunnally 1 J E Slater estate 1 W M Howard 1 J M Griggs 1H B Peeples 1CJ Wellborn 1 Wm ODaniel 1 W J Northen 1 J W Warren 1 G II Jones 1 II Peeples 1 G W Stevens 1 A C Briscoe 1 A W Fite 1 Jno Milledge 1 C L Glessner I E II Cutts 1 A E Cox 1 W M Harper 1 B J Evans For What Purpose Drawn Amount of Warrant For For For For For For For For For For For For For For For For For For For For For For For For For For For For salary Judge Coweta Circuit 1st quarter 1893 salary SolicitorGeneral Stone Mtn Circuit 1st quar 1893 salary Assistant Keeper Penitentiary 1st quarter 1893 salary SolicitorGeneral Northeastern Cir 1st quar 1893 salary SolicitorGeneral Cherokee Circuit 1st quarter 1893 salary SolicitorGeneral Macon Circuit 1st quarter 1893 salary SolicitorGeneral Eastern Circuit 1st quarter 1893 salary Judge Flint Circuit April 1st to 7th 1893 salary SolicitorGeneral Home Circuit 1st quarter 1893 salary SolicitorGeneral Southern Circuit 1st quarter 1893 salary SolicitorGeneral Northern Circuit 1st quarter 1893 salary SolicitorGeneral Pataula Circuit 1st quarter 1893 salary SolicitorGeneral Southern Circuit 1st quarter 1893 salary Judge Northeastern Circuit 1st quarter 1893 salary Principal Physician Penitentiary 1st quarter 1893 salary Governor 2d quarter 1892 salary Secretary Executive Department 2d quarter 1892 salary Principal Keeper Penitentiary 2d quarter 1892 salary Reporter Supreme Court 2d quarter 1892 salary Assistant Reporter Supreme Court 2d quarter 1892 salary Clerk Railroad Commission 2d quarter 1892 salary SolicitorGeneral Cherokee Circuit 2d quarter 1892 salary Librarian 2d quarter 1893 salary Stenographer Supreme Court 2d quarter 1893 salary Stenographer Supreme Court 2d quarter 1893 salary Clerk ComptrollerGeneral 2d quarter 1893 salary Stenographer AttorneyGeneral 2d quarter 1893 salary Solicitor Geueral Middle Circuit 2d quarter 1893 Amount of Appropriation 500 00 62 50 300 00 62 50 62 50 62 50 62 50 38 85 62 50 62 50 62 50 62 50 62 50 500 00 500 00 750 00 525 00 500 00 500 00 500 00 375 00 12 50 450 00 375 00 375 00 250 00 150 00 62 50 o H a o t1 H a I Q a da a H O a3 191 tt 1 a 742 1 3 756 a 1 3 070 11 1 3 680 u 1 3 682 1 3 683 i i 1 3 684 u 1 3 713 a J f 699 iC 1 5 678 a 1 5 704 a 1 5 385 April 1 5 743 July 1 759 it 1 7 692 l c 1 693 11 1 12 757 I 1 13 748 a 1 14 581 it 1 15 702 i 1 15 686 tt 1 L5 687 11 1 15 688 n 1 15 695 a 1 15 696 c t 1 15 703 IC 1 L5 705 1 15 714 11 1 15 715 tt 1 15 716 i i 1 15 717 a 1 15 718 i 1 15 719 a 1 15 720 a 1 15 721 t 1 15 722 C 1 W B Rankin Jr G B Brown W JNunnally Stanhope Sarns Philip Cook W A Wright CT Furlow E C Irwin T O Powell J M Graham VV H Harrison Virgil Powers VV G Brantley VV G Brantley J S Candler R T Nesbitt B F Carter II BPeeples M W Beck 11 W Thomas J W Vaughan E P Hardeman VV J Speer J M Terrell T J Simmons Samuel Lumpkin L N Trammell Allen Port W A Pittle V J Speer B B Bower M J Clarke H C Eoney G P Gober J I Sweat VV B Butt 1 T W Milner For For For For For For For For For For For For For For For For For For For lor For For For For For For For For For For For For For For or For For salary Assistant Librarian 2d quarter 1893 salary SolicitorGeneral Blue Eidge Cir 2d quarter 1893 salary SolicitorGeneral Eome Circuit 2d quarter 1893 salary Clerk Executive Department 2d quarter 1893 salary Secretary of State 2d qarter 1893 salary ComptrollerGeneral 2d quarter 1893 salary Clerk ComptrollerGeneral 2d quarter 189 3 salary Clerk ComptrollerGeneral 2d quarter 1893 salary Principal Physician Lunatic Asylum 2d qter 1893 salary Stenographer Supreme Court 2d quarter 1893 salary Secretary Executive Department 2d quarter 1893 salary Eailroad Commissioner 2d quarter 1893 salary SolicitorGeneral Brunswick Cir 1st quarter 1883 salary SolicitorGeneral Brunswick Cir 2d quarter 1893 salary SolicitorGeneral Stone Mtn Cir 2d quarter 1893 salary Commissioner of Agriculture 2d quarter 1893 salary Clerk Agricultural Department 2d quarter 1893 salary SolicitorGeneral Southern Circuit 2d quarter 1893 salary SolicitorGeneral Flint Circuit 2d quarter 1893 salary Clerk Secretary of State 2d quarter 1893 salary Sheriff Supreme Court 2d quarter 1893 salary Treasurer 2d quarter 1893 salary Clerk Treasurer 2d quarter 1893 salary AttorneyGeneral 2d quarter 1893 salary Justice Supreme Court 2d quarter 1893 salary Justice Supreme Court 2d quarter 1893 salary Railroad Commissioner 2d quarter 1893 salary Eailroad Commissioner 2d quarter 1893 salary State Agent W A 11 E 1st 2d quarters 1893 salary Clerk Bank Examiner 1st and 2d quarters 1893 salary Judge Albany Circuit 2d quarter 1893 salary Judge Atlanta Circuit 2d quarter 1893 salary Judge Augusta Circuit 2d quarter 1893 salary Judge Blue Ridge Circuit 2d quarter 1893 salary Judge Brunswick Circuit 2d quarter 1893 salary Judge Chattahoochee Circuit 2d quarter 1893 salary Judge Cherokee Circuit 2d quarter 1893 200 00 62 50 52 50 475 00 500 00 500 00 450 00 300 0 025 00 375 00 500 00 625 00 62 50 62 50 62 50 500 00 300 00 62 50 62 50 250 00 250 00 500 00 400 00 500 00 750 00 750 00 625 00 025 00 1000 00 600 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 o o H w o F F a i o S3 F m W O TABLE No 3ContinuedCivil Establishment 1893 When Approved Date of Warrant 1893 July 15 15 15 15 15 15 15 15 15 15 15 15 15 15 15 15 15 15 15 to 15 15 15 15 15 15 17 723 1893 July 726 727 729 730 731 732 733 734 735 736 737 738 740 741 746J 7471 751 752 753 54 755 758 761 3351 April In Whose Favor Drawn IS W Harris IRobt Falligant 1 JJ Hunt 0 L Bartlett R L Gamble II McWhorter W F Jenkins C C Smith J H Guerry VV M Henry A II Hansell W H Fish R H Clark N L Hutchins C G Janes CD Hill VV H Davis T A Atkinson V W Fraser Tom Fa son II Thompson W M Howard 11 G Lewis J M iriggs C B Hudson K B Russell L E Bleckley For W7hat Purpose Drawn Amount of Warrant For salary Judge Ooweta Circuit 2d quarter 1893 For salary Judge Eastern Circuit 2d quarter 1893 For salary Judge Flint Circuit April 8th to January 30th 2d quarter 1893 For salary Judge Macon Circuit 2d quarter 1893 For salary Judge Middle Circuit 2d quarter 1893 For salary Judge Northern Circuit 2d quarter 1893 For salary Judge Ocmulgee Circuit 2d quarter 1893 For salary Judge Oconee Circuit 2d quarter 1893 For salary Judge Pataula Circuit 2d quarter 1893 For salary Judge Rome Circuit 2d quarter 1893 For salary Judge Southern Circuit 2d quarter 1893 For salary Judge Southwestern Circuit 2d quarter 1893 For salary ludge Stone Mountain Circuit 2d quarter 1893 For salary Judge Western Circuit 2d quarter 1893 For salary Judge Tallapoosa Circuit 2d quarter 893 For salary SolicitorGeneral Atlanta Circuit 2d quarter 1893 For salary SolicitorGeneral Augusta Circuit 2d quarter 1893 For salary SolicitorGeneral Ooweta Circuit 2d quarter 1893 For salary SolicitorGeneral Eastern Circuit 2d quarter 1893 For salary SolicitorGeneral Oconee Circuit 2d quarter 1893 For salary SolicitorGeneral Northeastern Circuit 2d qr L893 For salary SolicitorGeneral Northern Circuit 2d quarter 1893 For salary SolicitorGeneral Ocmulgee Circuit 2d quarter 1893 For salary SolicitorGeneral Pataula Circuit 2d quarter 1893 For salary SolicitorGeneral Southwestern Circuit 2d qr 93 lor salary SolicitorGeneral Western Circuit 2d quarter 1893 For salary Chief Justice Supreme Court 1st quarter 1893 Amount of Appropriation 500 00 500 00 461 15 500 00 500 00 500 00 5D0 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 500 00 62 50 ii2 50 62 50 62 50 U2 50 62 50 62 50 62 50 62 50 62 50 62 50 751 00 O H a o t f H o S3 tr tin H d o 20 740 20 708 27 744 28 381 28 73 Aug 1 728 20 709 July pril July W H Felton Jr R F Wright S P Gilbert W N Soenee W N Spence C J Wellborn Wm OPaniel 1892 Oct For salary SolicitorGeneral Ohattahoochee Circuit 2d qr 93 For salary SolicitorGeneral Albany Circuit 1st quarter 1893 For salary SolicitorGeneral Albany Circuit 2d quarter 1893 TT i i tii i mli rJi lono For salary Judge Northeastern Circuit 2d quarter 1893 For salary Principal Physician Penitentiary 2d quarter 1893 62 50 02 50 62 50 62 50 62 50 500 00 500 00 59262 50 7 8 8 8 8 10 934 935 926 930 931 932 1024 1023 917 1031 1029 1039 1044 1038 1037 1036 1040 1041 1033 1046 1047 1048 1049 1056 1892 Oct it Sept Oct a Sept Oct 7 7 8 8 8 8 10 Albany News Philip Cook L F Patterson Dalton Argus Cherokee Advance Eaton ton Messenger Newnan Herald Western Union Telegraph Co G W Harrison Philip Cook Athens Banner Thomasville Times Rome Tribune Hawkinsville Dispatch Brunswick Times Walton News Barnesville Gazette Americus Times J W Fielder Co Gainesville Eagle Valdosta Times Fannin County Gazette Hiawassee Times Bolles Bruckner CONTINGENT FUND 1892 Balance undrawn October 1st 1892 For publishing Constitutional Amendment For contingent expenses Department For reward W T and John Williams For publishing Constitutional Amendment For publishing Constitutional Amendment For publishing Constitutional Amendment For publishing Constitutional Amendment and reward For account with Executive Department For expenses on letterheads For postage stamps For publishing Constitutional Amendment For publishing Constitutional Amendment For publishing Constitutional Amendment For publishing Constitutional Amendment For publishing Constitutional Amendment For publishing Constitutional Amendment For publishing Constitutional Amendment For publishing notice of Insurance Commissioner For type writer supplies for Executive Department For publishing Constitutional Amendment and notice for Pub lie Printing For publishing Constitutional Amendment For publishing reward For publishing reward For stationery for ComptrollerGeneral and Librarian 100 00 6 85 400 00 100 00 100 00 100 00 102 00 3 37 3 25 15 00 100 00 100 00 100 00 100 00 100 00 100 00 100 00 9 30 5 00 104 00 100 00 2 00 1 90 6 60 59262 25 10462 00 o o g W O F o H ri5 W H d o 6d 3 TABLE No 3 Continued Contingent Fund 1892 When Approved 1892 Oct Jl 13 13 15 22 24 25 Nov 25 27 1 3 3 3 4 4 4 7 9 14 15 15 15 17 i Date of Warrant In Whose Favor Drawn For What PnrpoEe Drawn 1060 1050 1063 1066 1067 1074 1068 1071 1073 1076 1078 1085 1088 1002 1096 109 1102 1103 1104 1084 1123 1125 1183 1015 1127 1129 1134 1892 Oct Nov Amount of Warrant 11 W H Harrison 8 Darien Gazette 13 J W Warren 15 W A Wright 15 Augusta Chronicle 24 A W Fite SolicitorGeneral 22 Americus Times 24 Sparta Ishmaelite 24 B Majors Treasurer 24 Sandersville Progress 27 John Milledge 1 Philip Cook 3 Western Union Telegraph Co 3 Holies Bruckner 3 J W Warren 4WT Crenshaw 4JT Lester 4 W A Little 7 North Georgia Citizen 1 Lumpkin Independent 14F W Hill and B D Hawkins 15 W A Wright ljPerry Journal 9Dalton Argus 17 W 8 Thomson 17 Enquirer Sun 25 Atlanta Herald For contingent expenses Executive Department For publishing Constitutional Amendment For postage stamps For ice August and September For publishing Constitutional Amendment For fee in convict cases Dade court For publishing Constitutional Amendment For publishing Constitutional Amendment For costs in convict cases Dade court For publishing reward For contingent expenses Library For contingent expenses Secretary of State For account with Fxecutive Department For stationery for offices For postage stamps For typewriter supplies for Executive Department For stationery for Executive Department For part fee in State cases by Executive order For publishing reward For publishing reward For reward B Pritchett For postage stamps For publishing reward For publishing reward For services in tax cases Supreme Court For publishing Constitutional Amendment and notice of In surance Commissioner For publishing proclamation Amount of Appropriation 6 90 100 00 25 00 2 65 100 00 30 50 100 00 100 00 114 77 1 70 10 77 12 70 3 46 34 81 25 00 4 60 3 60 750 00 1 75 1 65 100 00 25 00 1 82 1 70 100 00 109 40 11 03 o o S H a o F Q do W H nj O w30 30 30 30 Deo 1 1 1 2 2 5 7 8 9 10 17 17 22 23 27 28 29 29 30 1893 Jan 3 3 5 9 9 10 10 12 14 16 L120 1140 1142 1116 1147 1141 1150 1154 1153 1161 1164 1165 1159 116 1168 1184 1144 1191 1196 1203 1206 1200 1207 1212 92 93 103 107 110 122 123 112 1190 138 Dec Nov Dee 17Pine Forest 28 True Citizen 30 10 1 2g 1 2 2 Nov Dee J W Warren Jones Philip Cook Central R R Co I C Levy Western Union Telegraph Co Holies Bruckner C Williams W A Wright J F Lester Tom Eason SolGeneral 9 Constitution Pub Co 9 Atlanta Journal 15 J M Kell 30 Rome Tribune 22 G W Harrison 23 R F Watts 27 Constitution Pub Co 28 Atlanta Herald 24 Augusta Chronicle 28 W A Wright 30 J W Warren 1893 Jan 3 3 5 9 9 10 10 9 1892 Dec 20 1893 Jan 16 For publishing reward For publishing reward For postage stamps For ice for Executive and OompGenerals Departments For contingent expenses office For freight on guns For pay roll of troops by Executive order For account with Executive Department For stationery for Departments For reward Green Norwood For postage stamps for mailing reports For stationery Executive Department For fee in convict cases Dodge court For publishing proclamation Foo publishing proclamation For drayage on guns For notice public printing For stationery for Library For expenses as witness before Betterment Committee For publishing notice to Insurance Companies For publishing notice to Insurance Companies For subscription Executive Department For postage stamps For postage stamps Western Union Telegraph Co Philip Cook Clifford Anderson Bolles Bruckner Atlanta Telephone Exchange W T Crenshaw W T Crenshaw Douglas Thomas Co Wilkes Pub Co J W Warren For account with Executive Department For contingent expenses office For fee in case Columbus Southern Railroad vs State For stationery Secretary of State and Librarian For boxes for offices and mansion For exchange of typewriters For typewriters supplies Executive Department For ribbon for Secretary of State For publishing reward For postage stamps 2 00 1 71 25 00 2 60 45 16 8 08 180 30 13 67 35 20 100 00 15 00 10 05 36 00 5 80 19 74 3 50 4 00 26 75 28 48 2 10 8 95 12 00 25 00 50 00 8 16 8 50 2000 00 8 30 112 00 43 00 8 40 2 40 3 00 50 00 a o O f f a o M W XJl W s OTABLE No 8OmtmuedContingent Fund 1892 a When Date of Approved o S5 Warrant 1893 1S93 Jan 17 137 Jan 16 20 147 20 20 14 20 21 152 21 23 150 20 23 146 20 23 155 23 24 158 24 24 160 24 Feb 2 176 Feb 2 3 185 3 3 186 3 4 175 2 8 131 Jan 14 10 195 Feb 9 10 199 9 16 210 15 16 211 15 16 212 15 16 216 16 21 223 21 27 235 27 27 236 27 28 229 27 March 1 238 March 1 1 242 1 2 243 2 3 244 3 In Whose Favor Drawn For What Purpose Drawn Amount of Warrant R U Hardeman Treasurer Rome Tribune W S Mehaffey E T IM wards Z T Fvans Carroll Times 11 G Saunders Jno Miliedge J M Terrell Western Union Telegraph Co J W Warren Philip Cook Bolles Bruckner Greensboro Herald W A Wright D H Adams Clerk W B Metealf D F McClatchey W N Grist J W Warren Jno Miliedge Central Railroad Co H C Beck Augusta Chronicle J M Terrell Philip Cook Z D Harrison Bolles Bruckner For For For For For For For For For For For For For For For For For For For For For For For For For For For or per diem and mileage of Electors and Clerk publishing reward reward for R Avery fee in case Bagby vs T C Newton county part reward for R Avery publishing reward City Directory for offices contingent expenses Library postage stamps for office account with Executive Department postage stamps contingent expenses office stationery for offices publishing reward postage stamps fees in case Central and So Western RR vs T C Bibb Co fees as witness before Railroad Commission fees as witness before Railroad Commission fees as witness before Railroad Commission postage stamps contingent expenses Library freight on guns making abstracts of lines in Chattanooga publishing reward postage stamps contingent expenses office copying opinion Lascelles vs State stationery for Secretary of State Amount of Appropriation 970 80 1 60 60 00 12 50 40 00 2 00 20 00 23 85 5 00 17 69 25 00 14 14 8 85 2 00 25 00 6 50 4 00 4 00 4 00 50 00 14 48 5 40 10 00 1 75 3 00 7 75 11 25 5 35 O i3 W O o H w W o 3April 31 2451 3 3 230 Feb 27 3 240 March 1 i 248 6 1892 7 1122 Nov 12 1893 7 251 March 7 L3 267 13 16 272 15 16 280 16 17 270 15 21 281 20 20 289 20 20 284 20 28 292 22 23 293 22 24 298 24 24 296 22 25 309 23 25 307 23 25 308 23 1 404 April 1 1 314 Mch 30 1 412 April 1 6 431 i 7 288 Mch 20 7 430 April 6 i 433 7 8 434 8 II 437 10 11 438 11 11 440 11 11 448 11 11 429 6 14 459 14 17 462 17 Bolles Bruckner Brunswick Times Elberton Star Western Lnion Telegraph Co Southern Express Co For stationery for Executive Department For publishing reward For publishing reward For account with Executive Department Southern Express Co S P Richards Son Jno Milledge W A Wright J F Lester Southern Express Co JWWhelchelB BLanders Q W Harrison W A Wright J W Warren H C Peeples J M Terrell S P Richards Son Fort Valley Ledger Elberton Star Bolles Bruckner M Taylor Philip Cook C G Electric Co J F Lester Southern Express Co J M Terrell Western Union Telegraph Co R B Searcy W A Wright J M Kell W H Harrison Morning News W A Wright J F Lester For freight on books from Library For freight on books from Library For stationery for ComptrollerGeneral For contingent expenses Library For labor preparing and shipping digests For stationery for ComptrollerGeneral For freight on digests and tax lists For reward for Will Hawkins For stationery for Library For postage stamps For postage stamps For copyright Georgia Reports 85th to 88th vols For fee and expenses Lascelles vs State U S Supreme Court For stationery Executive Department For publishing reward For publishing reward For stationery Secretary of State For drayage etc For contingent expenses Office For work ComptrollerGenerals Office For stationery Executive Department For freight on books from Library For contingent expenses Office For account with Executive Department For reward for Ed Newton For letter heads etc For drayage on guns For contingent expenses Executive Department For publishing rewards For postage stamps For stationery ComptrollerGeneral 23 90 2 00 2 00 7 27 4 10 129 55 3 00 16 90 11 50 7 70 111 45 100 00 11 50 25 00 50 00 6 00 400 00 13 50 1 77 2 00 3 85 2 38 5 25 8 65 3 75 126 60 13 90 3 29 150 00 16 00 4 25 13 00 1 75 25 00 23 65 a O fa a o f t1 O ft fci m S n o W h3TABLE No ContinuedContingent Fund 1892 When Approved May 1893 April 19 20 24 24 24 1 1 2 3 3 4 4 4 4 4 4 4 6 i 11 II 12 12 12 12 12 12 17 Date of Warrant In Whose Favor Drawn For What Purpose Drawn 464 46o 480 479 476 503 501 507 509 510 512 452 422 423 451 450 4 12 516 5 IS 527 525 514 517 405 533 513 532 538 1S93 April May April May April May 18 20 24 24 24 1 1 2 3 3 4 11 6 6 11 11 28 6 6 II 10 4 6 29 12 4 12 17 G W Shackelford W T Orenshaw J W Warren J W AVarren J H Cole Philip Cook A W Fite SolicitorGeneral E L Sibley E L Sibley J F Lester Jno Milledge Enquirer Sun Fort Valley Leader Sylvania Telephone Quitman Press Savannah Press Columbus Ledger Western Union Telegraph Co Southern Express Co I M Miller Holies the Stationer Wilkes Publishing Co Sandersville Herald Liberty County Herald Cuthbert Liberal J M Richardson J W Warren For reward for Nathan Smith For typewriter supplies Executive Department For postage stamps For sundry newspaper accounts For reward for J P Davis For contingent expenses Office For fees in escape cases in Dade Court For eyelets and eyelet press for Comptroller Jeneral lor eyelets and eyelet press for Treasurer For stationery Executive Department For contengent expenses Library For publishing reward For publishing reward For publishing reward For publishing reward For publishing reward For publishing reward For account with Executive Department For freight for Library For stationery for Executive Department For stationery for Executive Department For publishing reward For publishing reward For publishing reward For publishing reward or publishing reward For postage stamps Amount oi Warrant Amount of Appropriation J W AustinFor depositions W AR R vs Central R R 150 00 8 15 25 00 9 87 100 00 4 36 122 00 5 00 5 00 6 85 13 47 1 85 1 84 3 00 1 75 1 70 1 80 5 15 51 90 2 50 1 75 2 00 1 70 1 93 1 70 3 75 50 00 20 00 Q O H ft O H w I Q H S3 t1 w ft H O ft h3540 549 550 557 is 19 20 26 G W Harrison W Welch W A Wright D B Hamilton For printing and binding for Departments For reward Ike Williams For postage stamps For expenses Assistant Counsel in case Lascelles vs State in IT S Supreme Court Amount reverted July 1st 1893 257 00 200 00 25 00 144 25 2 10402 25 1693 May 30 548 a 30 547 11 31 503 a 31 558 June 1 570 c 2 578 i 2 579 it 3 585 a 3 581 i i 3 582 it 5 588 0 567 5 5C8 a r 569 a 6 592 6 593 a 8 598 it 8 605 it 9 606 it 12 623 tl 13 624 n 14 625 10 636 11 19 645 21 647 1893 May June May June 18 MeDuffie Enterprise 18 Henry County Weekly 31 iwinnett Herald 31 R IT Hardeman 1 Philip Cook 2E Hillyer 2 Atlanta Telephone Exchange Western Union Telegraph Co E H Galloway John Screven 5J F Lester 31 31 31 6 6 7 8 9 12 13 14 in 19 21 B P Majors Treasurer S H Thurman and V A Byrd F H B Cole and R Carter Middle Georgia Progress Sandersville Herald Southern Express Co J M Terrell G W Harrison J P Harrison Co Central R R Co John Milledge Enquirer Sun R IT Hardeman Treasurer L F Patterson CONTINGENT FUND 1893 Act 1892 For publishing reward For publishing reward For publishing reward For contingent expenses Treasury 3d qr 189192 and 1st qr 93 For contingent expenses Secretary of State For services Arbitrator G S F R R For box rent ComptrollerGenerals Office For account with Executive Department For services Arbitrator Macon Birmingham R R For services Umpire G S F R R and M B R R For stationery for Library For fees escape cases from Dade Court For Clerk and Sheriff costs from Dade Court For Clerk and Sheriff costs escape cases For publishing reward For publishing reward For freight from Library For contingent expenses Office For binding books for Secretary of State For binding books for Library For freight on guns For contingent expenses Library For publishing reward For per diem and mileage of Board of Visitors to University For reward for W Gordon 1 65 4 00 1 50 701 13 6 00 175 00 60 00 4 82 150 00 162 50 6 00 63 25 13 10 42 00 1 05 1 65 35 00 20 70 164 00 15 50 8 65 13 40 1 86 152 14 150 00 10462 25 15000 00 O o H Ed o f f Ed i Is Ed f ri5 Ed H d O Ed 13I TABLE No 3Continued Contingent Fund 1892 When Approved July 1893 June 21 21 21 23 23 30 30 1 1 5 7 7 7 10 10 10 11 12 13 17 L8 20 22 22 24 24 Date of Warrant In Whose Favor Drawn 600 633 601 658 669 674 666 762 675 772 787 788 782 797 794 803 770 668 804 807 809 818 811 825 836 837 830 838 1893 June July June July June July 16 7 23 23 28 28 1 3 5 5 3 10 3 28 11 11 1J 17 14 20 22 22 20 24 Douglas Breeze Douglas Breeze Toccoa News J W Warren Central R R Co Constitution Iublishing Co W A Wright Bolles the stationer A L Harris Philip Cook J P Lester W A Wright John Bratton M B Torbett Co Western Union Telegraph Co R U Ilardeman News and Farmer Hawkinsville Dispatch Atlanta Telephone Exchange J W Warren J F Fester A A Barker Wilkes Publishing Co Atlanta Journal R F Berner Wm Phillips Southern Express Co For What Purpose Drawn J W HawkinsFor reward B White For publishing reward For publishing reward For publishing reward For postage stamps For freight on guns For subscription by Executive Department For postage stamps For stationery Executive Department For searching for States title to car shed For contingent expenses Office For stationery for ComptrollerGeneral For express charges on digests For typewriter supplies Executive Department For typewriter supplies AttorneyGeneral For account with Flxecutive Department For advertising in New York papers For publishing reward For publishing reward For boxes for Offices For postage stamps For stationery Executive Department For reward for Doc Penn For publishing reward For publishing notice to Insurance Companies For services Arbitrator R 1 K K system For services Umpire R D R R system For freight on books from Library Amount of Warrant Amount of Appropriation 3 25 3 37 1 65 25 00 10 90 8 00 25 00 3 00 50 00 2 00 70 25 00 5 X 7 00 5 84 105 70 1 70 1 50 112 00 25 00 4 65 150 00 4 00 2 35 430 00 215 00 8 00 200 00 Q O d a o ti F O w W S a o wAug 24 828 a 20 27 843 11 27 27 844 a 27 31 854 a 31 1 857 Aug 1 1 861 I I 1 3 805 t 3 3 850 July 31 3 851 31 4 867 Aug 4 4 866 i i 4 7 864 I 2 8 856 July 31 10 876 Aug 11 887 i 11 14 893 a 14 14 891 a 14 15 892 11 14 15 879 i 9 15 880 i t 9 15 878 i 9 15 872 t 7 15 882 i i 9 ir 883 i 9 17 895 i t 17 19 901 t i 19 22 902 li 22 24 905 u 24 25 911 It 25 26 913 i 26 2fi 912 I 26 28 896 a 17 28 911 a 28 2 919 11 29 29 917 a 29 2 91 a 29 Courant American V A WriJit R M Adamson and D A Porter G W Harrison Philip Cook J F Lester North Georgia Citizen Thomasville Times Oeonee Enterprise Western Union Telegraph Co J W Warren Calhoun County Courier G H Tanner Clerk Southern Express Co W 11 Harrison P N Mullinax and W A Wetherby Tno Milledge W B Smith Dahlonega Nugget True Citizen Bulloch Times Vienna Progress Peoples Advocate Thomaston Times Jno Milledge W T Crenshaw Central Railroad Co J W Warren J F Daniel W A Wright Central Railroad Co Pal ton Argus Constitution Pub Co H W Russell 29IH AV Hill 29W F Jenkins For publishing reward For towels for Office For costs in Wainright Range Co For fifty copies of Code For postage stamps For stationary for Library For publishing reward For publishing reward For publishing reward For account with ComptrollerGeneral For postage stamps For publishing reward For costs in cases in City Court vs State For freight from Library For contingent expenses Executive Department For reward for John Dutton For postage stamps For reward for Jim Williams For publishing reward For publishing reward For publishing reward For publishing reward For publishing reward For publishing reward For contingent expenses Library For typewriter supplies For freight on guns For postage stamps For reward for John Calloway For postage stamps and wrappeis For freight on guns For publishing reward For publishing notice to print Georgia Reports For towels for AttorneyGenerals Office For services Arbitrator Eatonton Railroad For services Umpire Eatonton Railroad 2 10 5 00 17 50 300 00 4 00 6 00 2 00 1 50 1 58 8 38 25 00 1 60 150 05 4 85 7 90 200 00 5 00 150 05 1 63 2 00 2 00 2 00 1 60 3 30 4 75 2 70 1 10 25 00 200 00 30 00 3 80 1 61 15 68 1 50 75 00 12 50 Q O O tr1 f1 a w i Q dc O wTABLE No 3Continued Contingent Fund 1893 When Approved Date of Warrant In Whose Favor Drawn 1893 Aug Sept 30 30 31 1 2 2 2 2 9 9 14 14 14 14 15 16 22 22 23 25 25 26 26 26 27 921 915 923 929 928 934 935 936 933 938 941 943 951 949 944 954 955 956 966 967 960 972 957 959 958 978 1S9 Aug a Sept 30 S A Frazier 28 Chas King 31 Atlanta Journal 1 Holies 1 Philip Cook 2H WThomas 2 Western Union Telegraph Co 2T J Jackson 1 C W Hurst Sheriff 6WA Little 9 J M Miller 9 Southern Express Co II II C Harrison 13 J MMorris 9 ireensboro Herald 15 H W Hill 16 Carter Gillespie 19 Walter Chivers et al 21 J V Warren 23 W H Harrison 21 Home Tribune 25 Standard lee Co 21 J C Finch T C Hendrix 21 Quitman Press 21 Worth County Local 27 Logan Bleckley For What Purpose Drawn Amount of Warrant For reward for Ceo Robinson For reward for Henry Spencer For publishing notice to print Georgia Reports For stationery for Treasurer For contingent exjienses For fitting up desk Secretary of States Office For account with Executive Department For reward for len Harris For expenses guarding Sam Jenkins For postage stamps For stationery for AttorneyGeneral For freight on books from Library For moving arms etc from Gate City Guard For reward for Wm Downs For publishing reward For services Arbitrator S A M R R For electrical work for ComptrollerGenerals Office For reward A H Lee For postage stamps For shelving for Executive Department For publishing reward For ice for Offices For reward for James Jackson For publishing reward For publishing reward For making 400 copies Rules of Court Balance undrawn October 1st 1893 Amount of Appropriation 200 00 150 00 12 24 5 25 4 00 2 00 10 37 100 00 26 15 8 00 2 25 4 05 8 00 200 00 2 00 200 00 2 00 150 00 25 00 28 76 1 60 31 70 300 00 2 00 2 00 60 00 8792 89 O ft o b r1 o w w a na o a H 15000 00 15000 00CONTINGENT EXPENSES RAILROAD COMMISSION 1892 1882 1892 Oct 8 Railroad Commissioners 200 00 200 00 Oct 10 L051 200 00 200 00 CONTINGENT EXPENSES RAILROAD COMMISSION 1893 1893 1893 Jan 11 128 Jan 11 April 24 481 April 24 July 10 801 July 10 Railroad Commissioners Railroad Commissioners Railroad Commissioners Act 1892 For amount requisition 1st quarter 1893 For amount requisition 2d quarter 1893 For amount requisition 3d quarter 1893 Balance undrawn October 1st 1893 CONTINGENT EXPENSES SUPREME COURT 1892 1892 Oct 3 1893 Men 3 1025 246 1892 Oct 3 Z D Harrison Clerk 1893 Mch 3 Z D Harrison Clerk Balance undrawn October 1st 1892 For amount requisition For balance of appropriation CONTINGENT EXPENSES SUPREME COURT 1893 1893 L893 Mch 3 247 Mch 3 July 28 846 July 28 Z D Harrison Clerk Z D Harrison Clerk Act 1892 For amount requisition For amount requisition Balance undrawn October 1st 1893 CLERK SUPREME COURT COSTS 1892 Dec 15 1183 1893 Feb 14 196 July 25 841 1892 Dec 15 1893 Feb 9 July 25 ZD Harrison Clerk Z D Flarrison Clerk Z D Harrison Clerk For insolvent costs October term For insolvent costs For insolvent costs October term March term 200 00 200 00 200 00 200 00 800 00 701 85 121 84 823 69 409 95 435 90 354 15 1200 00 391 25 102 50 456 85 950 00 800 00 800 00 823 69 823 69 1200 00 1200 00 950 00 Q O K H w o t1 Q W 65 W hj O fed iTABLE No 3ContinuedDepartment of Agriculture 1892 When Approved Date of Warrant In Whose Favor Drawn For What Purpose Drawn 1892 1892 Dec 19 1187 Dec 19 R T Nesbitt Balance undrawn October 1st 1892 For balance of appropriation 1893 Men June 241 583 1893 Mch June DEPARTMENT OF AGRICULTURE 1893 R T Nesbitt R T Nesbitl Act 1892 For amount requisition 1st quarter 1893 For amount requisition 2d quarter 1893 Balance undrawn October 1st 1893 1892 Dec 6 1893 Mcb 20 DIRECT TAX L892 1162 Dec 6 1893 290 Men 20 Stanhope Sams Stanhope Sams Balance undrawn October 1st 1892 For amount requisition For amount requisition Balance undrawn October 1st 1893 Amount ol Warrant Amount of Appropriation 2500 00 2500 00 2501 00 2500 00 5000 00 10000 00 3000 00 3000 00 22031 03 28031 03 FERTILIZER FUND 1893 1892 Oct 8 13 9 11 Dec 10 10 Nov 1053 1005 1109 1118 1175 11691 1892 Oct Nov tt Dec P L Hutchinson 13J F Wilkinson P L Hutchinson J F Wilkinson J F Wilkinson P L Hutchinson Balance undrawn October 1st 1892 From fees inspection Fertilizers For salary Assistant Chemist September 1892 For salary Assistant Chemist September 1892 For salary Assistant Chemist October 1892 For salary Assistant Chemist October 1892 For salary Assistant Chemist November 1892 lor salary Assistant Chemist November 1892 83 33 83 33 83 33 83 33 83 33 83 33 500 00 500 00 10000 00 10000 00 28031 03 28031 03 1611 91 12538 05 A oc Q O W O fi tr1 o t1 W hd O W H1893 Jan 9 11 Feb 7 7 10 11 March 9 11 20 April May June 11 29 9 11 31 10 10 16 109 129 173 187 194 203 257 253 285 426 435 441 494 521 529 565 613 614 634 1893 Jan Feb March April May June P L J F G F G F P L J F P L J F Geo Geo P L J F Geo P L JF Geo J F P L Geo Hutchinson Wilkinson Payne Payne Hutchinson Wilkinson Hutchinson Wilkinson F Payne F Payne Hutchinson Wilkinson F Payne Hutchinson Wilkinson F Payne Wilkinson Hutchinson F Payne 1893 July a it Aug t i Sept 800 805 806 869 877 884 952 1893 July 8 11 11 5 9 Aug 10 Sept 14 For salary Assistant Chemist December 1892 For salary Assistant Chemist December 1892 For half appropriation for chemicals For salary Chemist January 1893 For salary Assistant Chemist January 1893 For salary Assistant Chemist January 1893 For salary Assistant Chemist February 1893 For salary Assistant Chemist February 1893 For salary Chemist February 1893 For salary Chemist March 1893 For salary Assistant Chemist March 1893 For salary Assistant Chemist March 1893 For salary Chemist April 1893 For salary Assistant Chemist April 1893 For salary Assistant Chemist April 1893 For balance of appropriations for chemicals For salary Assistant Chemist May 1893 For salary Assistant Chemist May 1893 For salary Chemist May 1893 Amount transferred from Civil Establishment Amount transferred to School Fund FEKTILIZEE FUND 1894 P L Hutchinson Geo F Payne J F Wilkinson Geo F Payne P L Hutchinson J FWilkinson J F Wilkinson From fees inspection Fertilizers For salary Assistant Chemist June 1893 For salary Chemist June 1893 For salary Assistant Chemist June 1893 For salary Chemist July 1893 For salary Assistant Chemist July 1893 For salary Assistant Chemist July 1893 For salary Assistant Chemist August 1893 83 33 83 33 500 00 250 00 83 33 83 33 83 33 83 33 250 00 250 00 83 33 83 33 250 00 83 33 83 3 500 00 83 33 83 33 250 00 2400 00 8000 02 14149 96 83 33 250 00 83 33 250 00 83 33 83 33 83 33 14149 96 2000 00 O O o f g H w W o w H flI TABLE No 3 ContinuedFertilizes Fund 1894 When Approved 1893 Sept 14 23 Date of Warrant In Whose Favor Drawn For What Purpose Drawn 1893 953 Sept 14 863 21 P L Hutchinson Geo F Payne FUND FOR MAIMED SOLDIERS 1893 1893 March 15 16 22 22 25 25 27 April 7 7 13 13 14 22 June 19 Aug 31 269 271 291 287 294 295 310 411 425 444 443 456 472 641 924 1893 March April June Aug 15 15 22 21 22 22 27 1 6 11 11 11 21 19 31 Mary Collum Lila J Davis Mary J Odom L V Morrison M E Riviere E C Wimberly K L Manning Mary Smith N A Howell S A Stephens A S Woodruff Betty Harrison E E Thompson R U Hardeman R IT Hardeman Act 1892 For pension due husband For pension due husband For pension due husband For pension due husband For pension due husband For pension due husband For pension due husband For pension due husband For pension due husband For pension due husband For pension due husband For pension due husband For pension due husband For 3147 pensions paid For 62 pensions paid Amount of Warrant Amount of Appropriation For salary Assistant Chemist August 1893 For salary Chemist August 1893 Balance undrawn October 1st 1893 83 33 250 00 750 02 2000 00 50 00 100 00 100 00 100 00 50 00 100 00 100 00 50 00 55 00 100 00 50 00 50 00 5 00 181225 00 2865 00 185000 00 2000 00 185000 00 o o o ti f Q H do W hd O W 13 185000 00GEOLOGICAL FUND 1892 Oct i 974 it 8 972 it LO 1057 a 20 07 Nov 1 1082 u 30 1143 1893 Jan 3 37 n 3 39 tt L3 38 a 17 140 Feb 23 225 April 5 351 11 5 415 a 17 352 tt 17 353 May 1 496 1 497 it 1 498 a 1 499 it 1 500 it 11 519 June 10 617 tt 23 660 July 7 793 i 11 710 It 17 822 a 20 831 21 832 tt 22 834 it 22 814 Aug 24 906 u 25 907 1892 Oct Nov tt 1893 Jan Feb April May June W July Aug 2 17 23 1 5 1 1 1 1 1 1 1 6 10 23 7 1 17 20 21 22 14 24 25 ET Whatley 1 W Spencer J W Spencer C C Anderson J W Spencer 1 W Spencer J W Spencer E T Whatley C C Anderson J W Spencer J W Spencer J W Spencer J W Spencer C C Anderson ET Whatley Abbott Parker Co Mrs J S Sherrard Miss Byrd Frazier W R Snipes M L Dunaway F W Benteen W S Yeates J W Spencer John Bratton W S Yeates G W Harrison N C Spencer J J Logue W S Yeates J F Lester F W Benteen W S Yeates Balance undrawn October 1st 1892 Act 1892 For salary Assistant Geologist 3d quarter 1892 For salary Geologist 3d quarter 1892 For advances For salary Assistant Geologist 3d quarter 1892 For advances For advances For For For For For For For For For For For For For For For For For For For For For For For For For For salary Geologist 4th quarter 1892 salary Assistant Geologist 4th quarter 1892 salary Assistant Geologist 4th quarter 1892 advances advances salary Geologist to March22d 1st quarter 1893 expense account for March salary Assistant Geologist to March 22d 1st quarter 1893 salary Assistant Geologist to March 22d 1st quarter 1893 horse feed gauge reading gauge reading gauge reading gauge reading boarding horses advances traveling expenses and chemical analysis typewriter salary as Geologist May 13th to June 30th printing for Department repairing wagons etc tent and fly expenses file case feeding horses expenses 7408 80 8000 00 312 50 625 00 146 81 312 50 O 150 00 o 150 00 g hd 625 00 o 312 50 312 50 F 150 00 F 150 00 W i 569 40 50 90 o 284 70 H 284 70 26 50 9 00 9 00 9 00 012 9 00 hi 50 00 150 00 552 70 O 90 00 312 50 33 75 162 50 22 00 120 55 34 00 81 00 180 02 o TABLE No 3ContinuedGeological Fund When Approved Date of Warrant In Whose Favor Drawn For What Purpose Drawn Amount of Warrant Amount of Appropriation a O K H ft O 1893 Aug set 1893 909 Aug 25 910 25 908 25 968 Sept 22 Bolles the Stationer Lemke Powell 1 Morgan W S Yeates For stationery for Department For harness etc For supplies For sundry accounts Balance undrawn October 1st 1893 16 40 66 73 12 75 206 67 3758 22 15408 80 15408 80 W INSTITUTE DEAF AND DUMB 1892 O H ft 32 ft o ft 1892 Oct 1042 1892 Oct 7 D W Simmons Treasurer Balance undrawn October 1st 1892 For balance appropriation 4250 00 4250 00 4250 00 4250 00 INSTITUTE DEAF AND DUMB 1893 1893 1893 Jan 3 96 Jan 3 April 1 408 April 1 July 3 773 July 3 D W Simmons Treasurer D W Simmons Treasurer D W Simmons Treasurer Act 1892 For requisition 1st quarter 1893 For requisition 2d quarter 1893 For requisition 3d quarter 1893 Balance undrawn October 1st 1893 4750 00 4750 00 4750 00 4750 00 19000 00 19000 00 19000 00INSURANCE PUBLIC BUILDINGS 1892 1892 Oct 11 Nov 7 1893 Jan 9 18 Feb 2 1058 1100 1105 1112 1113 1121 108 141 178 1893 Feb May June July 2 2 2 2 2 2 10 10 20 27 27 13 23 23 23 29 29 29 1 1892 Oct Nov 1893 Jan Feb 11 T T Windsor 7T T Windsor 7 C H Andrews Son 9C B C S Carrington 9 John Conn 12 Harris Nutting Co Balance undrawn For premium of policy For premium of policy For premium of policy For premium of policy For premium of policy For premium of policy 9 Harris Nutting Co 18 H Yancey 2T T Windsor October 1st 1892 on Public Buildings on Public Buildings on Public Buildings on Public Buildings on Public Buildings on Public Buildings or premium of policy on Public Buildings For premium of policy on Public Buildings For premium of policy on Public Buildings May June INSURANCE PUBLIC BUILDINGS 1893 1893 179 Feb 180 181 182 183 184 198 197 208 226 227 535 655 656 657 669 070 673 765 July 2 T T Windsor C B C S Carrington Jno Conn L H Andrews C H Andrews Son Ogden Felder 9CTH Andrews Son 9T T Windsor 15 27 27 12 23 23 23 28 28 28 1 J N Moody United Underwriters H Yancey C B C S Carrington C B C S Carrington C H Andrews Son T T Windsor L H Andrews H Yancey H Yancey Harris Nutting Co Act 1892 For premium of For premium of For premium of For premium of For premium of For premium of For premium of For premium of For premium of For premium of For premium of For premium of For premium of For premium of For premium of For premium of For premium of For premium of For premium of policy policy policy policy policy policy policy policy policy policy policy policy policy policy policy policy policy policy policy on Public on Public on Public on Public on Public on Public on Public on Public on Public on Public on Public on Public on Public on Public on Public on Public on Public on Public on Public Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings 50 00 1443 75 674 00 1067 50 87 50 3 90 250 00 26 21 419 45 4022 35 27 43 295 00 68 75 7 S7 440 00 80 00 15 62 15 62 9 00 851 25 21 44 18 00 18 75 39 00 31 50 25 00 20 75 62 50 137 50 4022 35 4022 35 8000 00 O O H a o t1 f W i Q tzi w a S u o WTABLE No 3ContinuedInsurance Public Buildings 1893 When Approved ft o Date of Warrant In Whose Favor Drawn 1893 July Aug Sept 20 20 25 1 2 8 8 1 23 795 826 824 839 860 862 874 875 898 961 1893 July Aug Sept 20 19 25 1 2 W P Pattillo C B C S Carrington C H Andrews Son T T Windsor Harris Nutting Co A L Waldo T T Windsor C B C S Carrington L S Ledbetter C H Andrews Son 1892 1892 Dec 20 1189 Dec 20 1893 1893 Mch 9 256 Mch 9 9 258 9 June 16 637 June 16 Jno Milledge Jno Milledge Jno Milledge Jno Milledge For What Purpose Drawn For premium of policy on Public For premium of policy on Public For premium of policy on Public For premium of policy on Public For premium of policy on Public ior premium of policy on Public For premium of policy on Public For premium of policy on Public For premium of policy on Public For premium of policy on Public Balance undrawn October 1 UBKARY BUND 1892 Balance undrawn October 1st 1892 Sale Georgia Reports 4th quarter 1892 For sundry accounts For sundry accounts For sundry accounts For sundry accounts Amount reverted July 1st 1893 Amount ol Warrant Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings Buildings st 1893 33 68 31 25 396 56 50 00 75 00 15 00 50 00 100 00 112 50 18 75 1932 28 Amount of Appropriation 8000 00 8000 00 238 25 656 10 101 00 404 25 24 00 89 80 80 757 10 757 10 a o K h3 O t1 ft Q ft ft tin a ft o w1893 1893 April 6 417 April 6 May 11 530 May 11 July 28 848 July 28 Aug 17 897 Aug 17 Sept 30 879 Sept 30 Ino Milledge Jno Milledge Jno Milledge Jno Bratton Jno Milledge 1893 1893 Jan 11 118 Jan 11 July 3 778 July 3 A L Hull Treasurer A L Hull Treasurer LIBRARY FUND 1893 Sale Georgia I For sundry accounts For sundry accounts For sundry accounts For typewriter For sundry accounts Balance undra LAND SCRIP FUND 1893 Act 1892 For semiannual interest due University For semiannual interest due University 223 55 346 02 169 30 100 00 199 19 1045 94 2084 00 2084 00 2084 00 3157 07 3157 07 6314 14 LEGISLATIVE PAY ROLLSESSION 1893 1893 Feb 1893 Feb A S Clay President of Senate WY Atkinson Speaker House of Representatives For per diem and mileage of members and attaches of Senate session 1892 j For per diem and mileage of members and attaches ot House of Representatives session 1892 17027 50 48540 49 65567 99 LUNATIC ASYLUM 1892 1892 1892 Oct 28 1075 Oct 24 Nov 29 1138 Nov 28 Dec 29 1211 Dec 29 A 1 Carr Treasurer A J Carr Treasurer A J Carr Treasurer Balance undrawn October 1st 1892 For amount requisition October 1892 For amount requisition November 1892 For amount requisition December 1892 Amount reverted July 1st 1893 15833 33 15833 33 15833 33 04 47500 03 6314 14 6314 14 65567 99 47500 03 47500 03 O O Ed o F ft O H f w g O W H When Approved 1893 Jan Feb April i May July it Aug Sept TABLE No 3ContinuedLunatic Asylum 1893 o Date of Warrant In Whose Favor Drawn For What Purpose Drawn 1893 167Jan 30 27 1 231 407 483 559 786 853 925 980 Feb April May July a Aug Sept 31 5 31 31 30 A 1 Carr Treasurer A J Carr Treasurer A J Carr Treasurer A J Oarr Treasurer A J Carr Treasurer A J Carr Treasurer A J Carr Treasurer A J Carr Treasurer A J Carr Treasurer LUNATIC ASYLUMSALARY TRUSTEES 1892 Dec 1892 1 1151 1 1152 1 1149 5 1158 6 1155 8 11 SO 12 1171 12 1172 11 1180 21 1188 1892 Dec 1 1 1 5 2 5 Id li 14 20 R F Watts John A Cobb W T McArthur G A Cabaniss T S Hopkins W H Hall R B Nisbet J W Wileox F Foster J H Nichols Balance undrawn October 1st 1892 For salary and expenses to December 2d 1892 For salary and expenses to December 2d 1892 For salary and expenses to December 4th 1892 For salary and expenses to December 2d 1892 For salary and expenses to December 2d 1892 For salary and expenses to December 2d 1892 For salary and expenses to December 2d 1892 For salary and expenses to December 2d 1892 For salary and expenses to December 2d 1892 For salary and expenses to December 20th 1892 Amount reverted July 1st 1893 Amount of Warrant Act 1892 For amount requisition January 1893 For amount requisition February 1893 For amount requisition March 1893 For amount requisition April 1893 For amount requisition May 1893 For amount requisition June 1893 For amount requisition July 1893 For amount requisition August 1893 For amount requisition September 1893 Balance undrawn October 1st 1893 Amount of Appropriation 16666 67 16666 67 16666 67 16666 67 16666 67 16666 67 16666 67 16666 67 16666 67 49999 97 200000 00 200000 00 200000 00 i 3 50 8 50 110 94 98 29 186 00 78 00 87 00 170 00 126 48 102 30 594 55 1745 62 1745 62 a O i o tl do o w 1745 62LUNATIC ASYLUMSALARY TRUSTEES 1893 1893 June 3 575 6 590 6 591 6 594 6 595 7 599 0 609 17 639 24 661 1893 June John A Cobb E Foster W T McArthur W H Hall J H Nichols R B Nisbet K F Watts G A Cabaniss R F Watts 1892 Nov 9 1111 a 17 1128 Dec 13 1178 U 24 1197 1892 Nov 9 U 17 Dec 13 a 23 1893 Jan 11 126 25 159 Feb 17 206 March 1 239 24 297 28 311 April 1 405 1893 Jan 11 u 24 Feb 15 March 1 u 24 a 28 April 1 J L Hardeman J M Kell A G J M Kell A G J M Kell A G J M Kell A G J L Hardeman Act 1892 For salary and expenses to June 2d 1893 For salary and expenses to June 2d 1893 For salary and expenses to June 2d 1893 For salary and expenses to June 2d 1893 For salary and expenses to June 2d 1893 For salary and expenses to June 2d 1893 For salary and expenses to June 2d 1893 For salary and expenses to June 2d 1893 For mileage to June 2d 1893 Balance undrawn October 1st 1893 MILITARY FUND 1892 J M Kell A G J M Kell A G J M Kell A G A J West QM G MILITARY FUND 1893 Act 1892 For expenses member Advisory Board For expenses member Advisory Board For postage stamps For contingent expenses For postage stamps For expenses member Advisory Board 104 00 100 74 98 96 76 40 122 34 87 00 75 00 103 73 19 00 1712 2500 00 Balance undrawn October 1st 1892 For postage stamps For expenses Advisory Board For requisition for encampment For expenses Chicamauga encampment 12 00 84 15 3104 74 1948 64 5149 53 J M Kell A GEor expense three members Advisory Board 19 52 51 25 12 00 10 00 32 00 8 26 34 19 2500 00 2500 00 5149 53 5149 53 20000 00 O O SO o f a 3 so b m W o soTABLE No 3ContinuedMilitary Fund 1893 When Approved 1893 Apr 1 99 May June July Aug 1 1 3 5 13 13 3 3 3 10 21 22 23 1 1 7 12 15 17 21 25 26 28 31 1 1 Date of Warrant In Whose lravor Drawn 406 467 493 504 511 515 536 534 584 571 572 612 648 650 654 764 766 790 808 816 823 833 840 842 845 852 858JAug 8591 1893 Apr May June July 1 J M Kell A G 21 M B TorbettCo 28 J A Guinn 1 J M Kell A G 3J M Kell A G 5 J C Haskell 12 J H Jackson 12 0 B Satterlee 3 E R Maddox 1 N G Gewinner 1 J M Kell A G 10VV M Thomas Clerk 21 J M Kell A G 22 G W Harrison 23 A J West Q M G 1 J M Kell A G 1 E P Maddox 5 H J Lamar Sons 12 A J West Q M G 15 A J West Q M 17 A J West Q M 21 A J West Q 25 A J West Q 20 J 31 Kell A 28 A1 West Q 31 A J West Q 1 J M Kell A 1 E P Maddox M M G M M G G i G 03 For What Purpose Drawn Per contingent expenses For stationery for AdjutantGeneral For expenses member Advisory Board For contingent expenses For postage stamps For freight on guns For stationery for Advisory Board For stationery for office For services watchman Camp Northen For expenses member Advisory Board For contingent expenses For recording deed to Camp Northen For postage stamps For printing for AdjutantGeneral For repairing encampment For contingent expenses For services watchman Camp at Northen For medicines etc For sundry accounts For sundry accounts For transportation due Central Railroad Co For transportation etc For transportation etc For drayage For transportation etc For expense account For contingent expenses For services watchman Camp Northen Amount of Warrant Amount of Appropriation O 10 00 3 00 o 13 32 HJ 10 00 W 12 00 O M 3 30 2 05 fe 2 75 Q 21 50 8 00 10 00 3 4 20 H 12 00 W 129 60 400 00 rrj 10 00 w 21 50 Sf 100 00 M 153 10 O 691 14 449 62 a 2088 75 2482 88 2 15 5167 01 761 63 10 00 21 50 Aug Sept 5 863 10 885 14 889 22 903 30 922 1 930 1 931 11 945 23 962 23 970 25 971 27 977 30 986 30 985 Aug Sept 2 J 10 J 14 22 A 30 A 1 J 1 E 11 A 21 A 21 K 25 1 27 A 30 E 30 J F Brooks M Kell A G W Harrison J West Q M G J West Q M G M Kell A G P Maddox J West Q M G J West Q M i J Guinn M Kell A G J AVest Q M G P Maddox Al Kell A G For expenses member Advisory Board For postage stamps For printing for AdjutantGenerals office For sundry accounts For sundry accounts For contingent expenses For services watchman Camp Northen For sundry accounts For work done For expenses Chairman Examining Board For postage stamps For medical supplies For services watchman Camp Northen For contingent expenses Balance undrawn October 1st 1893 OATERPAYMENT OF TAXES 1892 1892 Nov 30 1146 Nov 30 J 1893 1893 Jan 10 114 Jan 9 J u 10 115 it 9 G u 20 145 ti 20 J u 25 161 t 25 11 11 31 164 u 30 W u 31 Hi5 u 30 I a 31 166 1 30 J Feb 174 Feb 2 W u 189 u 7 M u 8 191 8 W u 11 200 u 11 M n 16 213 u 16 J 11 16 207 u 15 M 1 16 214 u 16 F 16 215 16 Y J W Johnson T C P Hubert T C W Hendrick T C W Bridges T C J David T C AV Barren T C G Worrill T C C Alekerv T C T R Harrison T C C Camp T C O Adamson T C J Penland T C C Munday T C J Plemmons T C M Davis T C T S Lazenby T C For overpayment taxes Oconee county 1892 For overpayment taxes Warren county 1892 For overpayment taxes Pickens county 1892 For overpayment taxes Oglethorpe county 1892 For overpayment taxes Banks county 1892 For oveipayment taxes Jones county 1892 For overpayment taxes McDuffie county 1892 For overpayment taxes Hart county 1892 For overpayment taxes Clay county 1892 For overpayment taxes Rabun county 1892 For overpayment taxes Clayton county 1892 For overpayment taxes Union county 1892 For overpayment taxes Forsyth county 1892 For overpayment taxes Gilmer county 1892 For overpayment taxes iayette county 1892 For overpayment taxes Columbia county 1892 8 00 12 00 8 67 1640 51 141 31 10 00 21 50 162 50 46 75 2 25 12 00 6 65 21 50 10 00 5150 14 20000 00 20000 00 13 63 862 34 461 23 271 07 576 71 868 48 515 09 23 74 2 18 266 84 158 79 198 S3 11 60 057 42 326 64 015 85 o o w o ir1 53 6 50 o5 5d o 53 3TABLE No 3ContinuedOverpayment of Taxes When Approved Date of Warrant In Whose Favor Drawn For What Turpose Drawn April May 1893 Feb 28 28 28 28 Mch 11 11 14 16 17 17 25 7 14 22 22 22 22 24 29 1 8 li 1 19 1 228 232 233 234 250 252 253 261 262 266 275 273 274 305 421 458 473 470 469 468 477 490 491 520 531 543 544 545 1893 Feb Mch April 27 27 27 27 7 8 8 11 11 13 15 15 15 25 6 14 21 21 21 21 24 28 28 J H Twiggs T C H Sasser T 0 F F Martin T C S N Black T C I N Nash T C H N Freeman T C P W Kinsey T 0 S F Culpepper T C T G McCalla T C Simons Morgan N W Mutual Life Ins N V Wilson T O G W Carroll T C M S Cheshire T C CT Digby T C W D Rivers T C II L Loyd T C H C Baker T C Wilkins Keely Jones ILL Hardy S Blackman T C E D Blain Agt J T Pierce T C Co May 8 Richmond Danville R P Co 12 is 18 19 W T F Thomas T C J O P Collier T C Beckton Isler T C J D Jarrard T C Amount of Warrant Amount of Appropriation For overpayment taxes Fannin county 1892 For overpayment taxes Screven county 1892 For overpayment taxes Madison county 1892 For overpayment taxes White county 1892 For overpayment taxes DeKalb county 1892 For overpayment taxes Lincoln county 1892 For overpayment taxes Fchols county 1892 Fur overpayment taxes Meriwether county 1892 For overpayment taxes Catoosa county 1892 For overpayment taxes Ware county 1892 For overpayment agents tax 1893 For overpayment taxes Towns county 1892 For overpayment taxes Franklin county 1892 For overpayment taxes Colquitt county 1892 For overpaj ment taxes Spalding county 1892 For overpayment taxes Jefferson county 1892 For overpayment taxes Newton c mnty 1892 For overpayment taxes Berrien county 1892 For overpayment special taxes Burke county 1893 For overpayment taxes Walker county 1892 For overpayment taxes Harris county 1892 For overpayment taxes Glynn county 1892 For overpayment taxes Wilkinson county 1892 For overpayment taxes Hall county 1891 For overpayment taxes Paulding county 1892 For overpayment taxes Talbot county 1892 For overpayment taxes Calhoun county 1892 For overpayment taxes Lumpkin county 1892 1805 473 559 586 405 408 89 997 410 6 10 481 23 99 19 2 41 4 90 2 441 73 491 56 82 855 415 148 a o w o ft ft ft Q ft ft ft ft O w May June July 19 546 24 553 24 554 24 555 8 602 8 603 14 628 14 629 16 627 L6 632 19 644 23 652 23 653 30 665 11 802 14 810 May June July L9 24 24 24 8 8 14 14 14 16 It 23 23 28 10 14 J M Sanders T C T J Flynt T C J M Ward T C J 0 Head T C HambergBremen Ins Co W 1 Berry T C J N Akins T C James Clark T C L Z Johnson T C VV J OQuinn T C R U Hardeman Treasurer T C Odum T C J W Johnson T C L Crouch T C G C Hamilton Exr W W Fay T C For overpayment taxes Crawford county 1892 For overpayment taxes Taliaferro county 1892 For overpayment taxes Burke county 1892 For overpayment taxes Whitfield county 1892 For overpayment Insurance taxes 1893 For overpayment taxes Chattahoochee county 1892 For overpayment taxes Bulloch county 1892 For overpayment taxes Liberty county 1892 For overpayment taxes Coweta county 1892 For overpayment taxes Wayne county 1892 For error in Certificate in collecting from Bank of Americus For overpayment taxes Baker county 1892 For overpayment taxes Oconee county 1892 For overpayment taxes Terrell county 1892 For overpayment taxes Columbia county 1892 For overpayment taxes Taylor county 1892 PENITENTIARY FUND 1892 Oct Nov Dec 929 1062 928 1089 1108 1139 1145 115 1156 1163 1205 1210 1209 1892 Sept Oct Sept Nov Dec 30 18 30 3 8 28 30 3 2 7 28 29 29 B P Majors Chairman G H Jones C T Stovall Chairman Frank Joseph A D Lamotta J B McCalla Chairman M H Porter Frank Joseph H Andrews A Morrison Frank Joseph A Culbreath H D Stephens 601 57 1245 64 1654 70 308 19 9 90 287 78 565 56 82 70 103 00 124 02 21 27 889 14 2 14 5 00 27 10 698 10 25338 72 Balance undrawn October 1st 1892 For Hire Convicts for year ending April 1st 1893 For services as Committee Dade county camps For contingent expenses For services as Committee Dooly county camps For services as Chaplain Fulton county camps For services as Chaplain Fulton county camps For services as Committee Liberty county camps For services as Chaplain AValker county camps For services as Chaplain Fulton county camps For services as Chaplain Liberty county camps For services as Chaplain Elbert county camps For services as Chaplain Fulton county camps For services as Chaplain Oglethorpe county camps For services as Chaplain Dade county camps 54 00 17 28 12 00 18 00 3 00 36 00 39 00 12 00 72 00 27 00 12 00 75 00 42 00 25338 72 7637 85 25000 00 O o g fed o f It1 tel o to I1 fed H hi O fedTABLE No 3ContinuedPenitentiary Fund When Approved Date of Warrant In Whose Favor Drawn Feb 1892 Dec 30 301 1893 Jan 4 13 20 31 31 1 18 March 6 8 10 17 25 25 25 25 25 31 1 5 7 13 17 25 27 May 2 April Feb March 1892 1173Dec 1213 1893 101 Jan 94 144 168 171 172 219 249 254 277 276 299 300 301 302 303 315 409 410 424 447 461 478 487 508May A Samuel G II Jones April 4 G W Harrison 3jw Black 20 A Morrison SOT J Howard Chairman 31 G W Harrison 31 Frank Joseph 18 G W Harrison 6 Frank Joseph 8H H Porter 15 Albert Howell Chairman 151 B Dinkins Chairman 24 Wm Bailey 24 H I Stephens 24 A G Thorpe 24 A X Powell Chairman 241 P Heard Chairman 31 Frank Joseph 1 G H Jones 1 G W Sitton Chairman 6 J W Black 11 B R Holt Chairman 17 A Morrison 24 T A Jones Chairman 27 G W Harrison 2 Frank Joseph For What Purpose Drawn For services as Chaplain Ware county camps For contingent expenses For printing for Department For services as Chaplain Johnson county camps For services as Chaplain Elbert county camps I or services as Committee Oglethorpecounty camps 1 or printing for Department For services as Chaplain Fulton county camps I or printing for Department For services as Chaplain Fulton county camps For services as Chaplain Walker county camps For services as Committee Fulton county camps For services as Committee Walker county camps For services as Chaplain Poolv county camps For services as Chaplain Dade county camps For services as Chaplain Dodge county camps For services as Committee Dodge county camps For services as Committee Dooly county camps tor services as Chaplain Fulton county camps r or contingent expenses For services as Committee Dade county camps lor services as Chaplain Johnson county camps For services as Committee Wilcox county camps tor services as Chaplain Flbert county camps For services as Committee Elbert county camps Ior printing for Department For services as Chaplain Fulton county camps Amount of Warrant Amount of Appropriation 45 00 10 00 271 92 39 00 36 00 18 00 6 17 15 00 6 00 12 00 39 00 12 00 18 00 78 00 36 00 84 00 54 00 36 00 12 00 22 00 72 00 39 00 18 00 39 00 18 00 34 75 15 00 O O w o fc tl a i o da a I fa o wMay 30 541 u 30 556 June 1 566 a 2 576 it 2 574 a 6 597 u 10 608 it 12 622 u 20 671 July 3 784 u 791 u 10 785 10 798 Aug 4 868 u 31 927 u 31 926 Sept 1 932 6 937 11 947 H 22 964 u 22 965 It 26 974 26 973 i 26 976 30 981 30 987 1 30 988 May June July iug Sept 18 24 31 2 1 6 9 12 28 3 6 3 7 4 31 31 1 6 11 21 21 26 26 26 30 3d 30 W II Lowe Chairman W A Jones Chairman A Culbreath Frank Joseph II II Porter C J Martin Chairman J G Claugh Chairman G W Harrison Frank Joseph G II Jones A Morrison J W Black H D Stephens Frank Joseph H II Porter J C DeVotie Chairman Frank Joseph A Morrison G W Harrison A G Thorpe H D Stephens S D Thompson Chairman Jesse Phillips Chairman Frank Joseph J W Black Win Bailey C W Bawling Chairman For services as Commmitte Oglethorpe county camps For services as Committee Liberty county camps For services as Chaplain Oglethorpe county camps For services as Chaplain Fulton county camps For services as Chaplain Walker county camps For services as Committee Fulton county camps For services as Committee Ware county camps For printing for Department For services as Chaplain Fulton county camps For contingent expenses For services as Chaplain Elbert county camps For services as Chaplain Emanuel county camps For services as Chaplain Bade county camps For services as Chaplain Fulton county camps For services as Chaplain Walker county camps For services as Committee Walker county camps For services as Chaplain Fulton county camps For services as Chaplain Elbert county camps For printing for Department For services as Chaplain Dodge county camps For services as Chaplain Dade county camps For services as Committee Dooly county camps For services as Committee Dade county camps For services as Chaplain Fulton county camps For services as Chaplain Emanuel count camps For services as Chaplain Dooly county camps For services as Committee Dodge county camps Amount transferred from Civil Establishment Amount transferred from Special Account Amount transferred to Special Account Amount transferred to School Fund Balance undrawn October 1st 1893 18 00 36 00 54 00 12 00 39 00 15 00 18 00 3 25 12 00 14 60 39 00 39 00 42 00 15 00 39 00 36 00 12 00 27 00 22 45 78 00 33 00 36 00 72 00 12 00 39 00 78 00 36 00 5200 00 1000 00 1500 00 6025 48 6529 95 32637 85 O O H ft o t1 f o fa ft w ft H hj O ft h3 32637 85TABLE No 3ContinuedPenitentiary FundSpecial Account for Traveling Expenses 1892 When Approved o A Date of Warrant In Whose Favor Drawn For What Purpose Drawn Amount of Warrant 1892 1892 Oct 8 1034 Oct 7 Nov 10 1107 Nov 7 Wm 0Daniel R F Wright Balance undrawn October 1st 1892 For traveling expenses 3d quarter 1892 For traveling expenses 3d quarter 1892 PENITENTIARY FUNDSPECIAL ACCOUNT FOR TRAVELING EXPENSES 1893 1892 1892 Dec 30 1214 Dec 30 1893 1893 Jan 3 97 Jan 3 10 124 10 April 7 420 April 6 June 19 640 June 19 19 643 19 July 3 783 July 3 8 792 6 Sept 8 940 Sept 8 G H Jones WmO Daniel R F Wright Wm ODaniel R F Wright II Jones GH Jones Win ODaniel R F Wright Act 1892 For traveling expenses 4th quarter 1892 For traveling expenses 4th quarter 1892 For traveling expenses 4th quarter L892 For traveling expenses 1st quarter 1893 For traveling expenses 1st quarter 1893 For traveling expenses 1st quarter 1893 For traveling expenses 2d quarter 1893 For traveling expenses 2d quarter 1893 For traveling expenses 2d quarter 1893 Balance undrawn October 1st 1893 Amount of Appropriation 80 63 119 62 200 20 53 66 58 158 37 123 69 216 12 52 30 92 10 66 43 102 85 601 03 1500 00 200 25 200 25 1500 00 a o H 9 O F W i O W TJ O W H 1500 00PUBLIC DEBT 1893 Jan June Julv 10 117 10 610 15 630 16 631 20 646 3 779 1893 Jan 9 June 9 15 15 20 3 July A L Hull Treas University R U Hardeman Treas It U Hardeman Treas It U Hardeman Treas R U Hardeman Treas A L Hull Treas University Balance undrawn October 1st 1892 Act 1892 Sinking Fund 1892 For semiannual interest due University For interest paid For 51 bonds paid and canceled For coupons paid and returned For coupons paid and returned For coupons paid and returned For semiannual interest due University Balance undrawn October 1st 1893 41667 50 30500 OOf 9642 50 72167 50 43295 00 88620 00 56862 50 9642 50 179543 50 490938 50 368835 00 100000 00 O o g W o t1 t1 is t o a ft m a a a O PUBLIC BUILDING FUND 1892 1892 Oct 13 1064 Nov Hi 1124 Dec 14 1181 1893 Tan 23 153 1892 Oct 13 Nov 15 Dec 14 1893 Jan 23 J M Kell K P B G J M Kell K P B G J M Kell K P B G J M Kell K P B G Balance undrawn October 1st 1892 For current expenses For current expenses For current expenses For balance appropriation 1100 00 1350 00 1750 00 235 41 4435 41 4435 41 4435 41 PUBLIC BUILDING FUND 1893 1893 Tan 23 Feb 17 Vlch 13 Ipril 14 27 Hay Tune Tuly lug u jept 154 205 265 457 489 537 626 815 886 894 950 1893 Jan Feb Men April a May June July Aug u Sept M Kell K P M Kell K P M Kell K P M Kell K P W Harrison M Kell K P M Kell K P M Kell K P M Kell K P G Whitlock M Kell K B B G B G B G B G B G B G B G B G Co P G Act 1892 For current expenses For current expenses For current expenses For current expenses For printing for Department For current expenses For current expenses For current expenses For current expenses For 341 tons coal For current expenses Balance undrawn October 1st 1893 864 59 1600 00 2200 00 1300 00 18 65 1200 00 1750 00 1800 00 1350 00 930 65 1350 00 3636 11 18000 00 18000 00 18000 COTABLE No 3ContinuedPrinting Fund 1892 When Approved 1892 Den 17 17 Date of Warrant In Whose Favor Drawn 1185 1181 1802 Deo W Harrison W Harrison 189J Jan 4 100 a 31 169 Feb IS 217 If 21 222 Mch 11 264 i 20 282 April 27 486 June 12 620 July 17 820 a 17 810 Aug 7 871 Sept 11 946 1893 Jan a Feb it Mch t April June July Aug Sept 4 31 18 21 II 0 27 12 17 17 G ii w w w w w w vv YV w w w w Harrison Harrison Harrison Harrison Harrison Harrison I arrison Harrison Harrison Harrison Harrison Harrison For What Purpose Drawn Amount of Warrant Balance undrawn October 1st 1892 For printing done for State For printing done for Agricultural Department Amount reverted July 1st 1803 Amount of Appropriation 740 154 8P5 PRINTING FUND 1803 Act 1802 For printing done for State For printing done for State For printing done for State For printing done for State For printing House Journals For printing done for State For printing done fur State For printing done for State For printing done for State For printing Geological Report For printing done for State For printing done for State Balance undrawn October 1st 1893 2134 256 2028 920 882 2644 233 106 iO 1000 07 74 3643 895 2 895 27 15000 00 Q O W o f ft i o a H o 15000 00 15000 00PRINTING FUNDRAILROAD COMMISSION 1892 1892 Oct 6 1030 7 1043 11 8 1045 a 10 1055 Nov 3 1090 t t 9 1114 tl 17 1130 a 28 1136 it 30 1135 Dec 8 1161 1892 Oct Nov Dec 6 Athens Banner 7 Macon Telegraph 8 Morning News 10 Americus Times 3 Macon Telegraph 9 Augusta Chronicle 17 EnquirerSun 28 Rome Tribune 25 Albany News 8 G W Harrison Balance undrawn October 1st 1892 For publishing circulars 220 221 For publishing circular 4 For publishing circulars 4 218 to 222 For publishing circulars 4 218 to 220 For publishing circular 221 For publishing circulars 216 to 222 For publishing circulars 218 to 222 For publishing circulars 221 222 For publishing circulars 221 222 For printing reports 11 50 9 00 19 00 13 25 5 75 27 25 21 25 6 00 10 25 240 75 364 00 364 00 364 00 O o g hi w o tl W i Q H w a o PRINTING FUNDRAILROAD COMMISSION 1893 1893 Jan 9 111 ti 11 125 it 11 127 ti 13 130 u 20 148 Feb 23 224 March 1 237 a 25 306 April 432 tt 11 449 tt 466 June 16 635 July 10 789 u 11 799 f 20 827 Aug 8 873 1893 Jan Feb March u April June July Aug J P Harrison Co Macon Telegraph Times Recorder EnquirerSun Rome Tribune Athens Banner Morning News Augusta Chronicle Constitution Pub Co Morning News Rome Tribune EnquirerSun Rome Tribune Augusta Chronicle Morning News Rome Tribune Act 1892 For balance for printing reports For publishing circulars 222 to 224 For publishing circulars 221 to 224 For publishing circulars 5 223 224 For publishing circulars 5 223 224 For publishing circulars 5 221 to 224 For publishing circulars 5 221 to 224 For publishing circulars 5 223 to 225 For publishing circulars 4 to i and 218 to 224 For publishing circular 225 For publishing circulars 225 226 For publishing circulars 225 226 For publishing circular 227 For publishing circulate 226 227 For publishing circulars 225 to 227 For publishing circular 228 192 35 9 50 12 50 5 74 5 25 11 50 18 00 8 00 23 00 2 00 3 00 2 75 2 00 3 75 7 50 6 50 1000 00 When Approved TABLE No SContinuedPrinting Fund Railroad Commission 1893 Date of Warrant 1893 Aug Sept 14 890 14 888 1 900 24 904 9 942 26 975 1893 Aug In Whose Favor Drawn For What Purpose Drawn Amount of Warrant Amount of Appropriation Sept 14FkLHPldco ffiKf8circulars522410228 19 EnquirerSunFor publishing circulars 227228 24Athens Banner For publishing circulars 225 to 228 9fi r UrrrrlBOa CoFor Printing for Department 2Kome Tribune For publishing circulars 229 230 Balance undrawn October 1st 1893 SCHOOL FUND 1892 1893 1893 June 16 638 June 16 Sept 30 983 Sept 30 R C7 Hardeman Treasurer R U Hardeman Treasurer SCHOOL FUND 1893 1892 Oct Xov 1892 3 970 Oct 1 20 971 i1 12 1119 Xov 11 S D Bradwell For salary Commissioner 3d quarter 1892 uln For salary Clerk 3d quarter 1892 raciweiiFor expense account 3d quarter 1892 18 50 17 00 7 75 12 00 26 00 7 50 597 91 ooo ool 1000 00 Amount to be apportioned For drafts paid and returned For drafts paid and returned Balance undrawn October 1st 1893 941990 01 5011 70 4698 58 951700 29 1151700 29 951700 29 500 00i 300 00 90 00 Q O W O fl f ft w I ft ft qb W ft t c to1893 Jan 3 35 3 36 4 99 14 136 31 170 Feb 18 218 March 20 283 April 10 354 25 355 27 488 May 11 526 June 12 621 1893 i Jan Feb March April May June 2 4 14 31 18 20 1 1R 27 G 11 S 12 G D Brad wellFor salary Commissioner 4th quarter 1892 J GuinnFor salary Clerk 4th quarter 1892 W HarrisonFor printing for Department D BradwellFor expense account 4th quarter 1892 W HarrisonFor printing for Department V I lavrisonFor printing for Department W HarrisonFor printing for Department D BradwellFor salary Commissioner 1st quarter 1894 J Guinn For salary Clerk 1st quarter 1894 W HarrisonFor printing for Department D BradwellFor expense account 1st quarter 1894 W HarrisonFor printing for Department SCHOOL FUND 1894 1893 July Aug 5 7 Sept 11 1893 821 July 849 712 711 870 Aug 948 Sept G W HarrisonFor printing for Department S D BradwellFor expense account 2d quarter 1893 R J GuinnFor salary Clerk 2d quarter 1893 S D BradwellFor salary Commissioner 2d quarter 1893 G W HarrisonFor printing for Department G W HarrisonFor printing for Department 500 00 300 00 410 41 100 00 230 76 210 35 315 83 500 00 300 00 28 66 198 00 21 71 4005 72 4004 72 45 51 227 00 300 00 500 00 110 57 8 57 1191 65 1191 65 Q O W O o t H d O W H3TABLE No 3ContinuedSalary Chemist When Approved is o y Date of Warrant In Whose Favor Drawn For What Purpose Drawn 1892 ct 8 1054 Nov 3 1093 Dec 10 L170 1893 Jan 106 1892 ft 8 Nov Dec 10 1893 Jan 9 G F Payne i G F Payne G F Payne G F Payne Balance undrawn October 1st 1892 Act 1890 For salary Chemist September 1892 For salary Chemist October 1892 For salary Chemist November 1892 For salary Chemist December 1892 Balance undrawn October 1st 1893 SCHOOL FOR COLORED 1892 1893 Jan 10 121 1893 Jan A L Hull Treasurer Balance undrawn October 1st 1892 For balance of appropriation SCHOOL FOR COLORED 1893 1893 June 10 010 770 1893 June July 9 3 A L Hull Treasurer For a Julv 3 A 1 Hull Treasurer ct 1892 For amount requisition For amount requisition Balance undrawn October 1st 1893 Amount of Warrant Amount of Appropriation 250 00 250 00 250 00 250 00 2850 02 3850 02 850 02 3000 00 3850 02 000 00 2000 00 2000 00 2000 00 2000 00 2000 00 4000 00 8000 00 8000 00 8000 00 Q O ft o t1 O W ft as ft H O ft 3SOLICITORSGENERAL 1892 Oct Nov Dec 1893 Jan Feb 4 1026 4 1027 4 1028 1032 S 1052 il 1059 11 1061 20 1069 27 1070 28 1079 29 1081 0 1086 3 1087 3 1091 3 1095 9 1110 12 1120 18 1131 19 1132 25 1133 13 L176 31 1215 9 104 9 105 lu 113 16 134 16 135 18 142 20 143 20 151 30 163 6 188 8 192 9 193 11 2011 1892 c t Nov Dec 1893 Jan 3 3 3 6 8 11 11 24 24 28 oi 3 3 3 q 9 11 18 18 25 13 31 Feb 9 9 9 lii 16 1 2H 20 30 0 8 9 11 C B Hudson W J Nunnally A A Carson C I Hill A V Fite W W Fraeer W G Brantley L VV Thomas W H Felton Jr C B Hudson 1 Richardson C B Hudson W N Spence B I Evans B IX Evans G R Brown S Morris J S Candler B D Evans L W Thomas HG Lewis A A Carson S V Gilbert S P Gilbert H Thompson C B Hudson T A Atkinson H G Lewis C B Hudson C B Hudson R II Russell M VV Beck S 1 Gilbert W H Felton Jr L W Thomas For For For For For For For For For For For For For For For For For For For For For For For For For For For For For For For For For For For services services services services services services services services services services services services services services services services services services services services services services services services services services services services services services services services services services services insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent insolvent criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal criminal cases cases cases caes cases cases cases cases cases cases eases cases cases cases cases cases cases cases cases cases cases cases cases cases cases cases cases cases cases cases cases cases cases cases cases Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Supreme Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court Court 80 00 15 00 125 00 30 00 90 00 30 00 51 00 15 00 185 00 30 00 50 00 30 00 15 00 30 00 50 00 50 00 15 00 50 00 30 00 15 00 30 00 15 00 30 00 30 00 30 00 30 00 50 00 30 00 30 00 160 00 30 00 30 00 30 00 130 00 30 00 o o w o f1 f W i o o i3 ITABLE No 3Continued SolicitorsGeneral When Approver o S3 Dale of Warrant In Whose Favor Drawn 1893 Feb 11 K 17 21 March 9 9 9 For What Purpose Drawn April May June 141 13 24 27 1 I 18 22 31 31 2 2 5 6 6 8 10 12 202 Feb 204 1893 209 221 255 259 260 208 418 419 455 475 484 502 505 506 542 552 501 5001 572 580 587 589 596 604 01 i 618 11 15 15 21 March 9 9 14 6 0 13 24 27 1 April May June S P Gilbert J J Hunt W G Brantley W N Spence C B Hudson C D Hill T A Atkinson lor services insolvent criminal cases Supreme Court or services insolvent criminal cases Supreme Court For services insolvent criminal eases Supreme Court 1 or services insolvent criminal cases Supreme Court For services insolvent criminal cases Supreme Court tor services insolvent criminal cases Supreme Court P R r or servlces solvent criminal cases Supreme Court T V nloZ aor 8ervlces insolvent criminal cases Supreme Court PR VrfJ or servlces insolvent criminal cases Supreme Court v clsonor services insolvent criminal cases Supreme Court H inouas lor services insolvent criminal cases Supreme Court W H iwfG0r servces insolvent criminal cases Supreme Court W v vtJLJor servces insolvent criminal cases Supreme Court P r TTni nr 8emces insolvent criminal cases Supreme Court W FT vlu tor servces insolvent criminal cases Supreme Court W w rif r l0T services insolvent criminal cases Supreme Court w Ft ill0 r or services insolvent criminal cases Supreme Court lor services insolvent criminal cases Supreme Court For services insolvent criminal cases Supreme Court tor services insolvent criminal cases Supreme Court For services insolvent criminal cases Supreme Court For services insolvent criminal cases Supreme Court For services insolvent criminal cases Supreme Court For services insolvent criminal cases Supreme Court for services insolvent criminal cases Supreme Court For services insolvent criminal cases Supreme Court For services insolvent criminal cases Supreme Court lor services insolvent criminal cases Supreme Court w w 1 1 18 22 W JXunnallv 31 S P Gilbert 31 H Thompson 2 W W Fraser 2KB Russell 5 J S Candler 6 A W Kite 6R B Russell 8 J M Griggs 10C D Hill 12 H G Lewis Amount of Warrant Amount of Appropriation 30 00 15 001 65 OOl 80 00 50 00 170 00 15 00 15 00 43 00 00 00 15 00 30 00 80 00 100 00 30 00 200 00 30 00 30 00 30 00 30 00 50 00 30 00 50 00 30 00 50 00 30 00 60 00 130 00 Q o a 3 a c t1 fed O fed fed rr1 do a fed o wJune July 12 019 29 004 29 003 1 708 3 781 7 796 28 847 June July i2V G Brantley For services insolvent criminal cases Supreme Court 28 A W FiteFor services insolvent criminal cases Supreme Court 28 J S Candler For services insolvent criminal cases Supreme Court 1 J M Griggs 3 W J Nunnallv 7CD Hill 28 W N Spence For services insolvent criminal cases Supreme Court For services insolvent criminal cases Supreme Court For services insolvent criminal cases Supreme Court For services insolvent criminal cases Supreme Court SOLICITORSGENERAL IN UNITED STATES COURT Act 1883 For services transferred cases United States Court SCHOOL OF TECHNOLOGY 18112 Balance undrawn October 1st 1892 For balance appropriation SCHOOL OF TECHNOLOGY 1893 1893 Jan 4 89 April 0 410 July 3 774 1893 Jan 3 April 0 A L Hull Treasurer A L Hull Treasurer A L Hull Treasurer 50 00 50 00 80 09 50 00 50 00 50 00 80 00 3030 00 5025 00 5625 00 Act 1892 For requisition 1st quarter 1893 For requisition 2d quarter 1893 For requisition 3d quarter 1893 Balance undrawn October 1st 1893 5625 00 5625 00 5025 00 5625 00 22500 00 3630 00 15 00 5625 00 5625 00 22500 00 22500 00 O o K O f1 IT1 a o H w HWhen Approved o TABLE No 3ContinuedSupreme Court Reports 1893 Date of Warrant In Whose Favor Dr For What Purpose Drawn 3892 Dec 22j 119 1893 April 27 485 1892 Dec 22 1893 April 27 W Harrison G V Harrison Act 1892 For 1000 Vols 88th Georgia For 1000 Vols 89th Georgia Balance undrawn October 1st 1893 UNIVERSITY OF GEORGIA 1893 Jan 10 116 1893 Ian 9U L Hull Treasurer Act 1892 For amount appropriation UNIVERSITY OF GEORGIASALARY TRUSTEES 1892 1892 Dec 12 1174 1893 Feb 8 177 1892 Dec 10 1893 Feb 7 R U Hardernan Treas B P Hollis For expenses 15 members board For expenses 15 members Board Amount of Warrant Amount of Appropriation 3000 00 3000 00 3000 00 9000 00 8000 00 8000 00 9000 00 9000 00 8000 00 8000 00 c K H w o o H a da ft H hd o ft H9UNIVERSITY OF GEORGIASALARY TRUSTEES 1893 1893 July 31 855 Aug 26 914 1893 July 31 Aug 20 R U Hardeman Treas Act 1892 For expenses trustees June meeting 1893 R U Hardeman TreasFor expenses trustees June meeting 1S93 WIDOWS PENSIONS 1893 1893 June 19 042 Sept 30 984 1893 June 19 Sept 30 R U Hardeman Treas R U Hardeman Treas Act 1892 For 4030 pensions paid For 30 pensions paid Balance undrawn Oct 1st 1893 EXPERIMENTAL STATIONFOR SUPPORT 1892 No A 28 113 1892 Nov 28 R T Nesbitt Balance undrawn October 1st 1892 For balance appropriation EXPERIMENTAL STATIONSALARY DIRECTORS 1892 Nov 10 1117 1893 May 11 528 June 29 107 1892 Nov 10 1893 May 11 June 29 T B Park Jr J B Park Jr J B Park Jr Balance undrawn October 1st 1892 For expenses Board of Directors For expenses Board of Directors For expenses Board of Directors Amount reverted July 1st 1893 403 82 52 30 450 12 456 12 241800 00 1800 00 31400 00 275000 00 275000 00 2000 00 2000 00 o o B id 275000 00 W k Q H cc W hj O w h3 216 94 358 63 104 90 398 79 1079 26 2000 00 2000 00 1079 26 1079 26 When Approved TAttJSlfo 3WSPBcrAi APPBQPBiATiOKBGKQBaiA Normal ab Wtbial School 1892 s o Dae of Warrant In Whose Favor Drawn For What Purpose Drawn 1892 1892 Oct 7 1035 Oct 7 A L Hull Treasurer Balance undrawn October 1st 1892 tor balance appropriation GEORGIA NORMAL AND INDUSTRIAL SCHOOL 1893 1S93 Jan 17 13 Jan lii April 7 42S April 6 July 3 775 July 3 Act 1892 a i rLTrerl0r ainount requisition 1st quarter 1893 A L Hul Treea8ureerfc fT l 2 garter 188B ami ireasurerJl0r ainount requisition 3d quarter L893 Balance undrawn October 1st 1893 REPAIRING ROOF OF CAPITOL Balance undrawn October 1st 1892 WITNESSES W A R R COMMISSION Balance undrawn October 1st 1892 Amount of Warrant Amount of Appropriation 4500 00 4500 00 4500 001 4500 00 5725 01 5725 00 5725 00 5725 00 22900 00 900 00 22900 00 25 00 o hi to o M i Q fti ft b w W d o ft 10 00MAKING MAPS FOR SECRETARY OF STATES OFFICE 1892 Dec 1893 April May June July Sept 1177 482 539 649 771 939 967 1892 Dec 13 1893 April 25 May 18 June 22 Julv 3 Sept 8 U 1892 Nov 1893 Mch April 4 1098 4 1099 4 1100 4 1101 28 312 12 442 1892 Nov 4 4 4 4 1893 Mch 28 1892 Dec 14 1179 1892 Dec 14 J E Love B F Johnson B F Johnson B F Johnson B F Johnson B F Johnson B F Johnson B F Johnson NORMAL COLLEGE W H Baker L B Evans W E Boggs A J Battle S D Bradwell S D Bradwell J E LOVE Act 1892 For liquor tax refunded Balance undrawn October 1st 1892 For making maps For making maps For making maps For making maps For making maps For making maps For making maps Balance undrawn October 1st 1893 20 00 10 00 20 50 10 00 5 00 5 00 18 00 1 50 90 00 Res 1891 For expenses as Commissioner For expenses as Commissioner For expenses as Commissioner For expenses as Commissioner For expenses as Commissioner For expenses members Board 23 74 16 SO i 62 4 36 6 10 48 5 107 19 90 00 90 00 107 19 45 00 45 00 a o hj O ft ft ft Q ft ft ft ft O w 45 0 45 00 jWhen Approved Date of Warrant TABLE No SantinuedHvEviAL AppbopeiationsC E Gilbert Tbeasueeb In Whose Favor Drawn 1892 Dec 15 1182 For What Purpose Drawn 1892 Dec 15 C E Gilbert Treasurer Act 1892 For taxes refunded Houston county CITY OF ATLANTA 1892 Dec 23 1193 1S92 Dec 23 C K Maddox T C Act 1892 For paving in front of Mansion STATIONERY FOR GENERAL ASSEMBLY 1892 Dec 23 1194 24 1201 Dec 23 Holies BrucknerF0r stationery 24 J P Harrison CoFor stationery Balance undrawn October 1st IS93 Amount of Warrant Amount of Appropriation 171 19 657 11 657 11 144 35 371 00 184 65 700 00 171 19 171 19 171 19 657 11 657 11 700 00 700 00 o H O fi r Q r Si to GO o STENOGRAPHER FOR ATTORNEYGENERAL 1892 1892 Dec 23 1195 Dec 23 1893 1893 Jan 17 139 Jan 17 W A Little AttorneyGen H II Revill Act 1892 12500 for 1891 60000 for 1892 For amount paid Stenographer For services Stenographer Nov and Dec 1892 Amount reverted July 1st 1893 623 34 725 00 100 00 1 60 725 00 725 00 o o K H o Q w b m W o H3 CONTINGENT EXPENSES HOUSE OF REPRESENTATIVES 1892 198 1892 Dec 23 M A Hardin Clerk Act 1892 85 00 85 00 Dec 23 For contingent expenses Session 1892 85 00 85 00 CONTINGENT EXPENSES SENATE 1813 Jan 3 91 1893 Jan 3 W A Harris Secretary Act 1892 For contingent expensesSession 1892 50 00 50 00 50 00 50 00 STENOGRAPHER GOBER INVESTIGATION 1892 Dec 24 1199 1892 Dec 24 C B Conyers Act 1892 For stenographic work 425 00 425 00 425 00 425 00When Approved o 55 TABLE No 3 Continued Special AppropriationsClerk Bank Examiner Bate of Warrant In Whose Favor Drawn For What Purpose Drawn 1892 Dec 24 1202 1892 Dec 24 W J Speer Act 1892 For salary Clerk Rank Examiner 1892 C C WHEELER Act 189 Wheeler por iillor tax refunded Walkercounty SERGEANT AT ARMSGOBER INVESTIGATION 1892 Dec 29 1208 1892 Dec 29 R C Mizell Act 1892 For services as Sergeant at Arms P H SNOOK SON 1892 Dec 31 1216 1892 Dec 31 P H Snook Son Act 1892 For furniture for Senate Committee rooms Amount of Warrant Amount of Appropriaiion 1200 00 1200 00 33 33 84 00 84 00 42 67 42 o 1200 00 1200 00 33 33 33 331 33 33 O O B n Ha w o tl t1 i o ft W tr1 65 84 00 J O W h3 84 00 42 67 42 67LIQUOR TAX REFUNDED 1893 Jan 3 3 3 86 87 88 1893 Jan 3 0 B Smith 3 T M Wilson 3J H Rhinehart Res No 7Session 1892 For liquor tax refunded For liquor tax refunded For liquor tax refunded DRAPING SENATOR JONES DESK DEFICIENCY DEAF AND DUMB INSTITUTE 33 33 33 33 33 33 99 99 99 99 1893 90 119 1893 Jan 3 9 V A Harris Secretary W A Harris Secretary 26 00 6 00 32 00 Jan 3 9 For balance appropriation 32 00 32 00 1893 95 1893 Jan 3D W Simmons Treasurer Act 1892 Jan 3 For amount appropriation 1896 15 1896 15 1896 15 1896 15 O O K H O f1 H S i o H EO td a t o w RESTORING SCHOOL OF TECHNOLOGY 1893 98 1893 Jan 4 Act 1892 20000 00 20000 00 Jan 4 For amount appropriation 20000 00 20000 00 TABLE No 3 ContinuedSpecial AppropriationsLessees W A K R When Approved IS o y Date of Warrant In Whose Favor Drawn For What Purpose Drawn 1883 Jan 4 102 1893 Jan 4 Joseph E Brown and E B Stahlman Keceivers Act 1891 For award of Commissioners to lessees of W A R R Amount of Warrant Amount of Appropriation 99644 04 99644 04 CONFEDERATE WIDOWS 1893 Jan 24 157 1893 Jan 24 R U Hardeman Treasurer Res 1892 For vouchers 39 widows INDEXING JOURNALS 1893 Fan 25 i Res 1892 J T TaylorFor indexing Senate and House Journals Session 1892 3900 00 150 00 150 00 99644 04 99644 04 IMPROVING GROUNDS GEORGIA NORMAL AND INDUSTRIAL SCHOOL 1893 1893 120 Jan 10 Act 1892 1000 00 1000 00 Jan 10 1000 00 1000 00 3900 00 3900 001 3900 00 o g hi o t1 tr1 a i o t1 65 W fei d o w 150 00 150 00FURNISHING GEORGIA NORMAL AND INDUSTRIAL SCHOOL 1893 Feb 190 1893 Feb 7 A L Hull Treasurer 1893 Feb 18 1893 1893 Har 16 279 Mar 15 16 278 15 21 286 20 ipril 11 445 April 11 11 446 11 12 454 12 27 47J 211 Tune 3 573 June 1 luly 20 829 July 20 Act 1889 For amount appropriation T J BUTLER Resolution No 11Session 1892 For special tax refunded REPAIRING LUNATIC ASYLUM A J Carr Treasurer A J Carr Treasurer A J Carr Treasurer A J Carr Treasurer A J Carr Treasurer A J Carr Treasurer A J Carr Treasurer A J Carr Treasurer A J Carr Treasurer 11666 66 Act 1892 For building fire wall For enlarging laundry For Assistant Physicians cottage For balance on laundry For Amusement Hall For Physicians cottage For fire walls For Amusement Hall For Amusement Hall 600 00 750 00 750 00 750 00 1000 00 750 00 600 00 4500 00 5000 00 14700 00 11666 66 11666 66 11666 66 14700 00 O o H S o ti M a i o H a tin a H d O a i3 14700 00TABLE No 3ContinuedSpecial AppropriationsRepairing Executive Mansion When Approved 1893 Mar 25 u 29 April 1 8 it 12 u 15 1 17 n 22 May 9 u 10 u 20 June 5 u 10 11 23 u 27 u 29 Inly 1 a 1 u u 3 n 15 u 22 Aug 18 a 29 Date of Warrant In Whose Favor Drawn 1893 Mar April May June 304 313 413 436 453 460 463 474 523 524 551 586 615 6511 662i 672 763July 717 769 780 817 835 899 Aug 920 Aug 21 1 8 12 15 17 22 9 10 20 5 10 23 24 20 1 1 3 3 15 15 is 2 I Hunnicutt Bellingrath W HFelker W H Felker Moncrief Co JC Blackburn Moncrief Co J A Fischer Moncrief Co Wingate Mell Moncrief Co C 0 Sberidan C O Sberidan C O Sheridan CO Sheridan May Mantel Co Gate City Electric Co Ff W Yarbrougb 0 o Sheridan J M High Co M Rich it Bro C O Sheridan CO Sheridan M Rich Bro Chamberlin Johnson Co For What Purpose Drawn Act 1892 For plumbing etc For work For work For painting For repairing chimney For painting For wood work For painting For repairing For balance painting For frescoing For frescoing For frescoing For frescoing For mantels and tiling Ior lighting Mansion For moulding For frescoing lor carpets and drapery For furniture For work For balance frescoing For furniture For carpets etc Balance undrawn October 1st 1893 Amount of Warrant Amount of Appropriation 157 25 15 00 76 50 100 00 20 00 100 00 53 50 100 00 68 97 300 00 150 00 150 00 150 00 300 00 155 41 I Hi 70 26 25 400 00 790 00 475 00 100 00 180 00 240 00 107 47 117 95 4500 00 a o H w o ft ft ft T Q ft Sj H W ft a o 4500 00 4500 00BRANCH COLLEGE AT DAHLONEGA 1893 1893 April 7 427 April 6 July 3 777 July 3 A L Hull Treasurer A L Hull Treasurer Act 1S92 For requisition 1st quarter 1893 For requisition 2d quarter 1893 Balance undrawn October 1st 1893 REPAIRING AND KEFFKN1SHING DEAF AND DUMB INSTITUTE EXPENSES GOBER INVESTIGATING COMMITTEE ENGRAVING AND PRINTING BONDS 750 00 750 00 1500 00 3000 00 3000 00 3000 00 1893 439 611 881 1893 April 11 June 10 Aug 9 D W Simmons Treasurer D W Simmons Treasurer D W Simmons Treasurer Act 1892 1000 00 2200 00 2300 00 5500 00 April 11 For furniture June 10 For dormitory Aug Balance appropriation 5500 00 5500 00 1893 564 1893 May 31 R U Hardeman Treasurer Res 1892 392 64 May 31 For fees and mileage of witnesses 1 392 64 392 64 1893 562 1893 May 31 R U Hardeman Treasurer Act 1892 975 47 975 47 May 31 For engraving and printing bonds 975 47 975 47 Q O S o t1 k i o H lz M do W O a When Approved o TABLE No 3 Continued Special AppropriationsRepairing Academy for the Blind Date of Warrant In Whose Favor Drawn 1893 1893 July 15 813 July 14 H L Jewett Treasurer For What Purpose Drawn Amount of Warrant Amount of Appropriation Act 1892 For amount requisition Balance undrawn October 1st 1893 1000 00 3000 00 4000 00 4000 00 4000 00 Q O g i3 w o f Q tei tz H dS fed H hd O W h3COMPTROLLERGENERALS REPORT 87 TABLE No 4 Showing in consolidated form the aggregate value of whole property in Georgia returned for taxation for years 1892 and 1893 and show ing increase and decrease in values of each species of property and total decrease for 1893 CLASSIFICATION OF PROPERTY VALUE 1892 VALUE 1893 INCREASE DECREASE 131736918 5457602 121683113 14980264 851505 18046680 39728365 20452835 1080351 7746594 11025778 1578437 297823 16257394 1500111 27462886 6125555 1782994 8652198 944106 40652266 1951759 126806296 4407751 122540587 14310178 533243 2044936 36782066 20132510 1091852 6345497 12062767 1574918 270730 16291708 1487118 27386992 5673809 1501206 8469388 931201 39948938 2051216 4930622 1049851 Wild lands 857474 670086 318262 Gas and Electric Light Cos Building and Loan Associations 240256 2946299 320325 11501 1401097 1036989 3519 27093 34314 Watches jewelry etc 12993 75894 451746 281788 182810 Other property not enumerated Defaulters property single 12905 703328 99457 463753534 452644907 2279991 13388618 Value whole property 1892463753534 Value whole property 1893 452644907 Decrea4efor 1893 11108627COMPTROLLERGENERALS REPORT TABLE N O 5 Showing in consolidated form the Polls of White and Colored Polls of Defaulters and the Professions etc for 1892 and 1893 with the increase and decrease POLLS AND PROFESSIONS Polls of Whites Polls of Colored Polls of Defaulters Lawyers Doctors Dentists Loan Agents or Firms Presidents E R Cos Banks etc Superintendents R E Cos Presidents Express Gos etc Defaulting Professions TABLE No 6 Classification of the Valid Interesthearing Bonds of the State of Georgia rate per cent each Series Bears when interest is due and total amount to be paid during fiscal year 1894 DESCRIPTION OF BONDS Amount of Bonds Rates of Interest January Interest Bonds issued under Act 1876 and due 1896 Bonds issued under Act 1884 and due 1915 Bonds issued under Act 1887 and due 100000 each year from 1898 Bonds issued under Act 1889 and due 100000 each year from 1917 Bonds issued under Act 1891 and due 1922 Obligations due State University and issued under Act 1881 Total 542000 00 3392000 00 1900000 00 1833000 00 207001 00 275500 00 149500 00 7 per cent 41 per cent 41 per cent per cent 4J per cent 7 per cent 18 970 00 70320 00 42750 00 32077 50 465750 9642 50 184417 50 July Interest Total Interest 18970 00 70320 00 42750 00 32077 50 4657 50 9642 50 184417 50 37940 00 152640 00 85500 00 64155 00 9315 00 19285 00 368835 00 C o K O W i Q m O w 390 COMPTROLLERGENERALS REPORT i TABLE No 7 Showing the Assets of the State of Georgia DESCRIPTION No of Shares and Bonds Co Georgia Railroad and Bankin stock Southern and Atlantic Telegraph stock indorsed by Western Union Telegraph Co Western and Atlantic Railroad Public Buildings Milledgeville and Atlanta Value of n TT each Share lotal alue 186 440 135 00 25110 8000 Not estimated Not estimatedCOMPTROLLERGENERALS REPORT 91 TABLE No 8 Showing Amount Per Diem and Mileage Paid each Senator for Session of General Assembly 1892 1 2 3 4 5 6 7 8 9 10 11 12 13 14 L5 16 17 18 19 20 21 22 23 24 26 26 27 28 29 30 1 32 34 35 36 37 38 39 40 41 4 43 44 NAME OF SENATOR H G Wright W A Wilcox E M Crawford J S Russell F B Simians E L Moore W 8 Humphries J H Scaife JT W Fleming jReuben Jones W E Woo ten Clarence Wilson W W Fitzgerald Wm A Wilson J J Dennard T J Smith A F Daley G S Johnston C A Robbe J L Smith W C Mathews F Chambers J S Pope S S Monk S B Hatcher A P Persons A 0 Blalock E F Edwards H A Jenkins M P Reese J P Gholston Louis Davis W A Reaves J K Thompson C W Smith 4 S Clay M B Pinson P H Whitaker B F Wright J M McAfee T A Robinson W D Smith Felix Corput E W Rembert A T Hackett Per Diem Mileage Expense Committee 196 00 190 00 196 00 196 00 196 00 196 00 196 00 196 00 56 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 216 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 34 00 196 00 196 00 196 00 196 00 196 00 196 00 216 00 196 00 196 00 54 00 65 60 54 60 64 64 00 50 80 59 00 47 00 50 00 42 50 42 00 48 00 46 80 38 80 33 00 40 00 35 00 49 40 34 20 23 00 32 00 27 20 10 20 32 60 24 60 33 60 5 00 8 20 21 20 20 10 17 60 18 60 16 00 18 00 60 4 00 7 80 15 00 13 00 9 00 20 00 22 20 17 60 22 50 23 60 8867 00 1391 40 410 32 S 10668 72 Total Pay 3 50 25 00 10 00 20 00 10 00 20 00 10 00 16 00 25 00 20 00 20 00 10 00 5 00 20 00 21 00 22 00 22 50 11 50 10 00 25 00 25 00 25 00 10 00 S 250 00 265 10 275 60 270 80 280 00 256 80 255 00 263 00 106 00 241 20 238 00 244 00 252 80 250 80 254 00 256 00 231 00 252 40 235 02 228 00 231 11 223 20 206 20 248 60 220 60 249 60 211 00 204 20 222 20 222 10 213 60 234 60 233 00 230 00 196 60 347 00 226 30 211 00 220 50 215 00 241 00 243 20 2 60 243 50 229 60 92 COMPTROLLERGENERALS REPORT TABLE No Continued Showing Per Diem and Mileage Paid Attaches of Senate Session of General Assembly 1892 POSITION Secretary of Senate Doorkeeper of Senate Messenger of Senate Chaplain of Senate Callerykeeper of Senate Doorkeeper of Senate Doorkeeper of Senate Callerykeeper of Senate Asst Doorkeeper of Sen Asst Doorkeeper of Sen Page of Senate Page of Senate Page of Senate Page of Senate Page of Senate Page of Senate Porter of Senate Porter of Senate Porter of Senate Porter of Senate Porter of Senate Porter of Senate Porter of Senate Porter of Senate Porter of Senate Porter of Senate NAME Per Diem Mileage W A Harris R E Wilson 0 T Paulk John Jones John Speer J F Murphy J F Peyton W H Cooley M D Hughes J N Coggins Cliff Reed Hilsinan Walters Gus Turner Henry Harris T A Baldwin Paul Stewart Wm irwin Bentley Jones H Russell Howard Fair Thos N Massey Jeff Harris Wm Heard W B Williams Peter McMichael H Williams 3240 00 196 00 196 00 100 00 196 00 19li 00 196 00 196 00 196 00 196 00 65 33 65 33 65 33 65 33 65 33 65 33 98 in 98 00 98 00 98 00 98 00 98 no 100 00 98 00 104 00 98 00 6287 98 Total Pay 23 20 47 60 70 3240 00 219 20 24 60 100 00 196 00 196 00 196 00 196 00 196 00 196 00 65 33 65 33 65 33 65 33 65 05 33 98 00 98 On 98 00 98 00 98 00 98 00 100 00 98 00 104 00 98 00 6358 78COMPTROLLERGENERALS REPORT 93 TABLE No 8 Continued Showing Amount of Per Diem and Mileage Paid Each Member of House of Representatives for Session of General Assembly 1892 COUNTIES REPRESENTATIVES ApplingIE D Graham Baker E L Hudson BaldwinJ D Howard Banks R A Wynn BartowJ M Neel BartowJ M Veach Berrien H II Knight Bibb Kobt Hodge Bibb A O Bacon BibbJ T Boifeuillet Brooks A V Simmes Bryan W H Strickland Bulloch D L Kennedy Burke J B Heath BurkeJ L Fulcher BurkeJ L Brinson Butts T J Dempsey OalhounJ L Boynton Camden Anthony Wilson Campbell J L Latham Carroll J C McGarrity Carrol J A Aycock CatoosaC M Gray CharltonJas Thompson Chatham W AV Osborne Chatham J J Doolan Chatham K D Guerrard Chattachee F M Gordy Ohattooga J W Gain CherokeeC S Steele Clarke W J Morton ClayJ D Kambo Clayton W T Kimsey Clinch R B Johnson CobbIE Mozlely Cobb Coffee Columbia Colquitt Coweta Coweta Crawford Dade Dawson Decatur Decatur DeKalb DeKalb Dodge Dooly S R Cochran Jeff Wilcox Mel Branch J B Norman W W Thomas W Y Atkinson S R Harrison G AV M Tatum W H Burt G W Kendrick G M Jones John Nunnally J B Steward W AV Ashburn J D Pate DoolyJR H Pate DoughertyE R Jones DouglasJ G Camp EarlyJ P Lane Echols G Stalvey Effingham J B Keiffer Fer Diem Mileage 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 L96 0 19ti 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 378 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 Ota 39 60 5340 27 00 15 40 9 60 14 00 50 00 20 60 17 4o 20 00 54 00 64 60 51 00 51 20 47 40 50 40 9 20 50 00 72 00 5 60 14 60 10 00 24 40 64 80 58 80 58 80 58 80 28 40 24 00 9 00 14 60 48 00 4 20 65 60 4 00 3 00 55 80 30 00 46 00 9 40 8 00 17 00 31 60 15 20 63 00 57 80 4 80 1 20 30 00 35 60 29 40 42 00 5 40 54 40 60 SO 54 40 Total Pay 7 00 10 00 10 00 6 50 10 00 10 00 10 00 10 00 3 50 3 00 25 00 2 00 20 00 20 00 10 00 25 00 21 00 10 00 10 00 10 00 10 00 10 00 4 05 4 00 10 00 1 75 8 00 6 80 35 00 6 00 10 00 25 92 16 00 25 00 19 00 30 00 11 60 242 60 259 40 233 00 217 90 205 60 210 90 256 00 216 i0 213 40 216 60 260 00 270 0 257 00 250 70 246 40 271 40 207 20 266 00 288 00 211 60 235 60 200 00 241 40 260 80 254 80 254 80 254 80 234 40 230 00 215 00 210 64 244 00 200 20 27l 60 200 00 209 00 255 85 230 00 252 00 207 15 386 00 221 00 231 40 246 20 265 00 253 80 210 80 223 12 226 00 247 60 250 40 238 00 220 40 280 40 256 80 262 00 94 COMPTROLLERGENERALS REPORT TABLE No 8Continued COUNTIES REPRESENTATIVES ElbertIDP Bell EraanueliL A McLemore Fannin Fayette Floyd Floyd Floyd Forsyth Franklin G M Dickey J M Bridges E P Price W C Bryan W J Neel W J Pirkle J F Holbrook FultonPorter King FultonE W Martin FultonHarvey Johnson GilmerJulius Pickett GlascockJWm Walden GlynnM L Mershon GordonW R Rankin GreeneW J Howell Greene W R McWhorter GwinnettW T Smith GwinnettL F McDonald HabershamjM T Perkins HallH W J Ham HallJ L Gaines HancockJ A Waller HancockJulian West HaralsonJ M McBride HarrisI H Booker Harris W I Hudson Hart S V Brown Heard W J Davis HenryE J Reagan JloustoniE L Dennard Houston C Pearce Irwin J B Paulk Jackson W T Thurman Jackson W I Pike JasperJ T Goodman Jefferson Win Little Jefferson F A Sinquefield Johnson L L Deal onesG W F McKay LaurensT H Rowe LeeJ G Ferguson LibertyW II Styles LincolnJ R Hogan Lowndes W S West Lnmpkin W A Charters Macon W II Felton MadisonJ N B Thompson Marion W B Short McDuftieJ H Boyd Mclntosh C II Hopkins MeriwetherH W Hill Meriwether R D Render MillerB F Harrell MiltonT L Lewis Mitchell R II Cochran Monroe W A Worsham Mlroe0 II B Bloodworth Moiitgomrv A L Adams Per Diem S 196 00 196 00 196 00 196 00 196 00 196 00 196 0 196 00 196 00 196 00 196 00 196 00 196 00 195 00 196 00 196 00 196 00 196 01 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 196 00 196 00 196 00 196 00 196 00 100 00 196 00 106 00 196 00 190 00 196 00 196 00 100 00 106 00 196 00 106 00 100 00 196 00 100 00 106 100 00 196 00 196 00 196 00 106 00 196 00 106 00 196 00 106 00 106 00 106 00 106 00 196 00 100 00 Mileage a a B CJ o X H 20 00 45 00 22 40 12 00 15 00 16 66 15 60 9 00 22 80 20 20 37 40 58 00 15 80 22 00 20 00 7 40 6 80 17 20 10 iO 9 80 30 00 33 00 12 80 31 80 30 00 29 60 10 20 5 60 2S 00 29 00 45 00 17 40 15 20 12 50 30 60 39 iO 35 00 22 60 30 20 42 SO 67 00 31 oo 49 00 15 I ill 28 00 IS 00 31 80 28 40 67 00 10 00 15 40 62 20 6 00 48 00 17 20 15 io 42 00 20 00 14 00 25 00 10 001 2 651 12 25 Total Pay 00 14 00 25 00 21 00 35 00 25 00 10 00 25 00 16 4 11 00 16 00 10 00 35 00 8 00 25 00 10 00 3 00 25 00 20 00 10 00 20 00 10 00 10 00 10 00 10 00 4 50 35 00 216 00 261 00 232 40 233 00 221 00 215 25 223 85 205 00 226 80 196 00 106 00 196 00 230 20 233 40 254 00 211 80 243 00 216 00 20 40 202 80 213 20 206 60 226 80 261 00 254 00 208 80 237 80 226 00 250 00 231 62 201 60 224 00 2S6 00 257 00 223 40 211 20 243 50 243 60 235 00 256 00 228 60 235 20 241 80 288 00 247 00 245 00 211 60 224 00 214 00 227 80 234 40 253 00 212 00 2i 41 268 20 212 00 254 00 223 20 215 70 273 00COMPTROLLERGENERALS REPORT TABLE No 8Continued 9 COUNTIES REPRESENTATIVES Per Diem Morgan Muscogee Muscogee Murray Newton Oconee Oglethorpe Oglethorpe Paulding Pickens Pierce Pike Polk Pulaski Pulaski Putnam Quitman Rabun Randolph Richmond Richmond Richmond Rockdale Schley Sereven Spalding Stewart Sumter Sumter Talbot Taliaferro Tattnall Taylor Teifair Terrell Thomas Thomas Towns Trsup Troup Twiggs Tnion Upson Walker Walton Walton Ware Warren Washington Washington Wayne Webster White Whitfield Wilcox Wilkes Wilkes Wilkinson Worth E U Thomason C E Battle J H Worrill A K Ramsey J H Richards R L Durham C A Stevens Jas McWhorter O T Morris W MJones E L Walker J HMitchell A D Hogg M T Hodge D HHenley J 0 Turner Wm Harrison J M Massengale D R Stewart Brvan Gumming jMV Calvin JW H Fleming J A Stewart T GHudson C Overstreet Jno I Hall S 0 Walton Wright Brady Geo Stapleton T R Lumsden R T Kendrick Peter Clifton Hugh Neisler N 1 Smith W C Kendrick J L Hall S A Roddenberry M V England R A S Freeman W S Herndon W J Harrison E W Butt J Y Allen J B Wheeler A J Arnold M F Hurst L A Wilson J H Hall J A Smith W T Askew 7 W Bennett W M Sears A M Dean Paul Trammell D F McCrimmon Ed Y Hill L W Latimer J P Bloodworth J M Sunnier 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 liiti 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 1H 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 190 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 196 00 190 00 196 00 Mileage u O CO X 34482 00 13 40 24 60 24 60 24 00 10 20 18 40 24 00 24 00 7 00 16 00 62 20 10 00 13 00 30 00 32 00 22 00 48 60 23 40 24 00 34 20 34 20 34 20 6 20 36 00 48 80 8 60 43 60 37 60 34 80 37 00 23 60 46 00 30 60 35 80 40 00 53 60 57 00 23 40 17 40 11 60 25 00 28 00 15 80 26 60 12 40 10 40 56 00 24 20 34 00 34 80 48 00 40 20 14 60 20 00 40 80 26 20 29 20 24 00 47 80 20 00 25 00 30 00 20 00 10 00 16 00 10 00 16 00 10 00 35 00 25 00 1 85 31 00 25 00 13 00 12 50 10 00 8 00 Total Pay 25 00 10 00 15 00 15 00 10 00 25 00 24 00 4 50 20 00 00 15 00 25 00 10 00 10 00 5078 70 1531 79 41092 49 229 40 520 60 220 60 245 00 236 20 214 40 220 U0 240 00 203 00 222 00 264 20 206 00 209 00 236 00 244 00 228 00 244 60 254 40 245 00 232 05 230 20 230 20 233 20 257 00 257 80 204 60 252 10 233 60 240 80 241 00 219 60 267 00 236 60 246 80 251 00 249 60 253 00 229 40 213 40 207 60 246 00 248 00 216 30 242 60 208 40 209 40 252 00 220 20 230 00 230 80 244 00 236 20 210 60 231 00 261 80 222 2D 235 20 220 00 253 80 COMPTROLLERENERALS REPORT TABLE No 8 Continued Showing Per Diem and Mileage Paid Attaches of House of Representa tives Session of General Assembly 1892 NAME M A HardenIClerk R J WilsonDoorkeeper wnS fartin Asst Doorkeeper WC Allen Asst Doorkeeper w adles Asst Doorkeeper Finley Asst Doorkeeper LeeCoggins Gallerykeeper ivb ownGallervkeeper JR Smith Messenger Miss Eva Handle Postmistress andJ6 Humphries R A LakesChaplain VoddardPorter AVR GrayJporter JJoek Corngan Porter w MeriwetherPorter Judge WilliamsPorter T T Butler Porter avidJynePorter A A Blake Porter Daniel WrightPorter R HeardPorter Eugene Turner Page Clifford MeLeodPage Ray NewmanPage James DupreeIPae Elgin Stewart lpaKe Eddie Ferguson pace Jam es White pae 780 00 196 00 196 00 196 00 19H oo 196 00 L96 oo 196 00 L96 00 196 00 100 00 98 00 98 00 98 00 98 oo 98 00 98 00 98 00 98 00 98 00 98 00 98 00 98 10 98 OO 98 OO 98 00 98 00 98 00 34 20 59 20 44 60 780 00 230 20 196 00 196 00 196 00 196 00 196 00 196 00 255 20 240 60 100 00 98 00 98 00 98 00 98 00 98 III 98 00 98 00 98 00 98 00 98 00 98 00 98 00 98 00 9S 00 98 00 98 00 98 00 Ifc ICOMPTROLLERGENERALS REPORT 97 TABLE No 8Continued Summary Showing Aggregate PayKoll of General Assembly Session 1892 FOR WHAT PURPOSE Per Diem Mileage Expenses of Committeeman Total Pay Pay of Members of Senate Pay of Members of House Pay of Attaches of Senate 8867 00 34482 00 6287 98 7310 00 1391 40 5078 70 70 80 138 00 S 410 32 1531 79 10668 72 41092 49 6358 78 7448 00 Pay of Attaches of House Total PayRoll 56946 98 6678 90 1942 11 65567 99 TABLE No 9 Showing the Polls of White and Colored Polls of Defaulters Aggregate Polls for 1892 and 1893 Lawyers Doctors and Dentists and Defaulting Professions and School Population and School Fund for 1893 COUNTIES Polls of White and Colored to O ci o Ph Aggregate Polls u U O O P S C P a an a 03 O GO 0 0 Ph3 rS is 0 So go SB a 0 2 P 3 0 0 A 0 CO 0 a 3 0 0 0 MS 3 00 White Colored 1892 1893 O Qi cS 1149 270 685 1195 2122 1726 3713 1016 475 1723 1094 939 372 371 1011 3126 794 420 6418 325 1591 2073 1193 504 948 83S 522 604 782 264 447 057 3208 1026 390 1105 2604 645 711 644 466 460 56 217 1568 503 306 158 801 640 531 7 23 74 31 66 300 25 41 420 1 2 116 1744 778 1519 1402 2816 2585 6798 2099 871 2659 3677 1545 1055 971 1496 3462 857 530 7457 802 1813 2228 2403 1073 366 1 731 1678 874 1467 1482 2043 2414 6921 2042 931 2828 3698 1884 1083 1040 1518 4006 851 637 7986 830 1897 2281 2110 1144 1379 1 JSd i 1 9 5 18 7 70 10 3 9 15 6 5 1 9 22 3 7 5 18 8 29 16 41 13 5 17 30 13 10 4 15 37 4 2 54 5 20 19 20 9 13 A 2 3 1 2 4 11 3 3 7 3 2 3133 1863 4266 3033 i764 4206 12594 4930 1865 4709 9244 3586 2614 2120 3009 7661 1780 1022 15530 1579 3942 4841 4861 2424 2765 5481 75 3259 25 7464 50 5306 75 11836 00 7359 50 22034 50 8609 00 3262 75 8239 75 16172 00 6274 50 4573 50 3709 00 5264 75 13405 75 3114 00 1787 50 27172 50 2762 25 6897 50 8470 75 8504 75 4241 00 4S37 75 578 418 151 172 1074 1 Bibb 3 2 Bulloch 1 1 no Burke Butts 1 1331 366 179 1 3 350 Charlton Chatham 75 1 3 9 30 6 7 9 25 1 2 1 5 1 4 4 745 1024 151 1 Clarke 3 1 1 Clay 1971 447 1043 RRK o o g W o M W I o l2 H t a 43 o w HCobb Coffee Colquitt Columbia Coweta Crawford Dade Dawson Decatur DeKalb Dodge Dooly Dougherty Douglas Early Echols Fffinghani Elbeft Emanuel Fannin Fayette Floyd Foray th Franklin Fulton Gilmer ilascock Glynn Gordon Greene Gwinnett Habersham Hall Hancock Harralson Harris Hart Heard 2402 1176 890 429 1713 731 688 756 1840 2005 1159 1980 407 1024 700 367 075 1451 1782 1TTS21 943 2532 1514 1881 6363 1311 494 909 1871 955 2836 1619 2414 908 1499 1118 1260 1063 687 3236 3089 1158 2108 2334 H 144 1254 1053 73j 6b 1210 1231 1568 3504 3281 657 0 1417 1393 68 733 750 21 769 777 1542 2 3422 3384 500 2432 2565 808 2121 1967 2040 3595 4020 1099 2143 2106 200 30 1383 1314 911 1450 161 117 165 587 649 347 108 1041 1130 1158 2495 2609 1095 11 2584 2888 9 1153 1141 395 1337 1338 1047 3728 3579 150 1084 1664 423 2365 2304 1598 7405 7901 10 1326 1321 202 695 703 948 1690 1857 210 51 2145 2132 1832 2693 2787 390 58 3175 3284 160 74 1796 1853 301 24 2705 2799 1700 90 2468 2698 94 28 1731 1621 1783 2460 2901 413 1666 1679 525 1546 1588 5 3 9 is 11 13 12 11 6 8 5 4 44 4 4 160 5 2 20 12 8 8 12 23 10 14 5 6 4 38 13 3 1 1 1 1 2 7 8 2 20 7 8 7 15 4 1 2 2 3 1 H 14 0 3 2 1 2 8 4 1 10 11 9 11 1 2 5 1 99 2 1 90 5 10 34 14 6 1 1 17 1 4 1 3 2 1 5 1 6 104 5 4 15 18 3 2 1 6 1 4 17 24 I 1 10 1 23 13 19 17 8 3 I 1 15 7247 12681 3393 5936 1955 3420 3361 5880 7325 12810 3041 5320 1453 2541 1753 3000 7066 13414 5662 9907 3694 0403 6143 10479 3615 0325 2478 4335 3579 0262 952 1605 2258 3950 5225 9142 5144 9001 2900 5074 2857 4998 904 16877 3571 6248 5046 8829 22388 39173 3069 5204 1312 2295 3076 0432 4764 8330 5929 10374 6900 12084 3948 6908 6016 11577 5567 9741 3565 0237 5217 9128 3880 6789 3140j 5504 25 75 1349 25 558 75 560 75 75 174 75 12 50 O 0 ei C 50 1419 B 2 5 2884 a H a o h 511 25 434 01 463 51 147 a i 75 2305 uo 1015 00 12 75 9h 5 a n 50 00 53 00 600 00 a O 00 53 75 2100 a h3 50 547 00 287 no 399 25 2071 75 75 600 00 865 50 TABLE No 9Continued COUNTIES Polls of White and Colored White Colored i Aggregate Polls 1892 0 O 5 2 Q o o O 681 3 1637 ft 605 O 256 ft 303 i 298 3729 W i07 f 709 F 02 812 y 341 ft hi 119 55 1312 744 1374 4037 Henry Houston Irwin Jackson Jasper Jefferson Johnson Jones Laurens Lee Liberty Lincoln LowndSs Lumpkin Macon Madison Marion McDuffie Mclntosh Meriwether Miller Milton Mitchell Monroe Montgomery Morgan 1325 884 23 1022 2347 4 901 650 10 2694 919 988 1177 68 1181 1686 39 973 447 A 637 1045 1766 1257 37 337 1414 748 1060 2 474 436 1198 979 6 931 51 713 863 475 1230 435 114 727 742 633 797 284 572 111 1583 1353 499 208 44 933 89 6 835 822 9 1054 1370 422 1207 1000 982 1790 2017 3261 1521 3367 2290 3051 1446 1804 2842 1406 1779 959 2196 975 1885 1619 1390 1328 977 2966 756 1040 1666 2lir 1932 2532 2262 6 3373 11 1651 3613 10 2233 4 2906 10 1124 4 1682 2 3060 10 1810 3 910 2 2183 16 982 7 2051 8 1779 5 1469 6 1430 6 967 2 2936 11 751 4 1028 5 1666 i 2846 9 2207 8 2772 9 15 21 111 29 14 23 11 7 18 5 8 9 14 6 11 18 10 12 2 27 3 6 11 21 15 16 5224 6688 2303 6974 4443 5371 2861 3838 5863 2763 425 1944 4181 2226 3834 3663 2948 2918 2181 8339 1464 2000 3750 6398 3515 5439 9141 00 11703 00 402 25 12203 50 7774 25 9398 25 5005 75 6715 50 1025 25 4834 25 7448 75 3401 00 8715 75 3894 50 6708 50 6409 25 5158 00 5105 50 3815 75 1452 25 2561 00 3499 00 6501 50 11195 50 6150 25 9517 25 Murray Muscogee Newton Oconee Oglethorpe Paulding Piekens Pierce Pike Polk Pulaski Putnam Quitman Rabun Randolph Richmond Rockdale Schley Screven Spaulding Stewart Sumter Talbot Taliaferro Tattnall Taylor Telfair Terrell Thomas Towns Troup Twiggs Union Upson Walker Walton Ware Warren 1302 174 1266 782 1019 1668 1140 834 1382 147 1241 622 262 883 969 6773 689 375 1344 1030 722 1025 672 420 1616 749 731 1069 1609 655 1076 486 1224 983 1943 1765 1024 741 55 864 960 618 1484 169 4 413 1002 543 1043 1222 436 18 886 4467 370 482 1365 758 1484 1146 929 680 1336 397 562 1337 1253 1274 680 15 764 226 910 571 459 31 559 3 16 9 30 5 15 508 133 135 474 208 1324 1379 4 2443 2611 40 2201 2262 9 1324 1400 3 2331 2503 7 1783 1845 8 1240 1189 i 1263 1254 3 2527 2944 9 1938 2022 15 2283 2456 11 1813 1844 0 678 707 2 929 901 2 1929 1885 i 11466 11240 48 1025 1059 8 920 862 4 2533 2724 11 1564 2296 15 2078 2206 4 2530 2171 29 1713 1571 8 1016 1100 3 2328 3085 0 1328 1281 6 1095 1293 4 2795 2880 11 2848 2922 15 642 662 3 2560 2350 11 1109 1166 1 1193 1239 5 1626 1747 7 2119 2377 i 2549 2675 10 1504 1595 11 1544 1200 0 9 R6 8 4 1 2 1 1 6 17 9 18 12 14 1 7 2 1 3 1 2 1 16 16 14 6 1 4 15 67 1 2 14 2 1 1 5 1 2 1 19 4 2 4 5 1 1 1 15 1 i 3 16 20 10 7 10 1 2 4 1 16 8 13 4 2 2 6 IS 4 6 21 i 5 5 IS 2 5 1 2 1 19 2 17 2 0 3023 7767 4850 2632 5391 4003 2649 2102 5574 4568 5402 4897 1316 1815 5039 Hi191 2209 1659 5373 4291 4970 7349 4329 2384 4176 2725 2427 4813 8370 1467 6906 2582 2563 4234 4372 5657 2884 3746 5289 13590 8486 4005 9433 7109 4634 3677 9753 7993 9452 8568 2302 3175 9967 29203 3864 2902 9401 7508 8696 12858 7574 4171 7307 4767 4246 8421 14646 2566 12084 4682 4484 7408 7650 9898 5046 6554 1574 409 2167 186 359 261 1113 g 602 2714 H R 39 1324 ft 182 W i 1084 914 ft 2500 ft W 1704 3152 a 649 ft O 25 3 377 275 964 904 2TABLE No 9Continued COUNTIES Washington AVayne Webster White Whitfleld Wilcox Wilkes Wilkinson Worth Polls of White and Colored White Colored Aggregate Polls 1892 1893 Si ft M aw Total 172154 100864 5980 2108 1672 966 422 429 438 765 77 1779 192 931 486 1067 1755 941 719 1109 803 A 158 5 30 3 538 1272 893 850 2048 1694 2885 1631 1837 279443 3 1388 867 847 1971 1417 2980 1665 1942 287998 10 3 3 4 13 8 8 3 5 29 6 5 6 17 13 15 12 11 3 4 1 2 1 1 1 1 I 1438 2196 283 69 49 5 17 10 604971 1 TABLE No 10 Showing Number of Acres of Improved Land and Wild Land Value of Improved Land and Wild Land and Average Value of Improved and Wild Land for 1892 and 1893 COUNTIES Acres of Improved Land Appling Baker Baldwin Banks Bartow Berrien Bibb Brooks Brvan Bulloch Burke Butts Calhoun Camden Campbell Carroll Catoosa Charlton Chatham Chattahoochee Chattooga Cherokee Clarke Clay Clayton Clinch 1892 1S93 Acres of Wild Land 1892 Value of Improved Land 1892 365693 142375 145431 133766 262516 489799 164186 288327 202319 513105 577798 114453 168331 18780 131751 294171 94295 145378 174102 159246 164468 247533 72981 126436 93108 304529 372507 194271 149775 133947 247632 497058 155738 285338 201328 489870 577317 114735 165832 24406 130273 290808 89938 150704 176463 144839 163625 254787 72942 134779 93938 307574 356583 25412 459 25035 41727 833 16497 39596 3483 307879 13666 5900 568449 2956 40122 23399 654 604727 302414 32435 416 25396 35947 833 8957 49514 25490 2001 287966 13299 8186 548904 2845 42456 19699 732 6l5543 499370 389929 582105 613073 1997791 889215 3937875 1175834 329562 1131740 1689177 679767 450978 274366 914188 1665176 608118 113628 3642488 391603 970981 1114934 796705 472855 846507 282189 496463 356238 561382 617835 1797342 963126 3758696 1106473 315703 1107984 1617391 629506 420333 264915 852804 1556078 582090 92392 3768950 375283 916807 1110214 772595 443881 770065 279221 Value of Wild Land 204540 25412 400 24474 47176 1600 23313 30584 4450 206867 25510 9330 177046 3721 42161 17951 1150 200547 1893 Average Value Im proved Land 1892 1893 152867 32452 100 24035 42605 1600 13845 36394 20097 2145 188911 18520 15500 100146 2342 31324 12326 1700 157714 1 30 2 74 4 00 4 58 7 61 1 82 23 98 4 07 1 03 2 20 2 92 5 94 2 69 14 59 6 94 5 66 6 44 78 20 92 2 40 h 90 4 10 10 91 3 74 9 09 92 33 83 75 57 26 94 24 13 3 89 1 56 2 26 2 80 5 48 2 53 10 85 6 54 5 35 6 47 59 21 39 2 59 10 59 3 03 8 26 90 Average Value of Wild Land 57 00 89 97 1 13 1 92 1 41 77 30 30 1 00 1 28 67 1 07 65 1 87 1 58 31 1 26 1 05 76 1 39 1 89 19 83 73 62 1 68 2 32 o o K w o t1 f H M Q Sj K EO E w fed a d o w 25TABLE No 10 Continued COUNTIES Oobb Coffee Colquitt Columbia Coweta Crawford Dade Dawson Decatur DeKalb Dodge Dooly Dougherty Douglas Early Echols Fffingham Elbert Emanuel Fannin Fayette Floyd Forsyth Franklin Fulton Gilmer Glascock Glynn Gordon Greene Gwjnnett Acres of Improved Land 1892 210864 516787 218151 174965 271648 192578 120512 125914 618137 163461 224797 323220 205999 119662 287986 123204 275000 224058 37390 214115 120299 273993 153031 199836 100203 241327 86030 94246 206608 242869 292768 1893 174214 533964 217515 174155 272045 194987 118812 127806 501703 164841 221501 322182 106935 116820 293640 115391 263301 220483 370314 21S7981 120074 264549 152822 196542 97884 245014 85065 56551 212451 240601 290036 Acres of Wild Land 1892 1027 319486 171957 9906 25002 16231 112374 170811 120981 6450 2606 37293 250973 13009 163364 66564 16211 3585 45770 2197 132984 21875 608 Value of Improved Land 1893 1166 260916 176021 8605 26575 16286 113052 161601 125656 7250 300 28780 235202 12962 120348 0003 13 580 2709 1892 Value of Wild Land 40032 2040 132814 24569 290 1961905 799938 426705 621381 1662559 5595 503Sic 478301 1377259 3930352 565831 1068910 806504 714100 685577 1445541 520311 1011460 813683 257822 652190 2179439 856799 109316 6036816 420710 230530 575267 1383344 984005 1617889 1879908 680554 407238 595770 1624468 564514 522524 410443 1299216 384310 551103 1079794 771953 650150 735405 145337 501255 943102 801536 342104 040359 2082189 819658 1047262 5894254 300633 221272 502480 1343155 914739 1570407 1892 2550 321029 291134 10504 15143 15174 174002 189565 272982 9500 4640 55570 34803 7120 Average Value Im proved Land 307300 33059 25657 418 23460 1825 188026 10159 2530 199702 264503 7227 20433 10219 144644 169965 235045 10101 5150 36100 38024 7944 137147 23164 14209 2985 18535 1715 177564 10586 1892 33001 1540 9 30 1 55 1 95 3 55 6 12 2 90 4 68 3 79 2 23 24 04 251 3 31 3 72 5 96 2 38 1 17 1 88 4 51 2 18 1 68 5 42 7 95 5 59 5 47 00 24 1 74 2 68 6 10 68 4 05 5 52 1893 Average Value of Wild Land 10 71 1 27 1 87 3 42 5 97 89 39 21 58 31 49 3 35 3 92 5 50 2 47 Li 9 1 1 4 2 1 5 7 87 5 36 5 32 60 21 1 62 2 60 8 88 6 32 3 80 5 41 1892 1893 2 48 1 00 1 69 1 05 59 93 1 55 1 11 2 25 1 47 1 77 1 49 14 54 1 88 49 1 58 1 17 51 83 I 41 46 5 42 2 17 74 1 50 1 14 33 1 04 1 10 30 84 1 33 43 5 31 O c 3 o r 84 77 02 H 1 28 W O 1 04 H 1 87 1 39 H 03 W 25 16 61 f m W o wHabersham Hall Hancock Haralson Harris Hart Heard Henry Houston Irwin Jackson Jasper Jefferson Johnson Jones Laureng Lee Libert Lincoln Lowndes Lumpkin Macon Madison Marion McDuffie Mclntosh Meriwether Miller Milton Mitchell Monroe Montgomery Morgan Murray Muscogee Newton 212044 259231 282594 151663 281828 151599 16610 185124 361214 316383 248754 225135 316545 178177 247614 446856 215133 447353 154798 326293 171968 215961 168 236 211156 147706 108747 307613 136408 89911 256860 290126 417236 217886 180715 122511 164778 212512 248904 284459 173564 276877 152777 173666 20278 338596 328788 248778 226534 32318 174448 28541S 435261 217494 456556 144330 327955 17883 210211 168338 212769 150014 101440 300087 136460 86518 247784 286118 407684 220644 180628 127126 167901 16631 18 12551 12 85888 2067 9497 146962 40058 2869 7545 144137 7925 0801 100889 8329 50788 117642 7118 27239 10780 21134 3698 8240 21626 4151 14256 11110 92989 108589 7805 43215 1165 70689 42047 1125 78666 81810 73122 41816 38543 594437 1423 735 1198172 690248 1087577 626745 698551 1270228 1755840 652247 1542698 1124030 485048 889191 1848718 76418i 713862 468ill 909041 390133 840321 687279 718424 494192 352366 1587377 256286 586942 848195 1364014 824843 1201974 777851 1304370 1079268 562706 1849293 1161990 11945 20 9240 35 696147 1032451 601786 50718 975 54892 1033 696776 1624171 008485 1516966 810554 18896 4211 243340 14820 5194 197851 1120907 460140 7811800 1183086 796628 663651 405994 12694 22L622 18628 47974 7590 171586 16234 12952 916600 357857 827568 669234 8800 14240 4406 2295 12843 4250 656 817 496531 4845 4680 335644 1421540 250007 567664 833425 1330227 58176 45008 4580 104475 63576 3230 45464 1718 88360 767916 1202370 100128 80582 749251 1054758 14263 12973 6 86 4 84 2 06 6 24 8 05 8 55 2 72 8 59 3 01 3 55 1 59 2 99 2 84 2 26 3 88 4 08 3 40 8 84 3 24 5 10 1 94 6 52 3 80 4 70 1 98 5 51 4 34 10 64 6 55 2 65 72 74 5 42 1 11 2 90 4 08 4 01 1 48 1 37 8 78 47 43 3 94 4 01 1 98 1 96 6 05 4 79 03 63 1 82 1 63 1 37 6 09 8 58 3 46 2 68 1 60 1 19 3 34 2 78 2 22 1 40 8 60 2 23 2 28 1 45 94 48 2 81 2 79 30 27 2 00 67 59 8 98 1 11 1 02 3 97 3 08 34 41 3 33 8 80 62 61 4 73 41 1 83 1 07 1 05 6 56 4 07 1 48 3 36 1 32 1 22 4 64 1 88 1 22 1 10 5 45 4 14 34 34 10 43 6 29 o a c r r o T X ft C a nTABLE No 10Continued COUNTIES Oconee Ogletborpe Paulding Pickens Pierce Pike Polk Pulaski Putnam Quitman Pabun Randolph Richmond Rockdale Schley Screven Spalding Stewart Sumter Talbot Taliaferro Tattnall Taylor Telfair Terrell Thomas Towns Troup Twiggs Acres of Improved Land 114870 271897 177259 142964 249160 191343 159225 273685 217725 101714 205945 269811 190746 71495 102756 412534 116870 287105 304401 290886 95549 503901 220200 139899 214487 452438 96166 272620 210103 115213 271435 174012 141279 255616 186507 157115 275458 185504 102782 205100 265121 191589 82906 101768 417553 117875 282857 275724 221 213 116857 514111 214345 144157 203212 449121 96405 255602 217343 Acres of Wild Land 1892 189S Value of Improved Land 1892 670841 904127 33951 26529 856650 13060 17262 390844 14168 134009 453422 1247473 57305 60148 1305687 8685 11210 815799 1072810 380253 274438 61556 59219 405 405 1079075 2585130 619004 497453 11080 8671 596286 1012529 1143958 1391 1391 1598304 2187 7552 812177 355035 30685 30445 1319505 17558 18579 480221 192434 179453 385898 362 1050 983402 6850 1505060 215488 29811 25503 1 293 236 5904 5222 610724 Value of Wild Lanl 600136 882172 824894 375228 476253 1204359 1235534 881745 988836 357940 253089 1015375 2667900 606399 472412 581846 1029027 1072602 1523342 729582 348595 1323843 470473 318400 967700 1468544 208837 1199343 510443 27986 2973 82125 53164 13214 9627 1300 4034 1940 1288 54541 16450 221354 100 12075 6892 Average Value Im proved Land 22493 6430 79602 49953 21 108 14162 400 1940 2940 84393 16566 178307 1070 34811 5946 2170 1892 1893 Average Value of Wild Land 5 83 3 32 4 83 2 73 1 81 6 52 8 57 2 97 4 93 3 73 1 33 3 99 13 55 8 67 4 84 1 44 8 66 3 98 5 25 2 79 3 71 2 61 3 32 2 24 4 74 2 90 5 id 3 25 4 74 2 66 1 86 6 46 7 86 3 20 5 33 3 48 1 23 3 45 13 40 7 31 4 64 1 39 8 73 3 79 5 5 3 29 2 98 2 57 2 19 2 20 4 76 3 27 2 16 4 69 2 35 189 82 23 58 92 1 52 15 3 20 36 3 I 58 i 93 1 15 28 I 76 23 59 85 37 59 83 1 95 98 1 39 38 2 74 94 99 1 00 24 O o H r r ft W O 24 ft ft tl oc W ft O a 41Union Upson Walker Walton Ware Warren Washington Wayne Webster White Whittield Wilcox Wilkes Wilkinson Worth Total 203097 185436 226276 226295 180435 172850 397934 290024 129152 143343 170430 199585 286543 260330 331120 203474 182951 235199 226590 183088 163817 434393 242284 128706 140077 108024 198239 288394 207609 335393 30732128 30419005 38942 3889 37038 371015 1250 239355 217 17067 8774 137201 169890 0263200 31367 5953 43094 401507 1250 280572 219 21838 9758 120120 136837 353995 733 092 1687383 1220005 327 670 054723 1955 225 357749 447857 401798 910189 522572 1188505 603021 898348 346231 687881 1503596 1198 322 304790 016472 1993237 330805 435046 391967 863 454 462581 1154100 653887 752870 6021760 131730918 120800290 5457002 4407751 13050 1935 54634 150433 2050 141308 434 2900 8803 279899 254834 10552 3514 47313 11653 2050 150371 405 3166 8450 181081 187338 1 74 3 95 7 45 5 39 1 81 3 78 4 91 1 23 3 47 2 80 5 34 2 12 4 14 2 54 2 71 4 28 1 70 33 3 33 3 70 49 59 6 64 1 45 1 09 5 21 1 66 40 29 3 76 4 59 i 64 1 00 1 36 69 53 3 38 2 00 1 85 2 78 17 14 5 14 1 00 88 2 33 2 04 1 44 4 00 2 11 2 24 1 50 1 37 4 10 87 a o H O r t1 S3 I O A S3 f w S3 H d o S3 H TABLE No 11 Showing Value of City and Town Property Amount of Money in Building and Loan Associations Value of Shares in Banks Gas and Electric Light Companies and Money and Solvent Debts 1892 and 1893 COUNTIES City and Town Property Value of Shares in Banks Sinking Fund or Surplus Gas and Electric Light Ccs Building and Loan Associations Money and Solvent Debts 1892 1893 1892 1893 1892 1893 1892 1893 1892 1893 1892 L893 103487 12926 514010 32410 777197 246087 7914490 381370 12990 66030 355707 288592 75328 61625 180808 431945 66645 13660 10381960 25400 101078 126517 3342790 97435 s 159259 12369 127916 149362 373276 312594 1007545 380914 73562 344590 224352 188886 70353 105487 239332 404769 106799 80172 2142935 25204 220691 306211 893430 143814 502750 35525 679645 246901 8116345 349239 15742 77898 352692 286652 76765 58820 170330 426520 63247 17445 10508425 18835 102457 3234825 64320 50000 58680 50000 5000 9660 100 783 13819 Banks 2800 5000 5089 110588 Bartow 94794 Berrien 323815 299651 821798 377264 74093 357273 168242 178043 Bibb 160980 154100 1379268 163600 185000 16770 133200 242614 7500 Brooks Brvan Bulloch Burke 35000 42000 35000 19725 Butts 5000 4700 30 Calhoun 65248 76091 256829 358005 Campbell 597 4000 109916 104500 14100 3500 Charlton 102306 Chatham 2676370 2924535 361350 252500 252500 326850 351300 32426 Chattahoocheej 2106045 15977 177175 253777 788105 Chattooga Cherokee 13600 610000 15000 23800 607500 325 300 Clarke 50000 42050 32385 o o K a o tr1 ti O H a a H n o a HClay Clayton Clinch Cobb Coffee Colquitt Columbia Coweta Crawford Dade Dawson Decatur DeKalb Dodge Dooly Dougherty Douglas Early Echols Eflingham Elbert Emanuel Fannin Fayette Floyd Forsyth Franklin Fulton Gilmer Glascock Glynn Gordon Greene Gwinnett Habersham Hall Hancock Haralson 230711 109299 50100 1274466 56997 12287 71701 923967 45740 97610 19220 392853 669174 241500 389875 1375120 229875 120265 30 141105 369266 65518 38466 38210 3394944 35480 97114 34769427 46025 27070 3502603 178571 289634 276878 373638 1225449 2371835 587124 203085 54000 54000 106992 51695 1358022 59711 28500 155000 22488 65914 100 185494 932565 187350 90000 43385 104395 18152 378092 50077 40000 1250 100 9538 10301 804870 407966 173000 150000 9000 97500 162500 9000 28000 7468 600 39000 10900 1393191 195115 26990 10000 12500 12500 128355 2867 149585 2500 372124 20000 20000 5000 6000 5i366 300 36926 39225 3113253 360000 510000 172075 25000 16000 14682 29835 99565 36500685 1434550 1361574 999952 570585 11236 835940 558554 39810 26920 3493808 189360 553500 25000 553500 25000 35000 35000 1400 50000 50000 4025 272621 291403 15000 62300 103625 1400 2040 380086 63185 50000 1181303 77492 22500 5000 7000 228185 555361 50100 32218 2500 87657 121404 97798 657027 262807 81430 35755 688138 53456 132530 69316 345478 443746 137624 250799 404847 93795 250809 27134 163709 298006 30563 60465 53963 828852 18569 202467 4561697 78420 60555 310548 272268 172165 340034 159526 499942 258735 160664 75942 113258 108813 592638 257664 4979 27789 679591 35133 112682 66943 273927 498492 137054 251824 373911 88154 250055 28600 118621 234521 331454 57524 46546 79561s 167908 184265 4418750 63136 56124 250178 236295 159118 308353 126963 461781 245836 163577 o d 3 W o r1 a Si 1 o el H do d O WMHIHHHI TABLE No 11Continued COUNTIES City and Town Property Value of Shares in Banks Sinking Fund or Surplus Gas and Electric Light Cos Building and Loan Associations Money and Solvent Debts 1892 1893 1892 1893 1892 1893 1892 1893 1892 1893 1892 1893 103620 121246 38340 129943 400385 21355 265570 171370 272655 82338 24650 264 540 139531 74875 19100 708718 93103 300028 30075 157820 138810 197589 163285 12025 28470 100265 283020 40000 9430 1 4500 169957 175934 93274 263669 263095 136426 357568 106502 439506 122719 81688 223542 53793 168533 73736 469355 00342 345017 121333 153651 77824 13540 159893 64001 146770 182550 OIK 090 116040 38224 132950 400947 22300 250355 L72520 273785 90831 29188 236955 137347 67533 25315 793257 96648 306720 29989 100754 140230 201186 172783 14310 29920 210600 278765 60000 13000 889C 152534 167177 75952 271609 74500 400 72640 16800 2500 500 10000 180506 126790 402583 161982 Johnson Jones Laurens Lee Liberty 20000 200 6 157 382847 112046 72172 244157 44652 130521 56220 L owndes 21800 18362 50000 25000 22850 18300 50000 33000 44000 Macon Madison McDuffie Meriwether Miller i335 2600 2256 4000 442777 68599 302805 105198 134213 84512 250 13815 157670 Mitchell Monroe 55054 40600 3400 10 113629 177430 lumguuicij izioy rwiYo 1 197578 159063 Q O K ft o t1 H ft 6 2 ft f ft id O ft HMorgan Murray Muscogee Newton Oconee Oglethorpe Paulding Pickens Pierce Pike Polk Palaski Putrnan Quitman Rabun Randolph Richmond Rockdale Schley Scriven Spalding Stewart Sumter Talbot Taliaferro Tattnall Taylor Telfair Terrell Thomas Towns Troup Twiggs Union Upson Walker Walton Ware 686630 16462 7343460 466107 37015 105775 45980 54058 152443 386492 599250 426918 288010 27400 75331 402435 I296830 208140 74665 118930 969592 266532 1985739 130400 70415 71042 74256 144975 46762 1551404 10360 9648 58382 11140 203026 73564 248995 827760 629267 15341 75000 75000 6512 10544 7361525 469227 46972 101810 44125 612880 75600 700000 75600 180690 221880 110000 98450 211910 297365 54706 125290 25000 68170 110000 60000 60000 408400 541450 65360 100500 35000 9000 2000 2500 27925 35109 2000 425581 297893 26055 54111 402190 70000 764100 69500 931500 11168115 203610 228840 275250 52430 25000 25000 2578 133899 1043130 233887 231900 100000 645318 30450 300 100 236900 100000 334600 29000 47000 3000 4000 49600 4000 50000 12500 20000 1815882 100 9620 115280 57995 93490 74609 135220 1000 25 40 443060 123084 85000 58000 379000 69595 1437400 15000 12000 25000 35000 12805 96023S 29434 11270 199316 85862 248880 28000 235250 236000 10 375 12287 25 50746 63900 75906 820685 68743 14000 10124 383281 322365 125148 95417 1498795 1446340 429744 365765 76233 90899 192681 189661 123765 108790 129617 121623 171694 105477 c 364487 283559 c 313913 248386 K 239707 265230 H 176906 310130 90287 89137 n 67128 50913 r 257295 237460 h 1395500 1496855 216016 203980 77878 70331 U 221249 225025 11 277967 202105 178345 164 472 562747 423758 83234 69988 M 68838 64573 7 378348 376930 73245 71041 73397 64256 349819 287811 c 755430 469437 UJ 44213 42746 383102 418668 40886 35545 79820 83798 140765 172608 396057 344116 357150 586789 234820 217963 TABLE No 11Continued COUNTIES City and Town Property Value of Shares in Banks Sinking Fund or Surplus Gas and Electric Light Cos Building and Loan Associations Money and Solvent Debts 1892 1893 1892 1893 1892 1893 1892 1893 1892 1893 1892 1893 138678 125185 1 8680 4650 5000 1 163100 480519 152854 70107 74860 400545 110480 528015 126152 170915 136793 420510 143618 54601 Washington 490495 147810 20545 12460 952643 16006b 510740 53633 88339 467014 160685 19332 11860 785350 175519 5000 8820 White Whitfield 60000 1000 14000 13000 13000 71754 375987 Wilkes 510250 52131 90435 600 4200 3000 67580 67580 112564 Wilkinson 509595 Worth 1299 136596 Total1 1216831131 122540587 12523959 13171835 2456305 1383343 851505 533243 1804680 2044936 39728305 36782066 o o K H w o tl t1 Q m S Ti O WTABLE No 12 Showing the Value of Merchandise of Every Kind Capital Invested in Shipping and Tonnage Stocks and Bonds and Cotton Manufactories for Years 1892 and 1893 Appling Baker Baldwin Banks Bartow Berrien Bibb COUNTIES Brooks Bryan Builoch Burke Butts Calhoun Carnden Campbell Carroll Catoosa Charlton Chatham Chattahoocliee Chattooga Cherokee Clarke Clay Clayton Value of Merchandise Capital Invested in Ship ping and Tonnage Stocks and Bonds 1892 1893 1812 52718 12376 117373 10450 141609 111782 415810 135200 19020 113020 119350 80930 55025 43592 53170 116680 13350 13925 893700 9683 72960 71708 381270 68314 43605 1892 1893 Cotton Manufactories 1893 43700 14899 101300 14775 124720 116997 1362290 135541 23900 108735 108185 81385 52007 42831 52627 121315 10000 17073 1850175 5330 68060 68459 438875 52210 39370 29 800 10867 50 200 906 14671 942085 8014 957035 1 1350 131000 7665 11900 1789160 52500 1150 12450 6 500 50 8075 63365 1200 5100 1400 7500 8300 50 1293700 53030 400 12997 16700 700 20110 9638 2500 19155 44040 921890 305 1500 30 828970 32000 2650 430200 8458 30021 14000 339230 8300 137545 10000 1750 5315 1430 25287 562000 12422 8110 4300 85 1000 115000 464179 8375 384550 30IDS 400 1025 102000 750 56000 450635 23695 289500 5320 O O a o rr O 2J H ft ft c ft TABLE No 12 Continued COUNTIES Value of Merchandise Capital Invested in Shipping and Tonnage Stocks and Bonds Cotton Mann factories L892 1893 1892 1893 1892 1893 1892 1892 Oobb 40592 231780 84052 18128 17272 181412 27630 30560 11965 138140 89531 68355 119395 278711 35660 50670 4655 24342 78720 71154 16515 22300 635570 42866 40142 3134391 1995 9525 380 382 3252 244240 88381 24201 13244 197069 6270 25345 12325 145885 100847 125550 261412 30575 46445 5225 22454 76168 79355 593242 44048 50380 3271032 2637 11510 55 010 44800 12100 s 30750 60 t 239709 4828 19355 102115 263908 Coffee 2 31780 2 66730 43713 50075 47492 5190 22351 10 Crawford 133400 Dawson Deeatur DeKalb 50 2325 15000 91250 3 500 6600 18174 100500 2690 10572 200 22695 12105 18000 Dooly 1500 13000 1000 53000 121128 01320 118875 Eehols 9700 13420 Efringham 1780 8019 2200 8 10015 21770 1300 22020 16500 21803 730 49371 KIbeft Emanuel Fannin 21557 Floyd Forsyth 49700 1000 10380 1500 150007 25 15000 lulton 700 739612 415943 1440033 Gilmer 2o53458 100 Glascoek ilvnn rc niQ 5OUU 0U48Z 09500 o K H 53 O tr1 tr1 Q so O W 3iordon treene Gwinnett I abersham Hall Hancock Haralson Harris Hart Heard Henry Houston Irwin Jackson Jasper Jefferson Johnson Jones Laurens Lee Liberty Lincoln Lowndes Lumpkin Macon Madison Marion McDuffle Mclntosh Meriwether Miller Milton Mitchell Monroe Montgomery Morgan 53945 121195 90545 88268 212640 7300 78524 64045 35850 33700 57902 98869 34047 100142 65026 125890 431 il 23270 118093 45659 70894 14610 223249 32477 120408 15282 56851 35182 88730 87155 17275 18385 64045 96393 82276 135742 55665 111063 115750 1850 1345 78050 50 770 8450 61000 16110 159032 47000 5525 750 125000 6125 1800 50 40000 1000 5 000 usion 125 7 09723 106930 L91335 86 154174 48 370 77727 70 05250 100 2326 100 85 15000 400 22900 5515 16186 1100 4 900 59342 59560 91000 1000 45190 7 750 25180 1800 58926 97032 31880 7170 22000 6040 8886 30 50889 1030 95826 64598 115870 42803 20 595 3065 1735 21920 2100 109760 4250 19350 2 735 44639 150 20880 835 57198 515 40 25 14070 11705 270737 7000 9400 33376 128803 22488 10800 34507 300 4000 750 4545 1913 56831 33395 250 18044 4000 4955 250 1430 86360 24807 4 600 77600 49600 1000 25000 15500 22000 53740 13075 19460 4500 710 30925 2000 64410 17 500 77505 73170 115375 73896 122006 00225 90289 o o rt X H x o f It1 Q H X f m X X o X HMH TABLE No 12Continued Murray Museogee Newton Oconee Oglethorpe Paulding Pickens Pierce Pike Polk Pulaski Putnam Quitman Rabun Randolph Richmond Rockdale Schley Screven Spaldiug Stewart Sumter Talbot Taliaferro Tattnall Taylor Telfair Terrell Thomas COUNTIES Value of Merchandise 1892 J8808 1195345 112200 23700 54745 31505 30014 58154 108000 105975 151412 89110 9500 10015 148670 148450 14535 32692 93252 151504 86685 171 i 2711 4902 24915 113589 32900 56908 154617 304630 1893 Capital Invested in Ship ping and Tonnage 18422 1200120 110237 17020 52545 31200 34805 55000 92285 84705 151815 83 545 0005 8787 132565 L391390 44305 32074 115100 140154 78300 375618 42585 23773 118039 29780 60201 117104 291 i506 1893 Stocks and Bonds 28000 3000 20000 580 131 61161 134 0045 509180 18850 99000 14381 5408 600 17200 1044740 6300 4750 22755 6800 6950 314 813 30 43745 11000 1S9C 502960 8300 90000 0500 30000 5000 5000 1800 1001320 2000 2500 3240 8350 4400 164013 3000 300 12135 14500 Cotton Manufactories 1892 1893 1770220 130400 87530 4800 2150 5000 3094900 10000 285033 3638 50 1754200 187546 19150 3335 15000 14400 134400 4800 2200 5006 3854925 6000 255301 24218 37600 48000 1868 500 03 15 9 715 12220 O O K H W o t1 tj a o a go O 9510 2 7005 9465 10150 88521 48889 89547 158823 79933 151750 54430 13565 12190 158050 71745 160595 33695 54163 20542835 10 21 1391 237985 11750 10770 87085 58153 88202 105938 02447 150005 5712 10935 10 240 106730 68225 7S4S7 17150 29350 7200 122300 200 3300 41000 24000 12075 000 15000 500 95800 36330 75585 17000 1000 42000 4000 48000 2000 3300 41000 13000 12075 10 000 130 33 3 45 40000 60000 119000 38678 17001 9050 05000 119000 7051 44887 Walker Walton Ware 300 3000 102 11200 1405 40000 17 634 900 White Whitflold 123 000 Wilcox 10 105 78225 10030 5025 32000 735 30099 60261 Worth Total 20152510 1080351 1091852 7746594 0345497 11025778 12002767 o o g H O t LrJ Ed O H Ed f w a hj o Ed TABLE No 13 Showing the Value of Iron Works Capital Invested in Mining Value of Household and Kitchen Furniture Value of Horses Mules HoSs etc and Plantation and Mechanical Tools for year 1892 and 1893 COUNTIES Iron Works Capital Invested Mining Value of Household and Kitchen Fur niture 1892 1893 Appling Baker Baldwin Banks Bartow Berrien Bibb Brooks Bryan Bulloeh Burke Butts allionn Caraden Campbell Carroll Catoosa Cliarlton Chatham Chattahoochee Chattooea 5800 3600 88900 8700 2350 2000 6200 1000 1892 1893 alue of Horses Mules Hogs Sheep Cattle etc 1892 1893 1892 6996 300 5000 2000 5000 59900 125 69656 10075 1893 23080 70 50 20001 601 87037 21723 100289 47399 186748 133694 624390 121505 38455 121992 11912 76462 43424 40518 80584 166752 37369 19380 528285 25053 96443 85688 22143 96 331 42718 168085 143917 611086 119542 41115 121627 113360 83896 43107 44234 77798 163069 37021 19917 538065 22265 94525 308244 97938 129629 126229 400474 355595 234305 284523 142592 384818 330470 128056 118043 164312 134302 33455 140074 1201191 225115 755i 208075 317669 98645 123102 138068 317865 365651 226319 286130 144111 401756 318290 138197 124570 167496 139360 329073 126636 122176 244535 69060 2036941 Plantation and Me chanical Tools 1892 1893 a o K H w o tr1 31043 31023 I622 15325 28765 26947 H 28285 28161 21 60579 71420 is 50321 553 19 fed 53820 59355 53577 58121 tj 18194 18753 73 68673 67083 fed 118404 92393 H 41149 40662 O 34917 33522 fed 20493 21854 H 32813 32840 81914 75804 24548 21431 29667 1250 151095 140535 13868 2628 35250 35070 Cherokee Clarke Clay Clayton Clinch Cobb Coffee Colquitt Columbia Coweta Crawford Dade Dawson Decatur Dekalb Dodge Dooly Dougherty Douglas Early Echols Effiingham Elbert Emanuel Fannin Fayette Floyd Forsyth Franklin Fulton Gilmer Glascock Glynn Gordon Greene Gwinnett Habersham Hall 45000 42000 4700 500 15300 75000 700 12500 200 I 215 9875 7240 8000 i boo6 400 no 40 20 100 109120 7000 50 108900 6400 600 12500 2000 500 157500 250 050 95500 10517 439480 572750 158500 5350 475 162350 3230 275 1200 100 110 1800 15 5501 70 895 99234 290590 64598 75822 58401 235302 79227 39069 46257 180237 47017 45118 34425 167200 192792 101832 157205 158267 50639 69647 2450 73130 10407 117995 29747 50384 313237 70410 82296 150341 33748 27960 204041 103637 102183 150270 87280 193266 99107 278169 60959 67225 59747 238066 81484 41062 39123 190736 46494 41394 33409 164585 213017 97700 114400 100972 45003 77205 24188 73294 101847 122043 28987 50093 293955 69558 82249 1527753 33108 27104 241039 106399 97889 157921 84044 1112282 215053 124095 111758 121552 244307 285499 401299 173986 97436 281107 142399 95680 91495 458537 245480 235274 353905 148180 109692 202557 93207 171444 178483 224461 109221 115090 372388 172857 198171 344768 124222 68285 135501 272010 175181 290082 130751 239674 214359 12552 103344 112047 234149 203730 399502 185787 107570 286172 141177 87505 90008 472372 248011 232011 300777 146225 107383 224955 947 172646 170578 421234 105875 111827 358974 168552 198732 325577 117032 69380 120560 200815 178 189 304886 110624 240910 45071 46380 23882 33019 33233 78935 47707 23387 30536 73976 34718 11786 19768 93390 66005 35078 76389 36613 5108 32198 1173 35356 692 70057 10139 28530 02254 30425 45384 300721 17535 19840 30400 53070 37550 05020 20528 74791 46425 50348 21017 30007 31127 75736 53251 23708 24386 73072 30657 11005 20327 93669 66793 32059 71857 38291 5078 35685 12201 34378 0000 72287 1 1717 20011 80010 31895 42707 178009 16988 17044 26674 54521 38000 68245 23708 72202 O O K W c r Si o Ed C fed ManTABLE No 13 Continued COUNTIES Hancock Haralson Harris Hart Heard Henry Houston Irwin Jackson Jasper Jefferson Johnson Jones Laurens Lee Liberty Lincoln Lowndes Lumpkin Macon Madison Marion McDuffie Mclntosh Mcriwether Iron Works 1892 1893 Capital Invested Mining Value of Household and Kitchen Fur niture 71375 sob 9200 350 380 1538 700 iboo 57700 1892 1893 1000 102138 95135 79896 7587 56553 97424 137851 57227 137270 77098 130350 58928 57557 135580 45133 03225 33789 154075 38000 98304 00190 70515 57371 37863 95337 106049 91902 88389 73492 53991 96619 143007 58102 139458 78105 13093 57159 50828 139507 02800 00004 30058 156389 30400 106388 02105 71051 59368 38757 96312 Value of Horses L L Mules Hogs Sheep Fetation and Me Cattle etc ehanical Tools 1892 I 241537 144150 208568 1335X7 153570 206916 331142 236596 311001 173488 312455 183545 1819581 34539 129328 339982 98306 271 547 75427 178037 139381 145625 108385 87245 258294 240019 130501 219029 133540 154725 219370 311491 246340 310010 175082 320230 182043 103025 354985 152003 319012 9251 284000 72 710 179892 139823 144510 IIS 332 89198 258617 1892 44716 32736 54038 37321 34746 60373 27549 32228 7542 40 j 4 66790 50789 31544 6588 30450 3070 21425 47321 24469 40846 30932 32303 24000 5SJW51 1893 14930 28822 44525 35024 32400 57323 51471 34037 72778 39598 63810 3304 32057 51073 38357 38991 18868 53487 24024 38199 3305 27285 25801 8031 55824 Q O H W O f i O H 2j SB hj O w 13Miller Milton Mitchell Monroe Montgomery Morgan Murroy Museogee Newton Oconee Oglethorpe Paulding Pickena 1500 22855 Pierc Pike Polk Pulaski Putnam Quitman Rabun Randolph Richmond Rockdale Schley Screven Spalding Stewart Sumter Talbot Taliaferro Tattnall Taylor Telfair Terrell Thomas Towns Troup Tvriggs 238650 500 1000 64500 984 500 800 24920 22180 54800 2000 11650 25000 150 6500 6000 2000 60U0 15000 500 70 6100 10000 500 1675 225 20500 85 500 1300 16475 45 75 6131 200 3125 400 300 561 35084 51476 94185 137429 07435 102103 47458 137115 127829 050 17 74298 67061 13030 74608 157934 114132 119646 91738 34538 32051 120670 648665 72446 52052 94058 150735 91242 283660 78569 34302 155737 61684 58939 144248 277870 20498 174855 34088 32130 19735 93735 139643 98380 101715 47789 115110 133488 67672 74130 65670 42971 80246 155151 115041 15335 84927 55090 34072 111850 722380 74357 45541 97449 152876 105150 260959 65376 35759 162806 64234 59131 155687 275590 20840 166926 52592 125505 113945 265290 201542 279897 200565 155 157 130455 193445 15 1555 170S1S 175447 89093 246722 238377 192083 250012 212419 71383 107545 250275 208245 101596 97260 271991 147141 196391 300720 163703 75568 432785 117251 154650 229441 310750 71315 229756 104715 129221 113285 170510 356461 27575 209108 109451 141590 194985 135944 182412 177054 86905 25273 228802 187099 257754 203332 70487 95584 225055 210025 05905 88164 288179 150300 204519 284589 138088 80811 403301 111954 150392 255430 354370 66385 215204 07501 174011 24024 48950 71738 1511 I 44405 2729 45970 48910 51308 40464 30507 14515 28019 74350 44492 56192 55830 15557 10242 51215 149445 51019 2341 55275 450 0022 80509 59081 15705 66184 25204 17176 07005 84143 10094 50388 21793 16055 22268 16760 701 15 35005 47716 50005 44440 49664 50182 59750 37788 14104 29450 14914 45425 52555 49357 22557 12659 40505 136555 28754 18791 53131 44911 10097 70001 32983 16232 72161 21515 10745 56926 80008 9762 49618 19111 O o o t1 t1 o a t Ed o EdTABLE No 13Continued COUNTIES Iron Works 1892 IS Union TTpson Walker Walton Ware Warren Washington Wayne Webster White Whitfleld Wilcox Wilkes Wilkinson Worth Capital Invested Mining m Value of Household and Kitchen Fur niture Value of Horses L Mules Hogs Sheen l laiation and Cattle etc J chanieal Tools Me 1892 5C0 400 000 150 4050 100 20 4950 Total 23000 23250 1800 200 73365 i 000 1070 10 1893 1892 1893 1892 1893 6 250 724 10 1000 26681 65562 73420 113409 162886 6056 211248 72468 44922 26578 164410 80561 125205 7y 81771 27681 64343 77377 111626 153878 60660 208762 68436 43081 25259 1661 77009 122550 75282 82480 M57NI7S l5719lss 297S23S 2707301 102573946 130927 141428 328415 220360 257858 123083 396480 253389 106161 81909 229714 208681 239075 172195 257331 127035 140642 321138 237555 248155 127155 116220 254520 103420 77100 217282 185581 240080 178810 268072 1892 18719 37220 52065 51292 30042 27071 98808 25236 24645 1390 46022 47323 05550 35094 32607 1893 20328 34483 47503 505 I 28901 28245 106548 26287 23335 13120 43762 24430 55985 36581 41538 27162880 27386992 61255551 5673809 O W o f 1 Q H yA w w hj O WTABLE No 14 Showing the Value of Watches Jewelry and SilverPlate Cotton Corn Annual Crops and Provisions Held for Sale April 1st Value of all Other Property not before Enumerated and Rate of Defaulters Property single for Years 1892 and 1893 COUNTIES Watches Jewelry and SilverPlate IS Cotton Corn Annual Crops Etc 1892 1893 Value of all Other Property Appl ng Baker Baldwin Banks Bartow Berrien Bibb Brooks iBryan Biilloch Burke Butts Calhoun Caniden Campbell Carroll Catoosa Charlton Chatham Chattahoochee Chattooga Cherokee Clarke Clay Clayton neh 5303 S 5361 1573 1698 1644 3042 12074 11714 3632 2500 2196 11136 18531 16361 30023 10553 11106 12479 81790 81368 1510 9061 10540 24025 3847 4636 2868 6133 7835 4761 16337 13578 8770 5446 5138 11550 3068 2961 8806 3841 3760 6491 7045 24204 8577 7684 18474 1695 2928 3473 1975 2090 305 32450 1626 29580 1366 7249 6083 7260 7660 6040 6152 14138 53965 61453 8630 6603 5870 13012 4678 6204 29158 5515 5521 3169 1204 5114 7125 10303 7374 17752 290 9062 3363 5971 3175 17729 1845 5 14600 16975 4547 42 12843 5897 10484 11645 3026 11078 1618 1892 155342 14548 03041 17153 128145 201691 139295 108210 28464 114357 12643 37500 10766 88551 23632 43226 8922 5582 72915 9738 40860 35584 21055 11889 28536 131430 1893 115657 10807 66497 17917 92570 203805 184661 98892 33164 104835 22632 29336 17917 119011 28749 47037 9809 41631 118075 23002 19651 35542 1652 I 11 15 24498 120959 Value of Defaulters Property single 1892 1898 545 96 if 3432 5480 1564 479 2287 1456 6942 9171 59523 7108 1187 13494 56300 9263 43120 1933 14185 225 6240 1673 2500 134500 11595 72885 o o K W O o W do o w h3COUNTIES Cobb Coffee Colquitt Columbia Coweta Crawford Dade Dawson Decatur DeKalb Dodge Dooly Dougherty Douglas Early lOchols Effingham Elbert Emanuel Fanrrin Fayette Floyd Forsyth Franklin Fulton Gilmer Glascock Glynn Gordon Greene TABLE No 14 Watches Jewelry and SilverPlate Continued 1892 2383d 5785 5002 5810 15270 2070 4701 1323 17820 18398 10090 8476 28405 3947 4273 1438 8098 4840 8409 1177 1540 40720 2772 4040 88971 1844 1981 334001 8033 7499 1898 5472 3453 7048 14324 3054 4243 1327 17606 20219 10585 9601 25059 3149 5750 1527 8108 4503 7918 115 1595 39586 2780 3863 171089 1662 1150 24001 7296 7811 Cotton Corn Annual Crops Etc 1893 1811 7534 6794 12628 39013 7388 2047 4931 7270 12453 2829 11663 4600 7275 10800 2054 5550 30751 10669 1040 7505 18388 11300 0340 14065 1450 12570 10315 0042 Value of all Other Property 18U2 15208 581 2440 11651 45741 5331 2370 3894 13149 9004 1209 0490 5321 1732 32140 259 3580 34589 31037 1334 8894 9353 7352 9999 1850 860 15335 6111 8129 1893 77144 316256 09940 7303 120803 21908 25551 3873 149543 55208 253817 304007 71471 29160 43872 36187 33731 90018 229809 5102 25319 215835 29543 39181 319495 19604 1010 118652 38997 400941 Value of Defaulters Property single 1X93 2989 If 1376 272708 138 L 0348 124 145 5181 22397c 15131 131532 2012 30C 00 18092 2108 128002 1605 5000 21511 220722 292502 57416 20002 20737 1082 39120 04301 95 32503 111273 10170 21135 135593 3000 4013 21770 192029 9643 31622 38449 544491 14829 362 1650 96124 110 1630 37702 27934 1250 o g H S3 o tl K w I Q ft y w i O W HGwinnett Habersham Hall Hancock Haralson Harris Hart Heard Henry Houston Irwin Jackson Jasper Jefferson Johnson Jones Laurens Lee Liberty Lincoln Lownd es Lumpkin Macon Madison Marion McDuffle MeTntosh Meriwether Miller Milton Mitchell Monroe Montgomery Morgan Murray Muscogee 9832 8325 12351 10939 5440 5835 3147 2287 0990 020 3393 0884 5000 9650 3540 4220 0508 3002 5490 1508 14310 2896 9225 2732 4493 3417 5166 4940 1123 2476 6230 11638 6772 10721 2370 75205 10248 0503 12058 10189 5050 0150 2874 2060 5709 13291 3834 0848 6015 10550 3104 4906 8312 4284 5947 1421 16183 3956 10205 2984 3983 2921 5616 3300 750 2240 7535 11400 1070 13058 2432 79715 24906 22008 86162 1599 25097 18599 26302 25195 4794 1824 41701 30454 5039 2280 12300 12500 49080 22021 0285 8758 2142 2013 52518 32781 12280 16466 18995 20050 24557 12721 4940 3430 9331 9018 1463 1593 1070 030 5845 1829 34732 33907 768 565 57280 21100 4319 6598 5074 5020 11236 5272 150 560 10720 14037 4200 3639 972 4991 1215a 9260 1945C 24255 8015 3539 23 111 46408 730 4374 4532C 53010 59736 55135 42390 39970 63750 28302 19976 21904 28799 34880 194495 58012 42503 52350 25039 21339 103700 24543 99620 22785 83513 200 28302 20600 14322 26770 51816 32700 15087 15502 40995 83970 180868 2452 19303 101920 53397 35122 49191 48953 73220 31947 17755 25035 36229 57484 173 250 53540 38136 48340 42870 147 123834 13 407 91384 10010 88204 200 23194 20123 10409 22991 39330 38650 15343 14052 42565 23837 100587 5093 10503 88155 1350 90775 7183 25163 105805 13220 5774 800 15137 2108 39054 1484 3950 20250 15240 7209 11699 18271 14780 10098 2770 1500 2733 9850 7235 800 200 1005 32413 7288 12768 2220 3721 10305 19593 o C K H o H Ed 02 ft hj O 2915 3000 iiiiiimimii in mi iniiniMBTABLE No 14Continued COUNTIES Newton Oconee Oglethorpe paulding Pickens Pierce Pike Polk Pulaski Putnam Quitman liabun Randolph Richmond Rockdale Schley Screven Spalding Stewart Sumter Talbot Taliaferro Tattnall Taylor Telfair Terrell Thomas Towns Troup Twiggs Wntchts Jewelry and SliverPlate 1892 10589 3286 5863 3231 2945 6607 11223 11659 10253 8753 2545 1621 11135 7 8 5144 3569 10722 12734 7488 34803 5789 3145 8730 3441 462 10506 24756 846 13784 4318 1898 L07042 3383 5 669 3513 3008 7307 10872 10386 10498 7591 2468 852 9950 81910 4802 4062 10456 12563 7211 31142 5466 2111 9612 3496 4222 10280 21194 1052 14098 370ol 44334f 10087 9090 11760 2889 1499 9362 6040 14899 2680 6205 3088 2149 10490 14414 9410 10029 1412 15060 13263 23267 1374 6708 8370 2111 14681 13309 720 35376 2764 57003 12762 15725 11273 2836 900 11721 8358 13675 4730 3115 1548 16910 25 14580 7231 11724 8663 19880 9001 20267 4222 7101 6399 763 10751 9490 2167 24164 19273 57104 23279 33043 34475 108644 96533 44234 7968 5ioo 4300 10335 9756 31275 82700 16042 16617 52562 91582 92400 90877 25038 7432 217985 15350 01008 47479 72732 8989 99088 15127 J003 3511 2156 1920 3501 6501 53408 23807 33001 29658 99400 88724 103587 59779 61710 3941 7650 10829 30430 92930 16039 17100 47194 71321 78195 52842 14294 12281 184648 17894 53929 5042 847981 8329 soo I25417 191374 129941 55831 1260 40357 2350 3090 8327 01 75 4243 26416 So 2635 11350 1830 9705 2756 9074 13489 7231 6693 Q O H w o w i o SzS H w r do W M W HUnion I pson Walker Walton Ware Warren Washington Wayne Webster White Whitfleld Wilcox Wilkes Wilkinson Worth 841 1010 5209 7688 6052 5296 5343 6164 219 1519 378 6428 5400 3960 6030 Tota 1500111 1487118 1782994 1501206 1381 4804 6380 6257 14799 5628 15180 5931 2219 14 li I 12856 4797 15505 4391 6292 2185 13782 5695 28330 2347 20634 15427 413 6971 3894 4 S3 I 47986 14410 8154 4322 2623 32868 7228 25319 606 2112S 28118 340 4462 1533 2872 905 2 10 13496 1789 8535 34401 14690 72018 260243 13523 54810 55563 10021 8844 78838 102211 30625 29370 127725 8080 15482 79614 74079 131505 7 ISO 53186 45090 11808 7117 58390 135120 49315 2413 112511 8652198 8469388 so 21465 742 5091 5865 8074 1628 944106 700 1040 18030 41182 931201 a o o F k i o 2j SO F o TABLE No 15 8h0ing e vof Ifal E7 7EsateAtt v w 3 T p MIt A0nt f T B rf After Deducting DtfIte fa the Yer COUNTIES Real Estate 1893 Personal Estate 1893 gS1 ffg Bibb 1252632 Brooksi l Bryan 57 Camden Campbell i L 023 m Carroll ioo Vs Catoosa f mu oOO83 tharlton 109 98 Chatham n Chattahoochee W4S f or Lga 1050588 Cher0Rec 1254085 758927 187711 618167 368912 1209857 1245921 6836000 1337733 353612 1188112 891555 667144 341177 554203 609533 1349607 31872i 358408 10601500 164076 1117411 7958731 Aggregate Value of Whole Property Tax on Profes sions 1893 1008461 628387 1781352 1048562 4235061 2371657 19385615 2930902 710780 2369164 3035886 1585318 883233 1100292 1692643 3509598 103381 575431 30783188 598 101 2332346 2063681 14956921 588134 1682299 1022372 3710879 2498553 18712640 2807290 721451 2394091 2861638 1583302 810420 1000849 1032007 3350725 979503 468391 30878875 560526 2107999 2049958 150 60 300 140 500 2701 1270 260 111 330 490 240 150 50 250 020 70 20 1020 70 200 2901 Tax on Polls 1893 Tax on Polls Professions and Property at 461 J893 16851 874 1467 1505 2717 2445 6921 2042 997 2828 3098 2184 1083 1005 1559 4426 852 037 7986 832 1897 2231 Amount of Tax after Deducting Defaulters 1893 8730 14 3045 30 0522 40 0358 13 20324 15 14233 33 94450 27 15243 il 4132 89 14194 70 17380 15 9723 02 5107 34 0033 17 9335 59 20492 84 5437 79 2810 28 151957 01 3486 02 12151 48 11971 31 8684 50 3045 30 9522 40 6201 01 20155 07 14157 91 94450 27 15243 01 4216 33 14194 70 17380 15 8554 22 5107 31 5852 38 9251 52 19595 31 5420 37 2793 23 150717 52 3375 I I 12151 48 11971 31 Q O 11 3 EC O r 6 c ec Clarke Clay Clayton Clinch Cobb Coffee Colquitt Columbia Coweta Crawford Dade Dawson Decatur DeKalb Dodge Dooly Dougherty Douglas Early Echols Efflngham Elbert Emanuel Fannin Fayette Floyd Forsyth Franklin Fulton Gilmer Glascock Glynn Gordan Greene Gwinnett Habersham Hall 4007410 3162565 648666 404133 883057 403787 488630 594463 3240460 2020452 939967 1203 421 694229 399263 661690 439953 2557033 2086933 615126 316441 647352 530351 438814 236861 1821952 1421330 4647973 1285449 939983 804161 1723405 1515965 2175244 1386182 850415 317818 899860 724835 186228 231128 658784 505789 1315226 765479 996049 1245349 402254 231862 679584 290142 5209651 3118844 852478 528245 1116827 610704 12400939 16284296 457978 271352 249907 199659 4173852 2064873 1543101 798460 1187360 711879 1863350 1111294 952032 734787 2530631 1453738 7569830 1184945 1416513 1147280 5177532 2396612 1152261 1032354 4630395 95332 1211053 756791 3421729 5815145 1845301 3323766 3644804 1314228 1541938 383312 1220846 2198843 2510854 668813 995031 9047389 1449336 1808310 57121131 786982 461151 6509325 2410982 2051898 2959723 19428401 41321861 7169975 1052799 1286844 1083093 52609i2 2143388 1093492 1101643 4643966 931567 1177703 675675 3243282 5933422 1744444 3239370 3561426 1168233 1624695 417356 1164573 2080705 2241398 634116 969726 8328495 1380723 1757531 58685235 729330 449566 6238725 2341561 1899239 2974644 1686819 3984369 610 150 210 90 590 160 90 130 570 100 130 100 260 480 260 450 270 220 190 20 200 340 340 100 200 840 190 310 3500 130 60 510 310 280 390 250 510 2226 1144 1379 1489 3089 2334 1197 1279 3281 1398 756 777 3386 2565 1967 4026 2166 1344 1611 814 1238 2609 2899 1141 l338 3579 1664 2304 7961 1321 710 1857 2183 2787 3342 1927 2823 35869 58 6147 40 7521 35 6572 36 27931 80 12375 02 6320 00 6505 57 25259 68 5792 52 6315 21 3991 86 18597 53 30398 07 10268 89 19409 50 18854 17 6949 55 9290 84 2758 01 6806 68 12541 05 13571 84 4164 28 6008 34 42813 36 8219 13 10716 22 281999 93 4813 21 2842 50 31127 52 13287 60 11822 49 17415 11 9953 24 21700 94 34970 19 6147 40 7521 35 6572 36 27931 80 12375 02 6038 66 5120 84 25259 68 5762 24 6315 21 3991 86 18363 07 30398 07 10268 89 19409 50 18854 17 6879 57 9290 84 2427 15 6375 82 12541 05 13549 84 4164 28 6008 34 42813 36 8213 19 10716 22 281999 93 4813 21 2813 28 31127 52 13174 02 11822 49 17299 11 9677 38 21484 48 O O 3 o f Ir1 W i O s m a B o SoTABLE No 15Oontir COUNTIES Hancock Haralson Harris Hart Heard Henry Houston Irwin Jackson Jasper Jefferson Johnson Jones Laurens Lee Liberty Lincoln Lowndes Lumpkin Macon Madison Marion McDuffie Mclntosh Meri wether Miller Milton Mitchell Keal Estate 1893 Personal Estate 1893 1390175 1306400 1137104 7230321 749936 1357241 2020750 827041 1782536 981914 1393562 550074 813965 1019212 952393 75147S 425094 1717613 463303 1140S4i 699309 819317 635341 596809 1588055 308396 597852 1121050 875854 091020 729594 547984 383649 707800 1039574 679592 1193624 607890 1111365 185795 363664 1103710 377822 724672 229270 1740549 259890 879409 400020 483008 376347 374092 756819 267493 367881 793740 Aggregate Value of Whole Property IHV Tax on Profes sions 1893 Tax on Polls 1893 2329287 2055845 1918060 1313799 1100034 2174473 3311776 1616144 2975554 1637378 2573052 1100858 13300011 2819570 1255019 1654805 700990 3379211 785000 2084765 1118043 1400302 4006910 965766 25428301 595728 1035594 19746001 Tax on Polls Professions and Property at 461 1893 2266029 1997420 1866698 1271016 113358s1 2125052 3069324 1507231 2976100 1589804 2504927 1035869 1177629 2722928 1330215 1476150 054304 3458162 723193 2020315 1105335 1302385 1011688 970901 2344874 575889 965733 1914790 240 330 250 160 190 230 350 110 400 190 350 160 90 290 110 130 110 320 130 210 230 180 200 60 380 70 110 190 2788 1049 2901 1679 1588 2315 3377 1751 3613 2301 2945 1428 1682 3097 1751 1812 910 2189 982 252 1893 1469 1430 1078 2936 795 1034 1665 Amount of Tax after deducting Defaulters 1893 13474 39 11187 11 11750 47 7098 381 7003 83 12341 49 17870 58 8809 34 17733 10 9820 00 14842 71 0303 36 7200 87 15939 70 7993 29 8747 05 4030 02 18451 13 4445 92 12049 65 7218 60 7052 99 0293 88 5613 85 14125 87 3519 84 5596 02 10692 18 13158 12 11038 01 11750 47 7098 38 7003 83 12235 49 17855 81 8595 51 17733 10 9658 80 14073 89 0355 36 7200 87 15799 00 7985 92 8741 21 4039 62 18429 86 4445 92 10800 80 0923 41 7052 99 0293 88 5274 13 14125 87 3401 32 5549 72 10589 17 Q O K a H w o tl F O do W IS h3 O W HMonroe Montgomery Morgan Murray Muscogee Newton Oconee Oglethorpe Panlding Pickens Pierce Pike Polk Pulaski Putnam Quitman Rabun Kandolph Richmond Hockdale Schley Screven Spalding Stewart Sumter Talbot Taliaferro Tattnall Taylor Telfair Terrell Thomas Towns Troup Twiggs Union Upson 1613916 927673 1831637 777565 8687830 1523985 707108 983982 891512 436364 681145 1612759 1826928 1329234 1286729 383995 321362 1417965 13836015 813009 52484 718119 2072157 1306489 3341164 847802 400590 1501726 561648 631987 1411830 2905944 227588 2159581 542037 368053 890711 930239 822715 1068282 388355 7330735 1247098 481569 602893 472520 409050 754093 1134877 971688 991653 809383 232641 229719 885735 10197465 490702 320505 854344 1369518 776230 2106561 420907 239762 1409211 386045 416594 1094985 2029893 159137 1706523 252717 288946 604516 2651190 1894079 2994663 1252215 15920525 2801509 1177931 1611785 1419612 898593 1390427 2808286 j 3115991 2190503 2203056 653434I 596892 2430590 23980785 1344656 922924 1558403 3511303 2194073 6344504 1442017 657267 2827715 949781 1189806 2659922 5099412 410926 4260580 922896 656049 1552146 2544155 1751388 2899919 1165920 16018565 2771083 1188677 1586875 1364032 845414 1435238 2747636 2798616 23208S7 2096112 616636 551081 2303700 24033480 1303711 845347 1572463 3441675 2082719 5447725 1268749 646352 2910937 947693 1048581 2506815 4935837 386725 3866104 794754 656999 1495277 340 240 280 L30 960 310 130 280 210 210 120 340 340 280 220 80 i 250 1580 171 110 340 390 230 650 240 100 250 140 190 310 530 90 460 80 100 230 3268 220 2772 1401 2611 2298 1400 2503 1853 1189 1261 3503 2025 2623 1844 716 901 1915 11240 1059 867 2739 2804 2206 2171 1571 1100 3218 1416 1293 3354 2922 662 2350 1166 1239 1747 15336 56 10520 90 16420 63 6905 90 77416 58 15382 69 7009 80 10098 49 8351 17 5296 36 7997 45 16509 60 15266 62 13602 29 11727 08 3638 69 3511 48 12785 06 123614 34 72H9 11 4874 05 10328 05 19060 12 12037 33 27934 01 7659 93 4179 08 16887 42 5924 86 6316 96 15220 41 26206 21 2534 80 20632 74 4909 81 4367 76 8870 22 11311 10520 16420 6835 77388 15301 7009 10098 8278 5296 7943 15128 15260 13266 11727 3596 3406 12708 123614 7239 4774 10272 17954 12037 27934 7659 4179 16497 5588 6316 14210 26206 2534 20632 4909 4367 8870 91 90 63 03 92 47 80 49 24 o 36 K 33 d 05 H 62 o 12 f 08 f 40 a 83 a 19 o 34 H 11 zj M M 62 95 ft fcH 33 cc 01 Mi r 68 06 O 19 a 96 H 70 21 80 74 81 70 22 W k TABLE No 15Continued COUNTIES Real Estate 1893 Personal Estate 1893 Walker Walton Ware Warren Washington Wayne Webster Wht3 Whitfleld Wilcox Wilkes Wilkinson Worth Total 1696771 1447202 1242014 741157 2462301 641861 454783 406993 1657254 819781 1664350 70C1 1030049 1149093 1354158 1050263 512128 1470799 636985 272142 210408 1294313 011602 1375520 551570 714239 Aggregate Value o Whole Properiy 290979 2780946 2547166 1308476 3947265 1317799 760201 042211 3141959 1639869 3092165 1246447 1978013 2845864 2801360 229227 1253785 3933100 1278846 726925 617401 2951567 143138 3039870 1257588 1744888 53034 156890119 8 421149509 410044753 407701 293978 22278l9 36 oVs Tax on Profes sions 1893 Tax on Polls 1893 Tax on Polls Professions and Property at 461 1893 Amount of Tax after deducting Defaulters 1S93 320 330 350 130 420 90 80 loo 340 220 290 160 160 2585 2675 1595 1200 3780 1388 867 852 1971 1417 3138 1670 1972 16024 43 15919 27 12512 39 7109 95 22331 59 7373 48 4298 12 3798 22 15917 72 8235 67 17441 80 7627 48 10175 93 14805 94 15919 27 12512 39 7109 95 22331 59 7373 48 4298 12 3770 34 15917 72 8235 07 16939 56 7237 79 10115 93 78 O B o rr f1 H W i o w w r xh W d O PCTABLK No 16 Showing the Number of Polls Character and Amount of Property Returned by Colored Taxpayers for the Year 1893 COUNTIES Polls Xo of Acres of Land Value of Land Amount of City or Town Money and Property SolventPebts of all Kinds Appling Baker Baldwin Banks Bartow Berrien Bibb Brooks Brvan Bulloch Burke Butts Calhoun Camden Campbell Carroll Catoosa Charlton Chatham Chattahoocbee Chattooga Cherokee Clarke Clay Clayton Clinch Cobb 522 604 782 264 447 657 208 1020 390 1105 2604 045 711 044 j 400 400 50 217 1568 503 306 158 801 040 531 650 087 Lb931 10314 5880 3083 5522 4235 43 12228 13200 14102 20174 603 7085 2883 2021 3019 419 7469 4822 4025 3456 2930 4545 5781 736 3392 6491 Merchandise 22090 18120 26955 10053 22008 11940 430570 57409 21010 31306 58822 4873 167 31041 12321 15014 1097 4466 357385 11293 11422 8865 51445 13273 6714 5494 49114 3195 270 49116 2l825 3425 270395 15556 497 lsl02 8070 5717 7765 5050 5012 1885 441775 275 2995 2305 184510 4765 1355 2110 57707 1149 60 202 155 636 59 9030 3206 1102 3625 75 213 149 2142 828 580 90 2175 554 1245 1785 7 220 420 1770 Household and Kitchen Fur niture Horses Mules etc Plantation and Mechan ical Tools Value of Property not Enumerated Aggregate Value of Whole Prop erty 1602 74 500 370 12070 137 40 305 10 10 800 120 525 0074 0929 12483 3000 7544 7057 29811 15187 5183 8544 34186 7852 10765 10902 6779 4292 719 777 1825 5165 4911 2388 26920 7606 4171 4225 13219 13500 35725 28138 7058 16084 6140 20415 4294i 14433 28894 82272 17409 25514 39505 13477 11715 2352 3434 15080 12159 12139 4376 17750 14088 7445 3880 20297 1793 6371 5885 1204 2529 1044 4765 5917 2282 4179 16555 4103 5622 6470 2725 1928 157 377 535 1305 038 5270 2648 1780 743 3587 1900 803 1524 558 822 1440 2823 2347 1131 1281 755 45 1296 4077 719 325 118 334 1800 3320 679 583 1470 841 455 072 1405 52005 68352 194888 140035 175053 150255 30369 87583 5898 4 0711 07572 10677 42307 39044 6315 047 820640 32747 34005 20410 289950 43228 22260 17544 147024 O O w I c a A r c X TABLE No 16Continued OUNTIES Coffee Colquitt Columbia Coweta Crawford Dade Dawson Decatur DeKalb Dodge Dooly Dougherty Douglas Early Echole Fffingham Albert Emanuel Fannin Fayette Floyd Forsyth Franklin Fulton Gilmer Glascock Glynn Gordon Greene Polls No of Acres of Land Value of Land 1158 19 736 1568 657 iS 21 1542 560 808 2041 1600 260 Oil 117 347 1158 1095 0 395 104 150 423 1598 10 202 048 210 1832 23171 5649 5061 9430 443 520 10012 1638 17433 9383 10684 4117 22815 3848 8072 5411 17796 so 1713 10011 2121 3501 1314 340 700 5307 2754 7412 Amount of City or Town Money and Property Solvent DebtsI Merchandise of all Kinds Household and Kitchen Fur niture 51136 255s 5372 21100 34360 24446 1625 840 S4574 39276 41244 29086 49069 17512 67560 3075 24503 22878 35542 40 8963 74928 7587 13502 103000 275 1917 40295 9584 20500 1000 42185 1245 50 23888 22927 13330 10884 71910 1075 6860 17 300 12000 145 705 10141 275 375 1250475 525 158816 2620 16380 550 54 045 18 1700 95 2024 3205 2618 65 1580 7 501 450 4602 50 3672 436 S7i 35301 5 30 1404 300 230 i 82 153 40 78 15 190 055 3790 270 150 624 585 1821 25 15585 30 4908 700 5906 38 0398 22698 7848 302 226 23913 9338 10538 20404 29101 2560 19670 1921 4259 6149 11511 01 5380 20770 2188 3923 Hi 150 44 2830 19974 3129 21500 Horses i Plantation Value of Mules etc ond Meehani Property not ical Tools Enumerated Aggregate Value of Whole Prop erty 20803 100 27505 45989 27293 1328 902 80013 12495 19975 38738 04734 9574 58475 4500 11150 23101 25246 385 9031 14992 1835 10319 15357 239 4581 28588 7859 37876 2534 4594 10375 5511 50 112 1580 2037 2069 8237 15272 369 10950 493 1077 163 4648 34 2443 6928 746 r 1531 0365 i 079 2120 1070 6499 2704 15 721 2770 2473 72 34 4415 723 1966 2800 3286 1291 4415 391 1124 2874 2204 7 550 2102 244 354 3250 40 7 4555 318 785 5 71940 161 27 39 M 95 59 48 1 12 34 7 72 235 07 1939 56 237 79 U5 93 10 43934 68425 84612 557 27797 260016 16336 30001 1443712 634 10 S9 I 200660 25580 112705 O O tj i3 o h t1 M i O w j S O wGwinnett Habersharn Hall Hancock Haralson Harris Hart Heard Henry Houston Irwin Jackson Jasper Jefferson Johnson Jones Laurens Iee Liberty Lincoln Lowndes Lumpkiii Macon Madison Marion McDuffie Melntosh Meriwether Miller Milton Mitchell Monroe Montgomery Morgan Murray Muscogee Newton Oconee 390 160 361 1700 94 1783 413 525 884 2347 650 919 1177 168c 447 1045 1257 1414 1060 436 079 51 863 435 742 79 572 1353 208 89 822 1370 1000 1790 55 864 960 618 2534 2508 2944 22805 1589 14813 3365 5499 3392 14905 12606 6182 7069 9218 3774 9715 20427 13362 40253 2620 21535 1549 6673 2727 3444 6216 13 108 7698 4918 605 13313 14553 15929 7118 281 5131 3995 1695 11570 3284 613 5743 9865 500 11157 15890 1250 117196 8335 9947 5979 2145 216 45837 3915 429 12580 975 195 19093 325 285 20800 3388 542 69168 14395 45 20665 575 2419 34102 2710 309 26156 6146 1241 30595 8435 350 8839 1675 1260 29560 2119 58394 5255 3082 48211 15311 1559 74283 660 407 7384 58011 39837 1763 2270 833 44 18833 15801 1143 9846 957 465 10825 24775 564 18519 2300 1740 44355 62069 34364 2890 50 8528 25 250 3190 410 165 42360 6805 315 68188 6647 4000 33773 1599 1034 42217 44695 4218 350 200 82765 246075 5540 24118 28687 1042 11790 CSC 10 4 575 598 8 350 300 185 360 378 858 179 1600 265 225 80 411 iVoo 400 5854 12320 1660 619 4830 3031 453 168 6006 9835 1588 370 20944 55422 10718 4308 1407 2686 463 119 46477 41946 9706 2439 4623 12005 2048 252 6199 18905 3421 1443 9589 21817 3732 875 20241 91180 6384 21849 6523 13106 1763 2751 8923 25565 4459 1089 4 2874 37874 7441 3082 28140 66870 14465 2675 6201 16570 2 525 2161 9402 35012 5823 951 48636 43363 6669 4451 27992 59595 13893 8133 7897 58353 7291 986 3248 16134 2669 964 20624 37252 5660 2209 608 1821 322 13816 23062 5179 2019 3442 10565 1768 529 10299 16682 3321 7618 21052 4383 725 1984 20896 4135 14422 38477 4412 400 2905 10703 1871 14 4043 2729 377 169 47480 39700 7195 2430 21684 50739 11148 2525 1065 22593 2249 2376 9399 39472 8564 611 638 2588 329 82 26665 12705 1775 3035 14177 25898 5472 1212 11612 21110 4148 1333 35920 21600 46100 227415 13015 121347 32678 49671 60743 233794 47802 77157 94822 151880 40230 S3167 140035 1 75053 150255 30369 167583 5898 80711 27572 66677 56307 138041 92015 24996 8083 116250 162156 74361 146587 4187 380450 100676 50653 Q O r H X o f r tin X C X HTABLE No 16Continued Oglethorpe Paulding Pickens Pierce Pike Polk Pulaski Putnam Quitman Rabun Randolph Richmond Rockdale Schley Screven Spalding Stewart Sumter Talbot Taliaferro Tattnall Taylor Telfair Terrell Thomas Towns Troup Twiggs Union No of Acres of Iand Val ue of Land 6951 2497 963 7004 5714 6842 14614 6801 3 460 980 8597 6152 2306 3492 17075 3551 121 13468 8149 6635 20181 10130 8477 13286 21412 545 9597 7174 174 21395 10997 1968 23950 32911 27067 50979 28951 8795 705 3610 158915 14470 1346 21905 34369 35387 80335 27011 20157 59038 13825 16442 64351 68562 310 38422 17980 370 City or Town Property 3550 1160 477 4450 184911 12335 26976 27485 26651 31060 597420 7347 2680 1919 80115 18145l 194047 6560 32101 885 2558 4340 14030 99325 Amount of Money and Solvent Debt of all Kinds Household and Kitchen Fur niture Horses Mules etc Plantation and Mechan ical Tools Value of Property not Enumerated Aggregate Value of Whole Prop erty 4245 2115 847 7845 16332 7177 22318 12372 6294 224 13420 41280 8267 9815 12334 15678 31779 37249 12376 6989 16204 6878 7241 26368 26833 65 15174 6896 152 26750 7119 876 10729 29699 17152 45901 44051 10821 899 24490 20445 10911 12275 45756 26617 40541 48112 29595 17935 34510 11350 13917 44584 52252 245 38871 22905 313 349 675 S 60935 116c 364 23052 8f 61 7027 1726 75 51291 1490 714 10665s 2596 55S 67356 10675 4866 166289 6691 120749 30946 1880 231 140 41 2050 5535 835 109760 4410 14750 856450 2266 159 44021 2684 743 42218 7278 3084 93973 5946 1282 164188 2289 11167 139888 12076 4557 381376 6449 1269 83469 3642 1055 53821 4958 3475 124171 2296 963 38416 1366 2582 46303 10564 4621 164868 11153 5794 271968 14 11 801 8580 1324 168202 4846 1102 53969 16 9 860 a o H SJ o tl O is OS a H o w h3Dpson Walker Walton Ware Warren Washington Wayne Webster White Whitfield Wilcox Wilkes Wilkinson Worth Total 714 8264 226 4445 910 3714 571 9935 459 1266 1172 7878 422 10627 438 3404 11 1176 192 225 481 8569 1755 8386 719 7682 803 6994 109864 1043860 4450121 2695 i 9740 19213 12618 3748 33541 13151 9485 2297 7071 14435 32715 20731 18524 87101 1685 2960 43103 4155 12509 9455 795 150 30075 5392 51150 2456 965 370 300 382 1416 839 S53 1297 32 70 207 845 1675 658 324 10 4851144 158309 360 870 25 301 675 7771 2314 9670 16076 3503 28237 4385 8087 690 4875 7652 13720 11335 8569 77885 14868211 21007 5497 803 71119 9966 832 344 25181 17733 3177 1446 54581 11383 1505 1235 87696 87C0 1299 1195 24299 47794 8770 3862 135591 6698 989 1103 37075 13033 2316 251 3399 2819 388 181 6595 7536 800 722 51286 10200 1414 2439 42407 36940 6525 2950 146350 24827 5 10 1269 66586 23245 145 956 57036 3130818 547739 257838 14960675 Amount returned 1893 Amount returned 1892 Increase 14960675 14869575 91100 O K fed o f It1 H O B fed It1 fed fedCOUNTY o s Appling 8 7971 03 Baker 3087 68 Baldwin Banks 8919 86 5205 51 Bartow 21030 04 Berrien 11752 53 Bibb 95420 23 Brooks 14404 88 Brvan 3587 28 Bullooh 11840 44 15163 94 7849 04 Calhoun 1453 68 amdon 5376 41 Campbell 8449 32 Carroll 17651 55 Catoosa 5084 01 Charlton 2810 82 Chatham 150628 46 Chattahoochee 2980 30 Chattooga 11571 88 Cherokee 10308 85 Clarke 37373 68 Clay 5920 98 Clayton 1 7130 08 Clinch 5634 81 Cobb 2572 03 Coffee 11743 501 Colquitt 5648 46 Columbia 5186 91 22967 42 Crawford 1703 02 Dade 6013 61 3770 44l TABLE No 17 Showing Statement of Tax Collectors Accounts for the Year 1892 J M CO Q OS o o 32 1750 00 779 00 1519 00 1403 on 2962 00 2520 00 0798 00 2099 00 894 00 2659 Oil 3177 00 1545 00 1055 mi 980 mi 1547 00 3462 00 856 011 530 001 7457 00 811 00 1813 00 2228 00 2577 00 1073 Kl 1393 00 1731 mi 3W0 00 2109 0U 1618 00 1216 00 3999 00 1421 00 733 00 769 dii SS a m a MP G rH 5 p 31 10 27 37 55 29 74 70 81 54 604 90 86 13 3 43 128 40 68 94 106 13 15 67 34 25 1 791 29 is 112 40 17 32 2397 57 12 05 39 22 12 52 126 04 30 82 15 21 25 01 722 74 35 03 190 237 3 22 22 25 7 00 5 id 56 00 33 00 49 00 138 00 207 00 32 00 11 00 no oo 250 00 78 00 11 no 62 001 12 oo i 00 14 00 6 01 223s Kl 03 00 11 00 45 00 92 00 31 00 21 IX1 10 00 68 001 20 00 17 00 250 00 15 OOj 23 00 2 no 889 15 67671 4 49 2 54 05 50 56 1654 70 415 88 410 42 287 78 218 158 79 99 2ii 1015 85 103 00 601 57 J si S 3 2o2 a o o poo 9757 13 4839 20 10527 15 7308 93 24211 58 14277 02 103092 67 16682 01 4498 76 15363 40 20S14 68 9578 17 5984 23 6452 66 10010 11 21149 03 6476 83 3361 14 1112721 os 1154 13 13438 12624 371 10169 32 7063 98 8718 11 7400 32 30081 77 13913 59 7573 51 790i 84 27087 64 6771 44 0755 61 1539 14 7419 85 1357 3 i Si 279 31 3688 7 023 79 149 97 8365 97 1310 29 298 80 5109 10 1203 0 212 43 19998 20 2509 3 520 77 11067 39 1999 8i 363 94 89840 90 2 Ii5i X 13635 66 1607 94 404 61 3212 54 077 27 163 00 11742 20 2092 367 73 15605 80 2747 50 430 13 7377 48 1271 95 270 62 4584 00 853 11 191 71 1943 00 884 94 213 23 7932 261 1313 60 289 00 li79i 82 3120 09 180 82 5162 00 769 00 205 74 2496 79 391 66 131 17 136906 18 5582 39 2092 60 2 857 80 713 45 1 to 89 10703 52 1512 69 352 00 9678 58 2065 85 339 95 35621 62 1835 85 743 97 5206 46 773 82 217 00 6749 00 1077 49 256 20 5081 21 932 74 217 84 24896 33 2630 18 598 28 10 937 69 1520 20 353 05 5274 18 896 31 218 96 5914 40 1112 75 217 62 21758 53 2618 43 048 63 4889 30 1124 16 203 12 5550 03i 609 71 221 11 3488 34 673 32 168 lol si a 03 2SO 50 11100 303 00 If 153 78 70 51 153 00 301 21 94 8 120 CO 215 1 413 6 180 42 95 00 474 00 522 7 370 92 73 9 401 00 1535 2l 3301 98 4264 00 42 67 412 37 194 42 367 00 106 70 119 25 175 60 160 00 009 00 376 23 450 11 561 14 108 74 34 71 1020 00 263 00 175 00 280 38 195 20 01 213 55 105 91 92 00 290 14 23 11 162 no 484 20 71 60 187 00 202 72 95 71 41 01 139 35 97 87 11987 78 101 00 3925 00 2220 78 148 78 19121 97111 351 i 72 142 78 213 00 t157 39 341 88 112 11 86 00 710 80 107 08 751 01 230 00 309 64 267 00 261 50 114 92 259 00 238 21 212 291 718 00 594 84 472 14j 890 00 364 il 222 00 516 00 219 33 288 73 676 00 216 57 172 60 330 31 115 82 272 00 1239 00 229 00 556 741 210 04 224 28 71 48 79 00 169 63 li On 9757 13 1839 2 10527 15 7308 93 24211 58 14277 02 103092 17 16682 01 1498 76 15363 40 20814 68 9578 17 5984 23 0452 66 10010 11 21149 03 6476 83 3304 14 162721 03 4154 13 13438 10 12624 37 10169 32 7063 98 8718 11 7400 32 30081 77 13913 59 7573 51 7905 81 27087 64 6771 44 6755 61 1539 44 O o to to o tl F O oo to H to o toDecatur DeKalb Dodge Dooly Dougherty Douglas Early Ecbols Effingham Elbert Kmanuel Pannin Favelte Floyd Forsyth Franklin Fulton Gilmer Glasscock Glynn Gordon Greene Gwinnett Habersham Hall Hancock Haralson Harris Hart Heard Henry Houston lrwin Jackson Jasper Jefferson Johnson Jones Laurens Lee Liberty Lincoln Lowndes Lumpkin Maeon Madison Marion McDuflie Mclntosh Merlwether 16865 38 28673 45 9209 71 16540 26 17957 30 I594 00 7628 40 1879 06 6141 10 10984 39 12467 64 3353 i I 4995 in 44669 84 7219 28 9050 30 280067 48 3966 86 2316 58 32070 22 12033 26 10191 70 14704 66 9642 20541 10 11517 04 10300 85 9552 59 6571 92 5825 26 10806 19 16442 11 7908 28 1 1851 18 8181 28 12809 30 5529 16 6561 50 13994 92 6189 8125 3820 80 16669 17 3950 16 10341 11 5602 51 7011 46 5093 51 4733 95 12722 72 3429 00 8 80 5 CO 2432 00 305 31 45 00 405 88 2121 00 4 85 17 00 132 26 121 00 2143 00 1512 0 1456 00 668 oil 8 56 14 00 24 25 17 00 87 00 89 81 1090 00 2495 00 5 26 23 15 14 00 2591 00 69 17 320 00 SO 1153 00 3 92 8 00 1805 57 1337 00 55 27 14 00 320 61 4112 III 1684 00 151 on 2 95 10 00 ii or 2265 00 8 85 2 00 23 20 7465 00 1326 00 1 25 2 057 12 695 00 1 60 3 00 1708 00 566 If 495 00 2206 00 48 56 27 00 2693 00 8 52 88 00 3179 00 25 76 n0 1881 00 54 84 31 00 2727 00 29 71 8 on 79 Of 98 00 1747 01 87 64 34 00 1 00 2460 00 34 91 35 00 441 03 1066 00 42 41 19 00 23 74 1546 00 12 94 34 00 2017 0C 118 81 70 0C 3298 Of 122 61 117 Ot 1521 00 29 42 14 00 3367 0i 73 4t 63 00 2195 0 3051 00 80 Of 12 71 19 00 2 05 1446 0 1804 00 14 9 24 00 868 48 2868 00 28 97 22 00 1406 0 1787 0 11 8f 5 00 82 70 959 oi 9 Of 8 0 408 47 2281 00 103 3f 58 00 975 M 8 6i 7 00 148 05 2048 Of 1619 01 40 It 41 0C 559 90 1390 Of 1328 Of 100 5 235 0C 515 09 987 0 2966 7 5 102 01 997 78 20308 18 31861 64 11352 51 20388 52 20122 86 8147 25 9324 78 2636 87 7236 36 13510 84 15448 61 6324 23 6728 81 49573 42 S927 89 11370 41 287532 48 7351 53 3016 13 34839 68 I 1314 82 12981 22 17812 I 11609 61 23305 81 14584 04 12170 49 12523 53 8323 07 7418 20 13012 00 1997 9472 70 18354 83 10795 30 15894 05 6975 16 9271 94 16913 89 7595 75 10012 35 5205 36 19111 P 5088 89 12456 76 7863 25 8401 46 7338 17 5720 95 16844 03 15807 68 27986 52 8524 96 14382 01 16874 19 5639 85 7276 81 1756 10 5654 25 10371 52 11588 61 4875 70 50C6 61 11700 11 6774 20 8515 00 232742 00 5730 20 2112 28 30387 23 11847 92 9492 8 13788 72 8653 80 19358 20 10728 75 9031 22 9387 20 6178 47 5430 00 10245 95 14331 95 7331 87 14122 57 7582 62 11861 85 5107 12 0971 80 13106 38 5674 08 7545 10 3823 40 15779 31 3792 80 9339 98 5803 90 6467 03 5096 70 4322 13 12822 90 3029 72 2132 98 1551 38 2592 30 1269 38 1147 67 1349 00 300 00 880 58 2039 70 2191 85 1037 07 1202 3450 82 1540 82 2049 72 1181 65 5 12 00 1797 30 1905 75 1906 99 2833 71 1632 84 2293 51 1877 48 1528 54 2033 47 1502 53 1396 81 1765 24 2460 26 1176 63 3084 09 1913 91 2183 25 1135 50 1515 75 2438 87 1049 20 1495 23 803 84 1882 14 866 1198 71 1449 2 911 40 1139 46 606 34 2291 78 464 09 632 20 301 03 435 38 453 243 24 276 02 1115 50 229 46 352 13 376 99 168 65 21 I 52 843 20 269 36 316 63 188 31 128 90 070 42 367 33 333 93 128 51 3111 15 507 02 355 55 328 90 325 25 2 6 35 237 27 311 82 431 71 273 70 438 SO 294 21 382 00 223 II 255 18 408 9 234 53 283 82 171 68 445 83 179 28 316 48 233 64 250 00 210 85 190 4 383 V 471 47 634 08 319 10 469 54 469 00 214 56 274 18 111 55 230 31 358 37 385 25 170 15 215 00 856 25 270 50 318 no 3851 0 ISI 82 130 30 673 61 309 20 347 97 435 08 300 80 514 81 355 58 332 4 332 71 257 20 238 85 818 05 445 58 281 08 440 77 294 86 400 05 229 44 259 78 115 71 243 23 287 34 177 00 448 88 180 62 826 00 234 97 201 52 216 97 200 15 397 04 285 22 226 86 447 09 1536 29 251 49 50 49 40 77 35 00 95 76 50 12 312 91 31 00 20 93 1735 01 20 95 27 26 10 55 4 70 976 12 104 56 154 50 228 37 531 72 303 17 203 08 190 41 111 90 48 46 80 77 91 81 1191 27 134 36 85 00 108 70 310 90 57 90 06 40 227 95 119 08 203 83 131 11 195 81 24 47 194 53 85 47 108 51 339 19 78 Mi 311 1 250 oo 249 00 179 00 973 00 805 00 302 00 108 00 328 00 313 44 1 16 00 345 00 593 00 38 00 59 00 982 00 52 00 113 00 51 06 48 00 835 00 220 00 745 00 198 00 180 00 228 00 1003 00 159 00 50938 23 50 333 00 so 00 85 00 216 00 sio 00 275 00 188 00 511 01 750 00 222 00 203 1 310 III 275 Of 01 197 00 95 00 08 360 0 45 00 781 00 106 00 404 00 385 323 00 638 001 20308 31861 11352 20388 20122 8147 9324 2636 7236 13516 15IIS 6324 6728 49573 s927 11370 287532 7351 2010 34839 1 1814 12981 17912 1 609 28305 14584 12170 12528 8323 7418 13012 19979 1472 18854 10795 15894 6975 9271 16913 7595 10012 5205 19111 5088 12456 7863 8401 7338 5720 16844 18 64 5f 52 86 25 78 87 36 84 61 23 81 42 89 11 48 53 18 68 82 22 42 61 M 04 49 53 07 20 00 77 70 83 30 05 10 91 o o g H S O t1 f1 O do W n o TABLE No 17Contln COUNTY Miller Milton Mitchell Monroe Montgomery Morgan Murray Mnscogee Newton Oconee Ogletliorpe Paulding Piekens Pierce Pike Polk Pnlaski Putnam Qultman Itabun Randolph Richmond Rockdale Sehley Screven Spalding Stewart Sumter Talbot T liaferro Tattnall Taylor Telfair Terrell Thomas Towns Troup 227 51 J 03 Zo x QJ o ZJCD Oo C U OS4 o CO H 725 28 6200 09 11455 si 16107 82 11350 28 17579 39 7529 24 80889 56 16246 31 7221 28 11659 22 9027 01 6262 ST 8183 08 16671 20 17495 72 13540 90 12688 62 3941 15 4184 33 14129 67 129608 40 7719 52 5601 86 10919 74 19238 46 13026 01 34160 84 9892 75 5585 26 16701 41 7987 47 7108 61 16565 62 28711 91 3198 65 24075 47 O O B a o ir1 r1 i O r oo fd O Ed HTwiggs Union Upson Walker Walton Ware Warren Washington Wayne Webster White Whitfield Wileox Wilkes Wilkinson Worth Total 566 271 67 102 797 033 196 564 461 786 204 568 173 217 193 793 1109 001 1193 00 1626 00 2192 00 2549 00 1504 dO 1544 00 3538 00 1273 00 89 i 00 857 00 2204 00 1694 00 2986 00 1757 00 1850 00 2082311 11 285625 00 11106 86 2 70 40 79 135 66 86 56 152 18 34 98 15 00 140 77 28 91 4 92 53 47 102 00 14 46 41 58 17 94 Attorneys Fees fFi Fa issued 6 00 31 00 31 00 126 00 46 00 234 00 25 00 29 00 23 00 4 00 21 00 60 00 22 00 27 00 24 00 1198 S3 862 34 12402 586 59 30S 19 5 675 01 5 672 37 9465 70 16 764 16 16 559 15 14 336 15 9171 43 23142 23 8028 11 4733 8 4657 23 18155 16 10629 36 18269 46 8510 08 11685 30 Settled since going to press 4221 20 7281 69 13249 97 13032 58 11736 58 6796 70 17594 15 6256 95 3488 15 3529 SO 14580 60 7638 09 14463 if 6225 50 8988 95 9469 OOJ 25034 37 2418511 341 1926863 20 607 41 1072 72 1400 75 1879 85 2274 60 1148 32 1138 15 2477 22 1002 69 752 13 748 60 1749 60 1178 47 2305 00 1387 51 1170 IS 208210 65 175 77 168 31 277 30 399 87 404 60 360 75 242 79 488 38 245 36 172 17 157 117 53 280 23 431 11 243 71 314 45 47095 33 199 37 169 10 280 38 410 20 408 55 369 91 253 30 514 241 79 174 45 158 50 419 40 289 88 437 04 214 1 323 92 52947 3 504 00 410 00 i 04 37 00 62 58 163 00 582 27 242 00 160 82 278 00 391 59 330 00 188 49 552 00 803 OS 947 00 59 32 162 00 45 98 101 00 15 20 47 65 605 03 383 00 154 69 488 00 56 42 576 00 108 19 301 00 279 50 308 00 I ff 748 49 52787 33 63259 31 3675 14 5672 37 9465 70 16764 16 16559 15 14336 15 9171 43 231 12 23 8028 11 4733 88 4657 28 18155 16 10029 30 18269 46 8510 68 11685 30 62383 19 2413546 34 o o So c r r a s 6 H f w 9 a o wttfcja goHnnflBi W2 COMPTROLLERGENERALS REPORT TABLE No 18 Showing Statements of Property of Railroads Returned for State County and Municipal Taxation for Year 1893 ARLINGTON EXTENSION State return County returns I ougherty alhoun Early City returns Leary Williamsburg lilakely Arlington State return ATLANTA DIVISIONCENTRAL RAILROAD County returns Bibb Monroe Pike Spalding Henry Clayton lulton 12755 1412650 77550 235200 1726450 City returns West End Atlanta iriffin lonesboro East Point Eorsyth Barnesville Milner Hampton m Maeon County returns Sumter Lee I ougherty 1250 2999 1481 1778 717 2020 2510 83 1098 468 182 364 134 359 1801 470 ft 163588 371772 178119 197321i 85825 248705 167320 9822 47250 41904 206311 34521 13148 30305i 15191 10873 40000 2000 3000 5000 2000 925 24625 75 2550 5000 925 20001 2000 2000 10001 3025 44098 551 27043 30208 13113 37272 28659 1477 10422 7004 3218 5453 2262 4824 2417 2075 13700 City returns 1 eesburg Albany 247686 429579 208162 232529 100938 286902 220604 11374 80222 53908 24774 41974 17410 37129 18608 15973 13700 303175 hhmCOMPTROLLERGENERALS REPORT TABLE No 18 Continued ATLANTA WEST POINT 143 No Miles Value Track Heal Kstate Personal lroperty Total State return 9186 1301493 County returns Fulton Clayton Campbell Coweta Troup 841 75 172 2928 3616 City returns Atlanta East Point Fairburn Palmetto Newnan Moreland Grantville Hogansville LaGrange 131 229 170 151 138 283 122190 11325 245145 414936 507897 3150 12090 16440 15930 26190 17935 18120 14580 29010 50505 950 217676 2845 0425 37285 1569174 1000 1200 3400 1000 1000 1687 2500 77360 1104 38575 46792 53845 65668 1478 9700 1669 5483 1845 2164 1585 5570 ALABAMA GREAT SOUTHERN ATLANTA FLORIDA State return County returns Fulton Clayton Fayette Spalding Pike Upson Crawford Monroe Houston Uty returns Fayetteville Zebulon Culloden Roberta Fort Valley 200500 12429 286565 471153 599027 688 IS 13568 27140 18799 35073 20780 21284 17852 37080 State return 2785 300570 21050 81179 402799 Countv returns Pade 2785 300570 21050 81179 402799 City returns Rising Fawn 133 177 12350 9650 1775 1175 3632 2796 17757 13621 386000 28136 45087 459223 28172 2060 3291 33523 32929 4151 4038 41118 64028 3741 7378 75147 29270 2907 3503 35680 82322 7471 9776 99569 31465 2296 3676 37437 82322 4986 9505 96813 20489 521 2287 23297 15000 1633 472 16633 3988 350 4810 4390 350 516 5256 3293 350 397 4040 2634 175 306 3115 3110 339 3448 344 COMPTROLLERGENERALS REPORT TABLE No 18Continued ALBANY FLORIDA NORTHERN No Miles Value Track Keal Estate Personal Property Total State return County returns Iooly Worth Lee Dougherty City returns Albany 3690 1190 760 1390 350 194875 63750 39250 74750 17125 8652 13140 1001 3375 2810 1685 3424 732 2001 429 2642 5046 1155 2381 ATHENS BELT State return County returns Clarke City returns Athens 23 23 23 460 460 460 216667 70857 43577 83220 19012 3813 460 460 460 ALABAMA MIDLAND State return County returns Decatur Early City returns Bainbridge AUGUSTA CHATTANOOGA State return County returns Columbia Richmond AUGLSTA GIBSON SAXDERSVILLE State return County returns Richmond Burke Jefferson Glascock Washington City returns Augusta Hephzibah Iveysville Gibson Warthens Sandersville COMPTROLLERGENERALS REPORT TABLE No 18 Continued ATLANTA CHARLOTTE AIRLINE 145 No Miles Value Track Real Estate Personal Propeity Total State return County returns Fulton DeKalb Gwinnett Hall Banks Habersham 11551 1573 839 2415 3194 406 3125 City returns Atlanta Doraville Norcross Duluth Suwanee Buford Flower Branch Gainesville Lula Bellton Cornelia Mount Airy Toccoa 132 148 132 167 158 121 169 130 220 1651990 162150 115130 367290 477240 60600 469580 46640 16420 24840 25200 16960 18220 16960 17360 36310 10890 24960 17290 25060 I 84275 33626 1442 12472 11638 448 24649 18035 895 952 413 2206 1379 1447 2758 2558 848 2516 917 4688 146717 48588 6952 22799 30364 3637 34377 40827 1055 1606 1596 1209 1250 1169 1630 1947 1080 2676 1133 3091 1882982 244364 123524 402561 519242 64685 528606 105502 18370 27398 27209 20375 20849 19576 21748 10815 18818 20152 19340 32839 ABBEVILLE WAYCROSS State return County return Wilcox City return Abbeville 1850 1850 50 72000 72000 2000 2550 550 2575 2575 69 BUENA VISTA ELLAVILLE 77175 77175 2069 State return County returns Sumter Schley Marion Chattahoochee Muscogee City returns Buena Vista Ellaville 6491 282345 13630 6491 615 1542 1949 1669 696 159 155 27425 27290 84030 72280 31320 10180 6000 1891 4470 4412 1833 1024 1575 325 29750 1947 7213 8889 7449 3252 1181 636 325725 32263 78973 97331 81562 35596 12936 6961 n COMPTROLLERGENERALS REPORT TABLE No 18Continued BLUE RIDGE ATLANTIC No Miles Value Track Real Personal Estate Property I Total State returns 2120 78000 County returns HabershamI 21 Rabun 1000 ft City returns Cornelia 50 Tallulah Fallsj 1001 ft i7000 1000 1000 1000 10600 0000 4500 4600 r 11550 10820 730 130 730 100150 93820 6330 1130 6330 BOSTON ALBANY State return County returns Brooks Tbomas Colquitt City return Moultrie BK1NSWICK WESTERN State return County returns Glynn Wayne Pierce Ware Coffee Berrien Worth Dougherty 18975 28m2731 ft 17m3898 13m5243 31m3648 26ml912 31m4410 29ml277 10ml 736 City returns Brunswick 6m3670 1 Waycross 6m3234 Waresboro 5150 Pearson Im3749 Willacoocheei lm4300 Alapaha 3910 Tifton 2ml564 Ty Tyj lml325 Sumner Iml440 Acree 3480 Albany 3037 1096158 158603 103588 82730 182272 154470 186653 170564 57285 33348 32450 4913 8840 9257 3878 12184 7003 7090 3704 2300l 185984 61377 36019 7489 11750 10940 29019 21745 5540 56114 229 3131 1226 376 1812 1309 1096 326 414 23011 176382 54966 18820 9208 32442 15882 22012 19628 6422 41330 3335 533 1027 983 580 1387 826 757 420 469 CFTHBERT ETJFAULA State return County returns Randolph Quitman 2332 624 1708 178640 48590 130044 54475 1549 52925 14595 35 277947 154428 99427 226466 182293 237685 211938 59348 130792 35014 5759 11093 10615 6270 14881 8926 8174 4538 5071 233115 50145 182969COMPTROLLERGENERALS REPORT TABLE No 18Continued CHATTANOOGA ROME COLUMBUS 147 No Miles Traok Keal Estate Personal Property Total State return County returns Walker Chattooga Floyd Polk Haralson Carroll City returns Chickamauga LaFayette Summerville Rome Cedartown Buchanan Bremen Carroltton 1395 2112 296 28 206 19 123 5682 ft 5303 4735 11742 9470 4943 947 5682 976500 204400 207200 201600 144200 133000 86100 4261 3977 3551 8806 7102 370 710 4261 t 83698 83646 1143844 10500 7000 42198 9000 8000 7000 4400 500 400 500 250 400 16955 16900 19235 12087 11124 7345 683 353 312 695 601 312 56 368 231855 231100 263033 165287 152124 100445 9344 4830 4263 9501 8203 4269 766 5029 COLUMBUS ROME State return County returns Muscogee H arris Meriwether City returns Hamilton Chipley Greenville 16095 164490 3326 7079 5670 489 404 195 34036 72434 58020 5002 4136 1995 CENTRAL RAILROAD BANKING COMPANY 1064750 969750 95000 969750 95000 1064750 969 750 County returnn Chatham Bibb 95000 969 750 City returns 95000 V 148 COMPTROLLERGENERALS REPORT TABLE No 18 Continued COLUMBUS SOUTHERN No Miles State return Value Track Real Estate Personal Property County returns Muscogee Chattahoochee Stewart Webster Terrell Lee Dougherty City returns Columbus Cusseta Richland Dawson Albany 90 850 2025 1625 925 2275 850 450 150 1 1 1 125 480600 42750 109350 87300 49500 122400 45000 24 300 8100 5400 5400 5400 5535 22040 8640 7200 2160 1080 2610 810 540 2700 360 1080 1080 500 Total 43748 547388 4464 10124 7770 4394 10859 3979 2158 938 500 563 563 524 CHPOKAMAUGA DURHAM State returns County return Walker 1850 1850 85609 85609 7000 7000 2165 2165 COLUMBUS WESTERN State return County return Muscogee City return Columbus CHARLOTTE COLUMBIA AUGUSTA State return County return Richmond City return Augusta CHATTANOOGA SOUTHERN State return County returns Walker Chattooga 4861 3697 1164 282342 212606 69736 9414 6065 3348 41480 31090 10390 55854 125674 97230 54074 135869 49789 26998 11738 6260 7043 7043 6559 94774 94774 10680 29000 40000 79680 10680 29000 40000 79680 10680 40000 50680 333236 249761 83474 49ft mmCOMPTROLLERGENERALS REPORT TABLE No 18Continued CHARLESTON SAVANNAH 149 State return No Miles County returns Effingham Chatham State return County returns Brvan Bulloch State return County returns Mclntosh Liberty 124 5 119 Value Track 82400 3500 78900 Real Estate Personal Property 83836 72500 11336 32337 14789 17548 Total 198573 90789 107784 DUBLIN BRANCH 25 950 1550 2500 950 1550 DOVER STATESBORO DARIEN SHORT LINE 2012 1662 350 62319 51480 10838 6515 EDEN AMERICUS EAST WEST OF ALABAMA State return County returns Bartow Polk City returns Cartersville Kockmart Cedartown 4850 15 3350 125 125 1 50 233500 72000 161500 5500 5500 6000i 9020 5540 3480 400 100 2575 32466 10536 21929 1063 740 1247 2500 950 1550 10 18000 4800 2040 24840 County returns Bulloch 975 25 17550 450 4800 2000 40 24350 490 City return Statesboro 25 360 500 77 937 72049 5364 58766 1150 13283 State return County returns 63 3 2333 3667 358400 15720 134860 207820 42650 1700 19150 21800 51800 2250 19892 29658 452850 19670 173902 259278 274986 88076 186909 6963 6340 9822il 150 COMPTROLLERGENERALS REPORT TABLE No 18 Continued ELBERTON AIR LINE State return County returns Habersham Franklin Hart Elbert No Miles Value Track City returns Toccoa Martin Lavonia Royston Bowersville Bowmans Elberton 5214 2359 896 1459 87 58 00 115 117 112 125 179375 liS70 81340 31080 50085 2415 1890 1925 3867 3815 3745 3745 Real Estate Personal Property Total 4950 12496 1300 1560 19730 1525 5452 88317 325 2057 33462 1850 3428 55313 1300 634 4349 250 187 2327 450 197 572 250 293 4410 375 303 4493 600 308 4053 800 361 4906 196822 EATONTON BRANCH State return County returns Putnam Baldwin City returns Eatonton Milledgeville 22 62 12 10 62 1 02 EAST TFNN VA GAATLAXTA DIVISION State return County returns Floyd Polk Paulding Cobb Fulton DeKalb Clayton Henry Butts Monroe Bibb City returns Jackson Dallas Flovilla Semy Kockmart Atlanta Austell Rome McDonough East Rome North Rome Jenkinsburg 17250 2275 18 2325 9 22o 425 675 2650 1975 21 825 4458 6490 4200 9200 10790 86616 7304 8145 4080 37875 1200 0710 ft 1535000 120000 151500 216000 78000 145000 41000 63000 250000 187000 202500 81000 5971 8717 16226 13103 13301 82137 8573 8014 7972 35510 2272 130800 7500 8000 12000 4500 54260 4500 6040 6000 5000 29000 298366 1990107 1000 1000 500 11083 1000 51200 500 7500 1500 3940 3000 2807r 155584 25516 185016 36123 264123 12991 95491 56966 256226 7173 52673 11020 80000 40492 296492 30504 222564 30059 268159 12772 93772 1290 8267 1097 11414 2780 19506 2108 15211 2556 10917 57080 183 478 1429 10 502 9727 25241 1643 11115 6816 56266 885 0157 1744 12827 L COMPTROLLERGENERALS REPORT 151 TABLE No 18Continued EAST TENN VA G AALABAMA DIVISION j No Miles Value Track Real Estate Personal Property Total State return County returns Whitfield 103 37 1612 4260 725 125 4 25 1076000 32300 161565 396000 5000 59110 185333 10933 28665 415667 14567 62118 79000 1800 11666 11000 700 1689 29084j 1500 4618 1269865 260116 224931 Floyd Polk City returns Cave Spring 492352 92466 13389 35202 EAST TET vN VA t GABRUNSWICK DIVISION State return County returns Bibb 23025 1975 2175 28 3150 2325 4 36 3825 2825 65615 ft 16010 7430 9120 11880 14610 7830 6860 12870 6900 50950 30960 3300 2061000 123000 207000 208000 298500 218500 35500 343500 363000 254000 64661 26620 8123 13861 17994 24504 11930 11371 18747 11226 59665 49439 6250 75400 32830 3659 9147 2720 8684 3529 5436 4397 4998 12000 600 350 550 50 449375 56368 38262 40605 54851 41489 7868 63653 66809 80271 40180 5357 1628 2740 3277 4449 2231 2223 3542 2109 10956 42829 1112 2585776 222198 Twiggs Pulaski 248923 253752 356071 Teltair 268673 Coffee 46097 412589 434286 Glynn City returns 339269 116841 32571 Hawkinsville 10101 17151 21321 29013 McRae Scotland Lumber City 350 350 400 350 100 4000 14511 13844 22689 13685 70721 96268 Frazier 7372 EAST TENN VA G VROME AND DEC ATUR DIV ISION County return 187 187 112200 112200 8300 8300 8322 8322 128822 128822 MNHN 152 COMPTROLLERGENERALS REPORT TABLE No 18Continued GEORGIA MIDLAND GTLF No Miles State return County returns Muscogee Harris Meriwether Pike Spalding Henry City returns Columbus Woodbury Molena Concord Griffin 103 16 24 1650 1850 18 10 50 50 50 Value Track Real Estate Personal Property Total 602000 102835 154252 106048 118902 115689 64271 19281 3213 3213 3213 128541 51500 18500 9500 2600 14500 3400 3000 11000 500 1300 1300 1000 98300 16717 22560 14969 18379 16407 9268 4172 512 622 622 1908 811800 138052 186312 123617 151781 135496 76539 34453 4225 5135 5135 15762 GEORGIA RAILROAD AND BANKING COMPANY 53000 1450 4900 400 3250 43000 681355 County return 734355 Clarke 1450 Morgan 4900 DeKalb 400 Fulton 3250 Richmond 681355 681355 43000 City returns Augusta 681355 Union Point 1450 4900 400 3250 43000 681355 1450 Kutledge 4900 Lithonia 400 3250 43000 GEORGIA CAROLINA NORTHERN State return Countv returns Elbert Madison Clark Oconee Jackson Walton iwinnett DeKalb Fulton City returns Elberton Athens Statham Jug Tavern Lawrenceville Atlanta 13255 25130 20439 16942 2753 8868 1366 33027 17333 6698 2835 3582 1000 1571 1000 140 1000448 201040 163512 135536 22024 70944 10928 204210 138004 53584 22680 28050 8000 12568 8000 1120 130461 36322 12959 14133 1658 5102 759 22042 11063 36423 10700 2395 764 1020 659 321951 1505351 275783 1994911 217573 24082 76740 11087 324942 108417 200619 35180 86876 9904 15713 10159 141515COMPTROLLER GENERALS REPORT 153 TABLE No 18Continued GEORGIA SOUTHERN FLORIDA State return County returns Bibb Houston Dooly Worth Irwin Berrien Lowhdes Echols No Miles Value Track Real Estate Personal Property City returns Maeon Cordele Tifton Adel Yaldosta 1 15 30 24 42 25 650 14 75 33 33 25 2 1 66 2 85 2 52 1 67 2 28 Total 1299500 64150 281330 1644980 110127 222089 310191 47721 108291 242279 244115 14683 12187 20924 18501 12260 16739 29865 15550 8443 601 201 3501 5986 47800 28882 49028 65740 9969 22384 50707 51591 3029 6187 4317 3817 2529 3453 GAINESVILLE JEFFERSON SOUTHERN GEORGIA PACIFIC State return County returns Fulton Cobb Iouglas Carroll Uaralson City returns Atlanta Ausiell Lithia Springs Rouglasville Villa Rica Temple Bremen Waco Tallapoosa 9207 2408 1284 1867 1054 2584 548 137 181 206 173 166 211 142 401 1229370 245140 185810 281080 150570 366770 32690 17110 18430 25680 18190 17980 22580 14010 38030 209312 42372 34800 45922 25358 60859 6278 3112 3227 4347 3233 3147 3954 2522 6476 168874 286668 384374 58292 130877 296488 301692 17712 36174 25241 22318 14789 20192 County returns Hall 6650 1025 2950 2675 125 1 75 150 121 1 50 118472 18261 52555 47656 2227 1781 1336 2671 2136 1781 891 6647 1300 3600 1747 1120 22604 3534 10145 8925 605 321 209 482 386 367 161 147723 23095 66300 58328 City returns Gainesville Pendergrass 3952 2102 150 1755 3153 Jug Tavern 2522 250 2398 Social Circle 1052 1522931 307573 253166 334460 184554 443171 44445 22413 23309 31533 23340 22770 28451 18244 47282 L p BBnaDBiBanBB 154 COMPTROLLERGENERALS REPORT TABLE No 18Continued HARWELL No Miles Value Track Real Kstate State return County return Hart City returns Hartwell Bowersville Personal Property Total 103 264601 1490 103 25450 1490 113 16 2630 315 725 3785 3786 550 43 30725 30725 3005 358 INDIAN SPRINGS FLOVILLA State return County returns Butts State return County return Jefferson State return County return Gwinnett City returns Suwanee Lawrenceville State return County return Ogletborpe State return County return i Muscogee City return Columbus 250 250 7500 7500 4250 4250 LOUISVILLE WADLEY LAWRENCEVILLE BRANCH 975 975 95 28 19325 19325 1775 510 3600 3660 60 450 3800 3860 308 191 LEXINGTON TERMINAL 5280 5280 500 500 3675 3675 MOBILE GIKARD 11750 11750 26845 26845 2143 1151 9455 9455 9560 74000 53000 136560 9560 74000 53000 136560 9560 10000 53000 72560 COMPTROLLERGENERALS REPORT 155 TABLE No 18Continued MILLEN SOUTHERN No Miles Value Track Real Estate State return County returns Emanuel Burke 35 33 if 68245 62395 5849 1250 850 400 Personal Property 16712 15209 1503 Total MACON AUGUSTA State return County returns Warren Hancock Baldwin Tones Bibb City returns Warrenton Sparta Milledgeville 779 128 27 193 172 16 11740 1 3027 25040 439853 72536 153005 107775 97470 906 8220 9745 16418 565 9295 13145 27350 5775 4460 2715 3200 26012 4297 8724 7094 5421 476 666 654 1030 MACON DUBLIN SAVANNAH State return County returns Bibb Twiggs Wilkinson Laurens Chatham City returns Macon Dublin Savannah 56 71 10 24 23 50 1 40 21 57 1 26 1 53 226840 40960 94000 5600 86280 5040 6120 36534 22422 6320 546 4005 3200 12598 1130 3200 16900 4068 6437 395 5795 205 1132 465 205 MIDDLE GEORGIA ATLANTIC State return County returns Jasper Putnam 20 6 14 59000 17000 42000 1010 10 1000 2585 733 1852 86207 78454 521430 16128 174874 142219 108666 9543 13346 13114 20648 280274 67450 106757 6541 96120 3405 18770 7715 3405 62595 17743 4485215 6 COMPTROLLERGENERALS REPORT TABLE No 18Continued MARIETTA NORTH GEORGIA State return County returns Cobb Cherokee Pickens Gilmer Eanmn City returns Marietta Canton Jasper Ellijay Blue Ridge State return County returns Bibb Crawford Monroe Epson Meriwether Troup City returns Thomaston AVoodbury EaGrange State return County returns Bibb Jones Jasper Putnam Morgan Oconee Clarke City returns Hillsboro Monticello Macben Shady Dale Madison Athens Watkinsville Macon No Miles Value Track 1074 10 50 251 i 2075 2375 29 1 75 75 75 1 3 f 624000 61500 153000 122250 140250 147000 4500 4500 4500 6000 18000 Eeal I Personal Estate Property 36275 675 9200 9200 8300 8900 Total 52650 4958 12934 10482 11846 12430 375 383 391 510 1467 L 712925 67133 175134 141932 161396 168330 5075 5183 5291 6910 19867 MACON BIRMINGHAM 93 20 3 7 3445 2242 1140 162 83 157 391460 79670 11951 27885 137232 59310 45412 6435 3297 6238 49900 7898 2859 6038 28327 4036 742 471 471 141120 27999 4735 10846 52935 29 847 14758 2208 1054 2145 MACON NORTHERN 11145 570 2675 2595 150 2690 1475 890 120 180 160 90 190 560 91 4 662700 34200 160500 155700 9000 161400 88500 53400 7200 10800 11600 5400 11400 33600 54H 24000 90810 34980 1390 11230 16350 16120 10740 75 300 100 61770 14753 11123 11469 618 12212 300 582480 115567 19545 44769 218494 123193 60912 9115 4351 8854 815280 83933 173013 178399 9618 189962 273 10000 4407 111808 68547 499 7774 762 11862 666 10366 371 5771 804 12504 2308 35908 394 6127 2336 36336 COMPTROLLERGENERALS REPORT TABLE No 18Continued MIDVTLLE SWAINSBORO RED BLUFF 157 State return Xo Miles County returns Emanuel Burke Richmond 1775 1775 Value Track Real Estate Personal Property 50000 50000 6188 3500 768 14250 13568 195 487 NASHVILLE CHATTANOOGA ST LOUIS State return County returns Dade 334 334 33180 33180 6000 6000 NORTHEASTERN State return County returns Clarke Jackson Banks Hall City returns Athens Harmony Maysville Lula 4111 604 2235 507 775 193 213 121 94 318530 43120 176750 38360 60300 10540 16390 8630 5820 9260 4062 2423 619 2156 1217 913 264 873 15809 2094 7876 1713 4146 517 760 391 1694 Total OCONEE WESTERN State return County returns Pulaski Dodge Laurens Houston 111500 40500 38500 31500 L000 280 280 5915 2143 2052 1667 53 70438 67068 963 2407 MACON ATLANTIC State return County return 119 85 34 47600 34000 13600 8560 6114 2446 60000 42857 1714 116160 82971 33188 39180 39180 343599 49256 187049 40692 66602 12274 18063 9285 8387 117695 41643 40832 33167 1053 PORT ROYAL WESTERN CAROLINA State return County returns Richmond 1793 887 906 22 102000 48975 53025 12147 43700 22400 21300 22400 5250 2095 3155 532 150950 73470 77480 City return 35079 158 COMPTROLLERGENERALS REPOR T TABLE No 18 Continued PORT ROYAL AUGUSTA No Miles yalue Irack Real Personal Estate Property Total State return County return Richmond City return Augusta 530 530 1 24050 45133 3976 72164 i 24050 45138 3976 72164 4537I 13410 323 18 95 0 PERRY BRANCH State return 1250 30875 County return Houston City return Perry 1250 88 30875 1765 3900i 3900 2250 34775 34775 401 ROSWELL State return Countv returns DeKalb Milton Pulton 24 644 201 79 27460 19160 6030 2270 1370 1170 200 4055 2846 844 345 32865 23176 6874 2815 ROMERome State return 20 85500 13850 19032 118382 SAVANNAH AMER1CUS MONTGOMERY State return County returns Stewart Webster Sumter Dooly Wilcox Dodge Telfair Montgomery Tattnall City returns Rhine Abbeville Rochelle Seville Cordele Americus Richland Lumpkin 21110 3770 1420 4350 2170 2420 1490 1380 3910 130 60 50 70 2101 6501 125 401 1090250 198650 77500 214650 110050 123800 79250 69600 208750 8000 6250 1800 1550 2050 5850 20250 3875 13001 269214 100706 300619 162900 169481 128285 98632 302643 9944 8390 2563 2691 2781 8343 33561 5581 1848COMPTROLLERGENERALS RpPORT 159 TAPLE No 18 Continued SAVANNAH GRIFFIN NORTH ALABAMA No Miles Value Track Real Estate Personal Property Total State return County returns Spalding Coweta Fayette Carroll City returns Carrollton Whitesburg Newnan Sharpsburg Turin Henoia 0367 276606 44000 15250 332856 10571 47106 3089 134172 606 26028 1015 69300 6371 175 185 114 119 228 27660 5850 6807 4752 4842 6804 1000 34000 1000 5000 3000 250 2150 200 200 900 1818 9504 1020 2808 1159 230 341 187 190 291 49924 174526 28048 77108 31825 6330 12608 513tf 5232 799o SAVANNAH ATLANTIC State return County return Chatham City returns Savannah Tybee State return County returns Chatham Fffingham 84 108 SOUTH BOUND 3281 13365 13365 545 556 70200 31653 2880 7850 07320 23803 52325 52325 2135 2176 340548 84455 256093 State return County returns Emanuel Tattnall SYLVANIA STILLMORE AIRLINE 196 83 113 25000 8500 16500 25000 8500 16500160 COMPTROLLERGENERALS REPORT TABLE No ISContinued SOUTH BRUNSWICK TERMINAL State return County returns Glynn Wayne State return County return Richmond City return Augusta State return County return Oglethorpe State return County return Muscogee City return Columbus No Miles Value Track Renl Estate 17 50 1550 250 71700 63300 8400 8000 8000 Personal Property 5200 4652 548 Total 84900 75952 8948 SANDERSVILLE TENNILLE State return 325 10000 1500 3647 15147 County return Washington 325 10000 1500 3647 15147 City returns Sanders ville Tennille 1 50 3077 1538 1500 1451 488 6028 2026 SOUTH CAROLINA 9 9 25 3600 3600 3600 52000 52000 52000 1750 1750 1750 5750 57350 57350 SMITHONIA DUNLAP SOUTH WESTERN 61500 61500 61500 61500 61500 61500COMPTROLLERGENERALS REPORT TABLE No 18 Continued SAVANNAH FLORIDA WESTERNMAIN LINE IG1 No Miles Value Track Real Estate Personal Property Total State return County returns Chatham Bryan Liberty Wayne Pierce Ware Clinch Lowndes Brooks Thomas Pecatui 343 670 2942217 381400 971787 4295405 City returns Savannah Tesup Blackshear AVaycross Homerville Pupont Valdosta Quitman Boston Thomasville airo Bainbridge 46 087 8 427 35 776 23 384 25 071 29 898 31 926 30 227 20465 34 611 37 798 21 454 3 362 2 491 i 1 1 477 1 856 140 3 925 2 861 1 862 943 369 271 304558 72144 306286 200193 214637 255901 273323 258778 175204 296311 404818 183671 31351 21368 OS 250 15889 18320 33002 24413 15940 50879 11720 53678 152286 7092 04842 20917 15561 24678 1420S 15727 14415 26133 25477 121111 7600 3152 12354 796 2075 275S 1127 1070 63111 856 36791 158201 22551 104791 63088 C5252 89518 908551 86488 53S37 90930 140274 86013 11404 6855 31826 4605 6200 10545 7760 4756 11550 3741 16450 705040 101788 475017 284199 205450 370158 378447 300003 243450 413375 666570 300705 50355 31370 142430 21351 20505 40005 34180 21767 73747 16317 73813 SAVANNAH FLORIDA WESTERNJACKSONVILLE DIVISION State return County returns Ware Pierce Charlton City return Waycross 400701 13708 71001 20051 157 310037 107390 55848 150397 12300 24390 3327 2001 10000 S45 425 420 344S72 110718 58335 175818 12300 SAVANNAH FLORIDA WE STERNALB ANY DIVISION State return County returns Thomas Mitchell Dougherty City returns Ochlocknee Meigs Pelham Camilla Albany Thomasville 65 400 21 242 31 398 12 856 1 325 1 500 046 4 283 1 660 1 449 500722 181856 268803 110062 11343 12841 17516 30007 14203 12405 28732 8420 8480 11822 300 l30o 1275 850 8287 1455 40 440 975 220 975 500900 100316 277733 122860 11673 14140 19011 37517 23525 12405162 COMPTROLLERGENERALS RE PORT TABLE No 18Continued AVANNAH FLORIDA WESTERNGAINESVILLE DIVISION Xo Miles Value Track Real Personal Kstate Property Total State return County returns Clinch Echols 27321 9941 17380 181351 10097 9930 20137s 65986 115305 4030 0001 i 70022 99301 131356 SAVANNAH FLORIDA WESTERNMONTICELLO DIVISION State return County return Thomas City returns Thomasville Metcalf 13250 87950 4960 1040 94557 13250 87950 4960 1646 94557 695 4613 8901 4013 11561 1341 2660 SAVANNAH FLORIDA WESTERNJUNCTION BRANCH State return 5191 34828 ounty return Chatham State return County return Talbot City return Talbotton 5191 34828 TALBOTTON 25000 25000 3572 1 2723 2723 750 750 500 37551 37551 2076 27826 207li 27820 3281 4400 UPSON COUNTY State return County returns Like Upson ity return Thomaston 1070 10000 1200 150 17350 543 11 33 5000 11000 900 300 150 0050 11300 1055 05 005 300 150 UNION POINT WHITE PLAINS State return County return ireene 1310 1310 City return White Plains 13000 13000 1000 1750 1750 135 14750 14750 1135COMPTROLLERGENERALS REPORT TABLE No 18 Continued WAYCROSS AIRLINE 163 No Miles Value Track Real Estate Hate return County returns Ware Appling 26 21 5 50000 40384 9615 400 200 200 Personal Property Total 5900 56300 4751 1149 WR1GHTSYILLE TENNILLE State return County returns Jefferson lohnson Emanuel WADLEY MOUNT VERNON 30 i 1750 550 54000 12000 31000 11000 877 400 477 6343 1389 3629 1327 45335 10964 State return County returns Washington 3950 1375 1075 15 104 217 170 112 116 1 143 050 56725 42925 43400 2537 9496 7400 2736 3878 3900 32480 820 2580 29080 200 100 250 50 125 3400 23720 9236 5490 8994 2624 1157 923 337 483 881 199250 66781 50995 81474 Citv returns Tennille Harrison V rights ville 536 1075 857 3123 Bruton I ublin 4483 8430 1 61220 13387 35029 12804Vii COMPTROLLERGENERALS REPORT TABLE No 19 Showing Statement of Property Returned by Street Railroads for State County and Municipal Taxation for Year 1893 ATHENS No Miles Value Real Estate Personal Property Total State return Clarke county Athens citfy 5 5 5 7000 7000 7000 3800 3800 3800 10000 10000 10000 20800 20800 20800 ATLANTA TRACTION State return 833 50000 10500 33712 100212 Fulton county 833 50000 16500 33712 100211 Atlanta city 4 24000 5000 22208 51208 State return Richmond county Augusta city Summerville city State return Dougherty county Albany city AUGUSTA 2070 2070 16 60 60000 60000 48000 1800 22500 22500 12000 500 ARTESIAN CITY 3 3 150 6700 6700 3350 62300 62300 43283 1659 1260 1260 630 134800 134800 103283 3959 AMERICUS ELECTRIC State return 10000 10000 10000 10000 10000 10000 Sumter county Americus city ALBANY 1 ougherty county 10000 10000 10000 Albany city 7960 7960 3980COMPTROLLERGENERALS REPORT TABLE No 19Continued ATLANTA CHATTAHOOOHEE 165 No Miles Value Track Real Estate Personal Property Total 9 2 130000 State return Fulton county Atlanta city 130000 28889 AUGUSTA SUMMERVILLE State return DeKalb county Fulton county Atlanta city I tecatur city West Fnd city State return Glynn county Brunswick city State return Muscogee county Columbus city State return Xewton county Covington city xford city ATLANTA CONSOLIDATED 5837 825 5012 36 9 337500 27750 309750 219750 150 14510 172300 1000 171300 97500 2500 258000 20000 j 238000 170710 104 5939 BRUNSWICK 8 S 650 19000 19000 14300 6000 6000 6000 15345 15345 L2460 COLUMBUS 16 16 12 48202 48202 36562 11737 11737 1737 OVINOTON OXFORD 2 12000 13500 1300 20800 Richmond county 12000 13500 1300 20800 0 12000 13500 1300 20800 707810 48750 719050 487958 254 22939 40345 40345 32700 60000 60000 48300 16G COMPTROLLERGENERALS REPORT TABLE No 19 Omtimtsd CITY SUBURBANSAVANNAH State return Chatham county Savannah city ELECTRIC RAILWAY COMPANY OF SAVANNAH State return Chatham county Savannah city GAINESVILLE A HALL COUNT State return Hall county Gainesville city 250 230 250 1800 1800 1800 State return Spalding county Griffin city 250 250 CRIFFIN 10000 10000 8000 2500 2500 700 700 700 2150 2150 1376 METROPOLITAN OF MACON 2500 25lii 250 14050 14050 t370 tate return Bibb county Macon city MACON NSOLDATED State return Bibb county Macon city MILLEDGEVILLE ASYLUM State return Baldwin county Milledgeville city 150 G450 15600 150 6450 15600 100 4828 1167S COMPTROLLERGENERALS REPORT TABLE No 19Continued ROME 167 State return Floyd count Rome city State return Chatham county No Miles 9 9 350 Value Track 26500 26500 10000 Real Estate 3500 3500 Personal Property 5980 5980 993 Total 35980 35980 11993 SAVANNAH State return 12 ill 400 8000 518115 124295 Chatham county 12 66400 8000 59895 124295 Savannah city 6 15000 12075 2707 SAVANNAH ISLE OF HOPE 11000 11000 2850 2850 13850 13S50TABLE No 20 Showing by Congressional Districts the Number Voting at the Last Election Congress FIRST CONGRESSIONAL DISTRICT Rrvan Builoch Burke Chatham Kiingham Kmanuel Liberty Mclntosh Screven Tattnall for Governor State House Officers and Members of 1892 COUNTIES Governor 300 1266 1302 2931 432 1039 482 561 1404 1381 110981 i 8 773 840 332 Hi 933 405 30 120 806 Secretary of State a 301 1261 1303 2901 430 1034 386 560 1404 1345 7 793 841 296 154 925 404 10 1202 816 Comptroller General 302 126 1302 2901 428 1040 150 560 1404 207 791 842 295 156 924 404 10 1202 816 V05 l10929l 5201 9566 Treasurer Attorney General 302 1265 1301 124 380 1036 387 561 1403 1347 704 842 280 155 926 403 10 202 816 30 1265 1301 2903 430 1035 387 560 1403 1345i 792 842 203 154 926 104 10 202 815 LIVillBMLilL 3502 3000 Commissioner Agriculture v Ei 301 1266 1302 2893 429 1034 387 561 1404 1346 70 788 84 301 154 926 305 II 202 816 Congressmen fs o 323 1230 134S 5334 408 912 562 346 1003 912 154 214 41 1285 121 28 503 505 230 235 4 598 443 58 78 865 200 2 1144 508 a o h3 H w c M o F 00 ft S O ftTABLE No 20Continued SECOND CONGRESSIONAL DISTRICT 1892 COUNTIES Governer Secretary Slate Comptroller General Treasurer Attorney General fc S a p Commissioner Agriculture A H o K Congressmen Baker 471 1126 591 534 526 1445 832 932 313 602 590 7S4 922 S95 971 125 326 351 235 318 1008 128 667 330 274 144 188 248 406 662 503 1131 592 544 529 1443 829 933 332 593 627 736 930 S94 980 71 323 349 223 317 911 133 668 332 272 103 I3S 248 407 651 502 1131 592 543 527 1429 826 934 324 602 633 736 930 892 982 74 325 350 223 321 911 133 669 332 273 104 500 1133 592 543 52S 1444 S27 933 322 600 632 74 322 350 223 317 1009 133 668 332 272 101 136 248 406 654 500 1132 592 543 529 1442 821 i 932 321 601 630 736 929 892 979 74 323 350 223 317 SOS 133 668 332 272 100 137 249 40S 655 501 1129 592 537 530 1421 S25 945 315 599 574 731 921 893 978 50 326 590 1202 171 262 189 148 207 929 389 514 131 313 198 398 367 884 660 Calhoun Clay Oolquitt Decatur 350 519 224 506 316 429 809 1388 133 1303 658 935 332 357 Karlv Miller 273 101 568 268 Randolph Terrell 137 736 249 929 408 894 654 977 137 248 406 655 691 843 117s 740 Thomas Worth 07 11534 5410 11596 5149 11583 516311590 5245 11584 5049 11391 5018 11517 6060 97 l ft o ft I1 TABLE No 20 Continued THIRD CONGRESSIONAL DISTRICT 1892 Governor a Secretary of State Comptroller General Treasurer A ttorneyGeneral Commissioner Agriculture Congressmen 2 a S T3 0 s 33 3 p COUNTIES 0 0 st o o a if O if Eh a S C S3 3 fc w CB M X a S3 H H N s i 13 M a n S3 0 a fe s fj S O OS i a 254 736 250 730 252 730 252 730 252 735 200 705 300 Doolv l3i0 616 1384 599 1381 599 1377 001 1380 599 1308 509 1421 724 1206 83 1207 82 1208 82 1201 82 1208 82 1206 83 1052 517 521 141 517 147 517 147 517 140 510 147 517 140 507 200 1014 454 1021 451 1021 452 1022 452 1021 452 1014 452 740 440 Pulaski 950 50 152 248 152 247 951 248 051 248 952 244 1137 200 Schley 544 275 543 275 544 275 543 276 543 276 544 27 394 304 1304 317 1302 30 1303 300 1303 308 1304 307 1281 301 1241 204 1207 366 1301 363 1300 364 1300 304 1300 364 1300 305 1347 459 Taylor Twiggs 510 515 521 512 541 514 541 512 507 511 540 481 482 812 1310 107 1319 01 1315 11 1315 100 1310 101 130 101 500 ISO 515 105 513 180 508 175 510 180 510 17 500 18C 325 220 Wilcox 986 1 118 083 108 083 111 3020 084 112 USD 110 980 IK 703 228 1 12285 3661 122011 3023 12300 12306 3033 12320 3031 12252 3617 11574 1982 o B to c tl t Q SI SI wTABLE No 20Continued FOURTH CONGRESSIONAL DISTRICT Carroll Chattahoochee Coweta Harris Heard Marion Merivvether Muscogee Talbot Troup Attorney General Commissioner Agriculture a o Congressmen 415112308 1010 2008 1059 2118 302 360 302 249 457 2050 457 2128 981 1208 981 1148 194 734 107 837 587 847 587 489 012 2 022 931 1379 390 1270 390 2055 249 015 219 618 202 1031 205 1758 5395 12220 5418 12779 00 OUNTIES Campbell lavton DeKalb Douglas Fulton Xewton Rockdale Walton TABLE No 20Continued FIFTH CONGRESSIONAL DISTRICT Congressmen g OJ D 33 H t W M s 553 606 822 681 557 3021 411 509 SI 7 715 1 569 700 3351 L099 753 1467 444611047ll 4448l10470 O o so a n o o E Hi Tal 00 S E y S S p o g 00 k 1 IS 11 4 1 i O K GC E 9732 6447 24 n1 TABLE No 20Continued SIXTH CONGRESSIONAL DISTRICT 1892 Governor Secretary of state Comptroller General COUNTIES Baldwin Bibb 2 Butts j Fayette Henry Jones Monroe 1 Pike Spalding Ipson 442 841 781 80 555 782 567 727 866 011 12381 266 316 534 657 816 420 763 758 124 845 a 03 S o is 3 M S ct 430 2858 783 808 1552 783 1568 1731 865 1016 264 314 534 661 811 420 765 711 121 843 430 857 7S3 807 553 783 568 541 885 017 i 2i 15 315 533 661 809 120 765 757 103 843 409 124031 5494 12233 5471 12183 5508 430 2857 779 782 1551 783 1570 1540 865 1017 Attorney General Commissioner Agriculture Congressmen a 265 315 533 684 812 420 763 751 123 842 430 265 2857 316 778 5331 807 663 1552 812 783 420 1560 764i 1536 754 865 122 1015 843 12201 5402 43 2850 767 805 1538 78 1565 1532 850 995 265 312 535 762 814 422 765 155 121 842 533 360S S07 560 741 658 1558 1108 987 981 6 212 694 607 004 903 552 063 851 336 665 122421 559311628 63X7 O o hj A Ed O F F O ft ft ft OI 1892 Bartow Catoosa Chattooga Cobb Bade Floyd iordon Haralson Murray Paulding Polk Walker Whitfield TABLE No 20Continued SEVENTH CONGRESSIONAL DISTRICT Governor Lr1etarJ Comptroller of State General Treasure Commissioner I Agriculture Congressmen A L CO 0 1 w 0 fc OD o o to o o to 5 o w1892 COUNTIES TABLE No 20 Continued EIGHTH CONGRESSIONAL DISTRICT Governor Clark Elbert Franklin Cireene Hart Jasper Madison Morgan Oconee Oglethorpe Putnam Wilkes 86 i 354 1758 807 1126 H207 1142 794 909 749 855 359 797 313 948 391 552 563 967 278 545 43 1569 45 12034 5903 12034 5903 12068 5886 12054 5857jl2049 578712 056 5900 11982 Mil Ill13 848 652 1476 469 i41 994 860 1129 847 588 825 270 749 199 819 432 387 452 905 183 840 10 1636 163 o a o tr W o tr1 ft 6 ft 5550 1892 COUNTIES Banks Cherokee Dawson Fannin Forsyth iilmer Gwinnett Habersham Hall Jackson Lumpkin Milton Pickens Rabun Towns Inion White TABLE No 20Continued NINTH CONGRESSIONAL DISTRICT Governor Secretary of State Comptroller General a 1279 422 28l 756 795 1610 1145 1532 1691 539 654 005 623 347 610 428 546 1037 330 334 814 200 1174 554 972 1005 389 379 519 07 177 410 390 721 1284 412 249 754 771 1002 1136 1534 1689 533 055 57S 030 34 004 442 14054 10099113941 040 1013 321 204 815 10 1174 557 973 1004 386 379 385 92 175 371 39 724 1282 407 248 754 774 1003 1138 1540 1689 533 054 571 030 343 Oil I 442 014 1013 320 202 815 93 11 75 557 973 1005 38S 379 383 92 174 390 397 Treasurer Attorney General Commissioner Agriculture Congressmen W 03 j O a s H M w a p w 50 a 723 1284 412 255 753 740 1001 1138 1539 1089 531 655 57 630 343 500 Ml 9598 13938 0000 13911 n 644 1012 320 202 815 107 1179 557 975 1005 387 379 381 92 174 384 300 723 1284 405 242 754 703 1001 1138 1537 1080 531 054 578 029 343 509 III 6oo 1012 325 214 815 110 1179 558 075 1009 3S7 379 37S 92 174 384 307 Ei b 9000 13904 721 1285 407 230 755 778 1596 113 1538 1087 533 050 57 020 343 50S 12 048 1009 319 214 813 505 1180 558 974 1607 387 380 378 91 173 384 407 6oo 971 405 510 009 752 1580 1185 1023 1720 400 oio oss 443 021 625 414 0010 13SOS 0087 13052 000 1091 2S5 284 903 200 1093 35 S39 1000 349 31 503 51 128 31 383 d A w o t1 t1 T a s K 60 GC 60 H d C 60 0481TABLE No 20 Continued TENTH CONGRESSIONAL DISTRICT 1892 COUNTIES Governor Secretary of State Columbia Glascock Hancock Jefferson Lincoln McDuffie Richmond Taliaferro Warren Washington Wilkinson 175 211 1163 1250 309 423 4552 332 421 1315 703 10854 141 508 651 1240 840 799 1021 37 970 1619 635 Comptroller General 175 208 1157 1261 307 422 4552 336 422 1323 707 141 510 650 1236 839 797 1023 636 969 1619 638 a 175 208 1105 1271 308 424 4557 335 424 1323 707 9061 10870 9058 10897 Treasurer 141 511 648 1231 838 796 1021 637 969 1619 638 175 208 1165 1260 308 422 4553 335 421 1321 708 904910876 141 511 649 1237 840 79 1023 637 971 1619 638 Attorney General Commissioner Agriculture 175 208 1165 1260 307 422 4553 335 421 1322 706 141 511 651 1238 839 797 1023 63 969 1618 038 175 208 1165 1260 307 421 4539 334 420 1316 683 9063 10874 906210828 141 511 650 1237 838 797 1035 638 974 1626 639 cs 536 239 1537 1214 308 458 10776 325 506 1260 613 a o O o g Congressmen fj to o 1 s w F i Q a feJ Si H to t1 m to a 0 to 1 1597 521 666 1637 880 1137 1782 746 1209 1649 506 9086 17772 12330 1892 COUNTIES TABLE No 20 Continued ELEVENTH CONGRESSIONAL DISTRICT Governor Appling Brooks Camden Charlton Clinch Coffee Dodge Echols Glynn Irwin Johnson Laurens Lowndes Montgomery Pierce Telfair Wayne Ware 850 1037 ISO 344 445 727 969 253 1250 528 698 1146 1104 805 431 907 662 877 13213 301 194 4 52 299 346 190 62 307 63 840 849 51 330 218 72 207 288 5139 241 Secretary of State Comptroller General 848 966 186 344 446 724 982 250 1257 530 697 1142 1087 802 429 943 008 875 241 13182 297 847 148 966 184 50 34S 218 447 341 726 188 982 60 256 307 1258 59 529 841 698 850 1142 517 1108 270 803 221 428 48 943 208 cos 2S9 877 4918 13210 296 148 50 218 341 188 60 307 59 841 850 517 267 221 47 208 279 Treasurer 849 963 186 348 446 726 983 25 1257 529 798 1142 1041 S04 429 943 008 877 4903 13147 W 29 148 50 218 342 188 60 307 59 842 850 444 269 221 48 208 2S9 Attorney General 848 965 18 348 447 725 983 256 1257 529 798 1142 1088 804 429 943 668 877 4846 13192 pq 296 148 50 218 343 188 60 30 59 842 850 516 268 221 48 208 289 Commissioner Agriculture 845 960 184 348 445 723 981 250 1257 529 697 1143 1087 800 439 940 009 875 4917 13173 292 150 4914 a 534 984 170 189 479 587 703 271 1037 540 450 934 1054 725 394 706 486 782 1 11091 Congressmen 314 410 117 51 178 216 260 61 642 00 795 922 659 356 160 186 133 344 196 12 58 Q O H o O H w H hd O i3 5882 196 12 58TABLE No 20 Continued Showing by Congressional Districts the Total Number Voting at the Last Election for Governor and State House Officers 1892 For Governor W J Northen W L Peek W H Johnson Secretary of State Philip Cook W E Gorman ComptrollerGeneral Wm A Wright A W Ivey Treasurer Robert U Hardeman J E H Ware AttorneyGeneral Joseph M Terrell J A BMahaffey Commissioner Agriculture R T Nesbitt James Barrett Henderson 1st 2nd 3rd 4th 5th 6th 7th 11098 5565 10929 5520 9560 5515 1090i 5505 10930 5515 10923 5509 11534 5410 11590 5149 11583 5163 11590 5245 11584 5049j 11391 5018 12285 3661 12299 3023 12309 3626 12306 3633 12326 3631 12252 3617 12320 5434 12319 5428 12329 5412 12323 5415 12308 5395 12220 5418 10437 4453 10477 4440 10470 4446 10271 4448 10470 4345 10453 4345 12381 5499 12403 5494 12233 5471 12183 5508 12201 54112 12242 5593 14257 7769 14344 7709 14375 7726 14365 7733 14339 7716 14227 7682 8th 9th 12034 5903 12068 5886 12054 5887 12049 5787 12056 5900 11982 5901 14054 10099 13941 9598 13938 9606 13911 9609 13904 9649 13898 9087 10th 11th Totals 10854 9061 10870 9058 10897 9049 10876 9063 10874 9062 10828 9086 13213 5139 241 13182 4918 13210 4903 13147 4846 13192 4917 13173 4914 1 134467 67993 241 134428 66803 132964 66804 133927 66792 134184 66671 133589 66170 1 o o h f a o a a H o a17 REPORT OF THE Insurance Deparimen OF THE ComptrollerGenerals Office FOE THE YEAR ENDING OCTOBER 1 1893 ATLANTA GA Geo W Harrison State Printer The Franklin Printing and Publishing Co 1893 IREFORT State of Georgia ComptrollerGenerals Office V Insurance Department j Atlanta October 1st 1893 To His Excellency W J Northen SirIn compliance with law I have the honor to submit my fifth annual report as Insurance Commissioner of Georgia Respectfully submitted WM A WRIGHT ComptrollerGeneral and Ins ComrCOMPTROLLERGENERALS REPORT 185 The following Fire Life and other Insurance Companies having complied with the law are authorized to transact business in the State for the year 1893 FIRE INSURANCE COMPANIES jana Fire Hartford Conn American Fire 146 Broadway New York American Fire 308 and 310 Walnut street Philadelphia Pa Atlanta Home Atlanta Ga British America 18 Front street Toronto Canada Caledonian Fire 104 South Fifth street Philadelphia Pa Citizens 156 Broadway New York Commercial Union 58 William street New ork Continental 100 and 102 Broadway New York Connecticut Fire Hartford Conn Delaware Fire Philadelphia Pa Fire Association of Philadelphia 34 Fifth street Philadelphia Pa Georgia Home Columbus Ga German American 115 Broadway New York Germania Fire 177 Broadway New York Girard Fire Philadelphia Pa Glens Falls Fire 149 Glen street Glens Falls New York Greenwich Fire 161 Broadway New York Guardian Fire and Life U S B 54 William street New York HamburgBremen U S B 62 Cedar street New York Hanover Fire 40 Nassau street New York Hartford Fire 53 Trumbull street Hartford Conn Home 119 Broadway New York s Home Fire New Orleans La Imperial Fire 20 Kilby street Boston Mass Insurance Company of North America 232 Walnut street Philadelphia Lancashire U S B 40 and 42 Pine street New York Lion Fire U S B 223 Asylum street Hartford Conn Liverpool London and Globe U S B 45 William street New York London Assurance U S B 88 Wall street New York London and Lancashire U S B 46 Pine street New York Macon Fire Macon Ga Mechanics and Traders 14 Carondelet street New Orleans La Merchants 776 Broad street Newark New Jersey Mutual Fire 155 Broadway New York National Fire Hartford Conn Niagara Fire 135 Broadway New York Norwich Union 67 Wall street New York North British and Mercantile U S B 54 Williams street New York Northern Assurance 25 Pine street New York Orient Insurance Company Hartford Conn Pennsylvania Fire 510 Walnut street Philadelphia Pa Phoenix Assurance of England U S B 67 Wall street New York Phoenix of New York 16 Court street Brooklyn New York Phoenix of Connecticut 64 Pearl street Hartford Conn Queen of America Louisville Ky Rochester German Rochester New York Royal Liverpool England Scottish Union and National U S B 222 Asylum street Hartford Conn Southern Mutual Athens Ga St Paul Fire and Marine St Paul Minn Sun Fire of England 15 Washington street Watertown New 1 ork Western Assurance 22 Wellington street Toronto Canada Weschester Fire 27 and 29 Pine street New York Williamsburg City Fire 13 Broadway Brooklyn New York LIFE INSURANCE COMPANIES vEtna Life Hartford Conn Brooklyn Life Insurance Company 51 Liberty street New York Commercial Alliance Life 45 Broadway New York Connecticut Mutual Life Hartford Conn186 COMPTROLLERGENERALS REPORT Equitable Life 120 Broadway New York Germania Life 20 Nassau street New York Home Life 38 Court street Brooklyn NewYork Life Insurance Clearing CompanySt Paul Minn Manhattan Life 156 Broadway New York Maryland Life 10 South street Baltimore Md Massachusetts Mutual Life 413 Main street Springfield Metropolitan Life 36 Park Place New York Michigan Mutual Life Detroit Mich Mutual Benefit Life 752 Broad street Newark N J Mutual Life of New York 32 Nassau street New York Mutual Life of Kentucky corner Fifth and Market streets Louisville Ky New York Life 346 and 348 Broadway New York Northwestern Mutual Life corner Broadway and Milwaukee streets Mil waukee Wisconsin Penn Mutual Life 921 Chestnut street Philadelphia Pa Phoenix Mutual Life Hartford Conn Provident Savings Life 55 Liberty street New York Travelers Life 56 Prospect street Hartford Conn LT S Life 161 Broadway New York Union Central Life 243 West Fourth street Cincinnati Ohio Washington Life 21 Oourtland street New York ASSESSMENT LIFE AND ACCIDENT INSURANCE COMPANIES American Accident Louisville Ky Atlanta Accident Atlanta Ga Bankers Life Association St Paul Minn Bay State Beneficiary Association Westfield Mass Chicago Guaranty Fund Opera House Block Chicago 111 Connecticut Indemnity Life Association Waterbury Conn Covenant Mutual Benefit Association Galesburg 111 Equitable Mutual Life and Endowment Waterloo la Fidelity Mutual Life Association 914 Walnut street Philadelphia Pa Hartford Life and Annuitv Association Hartford Conn Home Friendly Society 100 West Fayette street Baltimore Md Industrial Mutual Aid Association Birmingham Ala Massachusetts Benefit Association Boston Mass Masons Fraternal Accident Westfield Mass Mutual Reserve Fund Life Association Potter Building New York National Cooperative Guarantee Nashville Tenn National Life Association Hartford Conn National Life and Maturity Association Washington D C National Mutual Life World Building New York New England Mutual Accident 85 Water street Boston Mass Northwestern Masonic Aid Association Home Insurance Building Chicaeo Illinois Peoples Mutual Benefit Society Elkhart End Provident Fund Society 280 Broadway New York Railway Officials and Conductors Accident Association Indianapolis Ind Stephens Industrial Aid Association Auausta Ga United Life Insurance Association 63 Park Row New York United States Masonic Benevolent Association Council Bluffs la United States Mutual Accident 320 Broadwav New York Valley Mutual Life Association Staunton Ya OTHER THAN LIFE OR FIRE American Casualty Insurance and Security Company Chamber Commerce Baltimore Md American Employers Liability 113 Hudson street Jersey City N J American Surety 160 Broadway New York British and Foreign Marine 65 Wall street New York Employers Liability Insurance Association 84 and 85 King William street London England and 71 Kilby street Boston Mass Fidelity and Casualty 214 Broadway New York Fidelity and Deposit Company Baltimore Md General Marine Dresden Germany Guaranty of N A 157 St James street Montreal Canada Guarantors Philadelphia Pa COMPTROLLERGENERALS REPORT 187 Hartford Steam Boiler 218 Main street Hartford Conn Interstate Casualty New York Lloyds Plate Glass 68 William street New York London Guarantee and Accident 139 LaSalle street Chicago 111 Preferred Mutual Accident New York Southern Live Stock Atlanta Ga Standard Life and Accident Detroit Mich Thames and Mersey Marine 69 Wall street New York United States Guarantee Company 111 Broadway New York Union Casualty and Surety Company St Louis MoCOMPTROLLERGENERALS REPORT LIST OIF1 THAT HAVE PAID THE OCCUPATION TAX FOR 1893 Boren M N Kitchens Williams Allen J G Cowls W C Griffith Charbonnier Hodgson Geo T Co Allen J V H Co Barrett G Bennett W W Butt A W Butt J D Son Bush X B Cohen J J Co Costello E J Crane W H Dawson J Devine N S Angier C Boylston A D Burton D H Bowie J A Brown G M Case Geo W Colflns J D Cook F W Croheim H Cooney R L Cranston H Crenshaw W T Davison J W DeSausure Mathews Deason C G Dohme R Dorney A A Dorney Wm Douglas Douling Elson J Fremont Cheatham Futrell W H Casper S Coles A D Carter Woolfolk Abbeville Wileox Co Moore H B Acworth Cobb Co Mitchell R M Athens Clarke Co Mell Lin ton Morton F S Newton Bryan Augusta Richmond Co Hamilton G C Hart H Hays M R Humphries C T Hutchison W B McMillen W W Moore S T Mulherin Armstrong North H M Phinizy F Co Atlanta Fulton Co Grossman A B Grummett W HaskeliW W Co Hammond T A Harris Nutting Hopkins J W Humphries J W Hunter B M Jones Rambo Jones T H Lathrop E S Lippett F B Lowry J M Lowe Manry McMurran E Merrill A H Merchant K L Negley A J Northern E L Nash A J Ogden Felder Pattillo W P Appling Columbia Co Hatcher R R Albany Dougherty Co Davis J A Davis J S Hobbs Tucker Reaves S P Smith C E Thomas S Reading H H Symmes Geo Co Simmons W O Smith H A Smith Wright Stafford T H Tessier L R Thomas T O Wallace J W Woestenhoefer A Pattillo W F Pattillo H A Peters Thos Prescott A Riley Grant Co Ryan J J Rood R W Sheppard F B Singleton J L Singleton R L Short E P Torbett M B Co Travis Geo H Thorn C C Underwriters Protecn Co Warren S F Whitner J C Co Whitney L G White M Wimbish W S Waldo A L Simpkins E Warren R H Wright E L CoCOMPTROLLERGENERALS REPORT 189 Brown H M Byrd C H Byrd R T Byrd J E Graves J R Blalock J T Elder E Abrams J B Bochardt B Bryan C H Burroughs W B Turner J C Broadnax E B Griffin G Ledbetter L S Blackman J Brown J R Brannon Blackmar Chappel L H Cobb Jas F Pace J M Shepherd T J Americus Sumter Co Cain Brown Harrold U B Council C M Smith A W Davenport W T Son Wheatley J W Co Hawkes Furlow Windsor Co Bainbridge Decatur Co Harrold J D Bro Barnesville Pike Co McMillen W W Blackshear Pierce Co Brantley B D Jr Brunswick Glynn Co Fleming P W Golden E Harvey Beach Murphey E S OConnor Thomas Svmns W F White J M Buena Vista Marion Co Roberts J W Butler Taylor Co McCrary J W Calhoun Gordon Co Ellis T M Camilla Mitchell Co Twitty C R Canton Cherokee Co Perry B F CarrolUon Carroll Co Brown J B E Cartersville Bartow Co Jones T R Cedartoum Polk Co McPherson E S Clarkesville Habersham Co Irwin Geo P Columbus Muscogce Co Twitty Mrs W W Palmer J J Norris J T Stubbs J S Epping Laing Harris B H Ketchum W H Moses W M M J Conyers Rockdale Co Lee W H Son Cordele Dooley Co Shipp W W Comngton Newton Co Perry W B Titshaw D W Murdock R B Son Reese Allen Wilcox D F Son Woodruff Marcus Williamson R W190 COMPTROLLERGENERALS REPORT Stokes Clarke Gunn J G Lyle Pruden Dimmock A E Clarke F E Co Laing Davis Hart E J Finn J M Burch M L Gentry R D Son Hoyt H F Heard Van Duze Amos W B McLendon N H Brown W E Gray C G Corinth Heard Co Wisdom W W Cuthbert Randolph Co McDonald G Parkerson M C Dalton Whitfield Co Oslin W E Sanders Alexander Darien Mclntosh Co Kenan 8 Ravenel H F Dawson Terrell Co Parks J G Co Peeples R A Sons Decatur DeKalb Co Lathrop R L Demorest Habersham Co Sibley F J Douglas Coffee Co Gentry R D Son Dublin Laurens Co Haynes M Eastman Dodge Co Murrell C BStanley H M Eatonton Putnam Co Adams I H Co Elberton ElbeH Co Saddler W B Tate Almond Ellaville Schley Co Cheney J N Franklin Heard Co Wisdom W W Flotilla Butts Co Lindsey M A Forsyth Monroe Co Turner Brooks Fort Gaines Clay Co Sutlive G R Fort Valley Houston Co Harris H C Murray C W White M Skillie A D COMPTROLLERGENERALS REPORT 191 Gainesville Hall Co Chambers Dozier Kimbrough E E Palmer B F Welchell B H Grantville Coweta Co BanksN 0 Greensboro Green Co Norton C C Park J B Weaver W M Greenville Meriwetker Co Tignor J 0 Griffin Spalding Oo Drake R H Co Drewry E M Holmes C C Johnson Murray Nichols J P Manghams Brooks Rhea J G Murphey T E Hawkinsville Pulaski Co Bozeman F H Parsons B F Stetson J D Whitfleld J J White Mrs E C Harmony Grove Jackson Co Hood C J Hartwell Hart Co Alford 1 C Benson E B Lawshe P F Hogansville Troup Co Mobley J T Jackson Butts Co Cram Driver Driver C G Daughton J G Etheridge Kinard Jasper Pickens Co Henley J W Jewells Hancock Co Jewell D A Jr Jesup Wayne Co Littlefleld 0 F Jug Tavern Walton Co Kilgore J H LaGrange Troup Co Boyd A J Evans W S Johnson J T Lawrenceville Gwinnett Co Brand C H L M Spence J D Louisville Jefferson Co Caulk T F Farmer L R Getzen T E Hauser W C 192 COMPTROLLERGENERALS REPORT Bomston S H Burr White Balcom M C Chapman A T Co Cabaniss W Cobb Cabaniss Cobb Collins W W Conner G C T V Corbett W P Jacks D B Murphey T E Plant Hurt Tinsley A R Turpin G B Sons Walker Wise Willingham E P Wilson E S Rice W H Anderson J T Coryell H G Gentry R D Son Andrews C H Son Bland M H Carr A J Macon Bibb Co Daughtry T G Duncan G W Co Elkan W M Glover J W Hall R B Home H Home E A Jevvett G B Mathews W S Madison Morgan Co Shaw H T Marshallville Macon Co Sperry C A Marietta Cobb Co Groves Bros McRea Telfair Co McLeod J D McDonough Henry Co Lowe M C Milledgeville Baldwin Co CarringtonMisses CBCS Erwin H H Conn Jno Windsor T T Ware M S Power W R Walker B S Beck J J De Vaughn J E Hill H C llannon J W Anderson L F Andrews W B Burdette A R Co Millen Screven Co Daniel Sons Palmer Mount Vernon Montgomery Co Patillo E D Monroe Walton Co Wimbish W S Morgan Calhoun Co Werts W H Monteziima Macon Co Hill Y Monticello Jasper Co Foreacre W W Munnerlyn Burke Co Cox W R Nashville Berrien Co Peeples R A Sons Newnan Coweta Co Peters Thos Jr Lewis J F Son Carmical Geo H Dobbins W C Edwards W B Fisher H C h Co Hill A W Pinson J ECOMPTROLLERGENERALS REPORT 193 Evans R S Grover E A Daley C C Elliott W M Bussey W W Co Brooks J F Cohen M A Co Daniel W II Daffin P D Son Davant R J Co Dearing Hull Bashinsky H Furze W G Burnett W H Oakwell Camden Co King J Perry Houston Co Martin Kill en Quitman Brooks Co Lane W A Reidsville Tattnall Co Whitted J M Richland Stewart Co Harrell Larnar Rocky Ford Screven Co Stallings W J Rome Floyd Co McWilliams 0 H Smith Lowe Young J M West J Co Wright W A Co Roswell Cobb Co Crowley Q Son Savamuth Chatham Co Farie A C Kolshorn Mauncy Kollock Screven Lee S L Neeson S W Pendergast C F Harty W J Pepper R E Roland J T Sullivan J Co Wheaton J F Son Whitehead G A AVilson Grady Wylly Geo W Jr Rockmart Pdlk Co Beasley R R Sandersville Washington Co Jones B C Pughsley S A Worthen G D Wicker T 0 Siiiithville Lee Co McAfee R E Social Circle Walton Co Gresham Mobley Sparta Hancock Co King H Walker J D Summerville Chattooga Co Bitting N N Sparks Berrien Co Rogers J R W J Statesboro Bulloch Co Sorrier C A 194 COMPTROLLERGENERALS REPORT Hutton J G Carreker N P Evans J F Hansell Merrill Barnes H M Fortson C J Briggs II C Crawford J G DeBaugrine J W Barksdale R 0 Dillard Geo E Ficklen B Knight A M Lott Murphy Clarke W A L Evans J K Sylvania Screven Co Hill G M Tallapoosa Haralson Co Reed Howe Whitaker Summerlyn Talbotton Talbot Co Smith L W Tennille Washington Co Bashinsky J Thomasville Thomas Co Love J E B Mallette E M C Turin Coweta Co Carmical J L Thomaston Upson Co Daniel W Y Thomson McDuffie Co Hundley J S Tifton Berrien Co Fulhvood C W Toceoa Habersham Co Simpson E P Co Valdosta Lowndes Co Lamar C W Smith Redden Smith E M King J S Co Peeples R A Son Vienna Dooley Co Bozeman F H Warrenton Warren Co Heath Bro Walker P B Warthen Washington Co Amazon J T Washington Wilkes Co Fortson T E Hardeman S H Holliday Smith C E Smith R M Waycross Ware Co Mclntosh D J Owens F C Waynesboro Burke Co Jones W E Munnerlyn J D Sr West Point Troup Co Lanier W C LCOMPTROLLERGENERALS REPORT 195 Willingham Worth Co Adams J J Wrightsville Johnson Co Daly F W Special Agents who have paid the tax to canvass the entire State Diekson D M Apple B J Arnall C S Asbury R T Barrelle Son Beckwith J B Bozeman F H Bone W H Burbank L T Byck M L Bvington G W Brown W W Brantley T M Garroll Bonbam Carswell M A Coles A P Catbcart Rathburn Comlev J F Cook J B Covington R V Crawlev E H Jr Davis H C Dudley W S Edward H S Fabarius E Fielder J W Getzen T E Hargroves C B Hanson H C Hohenstein H Husk 0 VV Johnson 0 C Key W M Knowles C Lamar D Ledsinger Gid Laid A J Lowry Cobb Mallard W J Jr Mo Parity A E Miles Scott Murphey H L Neeson J T Obear Geo S Perdue Eggleston Quillian Quillian SafFold T P Seddon W L Sieman II I Sexton M A Shellman A L Snodgrass Hawkins Smith A C Stanton W L Co AValsh T Whitakoski R A Whitowski D Winter A Wynn J 0 Wilson C G Wylly A C Wolfe H AVhite W W West J G Wilburn J G Young J Maa 196 COMPTROLLKRGENERALS REPORT THE ETNA FIRE INSURANCE CO OF HARTFORD CONN 1 Whole amount of capital stock 5000000 00 2 Amount paid up in cash 4000000 00 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 3 Interest due on all said bond and mortgage loans interest accrued thereon 29512 total 4 Value of lands mortgaged exclusive of build ings and perishable improvements 37000 00 5 Value of buildings mortgaged insured for 2650000 as collateral 38000 00 250000 00 36000 00 295 12 6 75000 00 Total value of said mortgaged premises carried inside 7 Amount of other loans 5600 00 8 Stocks and bonds 9243748 50 11 Cash in the companys principal oiiice 11407 71 12 Cash belonging to the company deposited in bank 717166 80 Total cash items 14 Interest due and accrued on stock not included in market value uncollected 15 Interest due and accrued on collateral loans and uncollected 16 Cross premiums in course of collection not more than three months due 728574 51 375 00 316 96 650919 54 Total assets of the company actual value10915829 63 IIILIABILITIES 1 Losses due and unpaid 8899 5 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 294834 02 3 Losses resisted including interest costs and other expenses thereon 43583 84 4 Total gross amount of claims for losses 5 Deduct reinsurance thereon 427415 43 30330 81 6 Net amount of unpaid losses 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy236685587 Unearned premiums 1183427 93 8 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one vear from date of policy276695598 Unearned premiums 1530470 46 9 Gross premiums without any deductions in eluding both cash and bills received and receivable upon all unexpired inland naviga tion risks7018776 Unearned premiums fifty per cent 35093 88 11 Total unearned premiums as computed above carried out 12 Amount reclaimable for the assured on perpetual fire insur ance policies 17 Due and accrued for salaries rent advertising and for agen cy and other miscellaneous expenses 19 All other demands against the company absolute and con tingent due and to become due admitted and contested viz 397084 62 2748 44 992 27 215 96 500 00 117488 60 COMPTROLLERGENERALS REPORT 197 20 Total amount of all liabilities except capital stock scrip and net surplus 3308281 21 Jointstock capital actually paid up in cash 4000000 23 Surplus beyond capital and all liabilities 3007548 45 00 18 IVINCOME DURING THE YEAR On Fire Bisks On Inland Risks 1 Gross premiums received in cash on risks written and re ceived during the year 4054174 33 280086 93 8 Deduct reinsurance rebateabate ment and return premiums 588095 61 31158 96 9 Net cash actuallv received for premiums carried out 3466078 72 248927 973715006 10 Received for interest on bonds and mortgages 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 12 Income received from all other sources omitting increase if any in value of securities 14 Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Risks On Marine and Inland Risks 461476 6998 4185822 69 79 94 59 01 1 Grose amount actually paid for losses including 35924336 losses occurring in previous years 1968413 39 148858 65 Net amount paid during the vear for losses 1968413 39 148858 65 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year 720000 Paid for commissions or brokerage 7 Paid for salaries fees and other chaiges of officers clerks agents and all other employees 8 Paid for State national and local taxes in this and other States 9 All other payments and expenditures 2117272 04 720000 611000 00 83 217363 85 60757 238792 01 38 Aggregate amount of actual expenditures during the year in cash 3965186 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 6712499 83163 43113 831 II 00 63 89 63 THE AMERICAN FIRE INSURANCE CO OF NEW YORK 1 Whole amount of capital stock 400000 00 2 Amount paid up in cash 400000 00 20500 00 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 3 Interest due on all said bond and mortgage loans interest accrued thereon 21083 total 7 Amount of other loans 8 Stocks and bonds 1173J7 11 Cash in the companys principal office 34784 27 12 Cash belonging to the company deposited in bank 8157541 210 38500 88 00 50 Total cash items 116359 68198 COMPTROLLERGENERALS REPORT 14037 00 807 24 14 Interest due and accrued on bonds not in cluded in market value 15 Interest due and accrued on collateral loans 16 Gross premiums in course of collection on policies written within three months 399 q 38 Due from other companies for reinsurance on losses already paid 7 721 31 165860 18 Total assets of the company actual cash market value 1697505 94 IIILIABILITIES 1 Losses due and unpaid 63 735 03 2 Gross losses in process of adjustment or in sus pense including all reported and supposed losses 1C 125 15 4 Total gross amount of claims for losses 165860 18 6 Net amount of unpaid losses 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of Policy102374242 Unearned premiums fifty per cent 511 871 2 8 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one vear from date of PoJicy52619466 T nearned premiums pro rata 313 226 78 l Total unearned premiums as computed above carried out lb principal unpaid on scrip or certificates of profits 2 291 1 Due and accrued for salaries rent advertising and for agency and other miscellaneous expenses 8 406 52 18 Interest due and declared uncalled for 5737 33 19 All other demands against the company absolute andcon tingent due and to become due admitted and contested 81 483 51 825098 00 00 20 Total amount of all liabilities except capital stock scrip and net surplus 21 Joint stock capital actually paid up in cash 23 Surplus beyond capital all liabilities IVINCOME DURING THE YEAR On Fire Risks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 84 079 op 3 Net collected V sfeos 4 Gross premiums on risks written and renewed during the year 1919559 51 Loss926 59 400000 00 208579 35 5 Total 2 004 531 54 6 Deduct premiums and bills in course of collec tion at this date 55 013 9 7 Entire premiums collected during the year cash 2 3 g 8 Deduct reinsurance rebate abatement and re turn premiums 417 275 14 9 Net cash actually received for premiums car ried out 1 522042 1 10 Received for interest on bonds and mortgages Yofvr Received for interest and dividends on stock andbonds collateral loans and from all other sources 61 209 47 11 68 4 14 Aggregate amount of income actually received durino the year in cashs 1584319 39COMPTROLLERGENERALS REPORT 199 VEXPENDITURES DURING THE YEAS On Fire Risks 1 Gross amount actually paid for losses includ ing 15635008 losses occurring in previous years 1299354 33 2 Deduct all amounts actually received for salva ges whether on losses of the last or of pre vious years 678941 and all amounts actual ly received for reinsurances in other compa nies 22220205 total deductions 228991 46 3 Net amount paid during the year for losses 1070362 871070362 87 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year S4000000 40000 00 5 Scrip or certificates of profits redeemed in cash and interest paid to scripholders 99 20 6 Paid for commissions or brokerage 285962 90 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 81829 73 8 Paid for State national and local taxesin this and other States 26983 71 9 All other payments and expenditures 101725 76 Aggregate amount of actual expenditures during the year in cash 1616964 17 BUSINESS IN GEORGIA FOR 1893 Risks 22S Premiums ztoucs a Ies 4723 08 Taxes paid on premiums ucs THE AMERICAN FIRE INSURANCE CO OF PHILADELPHIA PA 1 Whole amount of capital stock 500000 00 2 Amount paid up in cash 500000 00 IIASSETS 1 Value of real estate owned by the company less the amount of incumbrances thereon 252296 60 2 Loans on bond and mortgage dulv recorded and being first liens on the fee simple 1221600 00 3 Loans on mortgages upon which more than one years inter est is due 13000 00 4 Interest due on all said bond and mortgage loans 200700 interest accrued thereon 1846682 total 20473 82 5 Value of lands mortgaged exclusive of build ings and perishable improvements 1412827 00 6 Value of buildings mortgaged insured for 1023982 as collateral 1581950 00 7 Total value of said mortgaged premises carried inside 2994777 00 8 Amount of other loans 123900 00 9 Stocks and bonds 1270426 61 10 Cash in the companys principal office 19052 51 11 Cash belonging to the company deposited in bank 156595 02 Total cash items 175647 53 12 Interest due and accrued on collateral loans and uncollected 58 68 13 Premiums in course of collection 97237 68 Due from other companies for reinsurance on losses already paid 8i61 55 Total assets of the company actual cash market value 3183302 47200 COMPTROLLERGENERALS REPORT LIABILITIES Losses due and unpaid 25 725 94 Jross losses in process of adjustment or in suspense including all reported and sup posed losses 420831 57 Losses resisted including interest costs and other expenses thereon 20 283 13 11 12 16 19 Total gross amount of claims for losses 406840 64 Net amount of unpaid losses Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy 174921380 Unearned premiums fifty per cent 874606 90 Uross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one vear from date of policy129574608 Unearned premiums 649682 38 Total unearned premiums as computed above carried out Amount reclaimable by the insured on perpetual fire insur ance policies Cash dividends to stockholders remaining unpaid All other demands against the Company absolute and con tingent due and to become due admitted and contested viz 466840 04 1524289 28 546182 61 460 00 4101 08 20 21 23 Total amount of liabilities except capital stock scrip and net surplus Jointstock capital actually paid up in cash Surplus beyond capital and all liabilities IVINCOME DURING THE YEAR On Fire Risks Gross premiums and bills in course of collection at close of last previous year as shown by that years statement 68 924 06 Gross premiums on risks written and renewed during the year 2947465 19 2541873 61 500000 00 141428 86 Total Deduct premiums and bills in course of col lection at this date 3016389 25 97237 68 8 9 10 11 12 14 Entire premium collected during the vear 291915157 Deduct reinsurance rebate and abatements and return premiums 451066 21 Net cash actually received for premiums carried out Received for interest on bonds and mortgages Received for interest and dividends on stocks and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in valu of securities Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Risks iiross amount actually paid for losses in cluding 539891834 losses occurring in pre vious years j 649831 30 Add amount paid for losses under perpetual Policies 35197 97 2468085 30 69059 23 73276 21 58453 36 2668874 16COMPTROLLERGENERALS REPORT 201 3 Net amount paid during the year for losses 1685029 2 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year 5000000 49o40 00 6 Paid for commissions or brokerage 513002 42 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 118500 00 8 Paid for State national and local taxes in this and other States 3966 92 9 All other payments and expenditures 205703 78 Aggregate amount of actual expenditures during the year in cash 2611452 39 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 2 045163 00 27199 22 11183 28 271 99 THE ATLANTA HOME FIRE INSURANCE CO OF ATLANTA GA 1 Whole amount of capital stock 2 Amount paid up in cash 200000 00 200000 00 IIASSETTS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 3 Interest due on all said bond and mortgage loans 92933 interest accrued thereon 450895 total 5 Value of buildings mortgaged i insured for 89950 as collateral 89950 00 6 Total value of said mortgaged premises carried inside 282700 00 7 Amount of other loans 8 Stocks and bonds 11 Cash in the companys principal office 1274 62 12 Cash belonging to the company deposited in bank 2414 82 60000 00 122634 83 5438 28 43460 32 92234 24 3689 44 2942 90 837 50 1193 27 18619 33 23970 69 354020 80 Totai cash items 13 Amount of premium notes upon which policies have been issued 14 Interest accrued on stocks 15 Interest due and accrued on collateral loans and uncollected 16 Cash in the hands of agents and in course of transmission Due from other companies for reinsurance on losses already paid Total asets of the company actual cash market value IIILIABILITIES i Xet amount of unpaid losses 7825 42 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy4115854 Unearned premiums fifty per cent 82317 09 8 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy7859945 Unearned premiums pro rata 43872 40 11 Total unearned premiums as computed above carried out 85030 94 17 Due and accrued for salaries rent advertising and for agency and other miscellaneous expenses 3960 46 202 COMPTROLLERGENERALS REPORT 20 Total amount of all liabilities except capital stock scrip and net surplus 9g gig g 21 Joint stock capital actually paid up in cash WoOO 00 22 Scrip outstanding ggg 12 23 Surplus beyond capital and all liabilities 56334 86 IVINCOME DURING THE YEAR On Fire Risks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 11 959 81 3 Net collected H 959 81 4 trross premiums on risks written and renewed during the year 179388 08 5 Total 19j 347 gg 6 Deduct premiums and bills in course of collec tion at this date lg 319 33 7 Entire premiums collected during the year cash io 9q p o t 12128 06 s iJeduct reinsurance and return premiums 73081 23 9 Xet cash actually received for premiums car ed out 99 647 33 10 Received for interest on bonds and mortgages 18 701 31 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 21 944 98 14 Aggregate amount of income actually received during the year in cash 140 293 62 VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing 660093 losses occurring in previous Ty68 79618 60 2 JJeduct all amounts actually received for sal vages whether on losses of the last or of pre vious years and all amounts actually re ceived for reinsurances in other companies total deductions g 3Q1 q 3 Net amount paid during the last year for losses 73317 49 73 317 49 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year ig 000 00 o Scrip or certificates of profits redeemed in cash and interest paid to scripholders s 6 Paid for commission or brokerage 28 171 35 7 Paid for salaries fees and other charges of officers clerks agents and all other employees o 073 j 8 Paid for State national and local taxes in this and other orates ir 410 15 Aggregate amount of actual expenditures durino the year in cash 143677 g BUSINESS IN GEORGIA FOR 1893 Premiums 6668352 00 Los Mj Taxes paid on premiums 707 29COMPTROLLERGENERALS REPORT 203 THE BRITISH AMERICA FIRE INSURANCE CO OF TORONTO CANADA 1 Whole amount of capital stock 2 Amount deposited in United States 500000 00 205000 00 IIASSETS 8 Stocks and bonds 12 Cash belonging to the company deposited m bank 70061 82 Total cash items 14 Interest due and accrued on stocks not included in market value uncollected 16 Cash in the hands of agents and in course of transmission Total assets of the company actual cash market value IIILIABILITIES 1 Losses due and unpaid 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 3 Losses resisted including interest costs and other expensesthereon 4 Total gross amount of claims for losses 5 Deduct reinsurance thereon 10085 58 45180 21 4881 89 60147 68 7024 90 6 Net amount ot unpaid losses 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy 43092127 Unearned premiums fifty per cent 215460 63 8 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy327966 17 Unearned premiums pro rata 171716 47 9 Gross premiums without any deductions in cluding both cash and bills received and re ceivable upon all unexpired inland navi gation marine risks 21928 52 11 Total unearned premiums as computed above carried out 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 20 Total amount of all liabilities except capital stock scrip and net surplus 23 Surplus beyond capital and all liabilities in United States IVINCOME DURING THE YEAR 1 Gross premiums and bills in course of collection at close of last previous year as shown by that years statement 2 Deduct amount of same not col lected 3 Net collected 4 Gross premiums on risks written and renewed during the year 5 Total On Fire Risks On Marine and Inland Risks 96862 08 234 58 96627 50 654064 04 5408 51 5408 51 80036 48 606275 00 70061 82 7715 03 135040 52 819092 37 53122 78 408905 62 43569 51 505597 91 108494 46 750691 54 85444 99L 204 COMPTROLLERGENERALS REPORT 6 Deduct premiums and bills in course of collection at this date 132589 51 3696 74 7 Entire premiums collected dur ing the year 618102 03 81748 25 8 Deduct reinsurance and return premiums 92400 93 8614 51 9 Net cash actually received for premiums carried out 52570110 73133 74598834 84 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 23158 54 14 Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR 621993 38 1 Gross amount actually paid for losses including 9355237 losses occurring in previous years 2 Deduct all amounts actually received for salvages whether on losses of the last or of pre vious years 1429591 and all amounts actually received for reinsurance in other com panies 1115005 total deduc tion On Pire Risks On Marine and Inland Risks 399855 52 43173 09 21084 39 436157 3 Net amount paid during the year for losses 378771 13 38811 52 417582 65 6 Paid for commissions and brokerage 121539 27 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 11822 44 8 Paid for State national and local taxes in this and other States 15549 77 9 All other payments and expenditures 35569 41 Aggregate amount of actual expenditures during the year in cash 602063 54 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 949717 00 14728 03 10713 98 147 28 THE CALEDONIAN FIRE INSURANCE CO OF EDINBURGH SCOT LAND 1 Whole amount of capital stock 2 Amount paid up in cash 537500 107500 IIASSETS 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 4 Value of lands mortgaged exclusive of build ings and perishable improvements 100000 00 6 50000 00 Total value of said mortgaged premises carried inside 100000 00 8 Stocks and bonds 1389815 00 11 Cash in companys principal office 162 26 12 Cash belonging to the companv deposited in bank 253218 06 Total cash items 254244 56 COMPTROLLERGENERALS REPORT 205 14 16 Interest due and accrued on bonds not included in market value uncollected Gross premiums on policies written within three months Due from other companies for reinsurance on losses already paid Total assets of the company actual cash market value IIILIABILITIES 6750 00 269200 22 4236 57 1974246 35 3 Losses due and unpaid Gross losses in process of adjustment or in suspense including all reported and sup posed lossesJ Losses resisted including interest costs and other expenses thereon 230839 79 10338 00 241177 79 620893 83 11 19 20 23 Total gross amount of claims for losses Net amount of unpaid losses Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy124178766 Unearned premiums fifty per cent Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from the date of policy115162877 Unearned premiums pro rata o94U84 bz Total unearned premiums as computed above carried out All other demands against the company absolute and con tingent due and to become due admitted and contested Total amount of liabilities except capital stock scrip and net surplus Surplus beyond all liabilities IVINCOME DURING THE YEAR On Fire Eisks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 241177 79 1214978 65 60692 71 1516849 15 457397 20 i7039 07 269200 22 Net collected 77039 07 Gross premiums on risks written and renewed during the year 2395216 4 Total 2472255 31 Deduct premiums and bills in course of collec tion at this date Entire premiums collected during the year cash 2203055 09 Deduct reinsurance rebate abatement and re turn premiums 32108 bo Net cash actually received for premiums carried out Received for interest on bonds and mortgages Received for interest and dividends on stocks and bonds collateral loans and from all other sources 14 Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Eisks 1 Gross amount actually paid for losses includ ing losses occurring in previous years 7J202 2 9 10 11 1881476 24 3000 00 35786 23 1920262 47203 COMPTROLLERGENERALS REPORT 2 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years and all amounts actually re ceived for reinsurances in other companies 81453 24 3 Net amount paid during the year for losses 710619 03 710619 03 6 Paid for commissions or brokerage 553917 77 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 106697 48 8 Paid for State national andlocal taxes in this and other States 32793 00 All other payments and expenditures 79408 38 Aggregate amount of actual expenditures during the year in cash 1483465 66 BUSINESS IN GEORGIA FOE 1893 Risks 893507 00 Premiums 13600 35 bosses 6907 14 Taxes paid on premiums 136 00 THE CITIZENS FIRE INSURANCE CO OF NEW YORK N Y 1 Whole amount of capital stock 300000 00 2 Amount paid up in cash 300000 00 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 145 700 00 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 41300 00 3 Interest due on all said bond and mortgage loans interest accrued thereon 20650 total 206 50 4 Value of lands mortgaged exclusive of build ings and perishable improvements 45000 00 5 Value of buildings mortgaged insured for 3620000 as collateral 54000 00 6 Total value of said mortgaged premises carried inside 99000 00 7 Amount of other loans 143 725 00 8 Stocks and bonds 47o500 00 11 Cash in the companys principal office 3605 44 12 Cash belonging to the company deposited in bank 103056 19 Total cash items 106661 63 14 Interest due and accrued on stocks not included in market value uncollected 5350 00 15 Interest due and accrued on collateral loans and uncollected 4856 45 16 Cash in the hands of agents in course of transmission 107528 17 Due from other companies for reinsurance on losses already Paid 2561 59 Total assets of the company actual cash market value 1028389 34 IIILIAHILITIES 1 Losses due and unpaid 27315 50 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 28648 19 3 Losses resisted including interest costs and other expenses thereon 10285 84 4 Total gross amount of claims for losses 66249 53 5 Deduct reinsurance thereon 5023 06 6 Net amount of unpaid losses 61226 47H HHH COMPTROLLERGENERALS REPORT 207 7 Gross premiums without any deduction re ceived and receivable upon all unexpiredfire risks running one year or less from date of policy51814955 Unearned premiums fifty per cent 259074 77 8 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy52654944 Unearned premiums pro rata 269285 02 11 Total unearned premiums as computed above carried out 16 Cash dividends to stockholders remaining unpaid 17 Due and accrued for salaries rent advertising and for agency and other miscellaneous expenses 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 20 21 23 Total amount of all liabilities except capital stock scrip and net surplus Jointstock capital actually paid up in cash Surplus beyond capital and all liabilities 10 11 12 14 IVINCOME DURING THE YEAR On Fire Risks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement Deduct amount of same not collected Net collected Gross premiums on risks written and renewed during the year Total Deduct premiums and bills in course of collec tion at this date Entire premiums collected during the year Deduct reinsurance and return premiums 99871 93 1468 29 98403 64 835879 52 934283 16 107528 17 826754 99 127851 18 Set cash actually received for premiums car ried out Received for interest on bonds and mortgages Received for interest and dividends on stocks and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in value of securities viz Rents 542815total Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Eisis Gross amount actually paid for losses includ ing 4360850 losses occurring in previous year 499373 70 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 228126 and all amounts actually received for reinsurances in other companies 2010679total deductions 22388 05 528359 79 310 95 1500 00 16428 00 607825 21 300000 00 120564 13 698933 81 3739 09 24907 05 5428 15 733008 10 3 Net amount paid during the year for losses 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year 3000000 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 476985 65 29827 80 129718 83 44999 39208 COMPTROLLERGENERALS REPORT 8 Paid for State national and local taxes in this and other states 17441 30 i All other payments and expenditures 9891i 39 Aggregate amount of actual expenditures during the year in cash BUSINESS IN GEORGIA FOE 1893 Risks Premiums Losses Taxes paid on premiums 797889 36 564126 00 8048 02 3013 23 80 48 THE COMMERCIAL UNION ASSURANCE CO OF LONDON ENGLAND IIASSETS 1 Value of real estate owned by the company less the amount of incumbrances thereon 804314 96 8 Stocks and bonds 1757627 50 11 Cash in the companys principal office 336 23 12 Cash belonging to the company deposited in bank 425085 45 Total cash items 425421 68 13 Gross premiums in course of collection 462550 62 14 Interest due and accrued on stocks not included in market value uncollected 15 Unpaid premiums 16 Cash in the hands of agents and in course of transmission Due from other companies for reinsurance on losses al ready paid 25549 99 24009 55 16844 28 14072 16 Total assets of the company actual cash market value 3590990 74 IIILIABILITIES 1 Losses due and unpaid 341992 59 2 Gross losses in process of adjustment or in sus pense including all reported and supposed losses 7500 00 3 Losses resisted including interest costs and other expenses thereon 24280 00 4 5 i 373772 9631 59 110 8 9 Total gross amount of claims for losses Deduct reinsurance thereon Net amount of unpaid losses Unearned premiums fifty per cent 1168973 44 Gross premiums without any deduction re ceived and receivable upon all uuexpired fire risks running more than one year from date of policy198140266 Unearned premiums pro rata 1067724 Hi Gross premiums without any deductions in cluding both cash and bills received and receivable upon all unexpired inland naviga tion risks7818 46 Unearned premiums fifty per cent 3909 23 Total unearned premiums as computed above carried out Amount reclaimable on perpetual fire policies 17 Due and accrued for salaries rent advertising and for agency and other miscellaneaus expenses 19 AH other demands against the company absolute and con tingent due and to become due admitted and contested 364141 59 11 14 2240606 83 18545 75 2060 66 77274 53 20 Total amount of all liabilities except capital stock scrip and net surplus 2703235 36 23 Surplus beyond all liabilities 887755 38 COMPTROLLERGENERALS REPORT 209 IVINCOME DURING THE YEAR I On Fire Risks Gross premiums and bills in course of collection at close of last previous year as shown by that years statement 471485 35 Net collected 471585 35 Gross premiums on risks writ ten and renewed during the year 3547123 90 Total 4018709 25 Deduct premiums and bills in course of collection at this date 485471 44 Entire premiums collected dur ing the year cash 3533237 81 Deduct reinsurance rebate statement and return pre miums 746888 87 On Marine and Inland Risks 1741 58 1741 58 247530 80 249278 38 1688 73 247589 65 43471 10 9 11 12 14 Net cash actually received for premiums carried out 2786848 94 204118 55 Received for interest and dividends on stocks and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in value of securities Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR 2990967 49 75391 12 41454 32 3107812 93 On Fire Risks Gross amount actuallv paid for losses including 30839332 losses occurring in previous years 1958975 78 Deduct all amounts actually re ceived for salvages whether on losses of the last or pre vious years 2784052 and all amounts actually received for reinsurances in other com panies 11364089 total de ductions 61216 87 On Marine and Inland Risks 243105 67 80264 54 Net amount paid during the year for losses 1897758 91 162841 13 Paid for commission or brokerage Paid for salaries fees and other charges of officers clerks agents and all other employees Paid for State national and local taxes in this and other States All other payments and expenditures Aggregate amount of actual expenditures during the year in cash 2000600 04 586174 72 137408 06 84134 33 121120 71 2989437 86 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 4542950 00 67416 70 35706 06 674 16 210 COMPTROLLERGENERALS REPORT THE CONTINENTAL FIRE INSURANCE CO OF NEW YORK 2 Amount paid up in cash 1000000 00 IIASSETS 1 Value of real estate owned by the company less the amount of incumbrances thereon 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 3 Interest due on all said bond and mortgage loans interest accrued thereon 248568 total 4 Value of lands mortgaged exclusive of build ings and perishable improvements 183450 00 5 Value of buildings mortgaged insured for as collateral 201450 00 N Y 189300 00 138935 00 2485 68 6 384900 00 57000 00 Total value of said mortgaged premises carried inside 7 Amount of other loans 8 Stocks and bonds 4665735 00 11 Cash in companys principal office 12418 27 12 Cash belonging to the company deposited in bank 570062 21 Total cash items 13 Gross premiums in course of collection 14 Interest due and accrued on stocks not included in market value uncollected 15 Interest due and accrued on collateral loans and uncollected 17 Bills receivable not matured taken for fire marine and in land risks Due from other companies for reinsurance on losses already paid 582480 48 382560 37 72053 20 1848 73 283796 54 3925 73 Total assets of the company actual cash market value 6380180 73 IIILIABILITIES 2 Gross losses in process of adjustment or in suspenseincluding all reported and supposed losses 343625 00 3 Losses resisted including interest costs and other expenses thereon 42154 00 4 Total gross amount of claims for losses 5 Deduct reinsurance thereon 385779 00 15082 00 6 Net amount of unpaid losses 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy157454032 Unearned premiums fifty per cent 787270 16 8 Gross premiums without any deduction re received and receivable upon all unexpired fire risks running more than one year from date of policy393654128 Unearned premiums pro rata 2221341 84 370697 00 11 Total unearned premiums as computed above carried out 14 Principal unpaid on scrip or certificates of profit 15 nterest due declared and remaining unpaid or uncalled for 16 Cash dividends to stockholders remaining unpaid 18 Reserved for contengencies 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 20 Total amount of all liabilities except capital stock scrip and net surplus 3594315 77 21 Jointstock capital actually paid up in cash 100Q000 00 23 Surplus beyond capital and all liabilities 1785864 96 3008612 00 30070 00 6152 22 931 00 100000 0O 77853 55COMPTROLLERGENERALS REPORT 211 IVINCOME DURING THE YEAR On Fire Eisks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 478092 79 2 Deduct amount of same not collected 12785 04 3 Net collected 465307 75 4 Gross premiums on risks written and renewed during the year 3230836 73 5 Total 3696144 48 6 Deduct premiums and bills in course of collec tion at this date 666356 91 7 Entire premiums collected during the year 3029787 57 8 Deduct reinsurance and return premiums 317682 20 9 Net cash actually received for premiums carried out 10 Received for interest on bonds and mortgages 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 12 Income received from all other sources omitting increase if any in value of securities 14 Aggregate amount of income actually received during the year in cash 2712105 37 8210 23 168212 90 47174 51 2935703 01 EXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses including 25461658 losses occuring in Drevious years 1519158 83 2 Deduct all amounts actually re ceived for salvages whether on losses of the last or of pre vious years 529809and all amounts actually received for reinsurance in other companies 5204325 total deductions 57341 34 On Marine and Inland Risks 69424 64 3 Net amount paid during the vear for losses 1461817 49 69424 64 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year 14000000 5 Scrip or certificates of profits redeemed in cash and interest paid to scripholders 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 8 Paid for State national and local taxes in this and other States 9 All other payments and expenditures Aggregate amount of actual expenditures during the year in cash BUSINESS IN GEORGIA FOR 1893 Risk Premiums Losses Taxes paid on premiums 1531242 13 139720 00 310 06 603718 65 244119 02 60060 85 215192 18 2794362 89 2593747 00 36492 43 18677 04 364 92212 COMPTROLLERGENERALS REPORT THE CONNECTICUT FIRE INSURANCE CO OF HARTFORD CONN 1 Whole amount of canital stock 1000000 00 2 Amount paid up in cash 1000000 00 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 4 Value of lands mortgaged exclusive of build ings and perishable improvements 1039925 00 5 Value of buildings mortgaged insured for 747400 as collateral 1028000 00 107300 00 787400 00 6 Total value of said mortgaged premises carried inside 2067925 00 7 Amount of other loans 4300 00 8 Stocks and bonds 1589908 50 11 Cash in the companys principal office 657 99 12 Cash belonging to the companv deposited in bank 144853 94 13 17 Total cash item Net premiums in course of collection Bills receivable not matured taken for fire marine and in land risks 145511 93 164853 69 10423 69 Total assets of the company actual cash market value 2809697 81 IIILIABILITIES Gross losses in process of adjustment or in sus pense including all reported and supposed losses Losses resisted including interest costs and other expenses thereon 8 186570 67 13450 40 200021 07 Total gross amount of claims for losses Net amount of unpaid losses Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy99653152 Unearned premiums fifty per cent 498265 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy105889877 Unearned premiums pro rata 592666 200021 07 11 20 21 23 9 10 12 14 Total unearned premiums as computed above carried out 1090932 50 Total amount of all liabilities except capital stock scrip and net surplus Joint stock capital actually paid up in cash Surplus beyond capital and all liabilities IVINCOME DURING THE YEAK On Fire Risks Entire premiums collected during the year 1825400 11 Deduct reinsurance rebate abatement and re turn premiums 307163 72 1290953 57 1000000 00 518744 24 Net cash actually received for premiums carried out Received for interest on mortgages Income received from all other sources omitting increase if any in value of securities Aggregate amount of income actually received during the year in cash 1518236 39 40885 00 77338 10 1636459 49 v COMPTROLLERGENERALS REPORT 213 880456 09 80000 00 283817 61 116888 98 31356 81 VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing 14556387 losses occurring in previous years 880466 09 3 Net amount paid during the year for losses 880466 09 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year 6 Paid for commission or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 8 Paid for Statenational and local taxes in this and other States 9 All other payments and expenditures 112518 88 Aggregate amount of actual expenditures during the year in cash 1505048 37 BUSINESS IN GEORGIA FOR 1893 Risks 1265712 00 Premiums 18135 78 Losses 11871 20 Taxes paid on premiums 181 35 THE DELAWARE FIRE INSURANCE CO OF PHILADELPHIA PA 1 Whole amount of capital stock 1000000 00 2 Amount paid up in cash 702875 00 IIASSETS 1 Value of real estate owned by the company less the amount of ineumbrances thereon 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 3 Interest due on all said bond and mortgage loans interest accrued thereon 172060 4 Value of lands mortgaged exclusive of buildings and per ishable improvements 209000 00 5 Value of buildings mortgaged insured for f 120500 as collateral 163000 00 160000 00 154200 00 1720 60 6 Total value of said mortgaged premises carried inside 372000 00 8 Stocks and bonds 11 Cash in the companys principal office 3508 14 12 Cash belonging to the company deposited in bank 76382 38 1061751 25 Total cash items 79890 52 13 Gross premiums in course of collection 177495 73 17 Bills receivable not matured taken for fire marine and in land risks 16357 35 Due from other companies for reinsurance on losses already paid 12770 32 Total assets of the company actual cash market value 1664185 67 IIILIABILITIES 1 Losses due and unpaid 22777 83 2 Gross losses in processof adjustment orinsus pense jncludinsj all reported and supposed losses 124585 00 3 Losses resisted including interest costs and other expenses thereon 3925 00 6 Net amount of unpaid losses 151287 83214 COMPTROLLERGENERALS REPORT 8 10 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy40208069 Unearned premiums fifty per cent 231040 35 Gross premiums without any deduction re ceived and receivableupon all unexpired fire risks running more than one vear from date of policy24593451 Unearned premiums prorata 152314 19 Gross premiums without any deduction re ceived and receivable on all unexpired ma rine risks 34811 01 11 Total unearned premiums as computed above carried out 12 Amount reclaimable on perpetual fire policies 15 Principal unpaid on scrip or certificates of profit 16 Cash dividends to stockholders remaining unpaid 17 Interest due and declared remaining unpaid or uncalled for 19 All other demands against the tompany absolute and con tingent due and to become due admitted and contested 20 21 23 Total amount of liabilities except capital stock scrip and net surplus Jointstock capital actually paid up in cash Surplus beyond capital and all liabilities IVINCOME DURING THE YAK On Fire Risks On Marine and Inland Risks Gross premiums and bills in course of collection atclose of last pre vious year as shown by that years statement Net collected Gross premiums on risks written and renewed during the year Total Deduct premiums and bills in course of collection at this date 75646 44 33480 26 75646 44 891379 73 967026 17 124624 73 Entire premiums collected dur ing the year 832401 44 Deduct reinsurance rebateabate ment and return premiums 270563 56 33480 26 360569 38 3940411 64 42962 00 351087 64 43188 42 10 11 12 14 Net cash actually received for premiums carried out 561837 88 307899 22 Received for interest on mortgages Received for interest and dividends on stocks and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in value of securities Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Risks On Marine and Inland Risks Gross amount actually paid for losses including 9150428 losses occurring in previous years Deduct all amounts actually re ceived for salvages whether on lossos of the last or of pre vious years 317885 42 279834 84 418165 55 73502 39 3455 00 168 75 3761 10 28781 75 679122 37 702875 00 282188 30 S69737 10 4999 12 53811 63 4827 38 933375 23 47608 59 41490 23gHMHHHl COMPTROLLERGENERALS REPORT 215 3 Net amount paid during the year for losses 170271 83 238344 61 508621 44 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year 6325875 64826 50 5 Scrip or certificates of profits redeemed in cash and interest paid to scripholders 818 50 6 Paid for commissions or brokerage 140124 21 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 75433 03 8 Paid for State national and local taxes in this and other States 22557 79 9 All other payments and expenditures 86295 43 Aggregate amount of actual expenditures during the year in cash 898676 90 BUSINESS IN GEORC41A FOR 1893 Risks Premiums Losses Taxes paid on premiums 1909988 00 27006 87 18558 41 270 06 THE FIRE ASSOCIATION OF PHILADELPHIA PA 1 Whole amount of capital stock 2 Amount paid up in cash 500000 00 500000 00 1 Value of real estate owned by the company less the amount of incumbrances thereon 152800 00 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 1826108 85 Loans on mortgage on which more than one years interest is due 11550 00 3 Interest due on all said bond and mortgage loans 789625 interest accrued thereon 2738111 total 35277 36 4 Value of lands mortgaged exclusive of build ings and perishable improvements 2416526 00 5 Value of buildings mortgaged insured for 1563570 as collateral 2093297 00 6 Total value of said mortgaged premises carried inside 4509823 00 7 Amount of other loans 197400 00 8 Stocks and bonds 2404070 50 11 Cash in the companys principal office 10842 22 12 Cash belonging to the company deposited in bank 200286 84 Total cash items 13 Giross premiums not more than three months due 14 Interest due and accrued on bonds not included in market vaue uncollected 15 Interest due and accrued on collateral loans and uncollected Due from other companies for reinsurance on losses already paid 211129 06 357599 07 27624 23 1545 96 1157 98 Total assets of the company actual cash market value 5226263 01 IIILIABILITIES 1 Losses due and unpaid 140544 56 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 137372 00 3 Losses resisted including interest costs and other expenses thereon 43963 91 4 5 Total gross amount of claims for losses Deduct reinsurance thereon 321880 47 18434 66216 COMPTROLLERGENERALS REPORT 6 Net amount of unpaid losses 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy 157627871 Unearned premiums fifty per cent 788139 35 8 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy 39504204 Unearned premiums pro rata 743612 74 Total unearned premiums as computed above car ried out Amount reclaimable by insured on perpetual fire policies Allother demands against the company absolute and con tingent due and to become due admitted and contested 303445 81 11 19 1531752 09 1893370 92 121029 87 10 11 12 20 Total amount of all liabilities except capital stock scrip and net surplus 21 Jointstock capital actually paid up in cash 23 Surplus beyond all capital or liabilities IVINCOME DURING THE YEAR i r t 0n Fire Risks 1 jross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 321 894 46 3 Net collected 321 1394 43 4 Gross premiums on risks written and renewed during the year 2520581 57 5 Total 9 842 476 03 6 Deduct premiums and bills in course of collec lection at this date 357 599 07 7 Entire premiums collected during the year 248486 96 8 Deduct reinsurance rebate abatement and re turn premiums 434816 02 9 Net cash actually received for premiums car ried out Received for interest on mortgages Received for interest and dividends on stocks and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in value of securities 14 Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR r 0n Fire Risks 1 dross amount actually paid tor losses includ ing 22360936 losses occurring ia previous years 1347799 96 2 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 652031 and all amounts actually received for reinsurance in other companies 2098907 total deductions 27509 38 3 Net amount paid during the year for losses 4 Cash dividends actually paid stockholders amount or stock o holders dividends declared during the vear 20000000 b 1 aid lor commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 3849598 69 500000 00 876664 32 2050060 94 110738 68 127469 85 537S 75 2293648 22 1320290 58 200000 00 405548 85 226861 85 COMPTROLLERGENERALS REPORT 217 8 Paid for State national and local taxes in this and other States 59816 16 9 All other payments and expenditures 1734 06 Aggregate amount of actual expenditures in cash during the year 2214251 50 BUSINESS IN GEORGIA FOK 1893 Risks Premiums Losses Taxes paid on premiums THE GEORGIA HOME FIRE INSURANCE CO OF COLUMBUS GA 1897486 00 28672 56 20508 87 286 72 1 Whole amount of capital stock 2 Amount paid up in cash 300000 00 300000 l0 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 236350 30 6 Total value of said mortgaged premises carried inside 16415 16 7 Amount of other loans 8 Stocks and bonds 12 Cash belonging to the company deposited in bank 143263 57 91700 0O 16415 16 558416 20 Total cash items 13 Amount of premium notes upon which policies have been issued Cash in the hands of agents and in course of transmission Due from other companies for reinsurance on losses already paid 16 143263 57 16769 11 45018 49 3401 04 4 5 Total assets of the company actual cash market value 1111333 87 IIILIABILITIES Gross losses in process of adjustment or in suspense including all reported and sup posed losses 63058 15 Total gross amount of claims for losses 63058 15 Deduct reinsurance thereon 9625 00 6 Net amount of unpaid losses 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy24618796 Unearned premiums fifty per cent 123093 98 8 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy 22404585 Unearned premiums pro rata 120531 27 11 Total unearned premiums as computed above carried out 16 Cash dividends to stockholders remaining unpaid 18 Amount of borrowed money four and five per cent interest 53433 15 243625 25 2939 00 224466 63 20 Total amount of all liabilities except capital stock scrip and net surplus 524464 03 21 Jointstock capital actually paid up in cash 300000 00 23 Surplus beyond all capital and liabilities 286869 84218 COMPTROLLERGENERALS REPORT IV INCOME DURING THE YEAR On Fire Risks 1 dross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 16988 87 2 Deduct amount of same not collected 2664 31 3 Net collected 14324 66 4 dross premiums on risks written and renewed during the year 390833 10 o Total 6 Deduct premiums and bills in course of collec tion at this date 405157 82 16769 11 7 Entire premiums collected during the year cash 388388 71 8 Deduct reinsurance and return premiums ill070 90 9 Net cash actually received for premiums carried out 297317 18 10 Received for interest on bonds and mortgages 12665 59 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 29745 83 12 Income received from all other sources omitting increase if any in value of securities 6424 74 11 Aggregate amount of income actually received during the year in cash 346153 97 VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing 2978750 losses occurring in previous years 228233 71 2 Deduct all amounts actually received from sal vages whether on losses of the last or of previous years and all amounts actually re ceived for reinsurance in other companies total deductions 23 864 19 3 Net amount paid during the year for losses 204369 52 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year Paid for commission or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 8 Paid for State national and local taxes in this and other States 9 All other payments and expenditures 204369 52 18000 41808 00 74 33291 92 15461 4041 60 06 Aggregate amount of actual expenditures during the year in cash 31 972 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums i i 770495 93688 42403 936 00 59 71 88 THE GERMAN AMERICAN EIRE INSURANCE CO OF NEW YORK N Y 1 Whole amount of capital stockf 1000000 00 2 Amount paid up in cash 1000000 00 IIASSETS Stocks and bonds 5338697 J dash in the companys principal office 5 127 82 00COMPTROLLERGENERALS REPORT 219 12 14 16 11 li 20 21 23 9 10 14 Cash belonging to the company deposited in bank 48005o 93 Total cash items Interest due and accrued on stocks not included in market value uncollected Cash in the hands of agents and in course of transmission Total assets of the company actual cash market value IIILIABILITIES Losses due and unpaid 67223 18 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 313091 3s Losses resisted including interest costs and other expenses thereon 31128 68 Total gross amount of claims for losses 411443 24 Deduct reinsurance thereon 13868 00 Net amount of unpaid losses Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy221662636 Unearned premiums fifty per cent 1108313 18 Gioss premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy 254062552 Unearned premiums pro rata I364o70 86 Total unearned premiums as computed above carried out All other demands against the company absolute and con tingent due and to become due admitted and contested Total amount of all liabilities except capital stock scrip and net surplus Jointstock capital actually paid up in cash Surplus beyond all capital and liabilities IVINCOME DURING THE YEAR On Fire Risks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 311855 73 Net collected 311855 73 Gross premiums on risks written and renewed during the year 3823233 71 Total 4135089 44 Deduct premiums and bills in course of collec tion at this date 375103 28 Entire premiums collected during the year 3759986 Hi Deduct reinsurance and return premiums 875951 34 Net cash actually received for premiums carried out Received for interest on bonds and mortgages 485183 75 3411 00 375103 28 6202395 03 397575 24 2472884 04 75020 66 2945479 94 1000000 00 2356915 09 2884034 82 240708 85 1 Aggregate amount of income actually received during the year in cash V EXPENDITURES DURING THE YEAR On Fire Risks Gross amount actually paid for losses includ ing 28484236 losses occurring in previous years 1879454 65 3124743 67220 COMPTROLLERGENERALS REPORT 2 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 1541296 and all amounts actually received for reinsurances in other companies 19968238total deduction 215095 34 3 Net amount paid during the year for losses 1664359 31 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year 200000 00 6 Paid for commissions or brokerage 469022 33 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 218721 53 8 Paid for State national and local taxes in this and other States j9 205 45 9 All other payments and expenditures 301 554 82 Aggregate amount of actual expenditures during the year in cash 2 922 923 34 BUSINESS IN GEORGIA FOE 1893 5isks 2924198 00 Premiums 35 383 15 osses y 16895 77 laxes paid on premiums 353 gg THE GERMANIA FIRE INSURANCE CO OF NEW YORK N Y 1 Whole amount of capital stock 1000000 00 2 Amount paid up in cash 1000000 00 IIASSETS 1 Market value of real estate owned by the coirmany less the amount of incumbrances thereon 447649 19 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 168 500 00 3 Interest due on all said bond and mortgage loans interest accrued thereon 395000total 3 950 00 4 Aalue of lands mortgaged exclusive of build ings and perishable improvements 96500 00 5 Value of buildings mortgaged insured for 15900000 as collateral 211000 00 6 Total value of said mortgaged premises carried inside 307500 00 7 Amount of other loans 20000 00 S Stocks and bonds 2 47 756 75 11 Cash in the companys principal office 67J606 77 12 Cash belonging to the company deposited in bank 35638 33 Total cash items 103 245 m 15 Interest due and accrued on collateral loans and uncoflected 50 00 16 Cash in the hands of agents and in course of transmission 211 172 94 Due from ether companies for reinsurance on losses already Paid 10846 92 Total assets of the company actual cash market value 3195170 90 IIILIABILITIES 1 Losses due and unpaid 39030 83 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 12172 52 6 Losses resisted including interest costs and other expenses thereon 11786 44 4 Total gross amount of claims for losses 112989 79 o Deduct reinsurance thereon 22313 32 6 Net amount of unpaid losses 90 676 47COMPTROLEERGENERALS REPORT 221 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy61614155 Unearned premiums fifty per cent 308070 27 8 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy141913076 Unearned premiums pro rata 753510 03 11 Total unearned premiums as computed above carried out 1061580 30 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 31264 54 20 Total amount of all liabilities except capital stock scrip and net surplus 1183521 81 21 Jointstock capital actually paid up in cash 1000000 00 23 Surplus beyond capital and all liabilities 1011649 09 IVINCOME DURING THE YEAR On Fire Risks 1 Gross premiums and bills in course of collection at close of last previous year as shown by that years statement 198948 96 3 Net collected 198948 96 4 Gross premiums on risks written and renewed during the year 1538082 08 5 Total 1737031 04 6 Deduct premiums and bills in course of collec tion at this date 211172 94 7 Entire premiums collected during the year 8 Deduct reinsurance and return premiums 9 Net cash actually received for premiums carried out 10 Received for interest on bonds and mortgages 11 1525858 10 519207 68 1006650 42 8485 00 99670 66 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 14 Aggregate amount of income actually received during the year in cash 1114806 08 VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing 14057045 losses occurring in previous years 727243 20 2 Deduct all amounts actually received for sal vages whether on losses of the last or of previous vears 447671 and all amounts actually received for reinsurances in other companies 11381329total deductions 118290 00 3 Net amount paid during the year for losses 608953 20 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year iIw7 6 Paid for commissions or brokerage i 16479 7 Paid for salaries fees and other charges of officers clerks agents and all other employees Uo3o0 ob Paid for State national and local taxes in this and other states 24372 93 All other payments and expenditures 8074 69 Aggregate amount of actual expenditures during the year in cash 1094223 95 8 9 BUSINESS IN GEORGIA FOR 1893 1iBkB 66650 00 Premiums o 09 Taxes paid on premiums y b222 COMPTROLLERGENERALS REPORT THE GIRARD FIRE INSURANCE CO OF PHILADELPHIA PA 1 Whole amount of capital stock 300000 00 2 Amount paid up in cash 300000 00 1 Market value of real estate owned by the company less the amount of incumbrances thereon 280100 00 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 717350 00 3 Interest due on all said bond and mortgage loans 303650 interest accrued thereon 1113180 total 14168 30 5 Value of buildings mortgaged insured for 476079 as collateral 6 Total value of said mortgaged premises carried inside 2108492 00 7 Amount of other loans 9500 00 8 Stocks and bonds 482865 00 11 Cash in the companys principal office 8220 07 12 Cash belonging to the company deposited in bank 64753 36 Total cash items 16 Cash in the hands of agents and in course of transmission 17 Bills receivable not matured taken for fire marine and in land risks Due from other companies for reinsurance on losses already paid 72973 43 78260 72 20212 83 5674 34 fotal assets of the company actual cash market value 1681104 56 HILIAHILITIES 2 Iross losses in process of adjustment or in suspense including all reported and sup posed losses 31187 13 3 Losses resisted including interest costs and other expenses thereon 7610 66 4 Total gross amount of claims for losses 5 Deduct reinsurance thereon 38797 79 4064 90 6 Net amount of unpaid losses 7 iross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy 26325017 Unearned premiums fifty per cent 131625 08 8 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy 46188597 Unearned premiums pro rata 247497 40 11 Total unearned premiums as computed above carried out 12 Net premium reserve and all other liabilities except capital under the life insurance or any other special department 17 Due and accrued for salaries rent advertising and for agency and other miscellaneous expenses 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 34732 89 379122 48 382511 66 3179 41 43700 70 20 Total amount of all liabilities except capital stock scrip and net surplus 843 047 44 21 Jointstock capital actually paid up in cash 300000 00 23 Surplus beyond capital and all liabilities 537857 42 COMPTROLLERGENERALS REPORT 223 LO 11 12 14 IVINCOME DURING THE YEAH On Fire Risks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 97786 57 Net collected 97786 57 Gross premiums on risks written and renewed during the year 559647 17 Total 657433 74 Deduct premiums and bills in course of collec tion at this date 98473 55 Entire premiums collected during the year 558960 19 Deduct reinsurance and return premiums 99506 11 Net cash actually received for premiums car ried out Received for interest on bonds and mortgages Received for interest and dividends on stocks and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in value of securities Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Risks Gross amount actually paid for losses includ ing 2450423 losses occurring in previous years Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 04043 and all amounts actually received for reinsurances in other companies 925103 total deduction 459454 OS 41848 66 20796 95 6614 63 528714 32 229416 51 9891 86 Net amount paid during the year for losses 219524 6o 219o24 65 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year Paid for commissions or brokerage Paid for salaries fees and other charges of officers clerks agents and all other emplovees Paid for State national and local taxes in this and other States All other payments and expenditures Aggregate amount of actual expenditures during the year in cash 60000 00 90194 61 58359 95 11142 62 29103 07 468324 90 BUSINESS IN GEORGIA FOR 1893 Risks premiums Losses Taxes paid on premiums 560456 24r 7022 08 2178 32 70 22 THE GLENS FALLS FIRE INSURANCE CO OF GLENS FALLS N Y 1 Whole amount of capital stock 200000 00 2 Amount paid up in cash 200000 00 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 289o0 W 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 5b7J3 otI 224 COMPTROLLERGENERALS REPORT 3293 49 20000 00 3 Interest due on all said bond and mortgage loans 2124 14 interest accrued thereon 116935 total 7 Amount of other loas 8 Stocks and bonds 1365525 00 11 Lash in the companys principaloffice 3020 88 12 Cash belonging to the company deposited in bank 84355 58 Total cash items 14 Interest due and accrued on stocks not included in market value uncollected 16 Cash in the hands of agents and in course of transmission 17 Bills receivable not matured taken for fire marine and in land risks Due from other companies for reinsurance on losses already paid 87276 46 8717 17 75389 89 309 50 1040 70 Total assets of the company actual cash market value 2158539 76 III LIABILITIES 1 Losses due and unpaid g 51 13 2 Gross losses in process of adjustment orin sus pense including all reported and supposed losses 3 103 go 3 Losses resisted including interest costs and other expenses thereon 5535 00 4 Total gross amount of claims for losses 5 Deduct reinsurance thereon 43156 13 4886 57 38269 56 6 Net amount of unpaid losses 7 Gross premiums without any deduction re ceived and receivable upon allunexpired fire risks running one year or less from date of policy31210849 Unearned premiums fifty per cent 156054 24 8 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy98964955 I nearned premiums pro rata 52635 44 11 Total unearned premiums as computed above carried out 68 405 68 1 Due and accrued for salaries and for agency and other miscellaneous expenses 5 000 00 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 11308 48 20 Total amount of all liabilities except capital stock scrip and net surplus 735 983 72 21 Jointstock capital actually paid up in cash 200 000 00 23 Surplus beyond capital and all liabilities 1219389 05 IVINCOME DURING THE YEAR i z On Fire Risks 1 dross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 67 396 7 2 Deduct amount of same not collected 359 79 66537 08 3 Net collected 4 fross premiums on risks written and renewed during the year 808449 42 5 Total 6 Deduct premiums and bills in course of collec tion at this date 874986 50 75389 89 7 Entire premiums collected during the year 799 590 61 8 Deduct reinsurance and return premiums 158259 79HIHHH COMPTROLLERGENERALS REPORT 225 9 Net cash actually received for premiums carried out 641336 82 10 Received for interest on bonds and mortgages 37267 24 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 75513 57 12 Income received from all other sources omitting increase if any in value of securities 1229 75 14 Aggregate amount of income actually received during the year in cash 755347 38 VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing 3436642 losses occurring in previous years 2 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 49389 and all amounts actu ally received for reinsurances in other com panies 5515480 total deduction 369109 56 55648 69 3 Net amount paid during the year for losses 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year Paid for commissions or brokerage Paid for salaries fees and other charges of officers clerks agents and all other employees Paid for State national and local taxes in this and other States All other payments and expenditures 6 8 9 313460 87 20000 00 121359 99 50216 42 29685 33 51081 42 Aggregate amount of actual expenditures during the year in cash BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 585804 03 664395 00 7844 73 9328 55 78 45 THE GREENWICH FIRE INSURANCE CO OF NEW YORK N Y 1 Whole amount of capital stock 2 Amount paid up in cash 1 200000 00 200000 00 IIASSETS 1 Market value of real estate owned by the company less the amount of incubrances thereon 170000 00 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 4600 00 4 Value of lands mortgaged exclusive of build ings and perishable improvements 10500 00 5 Value of buildings mortgaged insured for 700000 as collateral 12500 00 6 Total value of said mortgaged premises carried inside 23000 00 7 Amount of other loans 8 Stocks and bonds 11 Cash in the companys principal office 10300 32 12 Cash belonging to the company deposited in bank 32192 91 15650 00 1034050 91 Total cash items 42493 23 14 Interest due and accrued on stocks notincluded in market value uncollected 2092 48 15 Interest due and accrued on collateral loans and uncollected 236 06 16 Cash in the hands of agents and in course of transmission 199727 21 15226 17 COMPTROLLERGENERALS REPORT Bills receivable not matured taken for fire marine and in land risks Due from other companies for reinsurance on losses a1 ready paid 14428 25 2873 95 Total assets of the company actual cash market value 1486152 69 IIILIABILITIES Gross losses in process of adjustment or in suspense including all reported and sup posed losses 255759 27 Losses resisted including interest costs and other expenses thereon 36004 42 Total gross amount of claims for losses 291763 69 Deduct reinsurance thereon 39821 66 11 18 19 20 21 22 Set amount of unpaid losses Gross premiums without any deduction re ceived and receivable upon all unexpired lire risks running one year or less from date of policy76117914 Unearned premiums fifty per cent 380589 57 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy 80785949 Unearned premiums pro rata 404437 16 Gross premiums without any deductions in cluding both cash and bills received and receivable upon all unexpired inland navi gation risks 7307333 Unearned premiums fifty per cent 36536 66 Total unearned premiums as computed above carried out Amount of borrowed money All other demands against the company absolute and con tingent due and to become due admitted and contested Total amount of all liabilities except capital stock scrip and net surplus Jointstock capital actually paid up in cash Surplus beyond capital and all liabilities IVINCOME DURING THE YEAR On Fire Risks On Marine and Inland Risks Gross premiums and bills in course of collection at close of last previous year as shown by that years statement Deduct amount of same not col lected 251942 03 821563 39 45000 00 46590 04 1165095 46 200000 00 121057 23 199679 83 209445 93 Gross premiums on risks written and renewed during the year 1296434 35 Total 1505880 28 Deduct premiums and bills in course of collection at this date 198693 02 7 Entire premiums collected during the year 1307187 26 S Deduct reinsurance and return premiums 259366 79 9 Net cash actually received for premiums carried out 1047820 47 9001 41 9051 85 189797 57 198849 92 6034 19 192815 23 17074 79 175740 441223560 91MHIHHHHHr COMPTROLLERGENERALS REPORT 10 Received for interest on bonds and mortgages 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 12 Income received from all other sources omitting increase if any in value of securities 14 Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Risks On Marine and Inland Risks 227 529 00 54955 30 17614 27 1296659 48 940672 73 131452 77 116665 17 20548 97 1 Gross amount actually paid for losses including 25545497 losses occurring in previous years 2 Deduct all amounts actually re ceived for salvages whether on losses of the last or of pre vious years 1458743 and all amounts actually received for reinsurances in other com panies 12762671 total deductions 3 Net amount paid during the year for losses 824007 56 110903 80 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerksj agents and all other employees 8 Paid for State national and local taxes in this and other States 9 All other payments and expenditures Aggregate amount of actual expenditures during the year in cash 934911 36 20000 00 293269 94 75764 84 33943 02 74999 19 1412888 35 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums THE GUARDIAN LIFE AND FIRE INSURANCE CO OF ENGLAND 1 Whole amount of capital stock10000000 00 2 Amount paid up in cash 5000000 00 IIASSETS 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 3 Interest due on all said bond and mortgage loans interest accrued thereon 296121 total 4 Value of lands mortgaged exclusive of buildings and perishable improvements 565200 00 5 Value of buildings mortgaged insured for 24780000 as collateral 247800 00 6 Total value of said mortgaged premises carried inside 813000 00 8 Stocks and bonds 11 Cash in the companys principal office 625 00 12 Cash belonging to the company deposited in bank 117899 51 Total cash items 14 Interest due and accrued on stocks not included in market value uncollected 2520184 00 37380 03 11667 43 373 80 LONDON 359500 00 2961 21 1059562 50 118524 51 10041 67228 COMPTROLLERGENERALS REPORT 16 Cash in the hands of agents and in course of transmission 120932 23 Due from other companies for reinsurance on losses already paid 416 07 Total assets of the company actual cash market value 1671938 79 IIILIABILITIES 41211 00 1 Losses due and unpaid 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 100136 00 3 Losses resisted including interest costs and other expenses thereon 28577 00 4 Total gross amount of claims for losses Deduct reinsurance thereon 169924 00 367100 6 Net amount of unpaid losses 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy 73396033 Unearned premiums fifty per cent 366980 16 8 Gross premiums without any deduction re ceived and receivable upisn all unexpired fire risks running more than one vear from date of policy110628953 Unearned premiums pro rata 584887 85 11 Total unearned premiums as computed above carried out 17 Due and accrued for salaries rent advertising and for agency and other miscellaneous expenses 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 20 166253 00 951868 01 4919 17 1390S 94 Total amount of all liabilities except capital stock scrip and net surplus 1136949 12 23 Surplus bevond all liabilities in United States 534989 67 IVINCOME DURING THE YEAK On Fire Risks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 119596 91 Deduct amount of same not collected 632 84 Net collected 118964 07 Gross premiums on risks written and renewed during the year 1386199 04 Total 1505163 11 Deduct premiums and bills in course of collec tion at this date 133016 52 Entire premiums collected during the year 1371546 59 Deduct reinsurance and return premiums 264364 99 10 11 12 14 Net cash actually received for premiums car ried out 1107181 601107181 60 Received for interest on bonds and mortgages 10485 56 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 32475 96 Income received from all other sources omitting increase if any in value of securities 2500 00 Aggregate amount of income actually received during the year in cash 1152643 12HH COMPTROLLERGENERALS REPORT 229 VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing 12601196 losses occurring in previous years 754576 25 2 Deduct all amounts actually received for sal vages whether on losses of the last or of pre vious years 1127307 and all amounts act ually received for reinsurances in other com panies 3332264 total deductions 44595 71 3 Net amount paid during the year for losses 709980 54 709980 54 6 Paid for commissions or brokerage 213580 85 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 115345 76 8 Paid for State national and local taxes in this and other States 38657 29 9 All other payments and expenditures 80544 43 Aggregate amount of actual expenditures during the year in cash 1158108 87 BUSINESS IN GEORGIA FOR 1893 Risks1 1449896 95 Premiums 18366 90 Losses 14138 70 Taxes paid on premiums 183 66 THE HAMBURG BREMEN FIRE INSURANCE CO OF HAMBURG GERMANY 1 Whole amount of capital stock 1500000 00 2 Amount paid up in cash 300000 00 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 3 Interest due on all said bond and mortgage loans interest accrued thereon 16875 total 4 Value of lands mortgaged exclusive of build ings and perishable improvements 30000 00 5 Value of buildings mortgaged insured for 2300000 as collateral 50000 00 6 Total value of said mortgaged premises carried inside 80000 00 9000 00 168 75 8 Stocks and bonds 1048831 25 12 Cash belonging to the company deposited in bank 173952 97 Total cash items 14 Interest due and accrued on stocks not included in market value uncollected 16 Cash in hands of agents and in course of transmission 17 Bills receivable not matured taken for fire marine and in land risks 173952 97 1000 00 94065 31 3474 47 Total assets of the company actual cash market value 1330392 75I 230 COMPTROLLERGENERALS REPORT III LIABILITIES Losses due and unpaid 17 400 00 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 94070 00 Losses resisted including interest costs and other expenses thereon 19595 00 Total gross amount of claims for losses Deduct reinsurance thereon 131065 00 14620 00 486995 90 11 19 20 23 Net amount of unpaid losses Gross premiums without any deduction re ceived and receivable upon all unexpiredfire risks running one year or less from date of policy97399192 I nearned premiums fifty per cent Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy74374976 Unearned premiums pro rata 398998 61 Total unearned premiums as computed above carried out All other demands against the company absolute and con tingent due and to become due admitted and contested Total amount of all liabilities except capital stock scrip and net surplus Surplus beyond all liabilities IVINCOME DUKING THE YEAR 0n Fire Risks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 101521 66 116445 00 885994 57 13493 86 1015933 43 314559 32 Net collected iqi 521 66 Gross premiums on risks written and renewed during the year Total Deduct premiums and bills in course of collec tion at this date 1507878 24 1609399 90 97539 78 Entire premiums collected during the year cash 1511860 12 Deduct reinsurance and return premiums 294933 37 9 10 11 14 Net cash actually received for premiums car ried out 1216926 75 Keceived for interest on bonds and mortgages Received for interest and dividends on stocks and bonds collateral loans and from all other sources Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Risks Gross amount actually paid for losses includ ing 7267889 losses occurring in previous years 841204 26 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 498717 and all amounts actually received for reinsurances in other companies 5399949 total deduction 58986 66 1216926 75 405 00 47812 73 1265144 48 3 Net amount paid during the year for losses 782217 60 782217 60 COMPTROLLERGENERALS REPORT 231 i Paid for commissions or brokerage 7 Paid for salaries fees and other chaiges of officers clerks agents and all other employees 8 Paid for State national and local taxes in this and other States 9 All other payments and expenditures Aggregate amount of actual expenditures during the year in cash BUSINESS IN GEORGIA FOB 1893 Eisks Premiums Losses Taxes paid on premiums 194826 76 90928 41 27595 98 70536 38 1172105 13 2703040 00 45862 40 19862 19 458 68 THE HANOVER FIRE INSURANCE CO OF NEW YORK N Y 1 Whole amount of capital stock 2 Amount paid ap in cash 1000000 00 1000000 00 250000 00 23000 00 96 66 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 3 Interest due on all said bond and mortgage loans interest accrued thereon 9666 total 4 Value of lands mortgaged exclusive of build ings and perishable improvements 29000 00 5 Value of buildings mortgaged insured for as collateral 31500 00 6 Total value of said mortgaged premises carried inside 60500 00 7 Amount of other loans 51600 00 8 Stocks and bonds 1997781 2o 11 Cash in the companys principal office 53534 74 12 Cash belonging to the company deposited in bank 41877 31 Total cash items 95412 05 14 Interest due and accrued on stocks not in cluded in market value uncollected 10690 50 15 Interest due and accrued on collateral loans and uncollected 215 29 16 Cash in the hands of agents and in course of transmission 172194 69 Total assets of the company actual cash market value 2600990 44 IIILIABILITIES 1 Losses due and unpaid 2 Gross losses in process of adjustment or in sus pense including all reported and supposed losses 3 Losses resisted including interest costs and other expenses thereon 4 Total gross amount of claims for losses 5 Deduct reinsurance thereon 74948 47 80485 59 25157 00 180591 06 22972 49 6 Net amount of unpaid losses 157618 57232 COMPTROLLERGENERALS REPORT Gross premiums without any deduction re ceived and receivable upon all unexpired Are risks running one year or less from date of policy97063825 Unearned premiums fifty per cent 485319 13 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy100998633 Unearned premiums pro rata 523921 62 11 Total unearned premiums as computed above carried out 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 20 Total amount of all liabilities except capital stock scrip and net surplus 21 Jointstock capital actually paid up in cash 23 Surplus beyond capital and all liabilities IVINCOME DURING THE YEAH On Fire Risks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 162766 67 2 Deduct amount of same not collected 10664 08 1009240 75 31042 05 1197901 37 1000000 00 403089 07 8 9 10 11 12 14 Net collected 152102 59 Gross premiums on risks written and renewed during the year 1517363 03 Total 1669465 62 Deduct premiums and bills in course of collec tion at this date 187196 45 Entire premiums collected during the year cash 1482269 17 Deduct reinsurance and return premiums 234922 69 Net cash actually received for premiums car ried out Received for interest on bonds and mortgages Received for interest and dividends on stock and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in value of securities Aggregate amount of income actually received during the year in cash 1247346 48 1160 00 90458 84 1716 02 1340681 34 VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing 11830689 losses occurring in previous years 800369 19 2 Deduct all amounts actually received for salva ges whether on losses of the last or of pre vious years365108andall amounts actual ly received for reinsurances in other compa nies 6191661 total deductions 65567 69 3 Net amount paid during the year for losses 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year 810000000 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 734801 50 100000 00 227570 12 137348 31 COMPTROLLERGENERALS REPORT 233 8 Paid for State national and local taxes in this and other States 34271 07 9 All other payments and expenditures 110061 23 Aggregate amount of actual expenditures during the year in cash 1344058 23 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 1319593 00 19142 90 11331 09 191 42 THE HARTFORD FIRE INSURANCE CO OF HARTFORD CONN 1 Whole amount of capital stock 3000000 00 2 Amount paid up in cash 1250000 00 IIASSETS 1 Value of real estate owned by the company less the amount of incumbrances thereon 363575 60 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 1231500 00 3 Interest due on all said bond and mortgage loans interest accrued thereon total 17954 05 4 Value of lands mortgaged exclusive of build ings and perishable improvements 1250000 00 5 Value of buildings mortgaged insured for 816478 as collateral 2262325 00 80201 57 6 Total value of said mortgaged premises carried inside 3512325 00 7 Amount of other loans 8 Stocks and bonds 4483570 00 11 Cash in the companys principal office 19106 40 12 Cash belonging to the company deposited in bank 237971 76 Total cash items 257078 16 15 Interest due and accrued on collateral loans and bank de posits 1016 82 16 Gross premiums in course of collection 653215 16 Due from other companies for reinsurance on losses already paid 18114 13 Total assets of the company actual cash market value 7109825 49 IIILIABILITIES 1 Losses due and unpaid 81837 29 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 251725 49 3 Losses resisted including interest costs and other expenses thereon 47123 64 4 Total gross amount of claims for losses 380686 42 6 Net amount of unpaid losses 380686 42 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy233349578 Unearned premiums fifty per cent 1166747 87I 234 COMPTROLLERGENERALS REPORT 8 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy315838044 Unearned premiums pro rata 1677056 66 11 Total unearned premiums as computed above carried out 2843804 53 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 52500 00 20 Total amount of liabilities except capital stock scrip and net surplus 3276990 95 21 Jointstock capital actually paid up in cash 1250000 00 23 Surplus beyond capital and all liabilities 2582834 54 IVINCOME DURING THE YEAR On Fire Risks Gross premiums received in cash 4213566 36 Deduct reinsurance rebate and abatements and return premiums 656145 10 9 Net cash actually received for premiums carried out 3557421 26 10 Received for interest on bonds and mortgages 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 12 Income received from all other sources omitting increase if any in value of securities 74188 14 212070 71 8590 32 14 Aggregate amount of income actually received during the year in cash 3852270 43 VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing 29535752 losses occurring in previous years 2286517 24 2 Deduct all amounts actually received for sal vages whether on losses of the last or of pre vious years and all amounts actually received for reinsurances in other companies 18485121 total deductions 184851 21 300 574 000 00 228 69 3 Net amount paid during the year for losses 2101666 032101666 03 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year 30000000 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 235353 06 8 Paid for State national and local taxes in this and other States All other payments and expenditures 9 64 262 122 Sii 564 48 Aggregate amount of actual expenditures during the year in cash 3537935 12 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 9787352 00 120383 83 36205 56 1203 83 COMPTROLLERGENERALS REPORT 235 THE HOME FIRE INSURANCE CO OF NEW ORLEANS LA Whole amount of capital stock 400000 00 Amount paid up in cash 400000 00 2 3 12 L6 IIASSETS Market value of real estate owned by the company less the amount of incumbrances thereon Amount of other loans Stocks and bonds Cash belonging to the company deposited in bank 47883 40 Totai cash items Cash in the hands of agents and in course of transmission Due from other companies for reinsurance on losses already paid Total assets of the company actual cash market value IIILIABILITIES Net amount of unpaid losses Gross premiums without any deduction re ceived and receivable upon all unexpired Are risks running one year or less from date of policy27096684 Unearned premiums fifty per cent 35000 00 55919 35 254133 31 47883 40 114523 98 23182 Oft 530642 04 16257 0ft 135483 42 11 20 21 Total unearned premiums as computed above carried out 135483 42 Total amount of all liabilities except capital stock scrip and net surplus Jointstock capital actually paid up in cash 151740 42 400000 0ft INCOME DURING THE YEAR On Fire Risks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 101968 37 101968 37 Net collected Gross premiums on risks written and renewed during the year 536991 62 Total 640928 36 Deduct premiums and bills in course of collec tion at this date 114523 98 I 8 9 11 12 14 Entire premiums collected during the year cash Deduct reinsurance and return premiums 526404 38 72808 39 Net cash actually received for premiums car ried out Received for interest and dividends on stocks and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in value of securities Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Bisks Gross amount actually paid for losses includ ing losses occurring in previous years 356605 67 453595 99 12037 70 1185 00 466818 6 3 Net amount paid during the last year for lossea 356605 67 356605 67236 COMPTROLLERGENERALS REPORT 6 Paid for commission or brokerage 16739 14 7 Paid for salaries fees and other charges of officers clerks agents and all other employees I QR 8 Paid for State national and local taxes in this and other J0 StatesJ Aggregate amount of actual expenditures during the year in cash 472189 97 BUSINESS IN GEORGIA FOR 1893 Risks 1415685 00 Premiums 29450 76 Losses 19838 23 Taxes paid on premiums 294 51 THE HOME FIRE INSURANCE CO OF NEW YORK N Y 1 Whole amount of capital stock 300000 00 2 Amount paid up in cash 300000 00 IIASSETS 1 Value of real estate owned by the company less the amount of incumbrances thereon 1554689 80 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 611032 35 3 Interest due on all said bond and mortgage loans 36750 interest accrued thereon 1052145total 10888 95 4 Value of lands mortgaged exclusive of build ings and perishable improvements 997235 00 5 Value of buildings mortgaged insured for 369650 as collateral 609695 00 Total value of said mortgaged premises carried inside 1606930 00 7 Amount of other loans 347300 00 8 Stocks and bonds o 959 494 74 12 Cash belonging to the company deposited in bank 243279 55 Total cash items 243 279 55 14 Interest due and accrued on stocks not included in market value uncollected 15 947 8 15 Interest due and accrued on collateral loans and uncollected 490 57 16 Gross premiums in course of collection 578079 64 17 Bills receivable not matured taken for fire marine and in land risks 7550 96 Total assets of the company actual cash market value 9328754 44 IIILIABILITIES 1 Losses due and unpaid 141587 52 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 768453 88 3 Losses resisted including interest costs and other expenses thereon 42216 13 4 Total gross amount of claims for losses 952257 53 5 Deduct reinsurance thereon 315003 00 6 Net amount of unpaid losses 637 254 53COMPTROLLERGENERALS REPORT 237 7 10 11 19 20 21 23 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy2754160 Unearned premiums fifty per cent 1377080 00 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy5241723 Unearned premiums 2776582 00 Gross premiums without any deductions in cluding both cash and bills received and re ceivable upon all unexpired inland navi gation risks11918800 Unearned premiums fifty per cent 59594 00 Gross premium without any deduction re ceived and receivable on all unexpired ma rine risks 21857 00 Total unearned premiums as computed above carried out 4225113 00 All other demands against the company absolute and con tingent due and to become due admitted and contested 187147 09 Total amount of all liabilities except capital stock scrip and net surplus 5049514 62 Jointstock capital actually paid up in cash Surplus beyond capital and all liabilities in United States IVINCOME DURING THE YEAR On Fire Risks On Marine and 3000000 00 1279239 82 Gross premiums and bills in course of collection at close of last previous year as shown by that years statement 480229 11 Deduct amount of same not col lected 414 29 Inland Risks 21927 56 10 11 12 14 Net collected 479814 82 Gross premiums on risks written and renewed during the year 6094595 12 Total 6574409 94 Deduct premiums and bills in course of collection at this date 550564 68 Entire premiums collected dur ing the year 6023845 26 Deduct reinsurancerebateabate ment and return premiums 1305991 84 21927 56 233415 25 255342 81 35065 92 220276 89 43629 34 Net cash actually received for premiums carried out 4717853 42 176647 554894500 97 Received for interest on bonds and mortgages 42799 30 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 283598 36 Income received from all other sources omitting increase if any in value of securities 111989 11 Aggregate amount of income actually received during the year in cash 5332887 74 VEXPENDITURES DURING THE YEAR On The Risks On Marine and Inland Risks Gross amount actually paid for losses including 110347384 losses occurring in previous years 3917881 97 151788 54 238 COMPTROLLERGENERALS REPORT 2 Deduct all amounts actually received for salvages whether on losses of the last or of pre vious years 3007703 and all amounts actually received for reinsurance in other com panies781320S8 total deduc tion 782851 54 2854587 3 Net amount paid during the year for losses 3135030 43 123242 673258273 10 4 Cash dividends actually paid stockholders amount or stock holders dividends declared during the year 30000000 300000 00 6 Paid for commissions and brokerage 992 951 32 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 447 98 81 8 Paid for State national and local taxes in this and other 0 Atatts 80834 42 V All other payments and expenditures 375589 66 Aggregate amount of actual expenditures during the year in cash 5455567 31 BUSINESS IN GEORGIA FOB 1893 Risks Premiums Losses Taxes paid on premiums 4650854 00 62430 38 46398 43 624 30 THE IMPERIAL FIRE INSURANCE CO OF LONDON ENGLAND 1 Whole amount of capital stock 6 000 000 00 2 Amount paid up in cash l50o000 00 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 476 634 70 8 Stocks and bonds i 13595 qo 11 Cash in the companys principal office 4983 49 J2 Cash belonging to the company deposited in bank 39537 03 Total cash items 44 2o 5 14 Interest due and accrued on stocks not included in market value uncollected 16 Cash in the hands of agents in course of transmission Due from other companies for reinsurance on losses alreadv paid 2895 83 210211 59 0924 54 Total assets of the company actual cash market value IIILIABILITIES 10696 45 1854882 18 1 Losses due and unpaid 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 3 Losses resisted including interest costs and other expenses thereon 24 893 81 95004 25 4 Total gross amount of claims for losses 130594 51 o IJeduct reinsurance thereon 909 27 6 Net amount of unpaid losses io 8625 24COMPTROLLERGENERALS REPORT 239 11 19 20 23 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy95645000 Unearned premiums fifty per cent 478225 00 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy87899524 Unearned premiums pro rata 486441 27 Total unearned premiums as computed above carried out All other demands against the company absolute and con tingent due and to become due admitted and contested Total amount of all liabilities except capital stock scrip and net surplus Surplus beyond all liabilities IVINCOME DURING THE YEAR On Fire Risks Net collected 210679 00 Gross premiums on risks written and renewed during the year 1632303 30 Total 1842982 30 Deduct premiums and bills in course of collec tion at this date 230536 17 964666 27 41165 89 1134457 40 720424 78 8 9 11 12 14 Entire premiums collected during the year Deduct reinsurance and return premiums 1612446 13 371436 79 1294779 82 Net cash actually received for premiums car ried out 1241009 34 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 36337 34 Income received from all other sources omitting increase if any in value of securities 17433 14 Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Risks Gross amount actually paid for losses includ ing losses occurring in previous years Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 712138 and all amounts actually received for reinsurances in other companies 5938756total deductions 850005 11 66508 94 Net amount paid during the yearfor losses783496 17 Paid for commissions or brokerage Paid for salaries fees and other charges of officers clerks agents and all other employees Paid for State national and local taxes in this and other States All other payments and expenditures Aggregate amount of actual expenditures during the year in cash BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 783496 17 245242 90 112412 64 47667 58 39470 12 1228289 41 714960 00 11950 12 3513 29 119 50240 COMPTROLLERGENERALS REPORT THE INSURANCE CO OF N A OF PHILADELPHIA PA 1 Whole amount of capital stock 3000000 00 2 Amount paid up in cash 3000000 00 1 2 3 5 7 8 L2 16 17 Value of real estate owned by the company less the amount of incumbrances thereon Loans on bond nd mortgage duly recorded and being first liens on the fee simple Interest due on all said bond and mortgage loans 2542845 Value of buildings mortgaged insured for 247909200 as collateralS 7253712 00 Amount of other loans Stocks and bonds 4535047 50 Cash belonging to the company deposited in bank 778728 40 307000 00 2734586 06 25428 45 297660 00 Total cash items 778728 40 Premiums in course of collection 824983 49 Bills receivable not matured taken for fire marine and in land risks 148397 09 Due from other companies for reinsurance on losses already paid 78258 24 Total assets of the company actual cash market value 9730089 23 IIILIABILITIES Fire Losses due and unpaid 103972 72 Gross losses in process of adjust ment or in suspense including all reported and supposed losses 240814 94 Losses resisted including interest costs and other expenses thereon 20737 62 Total gross amount of claims for losses 365525 28 Deduct reinsurance thereon 28594 44 Marine 260900 00 260900 00 116500 00 Net amount of unpaid losses 336930 84 144400 00 481330 84 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy2877976 69 Unearned premiums fifty per cent 1438983 34 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy2719340 59 Unearned premiums pro rata 1399293 65 Gross premiums without any deductions in cluding both cash and bills received and re ceivable upon all unexpired inland naviga tion risks 32388120 Unearned premiums 100 per cent 323881 20 11 14 19 20 21 23 Total unearned premiums as computed above carried out less amount insured 11896684 3043191 35 Amount reclaimable upon perpetual fire policies 765734 64 All other demands against the company absolute and con tingent due and to become due admitted and contested 75707 23 Total amount of all liabilities except capital stock scrip and net surplus 4365964 06 Jointstock capital actually paid up in cash 3000000 00 Surplus beyond capital and all liabilities 2364725 17 COMPTROLLERGENERALS REPORT 241 IVINCOME DURING THE YEAR On Fire Risks On Marine and Inland Risks 1 Gross premiums and bills m course of collection at close of last pre vious year as shown by that years statement 45341154 365672 05 3 Net collected 453411 54 365672 05 4 Gross premiums on risks written and renewed during the year 4414222 07 2731938 01 5 Total4867633 61 3097610 06 6 Deduct premiums and bills in course of collection at this date 492702 17 480 578 41 7 Entire premiums collected during the year cash4374931 44 2617031 65 8 Deduct reinsurance and return premiums 68927106 758176 37 9 Net cash actually received for premiums carried out3685660 38 1858855 285544515 66 10 Received for interest on bonds and mortgages 150 728 29 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 238 157 83 12 Income received from all other sources omitting increase if any in value of securities 528 91 14 Aggregate amount of income actually received during the year in caeh 5939930 69 VEXPENDITURES DURING THE YEAR On Fire Risks On Marine and Inland Risks 1 Cross amount actually paid for losses including losses occur ring in previous years2385673 26 2212740 94 2 Deduct all amounts actually re ceived for salvages whether on losses of the last or of previous years 30552318 and all amounts actually received for re insurances in other companies 01042704 total deductions 118977 65 796972 57 3 Net amount paid during the year a n fu SSe18 a 2266695 61 1415768 373682463 98 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 8 Paid for State national andlocal taxes in this and other States 9 All other payments and expenditures 360000 00 955531 26 279923 31 107792 04 301505 62 Aggregate amount of actual expenditures during the year in cash 5 gg7 219 21 BUSINESS IN GEORGIA FOR 1893 5isks 5356241 00 1remiums Losses Taxes paid on premiums 16 53259 32 43743 74 532 59242 COMPTROLLERGENERALS REPORT THE LANCASHIRE FIRE INSURANCE CO OF MANCHESTER ENGLAND 1 Market value of real estate owned by the company less the amount of incumbrances thereon 383098 85 8 Stocks and bonds 2036460 00 11 Cash in the companys principal office 1448 76 12 Cash belonging to the company deposited in bank 108747 05 Total cash items 16 Cash in the hands of agents and in course of transmission 110195 81 3114997 92 Total assets of the company actual cash market value 2894752 58 LIABILITIES 1 Losses due and unpaid 02084 88 2 Gross losses in process of adjustment or in sus pense including all reported and supposed losses 315412 70 3 Losses resisted including interest costs and other expenses thereon 20934 49 6 Net amount of unpaid losses 7 Oross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy233577639 Unearned premiums fifty per cent 8 Gross premiums without any deductions received and receivable upon all unexpired fire risks running more than one year from date of policy922393 92 Unearned premiums pro lata 1167888 19 476387 45 398432 07 11 Total unearned premiums as computed above carried out 1644275 64 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 40000 00 20 Total amount of all liabilities except capital stock scrip and net surplus 2082707 71 23 Surplus beyond all liabilities 812044 87 IVINCOME DURING THE YEAH On Fire Risks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown bv that vears statement 200533 08 200533 08 3 Net collected 4 Gross premiums on risks written and renewed during the year 3909707 49 Total 4110240 57 6 Deduct premiums and bills in course of collec tion at this date 3049H7 92 7 Entire premiums collected during the year 3745242 65 8 Deduct reinsurance and return premiums 1023384 25 9 Net cash actually received for premiums carried out 2721858 40 lv COMPTROLLERGENERALS REPORT 243 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources qi istr w 12 Income received from all other sources omitting increase if any in value of securities 4 7i0 32 14 Aggregate amount of income actually received durins the year in cash 2 828 297 25 VEXPENDITURES DURING THE YEAR 3 Net amount paid during the year for losses 2 495 226 IS 6 Paid for commission or brokerage Paid tor salaries fees and other charges of officers clerks R P ntland aI1 oth employees S 200 973 o9 Q Ul1 nth natonaland Iocal taxes inthis and other States 44648 36 it All other payments and expenditures 167675 45 Aggregate amount of actual expenditures during the yearincash 3500764 08 BUSINESS IN GEORGIA FOR 1893 Risks Premiums 1427548 00 Losses 3i25 32 Taxes paid on premiums 29o f 346 2o THE LION FIRE INSURANCE CO OF LONDON ENGLAND 1 Whole amount of capital stock 4 19 onn nn 2 Amount paid up in cash 4g 00 IIASSETS 2 Loabodand mortgage duly recorded and being first liens on the fee simple 6 01 m 3 Interest due on all said bond and mortgage loans 471786 4717 86 4 alue of lands mortgaged exclusive of build mgs and pensha ble improvements 165015 00 Meo L onUlldmf mortgaged insured for 24950000 as collateral 313285 00 6 Total value of said mortgaged premises carried inside 470 onn on 7 Amount of other loans 48300 00 9I 8 Stocks and bonds 26500 00 11 Cash in companys principal officemm 418000 12 Cash belonging to the company depositedin Dank 161997 48 Total cash items IB rhlnfh16fnd f C7ed n collateral loans and uncollected 521 95 16 Cash in the hands of agents and in course of transmission 79785 54 Total assets of the company actual cash market value 91433323 IIILIABILITIES 1 Losses due and unpaid r4q 99 2 Gross losses in process of adjustment orin suspeneeincluding all reported and supposed 3 Losses resistedV including interest costs and 5628 other expenses thereon 12 482 00 4 Total gross amount of claims for losses 102367 22 6 Net amount of unpaid losses 102 367 22244 COMPTROLLERGENERALS REPORT 7 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy44334014 Unearned premiums fifty per cent 221670 07 8 Gross premiums without any deductions re ceived and receivable upou all unexpired fire risks running more than one year from date of policy27429250 Unearned premiums pro rata 154900 49 11 Total unearned premiums as computed above carried out 17 Due and accrued for salaries rent advertising and for agency and other miscellaneous expenses 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 20 Total amount of all liabilities except capital stock scrip and net surplus 23 Surplus beyond all liabilities IVINCOME DURING THE YEAR On Fire Kisks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 103965 94 3 Net collected 103965 94 4 Gross premiums on risks written and renewed during the year 1012460 34 5 Total 1110426 28 6 Deduct premiums and bills in course of collec tion at this date 79785 54 7 Entire premiums collected during the year 1036640 74 8 Deduct reinsurance rebate abatement and re turn premiums 452037 70 9 Net cash actually received for premiums carried out 10 Received for interest on bonds and mortgages 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 376570 SS ll550 10 9205 43 499693 31 414639 92 584603 04 10580 51 16982 60 14 Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Kisks 1 Gross amount actually paid for losses includ ing 5270272 losses occurring in previous years 356585 24 612172 15 3 Net amount paid during the year for losses 356585 24 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 8 Paid for State national and local taxes in this and other States 9 All other payments and expenditures Aggregate amount of actual expenditures during the year in cash 356585 21 98715 95 29533 16 18211 57 37942 81 Risks Premiums Losses Taxes paid on premiums BUSINESS IN GEORGIA FOR 1893 540988 73 1374326 00 20037 52 4729 05 200 37COMPTROLLERGENERALS REPORT 245 THE LIVERPOOL AND LONDON AND GLOBE FIRE INSURANCE CO OF LIVERPOOL ENGLAND irASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 1574500 00 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 2817537 50 3 Interest due on all said bond and mortgage loans 187500 interest acrued thereon 35474 72 total 37349 72 7 Amount of other loans 9000 00 8 Stocks and bonds 2081650 00 11 Cash in the companys principal office 4964 39 12 Cash belonging to the company deposited in bank 780149 59 Total cash items 785113 98 15 Interest due and accrued on collateral loans and uncollected 366 22 L6 Gross premiums in course of collection 855940 22 Due from other companies for reinsurance on losses already paid 31566 25 Total assets of the company actual cash market value L8193023 89 IIILIABILITIES 1 Losses due and unpaid 6628 10 2 Gross losses in process of adjustment or in sus pense including all reported and supposed losses 683473 55 3 Losses resisted including interest costs and other expenses thereon 55177 00 4 Total gross amount of claims for losses 5 Deduct reinsurance thereon 745278 65 171480 15 6 Net amount of unpaid losses 7 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy396900203 Unearned premiums fifty per cent 1984501 02 8 Oross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of p6licy374407497 Unearned premiums pro rata 1939339 74 573798 50 11 Total unearned premiums as computed above carried out 3923840 76 12 Net premium reserve and all other liabilities except capital under the life insurance or any other special department 111073 85 14 Amount reclaimable on perpetual fire policies 337499 05 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 217614 97 20 Total amount of all liabilities except capital stock scrip and net surplus 4233827 13 23 Surplus beyond all liabilities 3959196 76 IVINCOME DUKING THE YEAR On Fire Risks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 808800 20 2 Deduct amount of same not collected 5136 51 3 Net collected 803723 69246 COMPTROLLERGENERALS REPORT 4 dross premiums on risks written and renewed during the year 6991243 39 5 Total 794 jy Qg 6 Deduct premiums and bills in course of collec tion at this date egg jq g 7 Entire premiums collected during the year 6 908 560 46 8 Deduct reinsurance and return premiums lla410 87 9 Net cash actually received for premiums carried out 5 393 149 59 10 Received tor interest on bonds and mortgages 95 727 73 11 Received for interest and dividends on stocks and bonds col lateral loans and from all other sources 92 san 1 1 12 Income received from all other sources omitting increase if any in value of securities os 321 i 14 Aggregate amount of income actually received during the year in cashs 5649779 19 V EXPENDITURES DURING THE VEAR i n On Fire Risks 1 dross amount actually paid for losses includ ing 73468610 losses occurring in previous 9 n y1 3950276 73 Deduct all amounts actually received from sal vages whether on losses of the last or of previous years 8998340 and all amounts actually received for reinsurance in other companies 35880847 total deductions 448 791 87 3 Net amount paid during the year for losses 3 501 4s4 Rfi 6 Paid for commission or brokerage 978 977 58 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 65 954 06 8 Paid for Statenational and local taxes in this and other States 9o75 91 9 All other payments and expenditures 246 987 49 Aggregate amount of actual expenditures durino the year in cash BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 5089156 hi 062704 00 107433 95 38304 43 1074 33 THE LONDON ASSURANCE FIRE CO OF LONDON ENGLAND 1 Whole amount of capital stock 2 Amount paid up in cash 896550 448275 IIASSETS 8 Stocks and bonds 11 Cash in the companys principal office 12 Cash belonging to the company deposited in bank 3838 37 227938 52 Total cash items 13 Amount of premium notes upon which policies have been issued 14 Interest due and accrued on stocks not included in market value uncollected 16 Cash in the hands of special agents 17 Bills receivable not matured taken for fire marineand in land risks 1920432 50 231776 89 230445 30 5804 59 754 84 13518 85 Total assets of the company actual cash market value 2402792 97HHHHHHH COMPTROLLERGENERALS REPORT 247 IIILIABILITIES 6 Net amount of unpaid losses 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one 5rear or less from date of policy80110878 Unearned premiums fifty per cent 8 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one vear from date of policy93582018 i Unearned premiums prorata 10 Gross premiums without any deduction re ceived and receivable on all unexpired ma rine risks 400554 14 501909 70 64635 54 11 Total unearned premiums as computed above carried out 14 Amount reclaimable by the insured on perpetual fire policies 18 Amount of borrowed money 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 175608 34 967159 38 174 80 21 61 40722 40 20 Total amount of liabilities except capital stock scrip and net surplus 1183686 53 23 Surplus beyond all liabilities 1219106 44 IVINCOME DURING THE YEAR 1 Gross premiums and bills in course of collection atclose of last pre vious year as shown by that years statement On Fire Risks 167708 29 167708 29 On Marine and Inland Risks 3 Net collected 4 Gross premiums on risks written and renewed during the year 1407951 18 Total 6 Deduct premiums and bills in course of collection at this date 1575659 47 174510 89 7 Entire premiums collected dur ing the year 1401148 58 8 Deduct reinsurance and return premiums 291258 83 96850 95 96850 95 773603 80 870454 75 55934 41 814520 34 186872 43 9 Net cash actually received for premiums carried out 1109889 75 627647 91 1737537 66 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 74924 13 14 Aggregate amount of income actually received during the year in cash 1812461 79 VEXPENDITURES DURING THE YEAR On Fire Risk On Marine and Inland Risks 1 Gross amount actually paid for losses including 23407784 losses occurring in previous years 823 007 26 570634 91I 248 COMPTROLLERGENERALS REPORT 2 Deduct all amounts actually re ceived for salvages whether on losses of the last or of pre vious years 929440 and all amounts actually received for reinsurances in other compa nies 27304450 total de ductions 76639 39 205697 51 3 Net amount paid during the year x frlosses 746367 87 364937 40 1111305 27 6 Taid for commissions or brokerage 279 780 38 7 Paid for salaries fees and other charges of officers clerksj agents and all other employees 106305 81 8 Paid for State national and local taxes in this and other States 33 355 yg 9 All other payments and expenditures S6l30 71 Aggregate amount of actual expenditures during the vear in cash 1616877 93 BUSINESS IN GEOKGIA FOR 1893 lsks 1297597 00 Premiums l 47 Losses 8073 95 Taxes paid on premiums 114 97 THE LONDON AND LANCASHIRE EIRE INSLRANCE CO OF LIVERPOOL ENGLAND IIASSETS 1 alue of real estate owned by the companv less the amount of incumbrances thereon 298 130 00 8 Stocks and bonds 890430 00 11 Cash in the companys principal office 30596 38 12 Cash belonging to the companv deoo bank company deposited in 82574 49 Total cash items 16 Gross premiums in course of collection 17 Bills receivable not matured taken for fire marine and in land risks Due from other companies for reinsurance on losses already paid 113170 87 323903 89 3till SO 10341 08 Total assets of the company actual cash market value 2639587 64 IIILIABILITIES 1 Losses due and unpaid 55 975 35 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 175 23i 34 3 Losses resisted including interest costs and other expenses thereon 34503 40 4 Total gross amount of claims for losses 265715 09 o Deduct reinsurance thereon 21152 04 6 Net amount of unpaid losses 44 563 05 7 Gross premiums without anv deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of Plicy 151397495 I nearned premiums fifty per cent 756987 46 COMPTROLLERG ENERALS REPORT 249 8 11 19 20 23 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy85019499 Unearned premiums pro rata 850194 99 Total unearned premiums as computed above car ried out All other demands against the company absolute and con tingent due and to become due admitted and contested Total amount of all liabilities except capital stock scrip and net surplus Surplus beyond all liabilities IVINCOME DURING THE YEAR On Fire Kisks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 344437 71 1007182 45 82804 07 1934009 57 704978 07 Net collected Gross premiums on risks written and renewed during the year Total Deduct premiums and bills in course of collee lection at this date Entire premiums collected during the year Deduct reinsurance rebate abatement and re turn premiums 344437 71 2859061 91 3203499 62 354008 48 2849491 14 709222 50 9 11 12 14 Xetcash actually received for premiums carried out Received for interest and dividends on stocks and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in value of securities Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Risks Gross amount actually paid for losses includ ing 23898520 losses occurring ia previous years 1655979 33 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 1835523 and all amounts actually received for reinsurance in other companies 27212287 total deductions 290478 10 Net amount paid during the year for losses Paid for commissions or brokerage Paid for salaries fees and other charges of officers clerks agents and all other employees Paid for State national and local taxes in this and other States All other payments and expenditures Aggregate amount of actual expenditures during the year in cash 2140268 64 74744 27 8489 85 2223502 76 1315501 23 396426 60 142432 75 38855 93 127033 28 2070249 79 BUSINESS IN GEORGIA FOK 1893 Risks Premiums Losses Taxes paid on premiums 1885805 00 26198 92 9233 49 261 99250 C M PTROLLERGENEEALS REPORT THE MiCOX FIRE INSURANCE CO OF MACOS GA 1 Whole amount of capital stock 100 000 00 2 Amount paid up in cash 100 000 cO IIASSETS 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple o7 o Q 7 Amount of other loans S Stocks and bonds 11 Cash in the companys principal office 12 Cash belonging to the company deposi bank company deposited in 806 35 3002 6G Total cash items 13 Amount of premium notes upon which policies have been issued 15 Interest due and accrued on collateral loansand uncollected lb ash in the hands of agents and in course of transmission Due from other companies for reinsurance on losses already paid Total assets of the company actual cash market value 78882 52 21250 00 3869 01 563 56 1301 65 13015 03 717 62 156S42 73 IIILIABILITIES 6 Net amount of unpaid losses 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of PJlcy5457104 Unearned premiums fifty percent 8 Gross premiums without anv deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy92 11487 Unearned premiums pro rata 27285 52 11992 31 11 20 Total unearned premiums as computed above carried Total amount of all liabilities except capital stock scrip and net surplus 21 Jointstock capital actually paid up in cash 23 Surplus beyond all capital and liabilities IVINCOME DURING THE YEAH 9 Net cash actually received for premiums carried out 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources Aggregate amount of income actually received durine the year in cash s VEXPENDITURES DURING THE YEAR n On Fire Risks i tiross amount actually paid for losses includ ing 696296 losses occurring in previous years 3 Net amount paid during the vear for losses 4 t ash dividends actually paid stockholders amount of stock dividends declared during the year 14 2560 00 39277 S3 41837 83 100000 oo 15004 90 64401 68 8723 78 73215 46 6 Paid for commission or brokerage Paid for salaries fees and other i agents and all other employees charges of officers clerks 36188 97 6000 00 13402 67 5572 59COMPTROLLERGENERALS REPORT 251 8 Paid for State national and local taxes in this and other States 2161 IT 9 All other payments and expenditures 4186 81 BUSINESS IN GBOBCIA FOR 1893 Risks Premiums Losses Taxes paid on premiums Aggregate amount of actual expenditures during the year in cash 67512 21 1903805 00 29315 09 7972 95 293 15 THE MECHANICS AND TRADERS FIRE INSURANCE CO OF NEW ORLEANS LA 1 Whole amount of capital stock 2 Amount paid up in cash 500000 00 375000 00 8 11 12 IIASSETS Market value of real estate owned by the company less the amount of incumbrances thereon Stocks and bonds Cash in the companys principal office 8476 07 Cash belonging to the company deposited in bank 15756 07 Total cash items 15 Interest due and accrued on collateral loans uncollectod 17 Bills receivable not matured taken for fire marine and inland risks 4 5 Total gross amount of claims for losses Deduct reinsurance thereon 64112 01 9997 13 Net amount of unpaid losses Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy 36250497 Unearned premiums fifty per cent Gioss premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy 10805539 Inearned premiums pro rata 181252 IS 63341 99 11 Total unearned premiums as computed above carried out 16 Cash dividends to stockholders remaining unpaid 20 Total amount of all liabilities except capital stock scrip and net surplus 21 Jointstock capital actually paid up in cash 23 Surplus beyond capital and all liabilities 25200 00 631132 50 24232 18 95394 47 4080 63 Total assets of the company actual cash market value 780039 74 IIILIABILITIES 1 Losses due and unpaid 13511 42 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 38794 59 3 Losses resisted including interest costs and other expenses thereon 11806 00 54114 88 244594 47 18750 00 317459 35 375000 00 87580 39252 COMPTROLLERGENERALS REPORT IVINCOME DURING THE YEAR Gross premiums and bills in course of collection at close of last previous year as shown by that years statement Gross premiums on risks writ ten and renewed during the year Total Deduct premiums and bills in course of collection at this date On Fire Risks 83010 80 627603 74 710614 54 92767 52 Entire premiums collected dur ing the year cash 617487 02 Deduct reinsurance and return premiums 211 350 34 On Marine and Inland Risks 8402 95 29021 90 37424 85 6707 58 30717 27 13382 23 9 11 12 14 Net cash actually received for premiums carried out 406496 68 17335 04 Keceived for interest and dividends on stocks and bonds collateral loans and from ali other sources Income received from all other sources omitting increase if any in value of securities Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR 423831 72 27884 56 1451 40 453167 68 On Fire Risks 1 Gross amount actually paid for losses including 5787070 losses occurring in previous o Tea 451197 54 2 Deduct all amounts actually re ceived for salvages whether on losses of the last or pre vious years f277445 and all amounts actually received for reinsurances in othercom panies 12421867 total de ductions 12li115 Hi On Marine and Inland Risk 2386 78 96 3 Net amount paid during the year for losses 325082 38 l 508 82 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 8 Paid for State national and local taxes in this and other States 9 All other payments and expenditures Aggregate amount of actual expenditures during the year in cash BUSINESS IN GEORGIA FOR 1898 Risks Premiums Losses Taxes paid on premiums 326591 20 18750 00 61507 14 32000 00 12069 48 42560 72 493478 54 970475 00 11534 5 12746 08 115 34COMPTROLLERGENERALS REPORT 253 THE MERCHANTS FIRE INSURANCE CO OF NEWARK N J 1 Whole amount of capital stock 2 Amount paid up in cash 1000000 00 400000 00 292948 25 390473 00 7610 47 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 3 Interest due on all said bond and mortgage loans 130450 interest accrued thereon 030597 total 4 Value of lands mortgaged exclusive of build ings and perishable improvements 419200 00 5 Value of buildings mortgaged 555200 00 6 Total value of said mortgaged premises carried inside 974400 00 8 Stocks and bonds 11 Cash in the companys principal office 7702 91 12 Cash belonging to the company deposited in bank 44659 51 Total cash items 52362 4 14 Interest due and accrued on stocks not included in market value uncollected 3433 50 10 Cash in the hands of agents and in course of transmission 149988 54 Due from ether companies for reinsurance on losses already paid 2988 55 Total assets of the company actual cash market value 1546547 23 IIILIABILITIES 646742 50 1 Losses due and unpaid 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 3 Losses resisted including interest costs and other expenses thereon 4 5 Total gross amount of claims for losses Deduct reinsurance thereon 6 Net amount of unpaid losses 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy71948384 Unearned premiums fifty per cent 8 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one vear from date of policy65631994 Unearned premiums pro rata 83208 24 92320 74 17529 86 193058 84 2879 64 359741 92 342107 56 11 Total unearned premiums as computed above carried out 15 Scrip certificates and interest thereon 19 All other demands against the company absolute and con tingent dueand to become due admitted and contested 20 Total amount of all liabilities except capital stock scrip and net surplus 21 Jointstock capital actually paid up in cash 23 Surplus beyond capital and all liabilities 190179 20 702267 48 5379 57 43352 84 941179 09 400000 00 205368 14 254 8 9 10 11 12 14 COMPTROLLERGENERALS REPORT IVINCOME DURING THE YEAR Grat88XepmifTSand bilk in COUrse of collection at close of last previous year as shown bv that years statement Dy n ln Deduct amount of same not collected 4 57 Net collected Grirnriskswiienandd Total Deduct premiums and bills in course of collec tion at this date iouec Entire premiums collected during the year Deduct reinsurance and return premiums 1123890 12 1259714 29 152750 07 1106964 22 1464 68 960849 54 20445 44 30055 50 23907 89 1036158 37 VEXPENDITURES DURING THE YEAR 1 Gneai901t9tr1Iypaidf0rl0S8es clud nFireRisks years S8ea ocourrinS in previous 2 Deduct all amounts actually received for sal 78278 vages whether on losses of he last or of previous years 589367 and all amounts actually received for reinsurances in other companies 2605530 total deductions 31 948 97 amount of stock 6 Paid for commissions or brokerage aitatersStatenatinal andl0cal taxes in this andother 9 All other payments and expenditures Aear8necaXUnt f actualePenditures duringthe BUSINESS IN GEORGIA FOR 1893 Premiums Losses Taxes paid on premiums 700786 58 40000 00 8 88 181752 44 41617 00 23500 36 97253 28 1084918 54 946772 50 35288 54 11453 71 352 88 COMPTROLLERGENERALS REPORT 255 11 12 16 THE MUTUAL FIRE INSURANCE CO OF NEW YORK N Y Whole amount of capita stock 254041 24 Amount paid up in cash 254044 24 IIASSETS Amount of other loans 974935 00 Cash in the companys principal office 6584 21 Cash belonging to the company deposited in bank 119984 77 Total cash items Cash in the hands of agents and in course of transmission Due from other companies for reinsurance on losses already paid 126568 98 177812 34 5340 02 Total assets of the company actual cash market value 1284656 34 litLIABILITIES 11 19 136001 01 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 83194 15 Losses resisted including interest costs and other expenses thereon 52806 86 Total gross amount of claims for losses 136001 01 Net amount of unpaid losses Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy 82505674 Unearned premiums fifty per cent 412528 37 Total unearned premiums as computed above car ried out 412528 37 All other demands against the company absolute and con tingent due and to become due admitted and contested 5351 00 20 21 23 Total amount of all liabilities except capital stock scrip and net surplus 557321 40 Jointstock capital actually paid up in cash 254044 23 Scrip outstanding64612600 Surplus beyond capital and all liabilities 473290 71 IVINCOME DURING THE YEAK On Fire Kisks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 252327 84 Net collected 252327 84 Gross premiums on risks written and renewed during the year 1047005 77 Total 1299333 61 Deduct premiums and bills in course of collec tion at this date 177812 34 Entire premiums collected during the year Deduct reinsurance and return premiums J 121521 27 202842 48 9 11 12 14 Net cash actually received for premiums carried out 918678 79 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 37851 01 Income received from all other sources omitting increase if any in value of securities 4602 57 Aggregate amount of income actually received during the year in cash 961132 37256 COMPTROLLERGENERALS REPORT VEXPENDITURES DURING THE YEAR 1 Gross amount actually paid for losses includ n RiSk mg 9087138 losses occurring in previous years 3S8 071 1 2 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 1059961 and all amounts actually received for reinsurance in other companies 4317673 total deductions 53775 34 3 Net amount paid during the year for losses 334 2M a7 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 04 007 5 bcnp or certificates of profits redeemed in cash and interest paid to senpholders qs r c 6 Paid for commissions or brokerage X 1 1 aid for salaries fees and other charges of officers clerks agents and all other employees om Qo State Dational andlocal taxes in thisandother 9 All other payments and expenditures 52550 29 Aggregate amount of actual expenditures during the year in cash B 011 di 02 BUSINESS IN GEORGIA FOR 1893 Premiums 1675520 00 Losses 150S1 91 Taxes paid on premiums ll 19 150 31 THE NATIONAL FIRE INSURANCE CO OF HARTFORD CONN 1 Whole amount of capital stock 1 000 000 00 2 Amount paid up in cash Jgjgj J IIASSESS 1 Market value of real estate owned by the company less the amount of incumbrances thereon l H us oso nr 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple s n m 3 Interest due on all said bond and mortgage loans 435290 interest accrued thereon 882532 total i 17R 99 4 alue o lands mortgaged exclusive of buildings andper ishable improvements 007 400 00 en buildjngs mortgaged insured for 510685 as collateral 802650 00 6 Total value of said mortgaged premises carried inside j 810 00 nn 7 Amount of other ioars iiuuou W 8 Stocks and bonds 0 00 11 Cash in the companys principal officeqS9S3 184154 00 12 Cash belonging to the company deposited in bank 203264 11 Total cash items 1ft KQ n Senco 15 Interest due and accrued on collateral loansand uncollected ll 50 lb Gross premiums in course of collection 339 261 i Total assets of the company actual cash market value 3153454 07 iwmB COMPTROLLERGENERALS REPORT 257 LIABILITIES Losses due and unpaid 61785 12 Gross losses in process of adjustment or in sus pense including all reported and supposed losses 87927 99 Losses resisted including interest costs and other expenses thereon 25657 52 4 Total gross amount of claims for losses Net amount of unpaid losses Gross premiums without any deduction re ceived and receivable upon allunexpired fire risks running one vear or less from date of policy133664715 Unearned premiums fifty per cent Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy140080526 Unearned premiums pro rata 175370 63 668323 57 738612 54 11 19 20 21 23 Total unearned premiums as computed above carried out All other demands against the company absolute and con tingent due and to become due admitted and contested Total amount of all liabilities except capital stock scrip and net surplus Jointstock capital actually paid up in cash Surplus beyond capital and all liabilities 175370 63 1406936 11 83254 59 1665561 33 1000000 00 487892 74 IVINCOME DUBING THE VEAR On Fire Risks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 244557 33 Net collected 244557 33 Gross premiums on risks written and renewed during the year 2547311 90 9 10 11 12 14 Total 2791869 23 Deduct premiums and bills in course of collec tion at this date 339261 26 Entire premiums collected during the year 2452607 97 Deduct reinsurance rebate abatement and re turn premiums 440092 71 Xet cash actually received for premiums carried out 2012515 26 Received for interest on bonds and mortgages 42225 28 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 94894 73 Income received from all other sources omitting increase if any in value of securities 1432 03 Aggregate amount of income actually received during the year in cash 1151067 30 VEXPENDITURES DURING THE YEAR On Fire Risks Gross amount actually paid for losses includ ing14318399 losses occurring in previous years 1249723 55 17258 COMPTROLLERGENERALS REPORT 2 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 214582 and all amounts ac tually received for reinsurances in other com panies 17260240 total deduction 174748 22 3 Net amount paid during the year for losses 1074975 33 1074975 33 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 100000 00 6 Paid for commissions or brokerage 348349 09 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 155 563 04 8 Paid for State national and local taxes in this and other States 60285 67 9 All other payments and expenditures 172351 60 Aggregate amount of actual expenditures during the year in cash 1911525 33 BUSINESS IN GEOKGIA FOR 1893 Risks 1635711 00 Premiums 21924 60 Losses 10810 30 Taxes paid on premiums 219 25 THE NIAGARA FIRE INSURANCE CO OF NEW YORK N Y 1 Whole amount of capital stock 500000 00 2 Amount paid up in cash 500000 00 IIASSETS 1 Value of real estate owned by the company less the amount of incubrances thereon 778000 00 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 33900 00 3 Interest due on said bond and mortgage loans interest accrued thereon 79875 total 798 75 4 Value of lands mortgaged exclusive of build ings and perishable improvements 36250 00 5 Value of buildings mortgaged insured for 38150 00 as collateral 38150 00 6 Total value of said mortgaged premises carried inside 74400 00 7 Amount of other loans 3 250 00 8 Stocks and bonds 926995 00 11 Cash in the companys principal office 24044 27 12 Cash belonging to the company deposited in bank 146375 67 Total cash items 170 419 94 14 Interest due and accrued on bonds not included in market value uncollected 4 325 00 15 Interest due and accrued on collateral loans and uncollected 99 60 16 ttoss premiums in course of collection 254 827 62 Due from other companies for reinsurance on losses already paid 17576 51 Total assets of the company actual cash market value 2190192 42 COMPTROLLERGENERALS REPORT 259 IIILIABILITIES Losses due and unpaid Gross losses in process of adjustmest or in suspense including all reported and sup posed lossesJ Losses resisted including interest costs and other expenses thereon 190992 01 45695 91 Total gross amount of claims for losses 236087 92 11 16 19 20 21 22 Net amount of unpaid losses 236687 92 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy101062017 Unearned premiums fifty per cent 505310 08 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one vear from date of policy 85187212 Unearned premiums pro rata 448518 17 Gross premiums without anv deductions in cluding both cash and bills received and receivable upon all unexpired inland navi gation risks 3859074 Unearned premiums fifty per cent 19295 37 Total unearned premiums as computed above carried out 973123 62 Cash dividends to stockholders remaining unpaid 338 50 All other demands against the company absolute and con tingent due and to become due admitted and contested 66882 34 Total amount of all liabilities except capital stock scrip and net surplus 1277032 38 Jointstock capital actually paid up in cash 500000 00 Surplus beyond capital and all liabilities 413160 04 IVINCOME DURING THE YEAR On Fire Risks On Marine and Inland Risks Gross premiums and bills in course of collection at close of last previous year as shown by that years statement 264309 25 4074 87 4074 87 51732 80 55807 67 8576 67 47231 00 10428 37 264309 25 Net collected Gross premiums on risks written and renewed during the year 2154420 70 Total 2418729 95 Deduct premiums and bills in course of collection at this date 236997 61 Entire premiums collected during the year 2181732 34 Deduct reinsurancerebate abate ment and return premiums 1253755 27 10 II 12 14 Net cash actually received for premiums carried out 927977 07 36802 63 964779 70 Received for interest on mortgages 1465 70 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 55436 91 Income received from all other sources omitting increase if any in value of securities 25753 81 Aggregate amount of income actually received during the year in cash 1047436 12260 COMPTROLLERGENERALS REPORT VEXPENDITURES DURING THE YEAR On Fire Risks On Marine and Inland Risks 1 Gross amount actually paid for losses including losses occurring in previous years 1352522 74 10S10 35 2 Deduct all amounts actually re ceived for salvages whether on losses of the last or of pre vious years and all amounts actually received for reinsurances in other com panies total deductions 180188 22 1951 89 3 Net amount paid during the vear for losses 1172334 52 14858 401187192 98 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 5000000 50027 50 6 Paid for commissions or brokerage 65181 88 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 139758 29 8 Paid for State national and local taxes in this and other States 50233 17 9 All other payments and expenditures 150327 12 Aggregate amount of actual expenditures during the year in cash 1642720 94 BUSINESS IN GEORGIA FOR 1893 Kisks Premiums Losses Taxes paid on premiums 1555057 00 22952 78 15692 15 229 62 THE NORWICH UNION FIRE INSURANCE SOCIETY OF NOR WICH ENGLAND 1 Whole amount of capital stock 2 Amount paid up in cash 5500000 00 660000 00 IIASSETS 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 3 Interest due on all said bond and mortgage loans interest accrued thereon 15000 total 5 Value of buildings mortgaged insured for 4000000 as collateral 80000 00 40000 00 150 00 6 Total value of said mortgaged premises carried inside 80000 00 8 Stocks and bonds 1517330 00 11 Cash in the companys principal office 1120 79 12 Cash belonging to the company deposited in bank 211844 33 Total cash items 16 Cash in the hands of agents and in course of transmission Due from other companies for reinsurance on losses already paid 212965 12 87408 02 24 37 Total assets of the company actual cash market value 1857877 51sSiwsrH COMPTROLLERGENERALS REPORT 261 IIILIABILITIES 1 Losses due and unpaid 174941 99 2 Gross losses in process of adjustment or in suspense including all reported and sup I posed losses I y 944 99 3 Losses resisted including interest costs and j other expenses thereon I Total gross amount of claims for losses J Deduct reinsurance thereon 11044 60 11 17 19 20 23 Net amount of unpaid losses 163897 39 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy1194337 73 Unearned premiums fifty per cent 597168 86 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one vear from date of policy96040320 Unearned premiums pro rata 518594 09 Total unearned premiums ascomputed above carried out 1115762 95 Due and accrued for salaries rent advertising and for agency and other miscellaneous expenses 1577 79 All other demands against the company absolute and con tingent due and to become due admitted and contested 16975 68 Total amount of all liabilities except capital stock scrip and net surplus 1298213 81 Surplus beyond all liabilities 559663 70 IVINCOME DURING THE YEAR Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement Deduct amount of same not collected Net collected Gross premiums on risks written and renewed On Fire Risks 109876 26 1065 27 during the year 108810 99 1935378 54 Total 2044189 53 Deduct premiums and bills in course of collec tion at this date 98868 86 7 Entire premiums collected during the year 1945320 67 8 Deduct reinsurance and return premiums 377650 01 9 Net cash actually received for premiums carried out 10 Received for interest on bonds and mortgages 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 1567670 66 900 00 63243 92 14 Aggregate amount of income actually received during the year in cash 1631814 58 VEXPENDITURES DURING TILE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing losses occurring in previous years 1078698 36262 COMPTROLLERGENERALS REPORT 2 Deduct all amounts actually received for sal vages whether on losses of the last or of pre vious years 393519 and all amounts act ually received for reinsurances in other com panies 6214952 total deductions 50084 71 3 Net amount paid during the year for losses 1012613 65 1012613 65 6 Paid for commissions or brokerage 262806 71 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 117 087 43 8 Paid for State national and local taxes in this and other States lg 275 ijq 9 All other payments and expenditures 110877 52 Aggregate amount of actual expenditures during the year in cash 1521Ci 91 BUSINESS IX GEOBGIA FOE 1893 Kisks 2528918 00 Premiums 32 999 30 fosses 12625 44 1 axes paid on premiums 399 99 THE NORTH BRITISH AND MERCANTILE FIRE INSURANCE CO OF LONDON AND EDINBURGH GREAT BRITAIN IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 465 360 84 8 Stocks and bonds 2 412961 00 11 Cash in the companys principal office 1469 65 12 Cash belonging to the company deposited in bank 111380 08 Total cash items 112 849 73 14 Interest due and accrued on stocks not included in market value uncollected 16 Cash in hands of agents and in course of transmission 17 Bills receivable not matured taken for fire marine and in land risks 3457 i7 Due from other companies for reinsurance on losses already paid 13 297 95 48055 00 397022 Mil Total assets of the company actual cash market value 3453004 55 IIILIABILITIES 1 Losses due and unpaid 64931 24 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 263408 94 3 Losses resisted including interest costs and other expenses thereon 54052 31 4 Total gross amount of claims for losses 5 Deduct reinsurance thereon 382392 4i 42430 95 6 Net amount of unpaid losses 339961 54 7 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy167850848 I nearned premiums fifty per cent 839254 24 izmxr COMPTROLLERGENERALS REPORT 263 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy 194481069 Unearned premiums pro rata 1038801 46 11 19 20 23 Total unearned premiums as computed above carried out All other demands against the company absolute and con tingent due and to become due admitted and contested Total amount of all liabilities except capital stock scrip and net surplus Surplus beyond all liabilities 1878055 70 88641 60 2306658 84 1146345 71 IVINCOME DURING THE YEAR On Fire Risks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 422032 43 Net collected 422032 43 Gross premiums on risks written and renewed during the year 2958020 93 9 11 12 14 Total 3380053 36 Deduct premiums and bills in course of collec tion at this date 442187 97 Entire premiums collected during the year 2937865 39 Deduct reinsurance and return premiums 56887 81 Net cash actually received for premiums carried out Received for interest and dividends on stocks and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in value of securities Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Risks Gross amount actually paid for losses includ ing 24128659 losses occurring in previous years 1782014 71 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 1343727 and all amounts actually received for reinsurances in other companies 12048647 total deduction 133923 74 Net amount paid during the year for losses 1648090 97 Paid for commissions or brokerage Paid for salaries fees and other ehaiges of officers clerks agents and all other employees Paid for State national and local taxes in this and other States All other payments and expenditures Aggregate amount of actual expenditures during the year in cash 2369177 58 129271 61 3044 90 2501494 09 1648090 97 360005 01 238395 84 57622 30 117727 45 2421841 57 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 4115683 00 53026 08 30139 78 530 26 264 COMPTROLLERGENERALS REPORT THE NORTHERN ASSURANCE CO OF LONDON ENGLAND 1 Whole amount of capital stock15000000 00 2 Amount paid up m cash 1500000 00 IIASSETS 1 Value of real estate owned by the company less the amount of incumbrances thereon u 1250148 12 8 Stocks and bonds 11 Cash in the companys principal officesisi 65 12 Lash belonging to the company deposited in bank 61760 14 Totai cash items 14 Interest due and accrued on bonds not included in market value uncollected 16 Gross premiums in course of collection i Due from other companies for reinsurance on losses already paid 64911 79 14855 83 208349 32 423 19 Total assets of the company actual cash market value 1653232 69 IIILIABILITIES 1 Losses due and unpaid 44 264 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 3 Losses resisted including interestcosts and other expenses thereon 4 Total gross amount of claims for losses o Deduct reinsurance thereon 90420 42 35436 47 170121 62 12066 14 6 Net amount of unpaid losses 7 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of Pllcy98237202 Unearned premiums fifty per cent 491 186 01 8 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running more than one year from date of policy867978 94 I nearned premiums pro rata 463 678 72 158055 48 t for 11 Total unearned premiums as computed above carried on 1 Due and accrued for salaries rent advertising and in nagecy and other miscellaneous expenses 1 Al other demands against the company absolute andcon tingent due and to become due adimtted and contested 954864 73 1565 12 40832 94 20 Total amount of all liabilities except capital stock scrip and net surplus 1150109 23 Surplus beyond all liabilities oo To 497914 42 IVINCOME DURING THE YEAR 1 Gross premiums and bills in course of collecn tion at close of last previous year as shown by that years statement 183 105 55 2 Deduct amount of same not collected 926 44 3 Net collected 18 1 11 4 Gross premiums on risks written andrenewed during the year 1585274 23 Total 1767453 34 HHE COMPTROLLERGENERAL8 REPORT 285 6 Deduct premiums and bills in course of collec tion at this date 209773 49 7 Entire premiums collected during the year 1557679 85 8 Deduct reinsurance and return premiums 337707 00 9 Net cash actually received for premiums car ried out 1219972 85 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 42900 30 14 Aggregate amount of income actually received during the year in cash 1202933 21 VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses in cluding 15588545 losses occurring in pre vious years 985728 30 2 Deduct all amounts actually received for sal vages whether on losses of the last or of pre vious years 1008868 and all amounts actually received for reinsurance in other companies 9182047 total deduction 101909 15 3 Net amount paid during the year for losses 883819 21 883819 21 6 Paid for commission or brokerage 196286 16 7 Paid for salaries fees and other charges of officers clerks agents and all other employees80947 89 8 Paid for State national and local taxes in this and other States 34003 08 9 All other payments and expenditures 113721 43 Aggregate amount of actual expenditures during the year in cash 1308837 77 BUSINESS IN GEORGIA FOR 1893 Risks 2863934 00 Premiums1 34115 58 Losses 16103 79 Taxes paid on premiums 341 15 THE ORIENT FIRE INSURANCE CO OF HARTFORD CONN 1 Whole amount of capital stock 2000000 00 2 Amount paid up in cash 1000000 00 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 24354 93 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 224769 78 3 Interest due on all said bond and mortgage loans 527129 interest accrued thereon 263089 total 8902 18 7 Amount of other loans 11940 00 8 Stocks and bonds 1515738 12 11 Casti in the companys principal office 14930 06 12 Cash belonging to the company deposited in bank 110590 38 Total cash items 125520 44 14 Interest due and accrued on stocks not in cluded in market valu uncollected 17970 41 15 Interest due and accrued on collateral loans and uncollected 427 80266 COMPTROLLERGENERALS REPORT 16 Gross premiums in course of collection Due from other companies for reinsurance on losses already paid 259778 69 573 50 Total assets of the company actual cash market value 2189981 85 IIILIABILITIES 1 Losses due and unpaid 2 Gross losses in process of adjustment or in sus I pense including all reported and supposed f 197344 90 losses 3 Losses resisted including interest costs and other expenses thereon ig 5gg 4 4 Total gross amount of claims for losses 215931 04 6 Net amount of unpaid losses 7 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of PIlcTy 101515532 unearned premiums fifty percent 507577 66 8 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running more than one vear from date of Poicy 72955791 unearned premiums pro rata 403 593 00 9 Gross premiums without any deductions in cluding both cash and bills received and receivable upon all unexpired inland naviga tion risks 2825814 I nearned premiums fifty per cent 14129 07 Total unearned premiums as computed above carried out 11 20 Total amount of all liabilities except capital stock scrip and net surplus 21 Jointstock capital actually paid up in cash 23 Surplus beyond capital and all liabilities IVINCOME DURING TUB YEAR On Fire Risks On Marine and 1 Inand Risks 1 Gross premiums reserved in cash without any deduction 1701542 42 92 903 2 8 Deduct reinsurance rebateabate ment and return premiums 415301 55 7016 36 215931 04 925299 73 1141230 77 1000000 00 48751 08 9 Net cash actuallv received for premiums carried out 1376240 87 85906 85 10 Keceived for interest on bonds and mortgages 11 Received for interest and dividends on stock and bonds collateral loans and from all other sources 12 Income received from all other sources omitting increase if any in value of securities 14 Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Risks On Marine and 1 Gross amount actually paid for land Risks losses including 14719910 losses occuring in Drevious years 1004165 37 31773 42 1462147 72 13887 82 75744 95 481 04 1552262 13COMPTROLLERGENERALS REPORT 267 2 Deduct all amounts actually re ceived for salvages whether on losses of the last or of pre vious years 225311and all amounts actually received for reinsurance in other companies 9827855 total deductions 100531 06 3 Net amount paid during the vear for losses 903633 71 31773 42 935407 13 4 Cashdividends actually paid stockholders amount of stock holders dividends declared during the year 6000000 60000 00 6 Paid for commissions or brokerage 288892 91 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 94497 55 8 Paid for State national and local taxes in this and other States 27919 75 9 All other payments and expenditures 70277 39 Aggregate amount of actual expenditures during the year in cash 1476994 73 BUSINESS IN GEORGIA FOR 1893 Risks 2509300 00 Premiums 33498 53 Losses 27668 83 Taxes paid on premiums 334 99 THE PENNSYLVANIA FIRE INSURANCE CO OF PHILADEL PHIA PA 1 Whole amount of capital stock 400000 00 2 Amount paid up in cash 400000 00 8 11 12 IIASSETS Value of real estate owned by the company less the amount of incumbrances thereon 134500 00 Loans on bond and mortgage duly recorded and being first liens on the fee simple 495320 00 Interest due on all said bond and mortgage loans 11250 interest accrued thereon 680372 total 6916 22 Amount of other loans 605700 00 Stocks and bonds 2295000 0O Cash in the companys principal office 2155 73 Cash belonging to the company deposited in bank 73585 95 Total cash items 75742 68 13 Unpaid premiums payable direct to the Home office 30306 37 15 Interest due and accrued on collateral loans and uncollected 3873 81 16 Cash in hands of agents and in course of transmission 177159 89 Due from other companies for reinsurance on losses al ready paid 641 66 Total assets of the company actual cash market value 3825160 63 IIILIABILITIES 1 Losses due and unpaid 38732 56 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 137090 65 3 Losses resisted including interest costs and other expenses thereon 7860 00 0 Net amount of unpaid losses 183683 21268 COMPTROLLERGENERALS REPORT Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy128778298 Unearned premiums fifty per cent 043891 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running more than one vear from date of policy90119522 Unearned premiums pro rata 478897 49 50 11 Total unearned premiums as computed above carried out 1122788 99 14 Amount reclaimable by the insured on perpetual policies 695133 13 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 4000 00 20 21 23 Total amount of liabilities except capital stock scrip and net surplus Jointstock capital actually paid upin cash Surplus beyond capital and all liabilities 2005005 33 400000 00 1419555 30 INCOME DURING THE YEAR On Fire Risks Gross premiums and bills in course of collec lection at close of last previous year as shown by that years statement 164153 12 Net collected 164153 12 Gross premiums on risks written and renewed during the year 1856246 61 Total2020399 73 Deduct premiums and bills in course of col lection at this date 207466 26 Entire premiums collected during the year Deduct reinsurance rebate abatement and re turn premiums 1812933 47 333211 75 9 10 11 14 Net cash actually received for premiums carried out Received for interest on bonds and mortgages Received for interest aud dividends on stocks and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in value of securities Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR 3 Net amount paid during the year for losses 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 8 Paid for State national and local taxes in this and other States 9 All other payments and expenditures Aggregate amount of actual expenditures during the vear in cash 1479721 72 22114 66 137769 49 1962 44 1641568 31 936547 38 60000 00 373171 75 49590 00 31902 50 72904 83 1524116 46 BUSINESS IS GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 2067875 00 29243 77 13551 15 292 43 COMPTROLLERGENERALS REPORT 269 8 L2 16 THE PHCENIX ASSURANCE CO OP LONDON ENGLAND IIASSETS t 478967 75 13822 00 Stocks and bonds Cash in the hands of U S trustees Cash belonging to the company deposited in bank 1768745 00 Total cash items Gross premiums in course of collection Total assets of the company actual cash market value IIILIABILITIES 492789 75 230798 55 2492333 30 Losses due and unpaid Gross losses in process of adjustment or in suspense including all reported and sup posed losses Losses resisted including interest costs and other expenses thereon 926 00 457164 00 35784 00 Total gross amount of claims for losses 493874 00 Deduct reinsurance thereon 222470 00 8 11 19 20 23 Net amount of unpaid losses 271404 00 Gross premiums without any deductions re ceived ami receivable upon all unexpired fire risks running one year or less from date of policy 185267897 Unearned premiums fifty per cent 926339 48 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running more than one year from date of policy 116620574 Unearned premiums pro rata 605083 86 Total unearned premiums as computed above carried out 1531423 34 All other demands against the company absolute and con tingent due and to become due admitted and contested 65226 44 Total amount of all liabilities except capital stock scrip and net surplus 1868053 Surplus beyond all liabilities 624279 52 9 11 14 IVINCOME DURING THE YEAR On Fire Risks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 226314 32 Net collected 226314 32 Gross premiums on risks written and renewed during the year 3210866 99 Total 3437181 31 Deduct premiums and bills in course of collec tion at this date 230798 55 Entire premiums collected during the year 3206382 76 Deduct reinsurance and return premiums 1239330 27 Net cash actually received for premiums carried out Received for interest and dividends on stocks and bonds collateral loans and from all other sources 1967052 49 66620 00 Aggregate amount of income actually received during the year in cash 2033672 49270 COMPTROLLERGENERALS REPORT VEXPENDITURES DURING THE YEAR On Fire Risks 1 dross amount actually paid for losses includ ing losses occurring in previous years 2046423 59 2 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 3373186 and all amounts actually received for reinsurances in other companies 61925918total deductions 65299 04 3 Net amount paid during the year for losses 1392430 55 i Paid for commissions or brokerage 3743li 08 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 90405 G7 8 Paid for State national ana local taxes in this and other StaeB 62591 50 9 All other payments and expenditures 116 951 9 Aggregate amount of actual expenditures during the year in cash 203670S 71 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Posses Taxes paid on premiums 3098718 00 33145 50 42521 79 331 45 THE PHOENIX FIRE INSURANCE CO OF BROOKLYN N V 1 Whole amount of capital stock 1000000 00 2 Amount paid up in cash 1000000 00 1 Market value of real estate owned by the company less the amount of incumbrances thereon 401000 00 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 157 210 00 3 Interest due on all said bond and mortgage loans interest accrued thereon 2581 88 4 Value of lands mortgaged exclusive of build ings and perishable improvements 111400 00 5 Value of buildings mortgaged 1 insured for 160800 as collateral 196000 00 Total value of said mortgaged premises o ax carried inside 3074000 8 Stocks and bonds g ss ion 11 Cash in the companys principal office 339 12 12 Cash belonging to the company deposited in Dank 468230 88 Total cash items 453 570 qq 14 Interest due and accrued on stocks not included in market 10001 31 value uncollected 16 Cash in the hands of agents and in course of transmission 869490 07 Due from other companies for reinsurance on losses al ready paid 3G43 77 Total assets of the company actual cash market value 5794596 78bHHHHHIIHHHI COMPTROLLERGENERALS REPORT 271 HILIABILITIES Gross losses in process of adjustment or in suspense including all reported and sup posed losses 282126 42 Losses resisted including interest costs and other expenses thereon 46713 64 Total gross amount of claims for losses 328840 00 6 Net amount of unpaid losses 7 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy262109823 Unearned premiums fifty per cent 1310549 12 8 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running more than one year from date of policy468705935 Unearned premiums pro rata 2400365 09 11 Total unearned premiums as computed above carried out 17 Due and accrued for salaries rent advertising and for agency and other miscellaneous expenses 328840 06 3710914 21 350 60 20 Total amount of all liabilities except capital stock scrip and net surplus 4250852 2U 21 Jointstock capital actually paid up in cash 1000000 0 23 Surplus beyond capital and all liabilities 543744 5 IVINCOME DURING THE YEAR On Fire Risks 1 Gross premiums and bills in course of collec tion at dose of last previous year as shown by that years statement 892321 37 3 Net collected 892321 37 4 Gross premiums on risks written and renewed during the year 4925152 71 5 Total 5817474 08 6 Deduct premiums and bills in course of collec tion at this date 869490 07 7 Entire premiums collected during the year 4947984 01 8 Deduct reinsurance and return premiums 705281 40 9 Net cash actually received for premiums car ried out 4242702 61 10 Received for interest on bonds and mortgages 8343 96 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 96790 95 12 Income received from all other sources omitting increase if any in value of securities 287695 90 14 Aggregate amount of income actually received during the year in cash 4635533 42 VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing 24328150 losses occurring in previous years 2576935 5112712 COMPTROLLERGENERALS REPORT Deduct ail amounts actually received for salva ges i whether on losses of the last or of pre vious years976967 and all amounts actual ly received for reinsurances in other compa nies 6732536 total deductions 095 03 3 NTet amount paid during the year for losses 2499840 482499840 48 I Cash dividends actually paid stockholders amount of stock holders dividends declared during the year Ionmm on 6 Paid for commissions or brokerage 894720 90 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 308173 54 8 Paid for State national and local taxes in this and other States 68053 63 All other payments and expenditures 3S0144 24 Aggregate amount of actual expenditures during the year in cash 4250932 79 BUSINESS IN GEORGIA 101 1893 liisks Premiums Losses Taxes paid on premiums 4584510 00 57912 lg 25629 66 679 L2 THE PHCENIX FIRE INSURANCE CO OF HARTFORD CONN Whole amount of capital stock 5100000 00 Amount paid up incash 2000000 00 II ASSETS 8 11 12 15 in Market value of real estate owned by ttie company less the amount of incumbrances thereon 336373 80 Loans on bond and mortgage duly recorded and being first liens on the fee simple 462046 01 Interest due on all said bond and mortgage loans 4571200 interest accrued thereon 1072184total 56438 84 Value of lands mortgaged exclusive of build ings and perishable improvements 769100 00 Value of buildings mortgaged insured for 12107500 as collateral 218090 00 61882 hi Total value of said mortgaged premises carried inside 897190 00 Amount of other loans Storks and bonds I 082309 25 ash in the companys principal office 44i7i i4 Cash belonging to the company deposited in hank 804276 97 Total cash items 848 956 61 Interest due and accrued on collateral loans and bank deposits L s4 w Priums in course of collection 468 684 4 hue from Other companies for reinsurance on losses already paid ll s Total assets of the company actual cash market value 5820822 06 111LIABILITIES Losses due and unpaid dross losses in process of adjustment or in suspense including all reported ami sup pOBed losses H8439 80 COMPTROLLERGENERALS REPORT 273 3 Losses resisted including interest costs and other expenses thereon 18786 91 4 Total gross amount of claims for losses 467226 21 6 Net amount of unpaid losses 7 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy175124602 Unearned premiums fifty per cent 875623 01 8 Iross premiums without any deductions re ceived and receivable upon all unexpired fire risks running more than one year from date of policy 229673554 Unearned premiums pro rata 1237208 70 467226 21 11 Total unearned premiums as computed above carried out 2112831 71 20 Total amount of all liabilities except capital stock scrip and net surplus 21 Jointstock capital actually paid up in cash 23 Surplus beyond capital and all liabilities IVINCOME DURING THE YEAR On Fire Risks 1 Gross premiums received in cash without de duction 3804172 82 8 Deduct reinsurance rebate abatement and return premiums 438045 41 2580057 92 2000000 00 1240264 14 9 Net cash actually received for premiums carried out 3360127 41 10 Received for interest on bonds and mortgages 27074 73 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 206777 60 12 Income received from all other sources omitting increase if any in value of securities 7 040 96 14 Aggregate amount of income actually received during the year in cash 3607020 70 VEXPENDITURES DURING THE YEAH On Fire Risks 1 Gross amount actually paid for losses includ ing 45984524 losses occurring in previous years 2149125 09 2 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 321725 and all amounts actually received for reinsurance in other companies 2695134total deductions 30168 59 3 Net amount paid during the year for losses 2118956 502118956 50 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 280000 00 6 Paid for commissions or brokerage j640 119 27 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 150 377 60 8 Paid for State national and local taxes in this and other States 59 973 i g 9 All other payments and expenditures 33l785 19 Aggregate amount of actual expenditures during the year in cash 3581214 75 BUSINESS IN GEORGIA FOR 1893 Kisks 3741321 00 Premiums 48968 20 Losses 24954 84 laxes paid on premiums 48 gg 18274 COMPTROLLERGENERALS REPORT THE QUEEN OF AMERICA FIRE INSURANCE CO OF NEW YORK NEW YORK 1 Whole amount of capital stock 2 Amount paid up in cash 500000 00 500000 00 IIASSETS 8 Stocks and bonds 2114573 30 11 Cash in the companys principal office 190G 54 12 Cash belonging to the company deposited in bank 190005 24 Total cash items 14 Interest due and accrued on stocks not included in market value uncollected 15 Interest due and accrued on bank balances 16 Gross premiums in the hands of agents and in course of transmission 17 Bills receivable not matured taken for fire marine and inland risks Due from other companies for reinsurance on losses al ready paid 209911 78 39529 04 910 09 369570 80 3690 37 730 07 Total assets of the company actual cash market value 3538915 65 HILIABILITIES 1 Losses due and unpaid 2 Gross losses in process of adjustment or in sus pense including all reported and supposed losses 3 Losses resisted including interest costs and other expenses thereon 4 Total gross amount of claims for losses 247859 53 5 Deduct reinsurance thereon 6835 69 92347 09 146697 60 8814 84 6 Net amount of unpaid losses 241023 84 7 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy163099308 Unearned premiums fifty per cent 815496 53 8 Gross premiums without any deductions received and receivable upon all unexpired fire risks running more than one year from date of policy155878844 Unearned premiums pro lata 832447 25 11 Total unearned premiums as computed above carried out 1647943 78 17 Due and accrued for salaries rent advertising and for agency and other miscellaneous expenses 4805 89 18 Amount of borrowed money 11486 66 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 112022 52 20 Total amount of all liabilities except capital stock scrip and net surplus 2017282 69 21 Jointstock capital actually paid up in cash 500000 00 23 Surplus beyond capital and all liabilities 1021632 96 IVINCOME DURING THE YEAR On Fire Risks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown bv that years statement 280840 27 3 Net collected 280840 27 COMPTROLLERGENERALS REPORT 275 4 Gross premiums on risks written and renewed during the year 2651559 91 Total 2932400 18 6 Deduct premiums and bills in course of collec tion at this date 373261 17 7 Entire premiums collected during the year 2559139 01 8 Deduct reinsurance and return premiums 512984 05 9 Net cash actually received for premiums carried out 10 Premiums for reinsuring business of Queen Ins Co of Eng 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 14 Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAH On Fire Risks 1 Gross amount actually paid for losses includ ing 15591727 losses occurring in previous years 1977458 49 2 Deduct all amounts actually received for sal vages whether on losses of the last or of pre vious years 894855 and all amounts actually received for reinsurances in other companies 63123239 total deductions 640180 94 2046154 90 144298 01 111927 42 2302380 39 3 Net amount paid during the year for losses 1337277 55 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 8 Paid for State national and local taxes in this and other States 9 All other payments and expenditures Aggregate amount of actual expenditures during the year in cash 1337277 55 341409 57 148500 46 22852 36 172493 14 2022533 08 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 2542759 27 34283 38 22751 30 342 83 THE ROCHESTER GERMAN FIRE INSURANCE CO OF ROCHES TER N Y 1 Whole amount of capital stock 2 Amount paid up in cash 200000 00 200000 00 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrance thereon 190829 84 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 395190 00 3 Interest due on all said bond and mortgage loans 571684 5716 84 4 Value of lands mortgaged exclusive of build ings and perishable improvements 436940 00 5 Value of buildings mortgaged insured for 39032500 as collateral 614000 00 6 Total value of said mortgaged premises carried inside 1050940 00 8 Stocks and bonds 174 774 74276 COMPTROLLERGENERALS REPORT 11 12 14 16 Cash in the companys principal office 1037 50 Cash belonging to the company deposited in bank 106206 87 Total cash items 107244 37 Interest due and accrued on stocks not included in market value uncollected 812 00 Cash in the hands of agents and in course of transmission 87569 71 Total assets of the company actual cash market value IIILIABILITIES 962137 50 Losses due and unpaid Gross losses in process of adjustment or in suspenseincluding all reported and supposed Losses resisted including interest costs and other expenses thereon 20095 75 37130 00 2205 00 Total gross amount of claims for losses 60390 75 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy42481971 Unearned premiums fifty per cent 212409 85 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running more than one year from date of policy44392085 Unearned premiums pro rata 240623 03 11 h 20 21 23 Total unearned premiums as computed above carried out All other demands against the company absolute and con tingent due and to become due admitted and contested Total amount of all liabilities except capital stock scrip and net surplus Jointstock capital actually paid up in cash Surplus beyond capital and all liabilities IVINCOME DURING THE YEAR On Fire Risk Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 70403 SO 459032 88 1884 51 521308 14 200000 00 240829 30 7 8 9 10 11 12 14 70403 80 Net collected Gross premiums on risks written and renewed during the year 800138 29 Total 870602 09 Deduct premiums and bills in course of collec tion at this date 87509 71 Entire premiums collected during the year 783032 38 Deduct reinsurance and return premiums 212359 34 Net cash actually received for premiums carried out Received for interest on bonds and mortgages Received for interest and dividends on stocks and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in value of securities Aggregate amount of income actually received during the year in cash 570073 04 18757 04 5614 44 21730 00 010781 21 COMPTROLLERGENERALS REPORT 277 VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing 4157494 losses occurring in previous years 378702 72 2 Deduct all amounts actually received for sal vages whether on losses of the last or of pre vious years 125264 and all other amounts actually received for reinsurance in other companies 5111400 totil deductions 52306 64 3 Net amount paid during the year for losses 326396 OS 326396 08 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 20000 00 6 Paid for commissions or brokerage 142415 35 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 25602 00 8 Paid for State national and local taxes in this and other States 14892 57 9 All other payments and expenditures 42917 63 Aggregate amount of actual expenditures during the year in cash 572223 63 BUSINESS IN GEORGIA FOR 1893 Pisks 1374262 00 Premiums 21608 70 Losses 10856 36 Taxes paid on premiums 216 08 HHHI THE ROYAL FIRE INSURANCE CO OF LIVERPOOL ENGLAND IIASSETS 1 Value of real estate owned by the company less the amount of incumbrances thereon 1818200 10 8 Stocks and bonds 4170967 50 11 Cash in the companys principal office 3396 25 12 Cash belonging to the companv deposited in hank 494606 41 Total cash items 498002 66 13 Gross premiums in course of collection 665592 59 14 Interest due and accrued on bonds not included in market value uncollected 9350 00 17 Bills receivable not matured taken for fire marine and in land risks 3935 90 Due from other companies for reinsurance on losses already paid 14809 37 Total assets of the company actual cash market value 7180858 12 IIILIABILITIES 1 Losses due and unpaid 18904 83 2 Gross losses in process of adjustment or in sus pense including all reported and supposed losses 706423 78 3 Losses resisted including interest costs and other expenses thereon 81919 94 4 Total gross amount of claims for losses 807248 55 5 Deduct reinsurance thereon 183934 51 6 Net amount of unpaid losses 623314 04278 COMPTROLLERGENERALS REPORT 7 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy337528807 Unearned premiums fifty per cent 1687644 03 8 Gross premiums without an deductions re ceived and receivable upon all unexpired fire risks running more than one year from date of policy395989454 Unearned premiums pro rata 2145252 00 11 Total unearned premiums as computed above car ried out 3832896 03 12 Net premium reserve and all other liabilities except capital under the life insurance or any other special department 14 Amount reclaimable by the insured on perpetual policies 17 Due and accrued for salaries rent advertising and for agencv and other miscellaneous expenses 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 115500 00 152061 88 7022 81 364709 69 Total amount of all liabilities except capital stock 20 scrip and net surplus 23 Surplus beyond all liabilities 5095504 45 2085353 67 INCOME DURING THE YEAR On Fire Risks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 714915 84 Deduct amount of same not collected 4199 62 Net collected 710716 22 Gross premiums on risks written and renewed during the year 6292199 00 Total 7002915 22 Deduct premiums and bills in course of collec tion at this date 686751 83 Entire premiums collected during the year 6316163 39 Deduct reinsurance rebate abatement and re turn premiums 1584307 94 9 11 12 14 Net cash actually received for premiums carried out 4731855 45 Received for interest and dividends on stocks and bonds col lateral loans and from all other sources 161300 60 Income received from all other sources omitting increase if any in value of securities 79 539 17 Aggregate amount of income actually received during the year in cash 4 972 cor 22 VEXPENDITURES DURING THE VEAR Oil Fir6 Risks Gross amount actually paid for losses includ ing 72909200 losses occurring in previous years 3595527 24 Deduct all amounts actually received from sal vages whether on losses of the last or of previous years 6407555 and all amounts actually received for reinsurance in other companies 54669068 total deductions 610766 23 3 Net amount paid during the year for losses 6 Paid for commissions or brokerage 2984761 012984761 01 858764 20COMPTROLLERGENERALS REPORT 279 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 309842 41 8 Paid for Statenational and local taxes in this and other States 91334 02 9 All other payments and expenditures 250752 84 Aggregate amount of actual expenditures during the year in cash 4495454 48 BUSINESS IN GEORGIA FOE 1893 Risks 4658230 29 Premiums 78187 55 Losses 44266 78 Taxes paid on premiums 781 87 THE SCOTTISH UNION AND NATIONAL FIRE INSURANCE CO OF EDINBURGH SCOTLAND 1 Whole amount of capital stock30000000 00 2 Amount paid up in cash 1500000 00 8 11 12 14 16 IIASSETS Loans on bond and mortgage duly recorded and being first liens on the fee simple 1114100 00 Interest due on all said bond and mortgage loans 912070 interest accrued thereon 898002 total 18100 72 Value of lands mortgaged exclusive of build ings and perishable improvements 1317057 00 Value of buildings mortgaged insured for 113242500 as collateral 1409768 00 Total value of said mortgaged premises carried inside 2726825 00 Stocks and bonds Cash in the companys principal office 140 10 Cash belonging to the company deposited in bank 227527 22 718964 12 227667 32 6162 50 171072 23 2582 49 Total assets of the company actual cash market value 2258649 35 IIILIABILITIES Losses due and unpaid 34746 77 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 97801 00 Losses resisted including interest costs and other expenses thereon 0550 00 Total cash items Interest due and accrued on stocks not included in market value uncollected Gross premiums in the hands of agents and in course of transmission Due from other companies for reinsurance on losses already paid Total gross amount of claims for losses 139097 77 Net amount of unpaid losses Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy63081572 Unearned premiums fifty per cent 139097 77 315407 80280 COMPTROLLERGENERALS REPORT 8 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running more than one vear from date of policy 52230995 Unearned premiums prorata 293137 89 11 Total unearned premiums as computed above carried out 17 Due and accruedfor salaries rent advertising and for agency and other miscellaneous expenses 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 20 Total amount of liabilities except capital stock scrip and net surplus 23 Surplus beyond all liabilities IVINCOME DURING THE YEAR Ou Fire Risks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 122509 25 3 Net collected 122509 25 4 Gross premiums on risks written and renewed during the year 1773728 03 608545 75 23913 32 31231 65 802788 49 1455860 89 5 Total 1896237 28 6 Deduct premiums and bills in course of collec tion at this date 171072 23 7 Entire premiums collected during the year 8 Deduct reinsurance and return premiums 1725165 05 83075 31 9 Net cash actually received for premiums carried out 10 Received for interest on bonds and mortgages 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 14 Aggregate amount of income actually received during the year in cash 891369 74 59820 19 23501 36 974691 29 EXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing 6018516 losses occurring in previous years 491372 00 491372 00 3 Net amount paid during the year for losses 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 8 Paid for State national and local taxes in this and other States 9 All other payments and expenditures Aggregate amount of actual expenditures during the year in cash 491372 00 144847 58 39672 91 28078 77 46090 61 750061 87 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 2151525 00 32857 15 17315 25 328 57 COMPTROLLERGENERALS REPORT 281 THE SOUTHERN MUTUAL EIRE INSURANCE CO OF ATHENS GA 2 Amount reserved fund 915387 95 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 8 Stocks and bonds 12 Cash belonging to the company deposited in bank 36719 32 Total cash items 16 Cash in the hands of agents in course of transmission 20000 00 851550 50 36719 32 7118 13 Total assets of the company actual cash market value 915387 95 III LIABILITIES 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 8697 37 3 Losses resisted including interest costs and other expenses thereon 5100 00 6 Net amount of unpaid losses 7 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running one year or less from date of policy25407540 Unearned premiums fifty per cent 127037 70 11 20 Total unearned premiums as computed above car ried out Total amount of all liabilities except capital stock scrip and net surplus 22 Scrip outstanding 23 Surplus beyond all liabilities 13797 37 127037 70 140835 07 105899 02 668653 86 IVINCOME DURING THE YEAR On Fire Risks 4 Gross premiums on risks written and renewed during the year 257729 31 8 Deduct reinsurance and return premiums 3653 91 9 Net cash actually received for premiums carried out 254075 40 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 56701 00 12 Income received from all other sources omitting increase if any in value of securities 358 53 14 Aggregate amount of income actually received during the year in cash 311134 93 EXPENDITURES DURING THE YEAR 1 Gross amount actually paid for losses includ ing 2805426 losses occurring in previous On Fire Risks years 116852 76 3 Net amount paid during the year for losses116852 76 116852 76 5 Scrip or certificates of profits redeemed in cash and interest paid to scripholders 155097 11 6 Paid for commissions or brokerage 38109 74 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 16060 00282 COMPTROLLERGENERALS REPORT 8 Paid for State national and local taxes in this and other States 7283 58 9 All other payments and expenditures 3740 78 Aggregate amount of actual expenditures during the year in cash 337143 97 BUSINESS IN GEORGIA FOB 1893 Risks Premiums Losses Taxes paid on premiums 22939615 00 256414 02 89810 94 2564 14 THE ST PAUL FIRE INSURANCE CO OF ST PAUL MINN Whole amount of capital stock 1000000 00 Amount paid up in cash 500000 tO Market value of real estate owned by the companv less the amount of incumbrauces thereon 129679 24 Loans on bond and mortgage duly recorded and being first liens on the fee simple 823888 43 Interest due on all said bond and mortgage loans 500138 interest accrued thereon 1677414 total 21785 52 Value of lands mortgaged exclusive of build ings and perishable improvements 1110857 00 Value of buildings mortgaged insured for 66922499 as collateral 876593 00 8 11 12 14 15 16 17 Total value of said mortgaged premises carried inside 1987450 00 Amount of other loans Stocks and bonds Cash in the companys principal office 14184 48 Cash belonging to the company deposited in bank 121428 56 Total cash items Interest due and accrued on stocks not included in mar ket value uncollected Interest due and accrued on collateral loans and uncollected Cash in the hands of agents and in course of transmission Pills receivable not matured taken for fire marine and in land risks Due from other companies for reinsurance on losses alreadv paid 273160 00 685920 53 135613 04 8287 19 6693 15 119186 57 40917 57 255 00 Total assets of the company actual cash market value 2245386 24 III LI AlilllTIKS Losses due and unpaid 32416 42 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 145172 48 Losses resisted including interest costs and other expenses thereon 11 403 ir Total gross amount of claims for losses 189052 05 Deduct reinsurance thereon 26391 97 6 Net amount of unpaid losses 102 660 08 COMPTROLLERGENERALS REPORT 283 Gross premiums without any deductions re ceived and receivable upon all unexpired Are risks running one year or less from date of policy66789125 Unearned premiums fifty per cent 333945 63 Gross premiums without any deduction re ceived and receivable upon all unexpired fire risks running more than one year from date of policy89449494 Unearned premiums pro rata 479884 88 Gross premiums without any deductions in cluding both cash and bills received and receivable upon all unexpired inland navi gation risks15547792 Unearned premiums fifty per cent 77738 96 11 19 20 21 23 Total unearned premiums as computed above carried out 891569 47 All other demands against the company absolute and con tingent due and to become due admitted and contested 17877 98 Total amount of all liabilities except capital stock scrip and net surplus 1072107 53 Jointstock capital actually paid up in cash 500000 00 Surplus beyond capital and all liabilities 673278 71 IVINCOME DURING THE YEAR On Fire Risks On Marine and Inland Risks Gross premiums and bills in course of collection at close of last previous year as shown by that years statement 107329 23 34621 46 107329 00 Net collected Gross premiums on risks written and renewed during the year 1541544 36 Total 1648873 59 Deduct premiums and bills in course of collection at this date 119186 57 Entire premiums collected during year Deduct reinsurance and return premiums 1529687 02 322351 46 34621 46 365609 35 400230 81 40917 57 359313 24 45454 94 L0 11 12 11 Net cash actually received for premiums carried out 1207335 56 Received for interest on bonds and mortgages Received for interest and dividends on stocks and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in value of securities 313858 301521193 86 51660 24 57819 46 5111 56 Aggregate amount of income actually received during the year in cash 1635785 12 EXPENDITURES DURING THE YEAR On Fire Risks On Marine and Inland Risks Gross amount actually paid for losses including 14730973 losses occurring in previous years 824428 56 202117 41284 COMPTROLLERGENERALS REPORT Deduct all amounts actually re ceived for salvages whether on losses of the last or of previous years 1504350 and all amounts actually received for re insurances in other companies 10049196 total deductions 84115 49 31419 97 3 Net amount paid during the year for losses 740313 07 170097 44 911010 51 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 60000 00 6 Paid for commissions or brokerage 307 125 43 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 56670 33 8 Paid for State national and local taxes in this and other States 25 420 27 9 All other payments and expenditures 74 67 Aggregate amount of actual expenditures during the year in cash 1433001 21 BUSINESS IN GEORGIA FOR 1893 Risks Premiums 1726775 00 17380 94 Losses 14 004 1 axes paid on premiums 173 80 THE SUN INSURANCE OFFICE OF LONDON ENGLAND IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 180000 00 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 514 000 00 3 Interest due on all said bond and mortgage loans 1522000 interest accrued thereon 461500 total 19 835 00 4 Value of lands mortgaged exclusive of build ings and perishable improvements 550500 00 5 Value of buildings mortgaged insured for 27700000 as collateral 322000 00 6 Total value of said mortgaged premises carried inside 872500 00 8 Stocks and bonds i 322 082 50 11 Cash in the companys principal office 3485 73 12 Cash belonging to the company deposited in bank 222 423 47 Total cash items 225 909 20 14 Interest due and accrued on bonds not included in market value uncollected 21347 88 15 Interest due and accrued on bank balances and uncoliected L269 08 16 Cash in the hands of agents and in course of transmission 385056 25 Due from ether companies for reinsurance on losses already paid 1 j750 00 Total assets of the company actual cash market value 2671249 91 IIILIABILITIES 1 Losses due and unpaid 110 517 35 2 Gross losses in process of adjustment or iii suspense including all reported and sup posed losses 180057 59COMPTROLLERGENERALS REPORT Losses resisted including interest costs and other expenses thereon 32223 33 Total gross amount of claims for losses 323398 27 Deduct reinsurance thereon 10297 25 Net amount of unpaid losses 313101 02 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy140111172 Unearned premiums fifty per cent 700555 86 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running more than one vear from date of policy163893474 Unearned premiums pro rata 933063 49 11 17 19 20 23 Total unearned premiums as computed above carried out 1633619 35 Due and accrued for salaries rent advertising and for agency and other miscellaneous expenses 833 33 All other demands against the company absolute and con tingent due and to become due admitted and contested 55776 00 Total amount of all liabilities except capital stock scrip and net surplus Surplus beyond all liabilitiest IVINCOME DURING THE YEAR On Fire Risks Gross premiums and bills in course of collection at close of last previous year as shown by that years statement 389251 86 Deduct amount of same not collected 499 47 2003329 70 667920 21 7 8 9 10 11 12 14 388752 39 Net collected Gross premiums on risks written and renewed during the year 2729478 62 Total 3118231 01 Deduct premiums and bills in course of collec tion at this date 385056 25 Entire premiums collected during the year 2733174 76 Deduct reinsurance and return premiums 575612 64 Net cash actually received for premiums carried out 2157562 12 Received for interest on bonds and mortgages 21944 14 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 56245 76 Income received from all other sources omitting increase if any in value of securities 8600 77 Aggregate amount of income actually received during the year in cash 2244352 79 VEXPENDITURES DURING THE YEAR On Fire Risks Gross amount actually paid for losses includ ing 17287838 losses occurring in previous years 1512026 09 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 1894579 and all amounts actually received for reinsurances in other companies 11680798 total deductions 135753 77 3 Net amount paid during the year for losses 1376272 321316272 32286 COMPTROLLERGENERALS REPORT 6 Paid for commissions or brokerage 379730 91 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 90119 93 8 Paid for State national and local taxes in this and other States 43 gyg t 9 All other payments and expenditures 22357 52 Aggregate amount of actual expenditures during the year in cash 2113466 34 BUSINESS IX GEORGIA FOR 1893 8ks 1817153 00 Premiums 22309 04 Losses 23627 43 I axes paid on premiums 223 09 THE WESTERN ASSURANCE CO OF TORONTO CANADA IIASSETS 8 11 12 Hi 17 Stocks and bonds Cash in the companys principal office 17 58 Cash belonging to the company deposited in bak 231312 47 if 1083838 Total cash items Cash in the hands of agents and in course of transmission Bills receivable not matured taken for fire marine and inland risks 231330 05 256032 S3 45975 77 Total assets of the company actual cash market value 1017195 40 IIILIABILITIES Losses due and unpaid Gross losses in process of adjustment or in suspense including all reported and sup posed losses Losses resisted including interest costs and other expenses thereon 178496 57 5000 00 Total gross amount of claims for losses 18349H 57 10 11 19 20 23 Net amount of unpaid losses Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy 93660885 I nearned premiums fifty per cent 468304 43 Gioss premiums without any deductions re ceived and receivable upon all unexpired fire risks running more than one year from date of policy 52798429 Unearned premiums pro rata 300505 38 Gross premiums without any deductions re ceived and receivable on all unexpired ma rine risks6360602 Unearned premiums fifty per cent 31803 01 Total unearned premiums as computed above carried out All other demands against the company absolute and con tingent due and to become due admitted and contested Total amount of all liabilities except capital stock scrip and net surplus Surplus bevond all liabilities 183496 57 828753 82 43763 68 1051014 07 561181 33 COMPTROLLERGENERALS REPORT 287 IVINCOME DURING TUB YEAR On Fire Risks Gross premiums and bills in course of collection at close of last previous year as shown by that years statement 162281 44 162281 44 Net collected Gross premiums on risks writ ten and renewed during the year 1658810 Total 1821092 16 Deduct premiums and bills in course of collection at this date 239222 03 Entire premiums collected dur ing the year 1581870 13 Deduct reinsurance rebate abatement and return pre miums 310551 06 On Marine and Inland Risks 53367 28 53367 28 500903 63 554270 91 62784 57 491486 34 74578 25 9 11 14 Net cash actually received for premiums carried out 1271319 07 416908 09 Received for interest and dividends on stocks and bonds collateral loans and from ali other sources Aggregate amount of income actually received during theyear in cash VEXPENDITURES DURING THE YEAR 36296 75 1724523 91 On Fire Risks Gross amount actually paid for losses including 12424317 losses occurring in previous years 731989 04 Deduct all amounts actually re ceived for salvages whether on losses of the last or pre vious years and all amounts actually received for reinsurances in other com panies total de ductions 25879 58 On Marine and Inland Risks 348772 18 50219 22 Net amount paid during the year for losses 706018 46 298552 96 Paid for commissions or brokerage Paid for salaries fees and other charges of officers clerks agents and all other employees Paid for State national and local taxes in this and other States All other payments and expenditures Aggregate amount of actual expenditures during the year in cash 1004571 42 335912 56 31000 00 30965 95 137196 71 1539646 64 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 2292216 00 30405 67 9845 01 304 05 288 COMPTROLLERGENERALS REPORT THE WESTCHESTER FIRE INSURANCE CO OF NEW YORK N Y 1 Whole amount of capita stock 300000 00 2 Amount paid up in cash IIASSETS 300000 00 1 Market value of real estate owned bv the company less the amount of incumbrances thereon 207000 00 2 Loans on bond and mortgage duly recorded an d being first liens on the fee simple 291850 00 3 Interest due on all said bond and mortgage loans 55884 interest accrued thereon 156041 total 211925 4 Value of lands mortgaged exclusive of build ings and perishable improvements 310000 00 5 Value of buildings mortgaged insured for 31222500 as collateral Total value of said mortgaged premises 366450 00 6 076450 00 8 Stocks and bonds 953000 00 12 Cash belonging to the company deposited in bank Total cash items 149SOS 57 149808 57 16 Cash in the hands of agents and in course of transmission 148422 65 17 Bills receivable not matured taken for fire marine and in land risks 1106 76 Total assets of the company actual caBh market value 1753307 23 IIILIAUILITIES 1 Losses due and unpaid 40904 80 2 Gross losses in process of adjustment or in suspense including all reported and sup 73981 00 3 Losses resisted including interest costs and other expenses thereon 4250 00 4 Total gross amount of claims for losses 119135 SO 5 Deduct reinsurance thereon Net amount of unpaid losses 15000 00 104135 SO 6 7 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of Unearned premiums fifty per cent 374921 42 8 Gross premiums without any deductions received and receivable upon all unexpired fire risks running more than one year from date 1nearned premiums pro rata 519390 05 11 Total unearned premiums as computed above car 19 ried out AH other demands against the company absolute and con 894312 07 tingent due and to become due admitted and contested 28129 15 20 Total amount of all liabilities except capital stock 1026577 02 300000 00 21 Jointstock capital actually paid up in cash 23 Surplus beyond capital and all liabilities 126730 21 COMPTROLLERGENERALS REPORT 289 IVINCOME DURING THE YEAR On Fire Risks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 138903 33 2 Deduct amount of same not collected l730 19 3 Net collected 137 143 14 4 Gross premiums on risks written and renewed during the year 1276873 83 5 J Total 1414016 97 b Deduct premiums and bills in course of collec tion at this date J4g 422 65 7 Entire premiums collected during the year 1265594 32 8 Deduct reinsurance and return premiums 158961 14 9 Net cash actually received for premiums carried out 10 Received for interest on bonds and mortgages 11 Received for interest and dividends on stocks and bondsj collateral loans and from all other sources 12 Income received from all other sources omitting increase if any in value of securities 14 Aggregate amount of income actually received during the year in cash EXPENDITURES DURING THE YEAR 1106633 18 20554 46 37751 25 553 21 1165492 10 Gross amount actually paid for losses includ ing 11162942 losses occurring in previous years Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 202420 and all amounts actually received for reinsurance in other companies 4552957 total deductions On Fire Risks 663110 66 47553 r 3 Net amount paid during the year for losses 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of offlcersj clerks agents and all other employees 8 Paid for State national andlocal taxes in this and other States 9 All other payments and expenditures Aggregate amount of actual expenditures during the year in casli 615556 89 30000 00 248353 10 41969 43 26573 13 139419 25 1101871 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 1619233 00 23014 91 15028 67 230 14290 COMPTROLLERGENERALS REPORT THE WILLIAMSBURGH CITY FIRE INSURANCE CO OF BROOK LYN N Y 1 Whole amount of capital stock 250000 00 IIASSETS 1 Market value of real estate owned by the company lees the amount of incumbranees thereon 629843 90 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 323650 00 3 Interest due on all said bond and mortgage loans 2000 interest acrued thereon 128541 total 4 Value of lands mortgaged exclusive of build ings and perishable improvements 277000 00 5 Value of buildings mortgaged insured for 29080000 as collateral 297500 00 6 Total value of said mortgaged premises carried inside 574500 00 7 Amount of other loans 8 Stocks and bonds 11 Cash in the companys principal office 1267 60 12 Cash belonging to the companv deposited in bank 92228 42 6000 00 360450 00 Total cash items 93496 02 14 Interest due and accrued on stocks not included in market value uncollected 3131 35 15 Interest due and accrued on collateral loans and uncollected 25 00 16 Cash in the hands of agents and in course of transmission 70804 75 Due from other companies for reinsurance on losses already paid 7657 59 Total assets of the company actual cash market value 1496364 02 IIILIABILITIES 1 Losses due and unpaid 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 3 Losses resisted including interest costs and other expenses thereon 4 5 Total gross amount of claims for losses Deduct reinsurance thereon 24307 51 39122 23 5269 79 68699 53 5900 77 Net amount of unpaid losses Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running one year or less from date of policy36527808 Unearned premiums fifty percent 182639 04 Gross premiums without any deductions re ceived and receivable upon all unexpired fire risks running more than one vear irom date of policy57027568 Unearned premiums pro rata 291829 84 62798 76 11 19 20 Total unearned premiums as computed above carried out 474468 88 All other demands against the company absolute and con tingent due and to become due admitted and contested 15954 56 Total amount of all liabilities except capital stock scrip and net surplus 653222 20 21 Jointstock capital actually paid up in cash 250000 00 23 Surplus beyond capital and all liabilities 693141 82 Wm COMPTROLLERGENERALS REPORT 291 IVINCOME DURING THE YEAR On Fire Risks 1 dross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 09302 48 2 Deduct amount of same not collected 4632 61 3 Net collected 64669 87 4 Gross premiums on risks written and renewed during the year 637259 04 Total 701928 91 6 Deduct premiums and bills in course of collec tion at this date 71893 12 7 Entire premiums collected during the year 630035 79 8 Deduct reinsurance and return premiums 73715 92 9 Net cash actually received for premiums car ried 0t 556319 87 10 Keceived for interest on bonds and mortgages 15975 68 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 18208 15 12 Income received from all other sources omitting increase if any in value of securities 26199 79 14 Aggregate amount of income actually received during the year in cash 616703 49 VEXPENDITURES DURING THE YEAR On Fire Risks 1 jross amount actually paid for losses includ ing 3884051 losses occurring in previous years 358078 53 2 Deduct all amounts actually received for sal vages whether on losses of the last or of pre vious years 557641 and all amounts actually received for reinsurances in other companies 2589583 total deductions 3147197 3 Net amount paid during the year for losses 326606 56 326606 56 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 5000000 50100 00 6 Paid for commissions or brokerage 132211 60 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 60617 64 8 Paid for State national and local taxes in this and other state8 6185 69 9 All other payments and expenditures 35929 49 Aggregate amount of actual expenditures during the year in cash 611650 98 BUSINESS IN GEORGIA FOR 1893 Risks 1256564 00 Premiums 16983 01 Losses 7554 39 Taxes paid on premiums 169 83 292 COMPTROLLERGENERALS REPORT THE ETNA LIFE INSURANCE CO OF HARTFORD CONN 1 Amount of capital stock 1500000 00 IIINVESTED ASSETS Cost value of real estate in cash exclusive of all incumbrances 535056 65 Loans on bonds and mortgages first lien on real estate 17882727 43 Loans secured by pledge of bonds stocks or other marketable collaterals 395039 62 Loans made in cash to policyholders on this companys policies assigned as collateral 354168 62 Premium notes loans or liens on policies in force 913626 70 Costvalueof bonds and stocks owned absolutely 12971010 48 Cash in companys office 49551 14 Cash deposited in banks 3998974 49 Bills receivable 00 00 Agents ledger balances 16641 86 Total net or invested assets less depreciation37117511 99 OTHER ASSETS Interest due 2405613 and accrued 19968502 on bonds and mortgages 223741 15 Interest due 477500 and accrued 8921114 on bonds and stocks 3986 14 Interest due and accrued 533503 on collateral loans 5335 03 Interest due and accrued 17613561 on premium notes loans or liens 176135 61 Gross premiums due and unreported on policies in force December 31 1892 159343 39 Gross deferred premiums on policies in force December 31 1892 256597 18 9 10 14 15 16 17 18 20 21 22 23 24 25 Total 415940 57 Deduct twenty per cent for average loading on above gross amount 831S8 11 Net amount of uncollected and deferred premiums 332752 46 All other items market value of bonds and stocks over cost 726055 Total assets38675518 07 ITEMS NOT ADMITTED Agents balances Bills receivable L6641 86 700 00 Total 17341 86 1 Total assets less items not admitted38658176 21 IIILIABILITIES Net present value of all the outstanding policies in force on the 31st day of Dec 1892 com puted according to the table of mortality with four per cent interest31794893 37 1 leduct net value of risks of this company reinsured in other solvent companies 48793 00 Net premium reserve 31746100 37 Matured endowments due and unpaid 40259 00 Heath losses and matured endowments in pro cess of adjustment or adjusted and not due 209097 91 COMPTROLLERGENERALS REPORT 293 5 Death losses and other policy claims resisted by the company 750 00 7 Total policy claims 258106 91 9 Unpaid dividends or surplus or other description of profits due policyholders 339812 23 13 Premiums paid in advance 3582 57 14 Contingent surrender values 9005 00 15 Amount of any other liability of the company bills payable 5082 02 16 Liabilities on policyholders account32361689 10 17 Gross surplus on policyholders account 6296487 11 IVINCOME DURING YEAR 1892 1 New premiums including notes without deduction for commis sions or other expenses 783877 47 2 Renewal premiums including notes without deductions for commissions or other expenses 3878775 49 Total 4581432 95 4 Deduct amount of premiums paid to other companies for reinsur ance on policies in this company dividends thereon 2113 07 Total premium income 4660539 89 Interest upon mortgage loans 1085523 70 Interest on bonds owned and dividends on stock 629905 71 Interest on premium notes loans or liens 72004 45 Interest on other debts due the company 91745 39 13239 70 Total income 6552958 84 VDISBURSEMENTS DURING YEAR 1S92 1 Losses and additions 2155374 99 2 Matured endowments and ad ditions 1034017 98 3 Total 3156608 93 4 Deduct amount received from other companies for losses or claims on policies of this com pany reinsured of which is for matured endowment 843 00 5 Total amount actually paid for losses and matured endowments 3188559 97 7 Surrendered policies 340176 01 8 Dividends paid to policyholders 678354 03 9 Premium notes loans or liens voided bv lapse of policies 19984 40 11 Stockholders for interest or dividends 125000 00 12 Commissions to agents 604461 82 13 Salaries and traveling expenses of managers of agencies and general special and local agts 35278 37 14 Medical examiners fees 43545 00 15 Salaries and other compensation of officers and other office employees 98608 62 16 Taxes 119740 17 17 Rent 11501 29 18 Furniture and fixtures 1734 68 19 All other items 92886 63 21 Total disbursements 5361917294 COMPTROLLERGENERALS REPORT BUSINESS IN GEORGIA FOR 1893 Risks 1493376 X Premiums 40069 40 Losses 8198 15 Taxes paid on premiums 400 60 THE BROOKLYN LIFE INSURANCE CO OF NEW YORK N Y 1 Amountof capital stock 125000 00 2 Amount of capital stock paid up in cash IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 2 Loans on bonds and mortgages first lien on real estate 3 Loans secured by pledge of bonds stocks or other marketable collaterals 4 Loans made in cash to policyholders on this companys policies assigned as collateral 5 Premium notes loans or liens on policies in force 6 Cost value of bonds and stocks owned abso lutely 7 Cash in companys office 8 Cash deposited in banks 9 Temporary premium loans 10 Agents ledger balances 125000 00 275638 94 518015 00 2000 00 41345 94 708i9 07 499840 44 4691 42 71123 75 10034 24 945 65 12 14 Total net or invested assets 149460 45 Total net or invested assets less depreciation 1494460 45 OTHER ASSETS 15 Interest due and accrued 439202 on bonds and mortgages 16 Interest due and accrued 109500 on bonds and stocks 18 Interest due and accrued on premium notes loans and liens 19 Rents due 27000 and accrued 187000 on companys property or lease 20 Gross premiums due and unreported on policies in force December 31 1892 7978 94 21 Gross deferred premiums on policies in force December 31 1892 31387 50 22 Total 39366 44 23 Deduct twenty percent for average load ing on above gross amount 7873 28 24 Net amount of uncollected and deferred premiums 25 All other items 4392 02 1095 00 4684 63 2140 00 31493 16 83889 62 Total assets 622154 88 ITSMS NOT ADMITTED 5 Agents balances 945 65 945 65 Total Total assets less items not admitted 1621209 23 COMPTROLLERGENERALS REPORT 295 IIILIABILITIES 1 Net present value of all the outstanding policies in force on the 31st day of December 1892 computed according to the actuaries table of mortality with four per cent interest 1447002 00 Deduct net value of risks of this company reinsured in other solvent companies 4176 00 Net premium reserve 442826 00 4 Death losses and matured endowments in pro cess of adjustment or adjusted and not due 30914 00 7 Total policy claims 30 914 00 8 Premium obligations in excess of the net value of their policies i 243 55 9 Unpaid dividends or surplus or other description of profits due policy holders 1 7XQ 45 15 Amount of any other liability of the company 190 00 16 Liabilities on policyholders account 1477895 11 17 Gross surplus on policyholders account 143314 12 IVINCOME DUKING YEAR 1892 1 New premiums including notes without deduction for commis sions or other expenses 40085 47 2 Renewal premiums including notes without deductions for commissions or other expenses 154470 37 Total 194555 84 Deduct amount of premiums paid to other companies for reinsur ance on policies in this com pany less divi dends thereon 4293 68 5 Total premium income 6 Interest upon mortgage loans 7 Interest on bonds owned and dividends on stock 8 Interest on premium notes loans or liens 9 Interest on other debts due the company 10 All other items 190262 16 27094 46 30127 93 4074 08 19049 38 101 81 Total income 270709 82 1 Losses and additions 2 Matured endowments and add tions VDISBURSEMENTS DURING YEAR 1892 91737 00 35584 35 3 Total 127321 35 Total amount actually paid for losses and matured endowments 127321 35 24847 61 1759 50 7 Surrendered policies 8 Dividends paid to policyholders 9 Premium notes loans or liens voided by lapse of policies 11 Stockholders for interest or dividends 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agents 14 Medical examiners fees 1349 76 8750 00 18581 07 12157 61 3299 59I 296 COMPTROLLERGENERALS REPORT 19 718 76 111 66 949 46 0 856 39 15 Salaries and other compensation of officers and office employees 16 Taxes 17 Profit and loss account 19 All other items 21 Total disbursements 246702 76 BUSINESS IN GEORGIA FOR 1893 Risks 112500 00 Premiums 2708 10 Taxes paid on premiums 27 08 THE COMMERCIAL ALLIANCE LIFE INSURANCE CO OF NEW YORK N Y 1 Amount of capital stock 200000 00 2 Amount of capital stock paid up in cash 200000 00 IIINVESTED ASSETS 2 Loans on bonds and mortgages first lien on real estate 7 Cash in companys office 8 Cash deposited in banks 9 Bills receivable 10 Agents ledger balances 128500 00 27804 36 1756 81 44002 65 12 14 Total net or invested assets 202063 Total net or invested assets less depreciation OTHER ASSETS 15 Interest due and accrued 141293 on bonds and mortgages 20 Gross premiums due and unreported on policies in force December 311892 37700 00 21 Gross deferred premiums on policies in force December 31 1892 205346 97 202063 82 1412 93 22 23 Total 243047 58 Deduct twenty per cent for average load ing on above gross amount 48609 52 24 Net amount of uncollected and deferred premiums 194438 06 25 All other items 11213 11 Total assets 409127 92 ITEMS NOT ADMITTED 5 Agents balances 44002 65 7 Bills receivable 1756 81 8 Furniture etc 11213 11 Total 56972 57 Total assets less items not admitted 352155 35 IIILIABILITIES 1 Net present value of all the outstanding policies in force on the 31st day of December 189 computed according to the actuaries table of mortality with four per cent interest 210446 00 Deduct net value of risks of this com pany reinsured in other solvent com panies 2109 00 Net premium reserve 208337 00SS225 COMPTROLLERGENERALS REPORT 297 4 7 Hi 17 2 Death losses and matured endowments in pro cess of adjustment or adjusted and not due Death losses and other policy claims resisted by the company Total policy claims Liabilities on policyholders account Gross surplus on policyholders account 18500 00 17500 00 36000 00 244337 00 107818 35 IVINCOME DURING YEAR 1892 New premiums including notes without deductions for commis sions or other expenses 96928 72 Renewal premiums including notes without deductions for commissions or other expenses 334066 55 Total 430995 27 4 Deduct amount of premiums paid to other companies for reinsu rance on policies in this com pany less divi dends thereon 5001 12 5 Total premium income 425094 15 6 Interest upon mortgage loans 5958 21 10 All other items 70 00 Total income VDISBURSEMENTS DURING YEAR 1892 1 Losses and additions 285046 96 431122 36 3 Total 4 Deduct amount received from other companies for losses or claims on policies of this com pany reinsured of which is for matured en dowments 285046 96 10000 00 8 12 13 14 16 17 19 Total amount actually paid for losses and matured endowments Surrendered policies Dividends paid to policyholders Commissions to agents Salaries and traveling expenses of managers of agencies and general special and local agts Medical examiners fees Salaries and other compensation of officers and other office employees Taxes Commuting commissions All other items 275046 91 147 90 14852 43 63682 42 6102 11 2925 00 21395 31 8190 01 6149 31 25121 40 il Total disbursements BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 423612 85 497000 00 6836 87 1500 00 68 37298 COMPTROLLERGENERALS REPORT THE CONNECTICUT MUTUAL LIFE INSURANCE CO OF HART FORD CONN IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 6791381 01 Loans on bonds and mortgages first lien on realestate36444759 02 3 Loans secured by pledge of bonds stocks or other marketable collaterals 38 282 50 5 Premium notes loans or liens on policies in force 1434376 04 6 Cost value of bonds and stocks owned abso lutely 12967637 43 8 Cash deposited in banks 1340007 99 9 Bills receivable 951 75 14 Total net or invested assets less depreciation59037395 74 OTHER ASSETS 15 Interest due 5141149 and accrued 65782171 on bonds and mortgages 709 33 o 16 Interest due and accrued 10744917 on bonds and stocks 107 649 1 17 Interest due and accrued 99007 on collateral loans q 0 18 Interest due 8205242 and accrued 4760605 onpre mium notes loans or liens 129 058 47 19 Rents due and accrued 704191 on com panys property or lease 7 041 91 24 Net amount of uncollected and deferred premiums 106439 26 20 All other items market value of stocks and bonds over cost 603l30 07 Total assets 60761549 89 IIILIABILITIES 1 Net present value of all the outstanding policies in force on the 31st day of December 1892 computed according to the companys stand ard table of mortalitv with four per cent interest53307047 00 9 t premium reserve 53307047 00 Z Death losses due and unpaid 58009 50 3 Matured endowments due and unpaid 11323 00 4 Death losses and matured endowments in pro r r CeS of adJustment or adjusted and not due 113082 00 o Death losses and other policy claims resisted by the company 23000 00 205414 50 7 Total policy claims 9 Unpaid dividends or surplus or other description of profits due policy holders 4qo 539 g 15 Amount of any other liability of the company 41965 84 16 Liabilities on policyholders account 54 334 620 01 11 Gross surplus on policyholders account 6426929 88 IVINCOME DURING YEAR 1892 1 Cash received for premiums with out deduction for commissions or other expenses 3296730 30COMPTROLLERGENERALS REPORT 2 99 2 Premiums notes taken in includ ing notes without part pay ment 379 00 3 Premiums paid by dividends 1325094 03 Premium on new business 4622203 33 5 Total premium income 4622203 33 6 Interest upon mortgaged loans 2128118 47 7 Interest on bonds owned and dividends on stock 626686 95 8 Interest on premium notes loans or liens 90723 71 9 Interest on other debts due the company 21287 90 10 All other items 395896 37 Total income VDISBURSEMENTS DURING YEAR1892 1 Losses and additions 3965491 01 Premium notes used in payment of same 49493 74 2 Matured endowments and addi tions 422113 20 Premium notes used in payment of same 1084 80 7884916 73 3 Total 4168182 75 Total amount actually paid for losses and matured endowments 7 Surrendered policies 8 Dividends paid to policyholders 9 Premium notes loans or liens voided by lapse of policies Cash surrender values Premium notes used in payment of dividends to policyholders Salaries and traveling expenses of managers of agencies and general special and local agents Medical examiners fees Salaries and other compensation of officers and other office employees Taxes 13 14 15 16 19 All other items 4168182 75 325838 94 1189947 81 15990 01 223489 94 33650 33 22735 17 25421 53 138003 17 i00160 49 611895 73 21 Total disbursements BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 055315 87 734600 00 17802 08 2000 00 178 02 THE EQUITABLE LIFE ASSURANCE SOCIETY OF NEW YORK N Y 1 Amount of capital stock 100000 00 2 Amount of capital stock paid up in cash 100000 00 IIINVESTED ASSETS 1 Book value of real estate in cash exclusive of all incumbrances38035149 19 2 Loans on bonds and mortgages first lien on real estate21983944 00 3 Loans secured by pledge of bonds stocks or other marketable collaterals 5913500 00 6 Book value of bonds and stocks owned ab solutely 66469339 61300 COMPTROLLERGENERALS REPORT 7 8 10 11 14 15 16 17 21 24 25 12262019 29 Cash in companys office Cash deposited in banksf Agents ledger balances 1312080 04 All other items 595317 20 Total net or invested assets less depreciation146571349 OTHER ASSETS 35 Interest due if and accrued on 1 bonds and mortgages Interest due and accrued on 1 9QJ QriQ ttQ bonds and stocks o Interest due and accrued on collateral loansJ iross deferred and uncollected premiums on policies in force December 31 1892 2804896 50 Net amount of uncollected and deferred premiums 2804896 50 All other items 3448896 28 Total assets153060052 ITEMS NOT ADMITTED 01 Agents balances 1312080 04 Total 1312080 04 97 7 10 15 16 17 Total assets less items not admitted151747971 IIILIABILITIES Net present value of all the outstanding policies in force on the 31st day of December 1892 computed according to the actuaries table of mortality with four per cent interest120216977 00 Death losses and matured endowments in pro cess of adjustment or adjusted and not due 1216796 52 Total policy claims121433773 Unpaid dividends due stockholders 89594 Amount of any other liability of the company 346869 Liabilities on policyholders account121870236 Gross surplus on policyholders account31189815 IVINCOME DURING YEAR 1892 New premiums including notes without deduction for commis sions or other expenses 7185332 04 Renewal premiums including notes without deductions for commissions or other expenses 26186670 82 For annuities 674565 53 52 00 00 46 Total34046568 39 10 Total premium income34046508 39 Interest upon mortgage loans 1018362 38 Interest on bonds owned and dividends on stock and all items except rents 3727210 53 All other items viz Pents 1494096 19 Total incomes40286237 V DISBURSEMENTS DURING YEAR 1892 Losses and additions10461982 75 411 Matured endowments and ad ditions 718829 29 Total amount actually paid for losses and matured endowments11180812 04Sr COMPTROLLER GENERALS REPORT 301 6 Annuitants 7 Surrendered policies 8 Dividends paid to policyholders 11 Stockholders for interest or dividends 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agents 14 Medical examiners fees 15 Salaries and other compensation of officers and other office employees 16 Taxes 17 Commuting commissions 19 All other items 333398 34 3333102 77 1087134 83 7000 00 3146075 35 279302 56 415571 52 543485 15 322439 44 565586 24 2348039 10 21 Total disbursements24161947 34 BUSINESS IX GEORGIA FOR 1893 Risks 12494900 00 Premiums 423020 59 Losses 144735 00 Taxes paid on premiums 4230 21 GERMANIA LIFE INSURANCE CO OF NEW YORK N Y Amount of capital stock Amount of capital stock paid up in cash 200000 00 200000 00 IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 1949271 66 2 Loans on bonds and mortgages first lien on real estate 9255250 00 4 Loans made in cash to policyholders on this companys policies assigned as collateral 491630 44 6 Cost value of stocks and bonds owned abso lutely 4787132 20 7 Cash in companys office 108654 47 8 Cash deposited in banks 339597 58 11 All other items 1040 00 14 Total net invested assets less depreciation16932576 35 15 16 19 20 21 22 23 24 25 OTHER ASSETS Interest due 506921 and accrued 7143744 on bonds and mortgages 76506 6a Interest due and accrued 1770993 on bonds and stocks 17909 93 Rents due and accrued 719583 on companys property or lease 7195 83 Gross premiums due and unreported on policies in force De cember 31 1892 187023 10 Gross deferred premiums on policies in force December 31 1892 333892 71 Total 521515 81 Deduct twenty per cent for average loading on above gross amount 104303 16 Net amount of uncollected and deferred premiums 417212 65 All other items 293061 19 Total assets17744262 60302 COMPTROLLERGENERALS REPORT IIILIABILITIES 1 Not present value of all the outstanding poli cies in force on the 31st day of December 1892 computed according to the combined experience table of mortality with four per cent interest16299 697 00 Deduct net value of risks of this company reinsured in other solvent companies 16308 00 9 nQ fet Premium reserve16283389 00 Death losses due and unpaid 5394 26 3 Matured endowments due and unpaid 3342 20 4 Death losses in process of adjustment or ad justed and not due 121636 63 6 Annuity claims unpaid 993 30 7 Total policy claims 132 9 45 9 Unpaid dividends or surplus or other description of profits due policyholders 41 580 95 14 Due to officers or others for advances on account of ex penses of organization 57 Qg 16 Liabilities on policyholders account 16 513 974 71 17 Gross surplus on policyholders account 1 230 287 S9 IVINCOME DURING YRAR 1892 1 New premiums including notes without deduction for commis sions or other expenses 584883 45 2 Renewal premiums including notes without deductions for commissions or other expenses 2203873 15 3 For annuities 13076 88 Total 2801833 48 Dividends thereon 8281 76 5 Total income 279355172 6 Interest upon mortgage loans 429158 03 7 Interest on bonds owned and dividends on 0 T 8tock 246753 41 8 Interest on premium notes loans or liens 25911 06 9 Interest on other debts due the company 10 All other items 10600 72 103838 11 Total income 3609813 05 VDISBURSEMENTS DURING YEAR 1892 1 Losses and additions 983194 70 2 Matured endowments and addi tions 285568 64 3 5 6 8 Total 1268763 34 Total amount actually paid for losses and matured endowments Annuitants Surrendered policies I i vidends paid to policyholders 11 Stockholders for interest and dividends 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agents 14 Medical examiners fees 15 Salaries and other compensation of officers and other office employees 1268763 34 21336 35 308764 54 201021 63 24000 00 416140 71 116305 59 30886 68 70276 75 COMPTROLLERGENERALS REPORT 303 16 Taxes 17 Commuting commissions 19 All other items 19490 06 1086 76 0042 20 21 Total disbursements 2569014 61 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 185070 00 2696 19 1000 00 26 96 THE HOME LIFE INSURANCE CO OE BROOKLYN N Y 1 Amount of capital stock 125000 00 2 Amount of capital stock paid up in cash 125000 00 8 9 10 11 12 14 IIINVESTED ASSETS Cost value of real estate in cash exclusive of all incumbrances 237687 84 Loans on bonds and mortgages first lien on real estate 2650332 23 Loans secured by pledge of bonds stocks or other marketable collaterals 617631 14 Loans made in cash to policyholders on this companys policies assigned as collateral 121177 06 Premium notes loans or liens on policies in force 553748 18 Cost value of bonds and stocks owned abso lutely 3174959 27 Cash in companys office 1844 29 Cash deposited in bank 137299 70 Bills receivable 19689 89 Agents ledger balances 5811 69 All other items 12979 72 Total net or invested assets 7533161 01 Total net or invested assets less depreciation 15 16 17 18 19 20 21 22 23 24 25 OTHER ASSETS Interest due and accrued on bonds and mortgages Interest due and accrued on bonds and stocks Interest due and accrued on collateral loans Interest due and accrued on premium notes loans or liens Rents due and accrued on companys property or lease Gross premiums due and unreportd on policies in force December 31 1892 297904 11 Gross deferred premiums on policies in force December 31 1892 71438 55 Total 369342 66 Deduct twenty per cent for average loading on above gross amount 73868 53 7533161 01 11457 49 23146 47 3076 07 6105 42 666 66 Net amount of uncollected and deferred premiums All other items 295474 13 212274 41 Total assets 8085362 26304 COMPTROLLERGENERALS REPORT IIILIABILITIES Xet present value of all the outstanding poli cies in force on the 31st day of December 1892 computed according to the actuaries table of mortality with four per cent interest 6506887 00 Deduct net value of risks of this com pany reinsured in other solvent com panies 1954 00 Xet premium reserve 4 Death losses and matured endowments in pro cess of adjustment or adjusted and not due 34500 00 7 Total policy claims 9 Unpaid dividends or surplus or other description of profits due policyholders 15 Amount of any other liability of the company i i504933 00 34500 00 13807 57 3065 15 16 Liabilities on policyholders account 6 556 395 72 17 Gross surplus on policyholders account 1528966 54 IVINCOME DURING YEAR 1892 1 New premiums including notes without deduction for commis sions or other expenses 2 Renewal premiums including notes without deductions for commissions or other expenses For annuities 3 382019 95 918008 92 14753 23 ri Total 1314982 10 Deduct amount of premiums paid to other companies for reinsu rance on policies in this com pany less divi dends thereon 4677 00 5 Total premium income 1310105 10 6 Interest upon mortgage loans l 18 498 93 7 Interest on bonds owned and dividends on stock 157533 38 8 Interest on premium notes loans or liens 46 164 24 9 Interest on other debts due the company 51124 10 10 All other items 71778 69 Total income 1755204 44 3 5 VDISBURSEMENTS DURING YEAR 1892 1 Losses and additions 586765 05 2 Matured endowments and addi tions 123782 63 Total 710547 88 lotal amount actually paid for losses and matured endowments i Annuitants 7 Surrendered policies 8 Dividends paid to policyholders 9 Premium notes loan or liens voided by lapse of policies 11 Stockholders for interest or dividends 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agents 14 Medical examiners fees 15 Salaries and other compensation of officers and other office employees 16 Taxes 710547 88 3929 49 77844 13 166137 49 31880 05 15000 00 211950 07 68837 99 21346 65 53206 11 13794 53 COMPTROLLERGENERALS REPORT 305 17 Commuting commissions 8702 02 18 Advanced to officers and agents to be repaid out of future salaries or commissions 3210 00 19 All other items 40517 80 22 Total disbursements 1430970 87 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Taxes paid on premiums 14000 00 477 40 4 77 THE LIFE INSURANCE CLEARING COMPANY OF ST PAUL MINN 1 Amount of capital stock 125000 00 2 Amount of capital stock paid up in cash 125000 00 IIINVESTED ASSETS 2 Loans on bonds and mortgages first lien on real estate 44000 00 3 Loans secured by pledge of bonds stocks or other marketable collaterals 50217 77 5 Premium notes loans or liens on policies in force 429 78 0 Cost value of bonds and stocks owned absolutely 13500 00 7 Cash in companys office 40 42 8 Cash deposited in banks 3283 11 10 Agents ledger balances 3965 00 14 Total net or invested assets less depreciation 115430 08 OTHER ASSETS accrued 99208 on bonds and 15 Interest due and mortgages 16 Interest due and accrued 98 05 on bonds and stocks 17 Interest due and accrued 96301 on collateral loans 20 Gross premiums due and unreported on policies in force December 31 1892 31508 30 21 Gross deferred premiums on policies in force December 31 1892 2956 77 992 08 98 65 903 01 22 Total 23 Deduct twenty per cent for average loading on above gross amount 24 Net amount of uncollected and deferred pre miums 25 All other items furniture and fixtures 34465 07 11890 92 22574 15 500 00 Total assets 140503 97 IIILIABILITIES 1 Net present value of all the outstanding policies in force on the 31st day of December 1892 computed according to the actuaries table of mortality with four per cent interest Net premium reserve 10 Liabilities on policyholders account 17 Gross surplus on policyholders account 15005 01 15005 61 15005 01 125558 30 IVINCOME DURING YEAR 1892 1 New premiums including notes without deduction for commis sions or other expenses 13057 31 Total premium income Interest upon mortgage loans Interest on bonds owned and dividends on stock Interest on premium notes loans or liens Interest on other debts due the company Total income 13057 31 1325 00 120 00 6 00 1575 69 16084 00306 COMPTROLLERrGENERALS REPORT I VDISBURSEMENTS DURING YEAR 1892 1 Losses and additions 2387 65 3 5 Total 2387 65 Total amount actually paid for losses and matured endowments 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agts 14 Medical examiners fees 15 Salaries and other compensation of officers and other office employees 16 Taxes 19 All other items 21 2387 65 6152 88 207 05 1134 00 6936 83 Oil 88 7917 63 Total disbursements BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 25647 92 14000 00 353 96 443 91 3 53 THE MANHATTAN LIFE INSURANCE CO OF NEW YORK N Y 1 Amount of capital stock 2 Amount of capital stock paid up in cash 100000 00 100000 00 IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 1520450 80 2 Loans on bonds and mortgages first lien on real estate 3801723 5S 3 Loans secured by pledge of bonds stocks or other marketable collaterals 3292412 50 5 Premium notes loans or liens on policies in force 708984 92 6 Cost value of bonds and stocks owned abso lutely 3059989 27 7 Cash in companys office 17931 62 8 Cash deposited in banks 188937 44 14 Total net or invested assets less depreciation OTHER ASSETS 15 Interest due 314412 and accrued 6726399 on bonds and mortgages 16 Interest due and accrued 321000 on bonds and stocks 17 Interest due and accrued 1819949 on collateral loans 19 Rents due 95616 and accrued 3019 32 on companys property or lease 20 Gross premiums due and unreported on policies in force December 31 1892 252147 93 21 Gross deferred premiums on policies in force December 31 1892 165386 25 12590430 13 70408 11 3210 06 18199 49 3973 48 22 23 Total 417534 18 Deduct twenty per cent for a verage load ing on above gross amount 83506 83 24 Net amount of uncollected and deferred premiums 334027 35 25 All other items 386941 86 Total assets 13420911 11 COMPTROLLERGENERALS REPORT 307 ITEMS NOT ADMITTED Commuted commissions 28320 86 Cash advanced to or in the hands of officers or agents 105682 62 Total 134003 48 Total assets less items not admitted13286907 63 IIILI ABILITIE S Net present value of all the outstanding policies in force on the 31st day of December 1892 computed according to the actuaries table of mortality with four per cent interest12024057 00 Deduct net value of risks of this company reinsured in other solvent companies 8861 00 4 7 9 15 16 17 Net premium reserve Death losses and matured endowments in pro cess of adjustment or adjusted and not due 173278 30 Total policy claims Unpaid dividends or surplus or other description of profits due policyholders Amount of any other liability of the company Liabilities on policyholders account Gross surplus on policyholders account 12015796 00 173278 30 40285 78 49281 98 12278642 06 1008265 57 IVINCOME DURING YEAR 1892 New premiums including notes without deduction for commis sions or other expenses 393025 39 Renewal premiums including notes without deductions for commissions or other expenses 1703669 20 For annuities 12479 91 Total 2109174 50 Deduct amount of premiums paid to other companies for reinsur ance on policies in this com pany less dividends thereon 7898 15 8 9 10 Total premium income 2101276 35 Interest upon mortgage loans 202976 33 Interest on bonds owned and dividends on stock 167205 00 Interest on premium notes loans or liens 45189 51 Interest on other debts due the company 134998 50 All other items 80117 69 Total income 2731763 38 VDISBURSEMENTS DURING YEAR 1892 Losses and additions 1198517 58 Matured endowments and addi tions 58541 00 3 5 6 7 8 9 11 Total 1257058 58 Total amount actually paid for losses and matured endowments 1257058 58 Annuitants 3559 44 Surrendered policies 282740 84 Dividends paid to policyholders 118086 05 Premium notes loans or liens voided by lapse of policies 7496 08 Stockholders for interest or dividends 16000 00 308 COMPTROLLERGENERALS REPORT 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agents 14 Medical examiners fees J 5 Salaries and other compensation of officers and other office employees 10 Taxes 19 All other items 311770 01 57257 3 32025 52 82480 80 22799 79 150585 34 21 Total disbursements 2342405 84 BUSINESS IN GEORGIA FOE 1893 Risks 4339102 00 Premiums 141970 99 Losses 77212 00 Taxes paid on premiums 1419 71 THE MARYLAND LIFE INSURANCE CO OF BALTIMORE MD 1 Amount of capital stock 2 Amount of capital stock paid up in cash IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 2 Loans on bonds and mortgages first lien on real estate 3 Loans secured by pledge of bonds stocks or other marketable collaterals 4 Loans made in cash to policyholders on this companys policies assigned as collateral 5 Premium notes loans or liens or policies in force 6 Cost value of bonds and stocks owned abso lutely 7 Cash in companys office 8 Cash deposited in banks 9 Dividends due in January 10 Agents ledger balances 11 All other items 100000 00 100000 00 135420 40 130481 13 15000 00 18195 30 29507 50 911119 70 1802 14 22875 87 2450 70 14332 16 12 40 14 Total net or invested assets less depre ciation 1537263 42 OTHER ASSETS 15 Interest due 31200 and accrued 587172 on bonds and mortgages 10 Interest due 43200 and accrued on bonds and stocks 17 Interest due and accrued 27479 on collateral loans 19 Rents due and accrued 56250 on companys property or leases 20 Gross premiums due and unreported on poli cies in force December 31 1892 9290 49 21 Gross deferred premiums on policies in force December 31 1892 23581 34 6184 32 432 00 274 79 562 50 22 Total 3287183 23 Deduct twenty per cent for average loading on above gross amount 6574 37 24 Net amount of uncollected and deferred premiums 25 All other items 20297 46 44004 02 Total assets 1015019 1COMPTROLLERGENERALS REPORT 309 ITEMS NOT ADMITTED 3 Commuted commissions 5 Agents balances 7 Suspended accounts 232 53 14332 16 12 46 Total 14577 15 Total assets less items not admitted 1600441 96 IIILIABILITIES 1 Net present value of all the outstanding poli cies in force on the 31st day of December 1892 computed according to the Am exp table of mortality with four and onehalf per cent interest 1239400 00 Deduct net value of risks of this compa ny reinsured in other solvent compa nies 9489 00 Net premium reserve 2 Death losses due and unpaid 3 Matured endowments due and unpaid 4 Death losses and matured endowments in pro cess of adjustment or adjusted and not due 5 Death losses and other policy claims of which no formal report received 3031 98 219 66 18641 10 12080 07 1229911 00 Total policy claims 9 Unpaid dividends or surplus or other description of profits due policyholders 15 Amount of any other liability of the company 16 Liabilities on policyholders account 17 Gross surplus on policyholdersaccount 33972 81 4919 39 1452 32 1270255 52 330186 44 INCOME DURING YEAR 1892 1 New premiums including notes without deduction for commis sions or other expenses Renewal premiums including notes without any deductions for commissions or other ex penses For annuities 2 Total Deduct amount of premiums paid to other companies for reinsur ance on policies in the compa ny less dividends thereon 40834 79 154031 70 2000 00 196866 49 5880 21 5 Total premium income 6 Interest upon mortgage loans 7 Interest on bonds owned and dividends on stock 8 Interest on premium notes loans or liens 9 Interest on other debts due the company 10 All other items Total income 190986 28 22749 31 45993 41 1597 73 2322 26 3366 15 267015 14 VDISBURSEMENTS DURING YEAR 1892 1 Losses and additions 113229 30 2 Matured endowments and additions 16569 39 3 Total 129798 69310 COMPTROLLERGENERALS REPORT 4 Deduct amount received from other companies for losses or claims on policies of this company rein sured of which is for matured endowments 12000 00 5 Total amount actually paid for losses and matured endowments 6 Annuitants 7 Surrendered policies 8 Dividends paid to policyholders 9 Premium notes loans or liens voided by lapse of policies 11 Stockholders for interest or dividends 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agents 14 Medical examiners fees 15 Salaries and other compensation of officers and other office employees 16 Taxes 17 Commuting commissions 19 All other items 117798 69 121 76 9729 41 17306 90 20 88 6000 00 26406 71 7681 68 3359 00 17222 66 4556 26 279 03 7543 45 21 Risks Total disbursements BUSINESS IN GEORGIA FOR 1893 Premiums Losses Taxes paid on premiums 218068 43 440500 00 17321 66 5000 00 173 22 THE MASSACHUSETTS MUTUAL LIFE INSURANCE CO OF SPRINGFIELD MASS IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 556326 57 2 Loans on bonds and mortgages first lien on real estate 4332182 47 3 Loans secured by pledge of bonds stocks or other marketable collaterals 1043900 50 4 Loans made in cash to policyholders on this companys policies assigned as collateral 459483 00 5 Premium notes loans or liens on policies in force 576729 84 6 Cost value of stocks and bonds owned abso lutely 4806701 81 7 Cash in companys office 61696 75 8 Cash deposited in banks 538298 32 14 Total net or invested assets12435319 26 OTHER ASSETS 15 Interest due 2673842 and accrued 6606406 on bonds and mortgages 92802 48 16 Interest due 1995880 and accrued 9010697 on bonds and stocks 110065 77 17 Interest due 1095000 and accrued 875306 on collateral loans 26739 44 18 Interest due 151636 and accrued 1730190 on pre mium notes loans or liens 18818 26 19 Interest on certificates of deposit 3920 44 Rents on companys property 2424 50 20 Gross premiums due and unreported on policies in force December 31 1892 182116 88 21 Gross deferred premiums on policies in force December 31 1892 342441 37 COMPTROLLERGENERALS REPORT 311 22 23 Total 524158 25 Deduct twenty per cent for average loading on above gross amount 104831 65 24 Net amount of uncollected and deferred premiums 25 All other iteins market value of real estate over cost Market value of bonds and stocks 419326 60 51679 10 272572 36 Total assets13433668 21 IIILIABILITIES 1 Net present value of all the outstanding poli cies in force on the 31st day of December 1892 computed according to the actuaries table of mortality with four per cent inter est 12347348 00 Deduct net value of risks of this company re insured in other solvent companies 159051 00 Net premium reserve12188297 00 Death losses and matured endowments in pro cess of adjustment 59103 66 Death losses and other policy claims resisted by the company 9128 00 7 Total policy claims 9 Unpaid dividends or surplus or other description of profits due policyholders 15 Amount of any other liability of the company 16 Liability on policyholders account 17 Gross surplus on policyholders account 68231 66 85235 18 1045 54 12342809 38 1090858 83 IVINCOME DURING YEAE 1892 New premiums including notes without deduction for commis sions or other expenses 570707 33 Renewal premiums including notes without deductions for commissions or other expenses 2189538 19 Total 2760245 52 4 Deduct amount of premiums paid other companies for reinsurance on policies in this company less dividends thereon 30672 73 5 Total premium income 2723572 79 ij Interest upon mortgage loans 318774 08 7 Interest on bonds owned and dividends on stock 246681 03 8 Interest on premium notes loans and lien 33649 57 9 Interest on other debts due the company 1337 04 10 All other items 82788 92 Total income 3406803 43 VDISBURSEMENTS DURING YEAR 1892 823927 00 1 Losses and additions 2 Matured endowments and addi tions 107517 00 3 Total 931444 00 5 Total amount actually paid for losses and matured endowments 931444 00 7 Surrendered policies 193009 35 8 Dividends paid to policyholders 335357 73 9 Premium notes loans or liens voided by lapse of policies 35237 36I 312 COMPTROLLERGENERALS REPORT 12 Commissions to agents 403822 69 13 Salaries and traveling expenses of managers of agencies and general special and local agents 98152 10 14 Medical examiners fees 39105 50 15 Salaries and other compensation of officers and other office employees 86648 84 16 Taxes and fees 42541 02 19 All other items 150298 84 21 Total disbursements 2295617 43 THE METROPOLITAN LIFE INSURANCE CO OF NEW YORK N Y 1 Amount of capital stock 2000000 00 2 Amount paid up in cash 2000000 00 IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 2673720 47 2 Loans on bonds and mortgages first lien on real estate 9112850 00 4 Loans made in cash to policyholders on this companys policies assigned as collateral 16216 25 5 Premium notes loans or liens on policies in force 108871 60 6 Cost value of bonds and stocks owned absolutely 4149284 25 7 Cash in companys office 01 00 8 Cash deposited in banks 11898 ll 14 Total net or invested assets less depreciation16272840 68 OTHER ASSETS 15 Interest due 3255449 and accrued 10647053 on bonds and mortgages 138826 02 16 Interest due 1125000 and accrued 2261201 on bonds and stocks 33862 02 17 Interest due 4500 and accrued 4225 on collateral loans 87 25 19 Rents due 258 34 and accrued on companys prop erty or lease 258 34 20 Cross premiums due and unreported on policies in force December 31 1892 21733 55 21 Gross deferred premiums on policies in force December 31 1892 49950 41 22 Total 23 Deduct twenty per cent foi average loading on above gross amount 71683 96 14336 79 24 Net amount of uncollected and deferred premiums 25 All other items 57347 17 3060 75 Total assets16506282 22 IIILIABILITIES Net premium reserve11341093 00 2 Death losses due and unpaid1 3 Matured endowments due and unpaid 4 Death losses and matured endowments in pro cess of adjustment or adjusted and not due 74553 16 5 Death losses and other policy claims resisted by the company 6 Annuity claims unpaid 7 Total policy claims 74553 16 9 Unpaid dividends or surplus or other description of profits due policyholders 47 010 73 11 Special reserve 1283631 00 15 Amount of any other liability of the company 85317 84 16 Liabilities on policyholders account12831611 73 17 Gross surplus on policyholders account 3674670 49COMPTROLLERGENERALS REPORT 313 IVINCOME DURING YEAR 1892 New premiums including notes without deduction tor commis sions or other expenses12514156 14 Total12514156 14 4 Deduct amount of premiums paid to other companies for reinsur ance on policies in this com pany less dividends thereon 7S 07 5 Total premium income 6 Interest upon mortgage loans 7 Interest on bonds owned and dividends on stock 8 Interest on premium notes loans or liens 9 Interest on other debts due the company 10 All other items 12514078 07 450881 37 163666 46 3266 50 71076 14 104842 91 Total income13307811 45 VDISBURSEMENTS DURING YEAR 1892 1 Losses and additions 4898381 86 2 Matured endowments and addi tions 2600 00 3 5 Total 4900981 86 Total amount actually paid for losses and matured endowments 4900981 86 7 Surrendered policies 19433 00 8 Dividends paid to policyholders 12529 71 11 Stockholders for interest or dividends 140000 00 12 Commissions to agents 2006791 37 13 Salaries and traveling expenses of managers of agencies and general special and local agts 1038228 72 14 Medical examiners fees 15 Salaries and other compensation of officers and other office empl vees 16 Taxes 17 Commuting commissions 1453799 91 19 All other items 378679 79 I 96369 54 343094 82 105274 35 21 Total disbursements10495183 07 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Taxes paid on premiums 296823 00 1108 98 11 09 THE MICHIGAN MUTUAL LIFE INSURANCE CO OF DETROIT MICHIGAN 1 Amount of capital stock 250000 00 2 Amount of capital stock paid up in cash 250000 00 IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 331966 35 2 Loans on bonds and mortgages first lien on real estate 2665565 97 3 Loans secured by pledge of bonds stocks or other marketable collaterals 170C0 00 4 Loans made in cash to policyholders on this companys policies assigned as collateral 348779 23 5 Premium notes loans or liens on policies in force 7832 47 6 Cost value of bonds and stocks owned abso lutely 20823 75 8 Cash deposited in banks 156624 33314 COMPTROLLERGENERALS REPORT 9 Bills receivable 10 Agents ledger balances 37ill 68 6814 10 14 Total net or invested assets less depreciation 3593018 08 OTHER ASSETS 15 Interest due 2425966 and accrued 4626314 on bonds and mortgages 16 Interest due and accrued o bonds and stocks 17 Interest due and accrued 382 84 on collat eral loans i 18 Interest due 1073749 and accrued 973749 on pre mium notes loans or liens I 19 Rents due and accrued 287100J on com panys property or leasej 20 Gross premiums due and unreported on poli cies in iorce December 31 1892 398034 54 21 Gross deferred premiums on policies in force December 31 1892 51 930 08 94251 62 22 Total 23 Deduct twenty per cent for average loading on above gross amount 449964 62 89992 91 24 Net amount of uncoliected and deferred premiums 359 971 71 Total assets 4 947 241 41 IIILIABILITIES 1 Net present value of all the outstanding poli cies in force on the 31st day of December 1892 computed according to the experience table of mortality with four per cent interest 3764583 66 Deduct net value of risks of this company reinsured in other solvent companies 66039 00 Net premium reserve 3698544 66 4 Death losses and matured endowments in pro cess of adjustment or adjusted and not due L9850 45 7 Total policy claims 19850 45 15 Amount of any other liability of the company 3727 61 1 6 Liabilities on policyholders account 17 Gross surplus on policyholders account IVINCOME DIKING YEAR 1892 1 New premiums including notes without deduction for commis sions or other expenses 289954 72 2 Renewal premiums including notes without deductions for commissions or other expenses 746 553 04 3 For annuities 3306 69 3722122 72 325118 69 Total 1039814 45 Deduct amount of premiums paid to other companies for reinsur ance on policies in this com pany less dividends thereon u 499 94 5 Total premium income 02S321 51 6 Interest upon mortgage loans 154 191 02 7 Interest on bonds owned and dividends on stock 1099 00 8 Interest on premium notes loans or liens 25469 94 10 All other items 9 13 ll Total income 1 ojg 017 g9COMPTROLLERGENERALS REPORT 315 1 Losses and additions 2 Matured endowments and ad ditions VDISBURSEMENTS DURING YEAR 1892 187890 85 103134 14 3 Total 291024 99 5 Total amount actually paid for losses and matured endowments 7 Surrendered policies 8 Dividends paid to policyholders 11 Stockholders for interest or dividends 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agents 14 Medical examiners fees 15 Salaries and other compensation of officers and other office employees 16 Taxes 19 All other items 291024 99 6856 37 72922 51 25000 00 222955 29 34057 72 14948 88 28339 78 21347 75 39159 12 21 Total disbursements BUSINESS IN GEORGIA FOR 1893 Risks Premiums Taxes paid on premiums 756612 41 55500 00 1160 05 11 60 THE MUTUAL BENEFIT LIFE INSURANCE CO OF NEWARK N J IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 200000 00 2 Loans on bonds and mortgages first lien on real estate27297312 22 3 Loans secured by pledge of bonds stocks or other marketable collaterals 4062500 00 4 Loans made in cash to policyholders on this companys policies assigned as collateral 12693106 13 5 Premium notes loans or liens on policies in force 4239796 41 6 Cost value of bonds and stocks owned abso lutely11096321 49 7 Cash in companvs office 189170 90 8 Cash deposited in banks 477822 10 9 Real estate purchased on foreclosure 687777 49 10 Agents ledger balance 9831 29 11 All other items 169418 17 14 Total net or invested assets49699256 19 OTHER ASSETS 15 Interest due 4396447 and accrued 43125900 on bonds and mortgages 475223 53 16 Interest due and accrued 13597584 on bonds 3Tll stocks 17 Interest due and accrued 3493925 on col lateral loans 18 Interest due and accrued 11659440 on pre mium notes loans or liens 20 Gross premiums due and unreported on pol icies in force December 31 1892 199206 47 21 Gross deferred premiums on policies in force December 31 1892 485658 38 135975 84 34939 25 116594 40 Total 684864 85316 COMPTROLLERGENERALS REPORT 23 Deduct twenty per cent for average loading on above grows amount 136972 97 24 Net amount of uncollected and deferred premiums 547891 88 25 All other items 386o22 50 Total assets51395903 59 ITEMS NOT ADMITTED 9831 29 Agents balances and cash obligations Total 9831 29 15 16 17 Total assets less items not admitted51386072 30 IIILIABILITIES Net present value of all the outstanding pol icies in force on the 31st day of December 1892 computed according to the actuaries table of mortalitv with four per cent in terest 47266347 00 Net premium reserve47 266 347 00 Death losses and matured endowments in pro cess of adjustment or adjusted and not due 196542 39 Death losses and other policy claims resisted by the company 9000 00 Total policy claims 193 542 39 Unpaid dividends or surplus or other description of profits due policyholders 267 747 45 Amount of any other liability of the company 1744 74 Liabilities on policyholders account47734381 58 Gross surplus on policyholders account 3651690 72 IVINCOME DURING THE YEAR 1892 New premiums including notes without deduction for commis sions or other expenses 1414486 24 Renewal premiums including notes without deductions for commissionsorotherexpenses 5526687 52 For annuities 11659 26 5 6 7 8 9 10 Total 6952833 02 Total premium income 6952833 02 Interest upon mortgage loans 1551947 78 Interest on bonds owned and dividends on stock 581802 14 Interest on premium notes loans or liens 250866 29 Interest on other debts due the company 222275 06 All other items 26 319 46 Total income 9586043 75 VDISBURSEMENTS DURING YEAR 1892 Losses and additions 3237858 13 Matured endowments and addi tions 184034 76 3 5 6 7 8 9 12 Total 3421892 89 Total amount actually paid for losses and matured endowments 3 401 99 89 Annuitants 35 735 04 Surrendered policies 770 454 73 Dividends paid to policyholders 1597594 62 Premium notes loans or liens voided by lapse of policies 7937 jg Commissions to agents 806785 28COMPTROLLERGENERALS REPORT 317 14 Medical examiners fees 78616 15 15 Salaries and other compensation of officers and other office employees 155029 16 16 Taxes 197078 45 19 All other items 153643 49 21 Total disbursements BUSINESS IX GEORGIA FOR 1893 7225067 00 Risks 2855900 00 Premiums 111683 10 Losses 11500 00 Taxes paid on premiums 1116 83 THE MUTUAL LIFE INSURANCE CO OF NEW YORK N Y IIINVESTED ASSETS 1 Value of real estate in cash exclusive of all incumbrances 15638884 26 2 Loans on bonds and mortgages first lien on real estate 69348092 54 3 Loans secured by pledge of bonds stocks or other marketable collaterals 10394597 50 4 Bank value of bonds and stocks 60905349 64 5 Cash in companys office and in banks 7806672 55 6 Agents ledger balances 148195 79 7 Suspense account 3772 28 8 Commuted commissions 957389 44 14 15 18 19 20 21 24 Total net or invested assets165202954 00 OTHER ASSETS Interest due and accrued on bonds and mortgages Market value of bonds and stocks over bank value Rents due and accrued on com panys property or lease Gross premiums due and unreported on policies in force December 31 1892 1786651 97 Gross deferred premiums on policies in force December 31 1892 2121028 31 980204 12 4915085 25 78232 96 Net amount of uncollected and deferred premiums Total assets 3907680 28 175084156 61 IIILIABILITIES Net present value of all the outstanding policies in force on the 31st day of Decem ber 1892 computed according to the actu aries table of mortality with four per cent interest 158137191 00 5 7 8 15 16 17 Net premium reserve Death losses and matured endowments in process of adjustment or adjusted and not due Death losses and other policy claims resisted by the company 158137191 00 391812 78 156018 15 Total policy claims Premiums paid in advance by policyholders Amount of any other liability of the company Liabilities on policyholders account Gross surplus on policyholders account 547830 93 37680 74 149344 00 158872046 67 14321216 37I 318 COMPTROLLERGENERALS REPORT IVINCOME DURING YEAK 1892 1 New premiurnsincluding notes without deductions for com missions or other expenses 8788262 67 2 Renewal premiums including notes without deductions for commissions or other expenses 22402238 65 3 For annuities 857264 02 5 Total premium income 32047765 34 6 Interest upon mortgage loans 3555556 09 7 Interest on bonds owned and dividends on stock 2823001 86 9 Interest on other debts due the company 750370 79 10 All other items viz rents and contingent guarantee account 1062171 16 Total income 40238865 24 VDISBURSEMENTS DURING YEAR 1892 1 Losses and additions 10696535 88 2 Matured endowments and ad ditions 1382079 71 5 Total amount actually paid for losses and matured endowments 6 Annuitants 7 Surrendered policies 8 Dividends paid to policyholders 12 Commissions to agents 13 Salaries and traveling expenses to special and local agents Medical examiners fees Salaries and other compensation of officers and other office employees Taxes All other items 14 15 16 19 12078615 59 272110 90 4351376 60 2684429 37 4083533 71 612733 19 321217 67 449677 40 410322 37 1542126 74 21 Total disbursements 26806143 54 BUSINESS IN GEORGIA FOR 1893 Pisks 14270384 00 530942 38 176054 09 5309 42 Premiums Losses Taxes paid on premiums THE MUTUAL LIFE INSURANCE CO OF LOUISVILLE KY 1 Amount of capital stock 100000 00 2 Amount of capital stock paid up in cash 100000 00 IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 2 Loans on bonds and mortgages first lien on real estate 3 Loans secured by pledge of bonds stocks or other marketable collaterals 4 Loans made in cash to policyholders on this companys policies assigned as collateral Premium notes loans or liens on policies in force Cost value of bonds and stocks owned absolutely i ash in the companys office 8 Cash deposited in banks 9 Loans secured by pledge of renewal commis sions 10 Agents ledger balances 11 All other items o 6 21767 67 1538300 86 40328 54 23945 23 61759 24 205415 00 17048 04 7011 30 9798 78 6886 92 2694 31 14 Total net or invested assets less depreciation 1934955 89 COMPTROLLERGENERALS REPORT 319 15 16 17 18 19 20 21 22 23 24 25 OTHER ASSETS Interest due 4060508 and accrued 2961414 on bonds and mortgages Interest due and accrued 128333 on bonds and stocks Interest due 295695 and accrued 41430 on collateral loans Interest due and accrued 446300 on premium notes loans or liens Interest due 33888 and accrued 40461 loans on renewals and loans on policies Gross premiums due and unreported on policies in force December 31 1892 22704 28 Gross deferred premiums on policies in force December 31 1892 18852 56 70219 22 1283 33 3371 25 4463 00 743 49 Total 41556 84 Deduct twenty per cent for average loading on above gross amount 8311 37 Net amount of uncollected and deferred premiums All other items 33245 47 29045 00 Total assets 2077326 65 ITEMS NOT ADMITTED Agents balances Supplies printed matter and stationery 6886 92 2694 31 Total Total assets less items not admitted LIABILITIES 15 16 17 Net premium reserve Amount of any other liability of the company Liabilities on policyholders account Gross surplus on policyholders account 9581 23 2067745 42 2007260 00 13498 00 2020758 00 56568 65 IVINCOME DURING YEAR 1892 New premiums including notes without deductions for commis sions or other expenses Renewal premiums including notes without deductions for commissions or other expenses Total Deduct amount of premiums paid to other companies for reinsur ance on policies in this company less dividends thereon 98492 45 344737 35 443229 80 837 88 5 Total premium income 442391 92 6 Interest upon mortgage loans 97334 06 7 Interest on bonds owned and dividends on stock 10245 14 8 Interest on premium notes loans or liens 4291 03 9 Interest on other debts due the companv 4856 99 10 All other items 516 15 Total income VDISBURSEMENTS DURING YEAR 1892 Losses and additions 196651 00 Matured endowments and addi tions 15668 36 559635 2 Total 212319 36320 COMPTROLLERGENERALS REPORT 5 Total amount actually paid for losses and matured endowments 212319 3i 6 Cash surrender value used on payment of premiums 30688 25 7 Surrendered policies 18369 16 8 Dividends paid to policyholders 49467 57 9 Premium notes loans or liens voided by lapse of policies 891 69 11 Stockholders for interest or dividends 6000 00 12 Commissions to agents 62071 65 13 Salaries and traveling expenses of managers of agencies and general special and localagts 131 60 14 Medical examiners fees 6234 50 15 Salaries and other compensation of officers and other office employees 16 Taxes 17 Advertising 19 All other items 17191 58 3687 63 1457 71 8591 82 21 Total disbursements 418 717 52 BUSINESS IN GEORGIA FOB 1893 Kisks 658000 00 Premiums 32770 69 Taxes paid on premiums 327 70 THE NEW YORK LIFE INSURANCE CO OF NEW YORK N Y IIINVESTED ASSETS 1 Book value of real estate in cash exclusive of all incumbrances 12531016 75 2 Loans on bonds and mortgages first lien on real estate 24236785 51 3 Loans secured by pledge of bonds stocks or other marketable collaterals 3916000 00 5 Premium notes loans or liens on policies in force 1096850 03 6 Book value of bonds and stocks owned abso iuteiy 81865282 51 7 Cash in companys office 363305 53 8 Cash deposited in banks 3837978 15 10 Agents ledger balances 285071 37 14 Total net or ledger assets128132 289 85 OTHER ASSETS on 15 Interest due and accrued bonds and mortgages 16 Interest due and accrued on bonds and stocks 17 Interest due and accrued on temporary loans and deposits 19 Rents due and accrued on companys property or lease 20 Gross premiums due and unreported on poli cies in force December 31 1892 2909741 21 21 Gross deferred premiums on policies in force December 31 1892 2121853 00 239545 92 650770 84 61066 42 20426 96 22 23 Total Deduct twenty per cent for average loading on above gross amount 4831594 21 966318 84 24 Net amount of uncollected and deferred premiums 3865 75 37 25 Market value of bonds and stocks over book value 4si4895 00 Total assets13778427036COMPTROLLERGENERALS REPORT 321 ITEMS NOT ADMITTED 5 6 7 8 10 15 16 17 4 9 10 Agents balances 285071 37 Total assets less items not admitted137499198 99 IIILIABILITIES Net present value of all the outstanding poli cies in force on the 31st day of December 1892 computed according to the actuaries comb exp table of mortality with four per cent interest118103475 00 Deduct net value of risks of this com pany reinsured in other solvent com panies 245382 00 Net premium reserve Additional reserve on annuities and accumulation policies in excess of above standard Matured endowments due and unpaid 67244 28 Death losses and matured endowments in process of adjustment or adjusted and not due 1265984 81 Death losses on other policy claims resisted by the company 5000 00 Annuity claims unpaid 58036 99 117858093 00 1217795 00 Total policy claims Premiums paid in advance Unpaid dividends due stockholders Trust deposit held for account of beneficiaries Liabilities on policyholders account Surplus on policyholders account 1396266 09 75693 42 101363 18 45040 20 120694250 80 13804948 1 IVINCOME DUKING YEAR 1892 New premiums 4623865 00 Kenewal premiums 19584062 24 For annuities 881581 52 Total 25089508 76 Deduct amount of premiums paid to other companies for reinsurance on policies in this company less dividends thereon 49394 83 Total premium income 25040113 93 Interest upon mortgage loans 1035096 94 Interest on bonds owned and dividends on stock 3866504 75 Interest on premium notes loans or liens 33621 81 Interest on collateral loans and other debts due the company 341890 37 All other items viz rents and discount on endowments 619363 03 Total income VDISBURSEMENTS DURING YEAR 1892 Losses and additions 7983095 87 Matured endowments and ad ditions 1114301 99 30936590 83 Total 9097397 86322 COMPTROLLERrGENERALS REPORT Deduct amount received from other companies for losses or claims on policies of this company reinsured of which is for matured endowments 86506 58 5 Net amount actually paid for losses and matured endowments 6 Annuitants 7 Surrendered policies 8 Dividends paid to policyholders 9 Reserve values paid on maturing tontines 10 instalment paid on trust deposit 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agents 14 Medical examiners fees 15 Salaries and other compensation of officers and other office employees 16 Taxes 17 Paid superintendent ins dept expenses of investigation 19 All other items 9010891 28 1370130 30 1400539 34 1408219 58 802231 83 3000 00 4058316 60 120000 00 323315 34 579127 26 304515 52 33502 19 2240501 52 21 Total disbursements 21654290 76 BUSINESS IN GEORGIA FOR 1893 Bisks 13429000 00 Premiums 431250 76 Losses 136339 83 Taxes paid on premiums 4 312 50 THE NORTHWESTERN MUTUAL LIFE INSURANCE CO OF MILWAUKEE WIS IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 995486 29 2 Loans on bonds and mortgages first lien on real estate45076571 33 5 Premium notes loans or liens on policies in force 487812 62 6 Par value of bonds owned absolutely 4331465 00 7 Cash in companys office 615411 55 8 Cash deposited in banks 2539J960 94 10 Agents ledger balances 11064 42 14 Total net or invested assets less depreciation54057772 15 OTHER ASSETS 15 Interest due 5863741 and accrued 70598567 on bonds and mortgages 764623 10 18 Interest due 29800 and accrued 1951250 on premium notes loans or liens 19 Rents due and accrued on companys property or lease 20 Gross premiums due and unreported on poli cies in force December 31 1892 369944 00 21 Gross deferred premiums on policies in force December 31 1892 989311 00 19810 50 8144 32 22 23 Total 1359255 09 Deduct twenty per cent for average load ing on above gross amount 271851 00 24 Net amount uncollected and deferred premiums 1087404 00COMPTROLLERGENERALS REPORT 25 All other items Total assets Agents balances Total 323 298335 05 56236089 12 ITEMS NOT ADMITTED 11064 42 Total assets less items not admitted IIILIABILITIES Net value of the outstanding policies in force on the 31st day of December 1892 computed T according to the actuaries table of mortal ity with four per cent interest46377724 00 11064 42 56225024 70 1J Reserve for paid up insurance claimable for annuities Net premium reserve 4 Death losses and matured endowments in pro cess of adjustment or adjusted and not due 225967 00 5 Death losses and other policy claims resisted by the company 2500 00 64708 58 46374724 00 Total policy claims 9 Unpaid dividends or surplus or other description of profits due policyholders 15 Amount of any other liability of the company 16 Liability on policyholders account 17 Gross surplus on policyholders account 228467 00 76805 00 24000 00 46768704 58 9467384 54 IVINCOME DUKING YEAR 1892 1 New premiums without deduction for commission or other ex penses 2492434 43 2 Renewal premiums including notes without deductions for commissions or other expenses 9299690 11 3 For annuities 11891 20 Total 11804015 76 5 Total premium income11804015 76 6 Interest upon mortgage loans 2367108 26 7 Interest on bonds and dividends on stock 134789 24 8 Interest on premium notes loans or liens 43371 17 10 All other items 208269 79 Total income14557554 22 VDISBURSEMENTS DURING YEAR 1892 1 Losses and additions 2848380 29 2 Matured endowments and addi tions 472777 33 12 13 14 3 Total 3321157 62 5 Total amount actually paid for losses and endowments 6 Annuitants 7 Surrendered policies 8 Dividends paid to policyholders 9 Premium notes loans or liens voided by lapse of policies Commissions to agents Salaries and traveling expenses of managers of agencies and general special and local agents Medical examiners fees 3321157 62 216 40 388782 99 1139886 48 4622 97 1654540 39 32010 55 126701 99324 COMPTROLLERGENERALS REPORT 15 Salaries and other compensation of officers and other liffice employees 186464 58 16 Taxes 152385 90 17 Commuting commissions 17930 21 19 All other items 385985 86 Profit and loss 4638 17 21 Total dishursements 7415324 11 BUSINESS IN GEORGIA FOB 1892 Risks 7137510 00 Premiums 213031 57 Losses 56500 00 Taxes paid on premiums 2130 31 THE PENNSYLVANIA MUTUAL LIFE INSURANCE CO OF PHILA DELPHIA PA IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumhrances 1062607 73 2 Loans on bonds and mortgages first lien on real estate 9154877 05 3 Loans secured by pledge of bonds stocks or other marketable collaterals 1581950 00 4 Loans made in cash to policyholders on this companys policies assigned as collateral 834897 00 5 Premium notes loans or liens on policies in force 624238 27 6 Cost value of bonds and stocks owned abso lutely 6275487 13 7 Cash in companys office 2200 62 8 Cash deposited in banks 140000 00 9 Bills receivable secured by reserve on policies 56339 20 10 Agentsledger balances secured by bonds 12261 65 11 All other items 70683 90 14 Total net or invested assets less depreciation19815542 55 OTHER ASSBTS 15 Interest due 964507 and accrued 15197986 on bonds and mortgages 17 Interest due 813000 and accrued 887508 on collateral loans 18 Interest accrued on bank deposits 19 Rents due 385623 and accrued 2050 on companys property or lease 20 Gross premiums due and unreported on policies in force December 31 1892 327829 06 21 Gross deferred premiums on policies in force December 311892 390337 99 161624 93 17005 08 3011 49 3876 73 22 Total 23 Deduct twenty per cent for average load ing on above gross amount 728167 05 145633 41 24 Net amount of uncollected and deferred premiums 582533 64 25 All other items 225097 87 Total assets 20808692 29 III LIABILITIES Net premium reserve 17939248 00 4 Death losses and matured endowments in pro cess of adjustment or adjusted and not due 118949 00 Total policy cla ms 118949 00 COMPTROLLERGENERALS REPORT 325 9 Unpaid dividends or surplus or other description of profits due policyholders on unreported premiums 15 Amount of any other liability of the company viz pre miums paid in advance Scrip outstanding 16 Liabilities on policyholders account 17 Gross surplus on policyholders account 61962 34 76051 14 8630 00 18204840 48 2623648 81 IVINCOME DURING YEAR 1892 1 New premiums including notes without deductions for commis sions or other expenses 2 Renewal premiums including notes without deductions for commissions or other expenses 3 For annuities Total 4 Deduct amount of premiums paid to other companies for reinsur ance on policies in this com pany less dividends thereon 1216911 85 3510250 62 33290 67 4760453 14 3280 73 5 Total premium income 4754172 41 6 Interest upon mortgage loans 456983 26 7 Interest on bonds owned and dividends on stock 312564 98 8 Interest on premium notes loans or liens 43712 52 9 Interest on collateral loans 130278 14 10 All other items 46046 24 Total income 5746757 55 VDISBURSEMENTS DURING YEAR 1892 1 Losses and additions 1166863 00 2 Matured endowments and addi tions 187013 00 Total 1353876 00 Deduct amount received from other companies for losses or claims on policies of this company reinsured of which is for matured endow ments 10000 00 5 Total amount actually paid for losses and matured endowments 6 Annuitants 7 Surrendered policies 8 Dividens paid to policyholders 9 Premium notes loans or liens voided by lapse of policies 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agents 14 Medical examiners fees 15 Salaries and other compensation of officers and other office employees 16 Taxes 17 Commuting commissions 19 All other items 1343876 00 4975 48 297397 48 732187 72 38930 34 567197 13 129647 66 56374 97 98856 32 137996 00 8083 99 162569 72 21 Total disbursements 3578092 81326 COMPTROLLERGENERALS REPORT BUSINESS IN GEORGIA FOB 1893 Risks 2785500 00 Premiums 99159 68 Losses 50015 00 Taxes paid on premiums 991 59 THE PHCENIX MUTUAL LIFE INSURANCE CO OF HARTFOKD CONNECTICUT IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 1036993 16 2 Loans on bonds and mortgages first lien on real estate 5428079 79 3 Loans secured by pledge of bonds stocks or other marketable collaterals 13050 00 4 Loans made in cash to policyholders on this companys policies assigned as collateral 62753 60 5 Premium notes loans or liens on policies in force 692569 63 6 Cost value of bonds and stocks owned abso lutely 2186831 07 7 Cash in companys office 171 71 8 Cash deposited in banks 306363 73 14 Total net or invested assets less depreciation 9726812 69 OTHER ASSETS 15 Interest due 2891257 and accrued 9648057 on bonds and mortgages 125393 08 18 Interest due and accrued 1311953 on pre mium notes loans or liens 13119 53 20 Gross premiums due and unreported on poli cies in force December 31 1892 76438 43 21 Gross deferred premiums on policies in force December 311892 69367 45 22 Total 145805 88 23 Deduct twenty per cent for average loading on above gross amount 29161 18 24 Net amount of uncollected and deferred premiums 116644 70 25 All other items market value of bonds and stocks over cost 65278 93 Total assets10047248 93 IIILIABILITIES 1 Net present value of all the outstanding policies in force on the 31st day of December 1892 computed according to the table of mortality with four per cent interest 8869968 00 Deduct net value of risks of this com pany reinsured in other solvent com panies 14549 00 8855419 00 Net premium reserve 4 Death losses and matured endowments in pro cess of adjustment or adjusted and not due 92190 00 7 Total policy claims 92190 00 8 Special policy reserve 318349 00 15 Amount of any other liability of the company 137626 29 16 Liabilities on policyholders account 9403584 29 17 Gross surplus on policyholders account 643664 64 COMPTROLLERGENERALS REPORT 327 IVINCOME DURING YEAR 1892 3 New premiums including notes without deduction for commis sions or other expenses Renewal premiums including notes without deductions for commissions or other expenses For annuities 219987 77 699245 84 6501 69 Total 925735 30 Deduct amount of premiums paid to other companies for reinsur ance on policies in this company less dividends thereon 5710 67 5 Total premium income 920024 63 6 Interest upon mortgage loans 372186 64 7 Interest on bonds owned and dividends on stocks 112309 25 8 Interest on premium notes loans or liens 42545 50 9 Interest on other debts due the company 55636 62 10 All other items 14866 92 Total income VDISBURSEMENTS DURING YEAR 1892 710662 92 195080 00 1517569 56 1 Losses and additions 2 Matured endowments and addi tions I 3 Total 905742 92 5 Total amount actually paid for losses and matured endowments 6 Annuitants 7 Surrendered policies 8 Dividends paid to policyholders 9 Premium notes loans or liens voided by lapse of policies 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agents 14 Medical examiners fees 15 Salaries and other compensation of officers and other office employees 16 Taxes 17 Commuting commissions 18 Advance to officers and agents to be repaid out of future salaries or commissions 19 All other items 905742 92 632 53 44614 15 127566 23 1031 80 163690 80 57823 00 16756 22 54613 15 48232 95 16003 59 19496 59 39462 13 21 Total disbursements 1495666 03 BUSINESS IN GEORGIA FOR 1893 Risks 513196 00 Premiums 12575 99 Losses 5209 00 Taxes paid on premiums 125 75328 COMPTROLLERGENERALS REPORT THE PROVIDENT SAVINGS LIFE INSURANCE COMPANY OF NEW YORK N Y i Amount of capital stock 100000 00 i Amount o capital stock paid up in cash 100000 00 IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 234 056 93 2 Loans on bonds and mortgages first lien on real estate 80400 00 S Loans secured by pledge of bonds stocks or other marketable collaterals 117 500 00 4 Loans made in cash to policyholders on this companys policies assigned as collateral 1904 55 b Cost value of bonds and stocks owned absolutely 583097 63 7 Cash in companys office 2 439 83 8 Cash deposited in banks 9 Bills receivable 10 Agents ledger balances 71994 51 82 40 61049 84 l r a Toial ne or imested assets 1153325 69 id Deduct depreciation from cost of assets to bring same to market value 22101 25 14 Total net or invested assets less depreciation 1131224 44 OTHER ASSETS 15 Interest due and accrued on bonds and mortgages 16 Interest due and accrued on bonds and stocks Interest due and accrued on collateral loans U Kents due and accrued on companys property or IG3SG 20 Gross premiums due anduureportedonpoiicies in force December 31 1892 88 718 69 21 Gross deferred premiums on policies in force December 31 1892 14393s 05 22 Total 23 Deduct from above gross amount 24 Net amount of uncollected and deferred premiums 116 328 37 ZO All ntnor iromo rtci m rte 20 131 2o 679 55 7237 51 255 61 6153 50 232656 74 116328 37 25 All other items Total assets 4 ogy qq 9q ITEMS NOT ADMITTED 5 Agents balances 61 649 84 Jbills receivable 82 40 Total 61732 24 Total assets less items not admitted 1225277 W IIILIABILITIES 1 Net present value of all the outstanding policies in force on the 31st day of Dec 1892 com puted according to the actuaries comb table of morality with four per cent interest 494715 00 Net premium reserve 494 715 on 4 Death losses and matured endowments in pro r r Ceil81of adJU8tment or adjusted and not due S6000 00 o Death losses and other policy claims resisted by the company 24 500 00 Total policy claims 14q 500 00 COMPTROLLERGENERALS REPORT 329 16r Liabilities on policyholders account 17 Gross surplus on policyholders account 605215 00 681795 23 IVINCOME DURING YEAK 1892 1 New premiums including notes without deduction for commis sions or other expenses 314559 86 2 Renewal premiums including notes without deductions for commissions or other expenses 1176988 32 Premiums paid for dividends 344751 29 3 For annuities 15000 00 Total 1851299 47 Deduct amount of premiums paid to other companies for reinsur ance on policies in this com pany less dividends thereon 11381 21 5 Total premium income 1839918 26 6 Interest upon mortgage loans 4434 71 7 Interest on bonds owned and dividends on stock 24914 75 8 Interest on collateral loans 325 20 9 Interest on other debts due the company 4097 83 10 All other items viz rents 9150 43 Total income VDISBURSEMENTS DURING YEAR 1892 1 Losses and additions 834902 97 1882841 18 3 Total 834902 97 4 Deduct amount received from other companies for losses or claims on policies of this com pany reinsured of which is for matured endowments 8000 00 5 Total amount actually paid for losses and matured endowments 826902 97 6 Annuitants 840 70 7 Surrendered policies 849 84 8 Dividends paid to policyholders 344904 85 11 Stockholders for interest or dividends 6977 60 12 Commissions to agents 248711 58 13 Salaries and traveling expenses of managers of agencies and general special and local agts 26095 70 14 Medical examiners fees 27465 50 15 Salaries and other compensation of officers and other office employees 52646 84 16 Taxes 23297 67 19 All other items 67565 24 21 Total disbursements BUSINESS IN GEORGIA FOR 1893 1626258 49 Risks 2712500 00 Premiums 55009 72 Losses 20000 00 Taxes paid on premiums 550 09 330 COMPTROLLERGENERALS REPORT THE TRAVELERS LIFE INSURANCE CO OF HARTFORD CONN 1 Amount of capital stock 1000000 00 2 Amount of capital stock paid up in cash 1000000 00 IIINVESTED ASSETS 1 Cost of real estate in cash exclusive of all ia cumbrances 1897901 46 2 Loans on bonds and mortgages first lien on real estate 3321181 81 3 Loans secured by pledge of bonds stocks or other marketable collaterals 729470 00 4 Loans made in cash to policyholders on this companys policies assigned as collateral 411803 00 6 Cost value of bonds and stocks owned abso lutely 7949410 29 7 Cash in companys office 4005 04 8 Cash deposited in banks 904573 28 9 Bills receivable 11492 90 10 Agents ledger balances 2J435 65 11 Suspense account 684677 08 14 Total net or invested assets less depreciation15259306 79 OTHER ASSETS 15 Interest due and accrued on bonds and mort gages 20 Gross premiums due and unre ported on poli cies in force December 31 1892 237611 27 21 Gross deferred premiums on policies in force December 31 1892 279032 53 55704 89 22 Total 516643 80 23 Deduct twenty per cent for average loading on above gross amount 103 328 76 24 Net amount of uncollected and deferred premiums 413315 04 Total assets15728526 72 ITEMS NOT ADMITTED 5 Agents balances o 435 55 6 Suspense account 684677 08 7 Bills receivable 11492 90 Total 698605 63 Total assets less items not admitted15029921 09 IIILIABILITIES 1 Net present value of all the outstanding poli cies in force on the 31st day of December 1892 computed according to thetable of mortality with four per cent interest 959748 32 Net premium reserve 959 743 32 4 Death losses and matured endowments in pro cess of adjustment or adjusted and not due 232506 53 5 Death losses and other policy claims resisted by the company 108450 00 7 Total policy claims 340 95g 53 12 Salaries rents and office expenses 10000 00 16 Liabilities on policyholders account 1 310 704 85 17 Gross surplus on policyholders account 13 Jio216 24COMPTROLLERGENERALS REPORT 331 IVINCOME DURING YEAR 1892 1 New premiums including notes without deduction for commis sions or other expenses 465373 Renewal premiums including notes without deductions for commissions or other expenses 1505667 For annuities 2265624 24 71 44 4 Total 4236665 39 Deduct amount of premiums paid to other companies for reinsur ance on policies in this company less dividends thereon 71281 33 5 Total premium income 4165384 06 6 Interest upon mortgage loans 202839 45 7 Interest on bonds owned and dividends on stock 352254 83 9 Interest on other debts due the company 99878 14 10 All other items viz rents 120423 42 Total income 4940779 90 VDISBURSEMENTS DURING YEAR 1892 1 Losses and additions 1522579 31 2 Matured endowments and addi tions 136597 00 3 Total 1659176 31 4 Deduct amount received from other companies for losses or claims on policies of this com pany reinsured of which is for matured endowments 2500 00 5 Total amount actually paid for losses and matured endowments 6 Annuitants 7 Surrendered policies 11 Stockholders for interest or dividends 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agents 14 Medical examiners fees 15 Salaries and other compensation of officers and other office employees 16 Taxes 17 Cash paid for rent 18 Furniture and fixtures and safe 19 All other items 1656676 31 3783 78 138357 06 113000 00 850990 23 135262 78 28403 06 166333 46 58451 26 34203 27 8817 52 261417 20 3455695 93 21 Total disbursements BUSINESS IN GEORGIA FOR 1893 Risks 1776100 00 Premiums 49689 28 Losses 14000 00 Taxes paid on premiums 496 89332 COMPTROLLERGENERALS REPORT THE UNITED STATES LIFE INSURANCE CO OF NEW YORK N Y 1 Amount of capital stock 440000 00 2 Amount of capital stock paid up in cash 440000 00 IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 67822 49 2 Loans on bonds and mortgages first lien on real estate 4475162 81 3 Loans secured by pledge of bonds stocks or other marketable collaterals 65423 38 4 Loans made in cash to policyholders on this companys policies assigned as collateral 209703 S8 6 Cost value of bonds and stocks owned abso lutely 1532223 06 7 Cash in companys office 777 75 8 Cash deposited in banks 110693 H4 9 Bills receivable 12118 75 10 Agents ledger balances 15546 87 14 Total net or invested assets less depreciation 6489472 93 OTHER ASSETS 15 Interest due and accrued 4428814 on bonds and mortgages 16 Interest due and accrued 21544is on bonds and stocks 17 Interest due and accrued 26170 on collateral loans 18 Interest due and accrued 1040248 on pre mium notes loans or liens 20 Gross premiums due and unreported on policies in force December 31 1892 180065 38 21 Gross deferred premiums on policies in force December 31 1892 128288 27 44288 14 21544 18 261 70 10402 48 22 Total 308353 65 23 Deduct twenty per cent for average load ing on above gross amount 61670 73 24 Net amount of uncollected and deferred premiums 246682 42 25 All other items 76558 77 Total assets 6889212 12 IIILIABILITIES 1 Net present value of all the outstanding policies in force on the 31st day of December 1892 computed according to the actuaries comb table of mortality with four per cent interest 6203120 00 Deduct net value of risks of this company reinsured in other solvent companies 47070 00 Net premium reserve Death losses and matured endowments in pro cess of adjustment or adjusted and not due Death losses and other policy claims resisted by the company 6156050 00 96380 00 12750 00 7 Total policy claims 109 130 00 15 Amount of any other liability of the company 12626 19 16 Liabilities on policyholders account 6277806 19 17 Gross surplus on policyholders account 61l405 93 COMPTROLLERGENERALS REPORT 333 IVINCOME DURING YEAH 1892 1 New premiums including notes without deductions for commis sions or other expenses 301798 14 2 Renewal premiums including notes without deductions for commissions or other expenses 881233 78 Total 1186031 92 4 Deduct premiums paid other companies 7170 95 5 Total premium income 1178860 97 6 Interest upon mortgage loans 201832 42 7 Interest on bonds owned and dividends on stock 91337 64 8 Interest on premium notes loans or liens 12475 17 9 Interest on other debts due the company 7372 69 10 All other items 3750 36 Total income 1495629 25 VDISBURSEMENTS DURING YEAR 1892 1 Losses and additions 2 Matured endowments and addi tions 3 Total 4 Deduct amount received from other companies for losses or claims on policies of this com pany reinsured of which is for matured endowments 668076 22 52260 17 720336 39 3190 00 5 6 11 Total amount actually paid for losses and matured endowments Annuitants Surrendered policies Dividends paid to policyholders Stockholders for interest and dividends 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agents 14 Medical examiners fees 15 Salaries and other compensation of officers and other office employees 16 Taxes 19 All other items viz rent Furniture fixtures etc 717146 39 2536 03 110794 78 9002 88 30800 00 213114 89 74314 30 25471 60 53588 55 20845 37 23909 44 59786 76 21 Total disbursements 1341310 99 BUSINESS IN GEORGIA FOR 1893 Rigks 1031745 00 Premiums 39 It Losses 1500 Taxes paid on premiums 300 25 334 COMPTROLLERGENERALS REPORT THE UNION CENTRAL LIFE INSURANCE CO OF CINCINNATI OHIO 1 Amount of capital stock 100000 00 IIINFESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 260300 00 2 Loans on bonds and mortgages first lien on real estate 7043327 93 4 Loans made in cash to policyholders on this companys policies assigned as collateral 646404 82 5 Premium notes loans or liens on policies in force 666435 30 6 Cost value of bonds and stocks owned abso lutely 21825 00 7 Cash in companys office 31284 30 8 Cash deposited in banks 128427 74 9 Bills receivable 21662 94 10 Agents ledger balances 124004 04 11 All other items 20oOO 00 12 13 Deduct depreciation from cost of assets to bring same to market value Total net or invested assets 8963672 92 1210 00 14 Total net or invested assets less depreciation 8962462 92 OTHER ASSETS 15 Interest due and accrued on bonds and mortgages 212794 72 16 Interest due and accrued on bonds and stocks 3g4 50 17 Interest due and accrued on collateral loans 22 812 91 18 Interest due and accrued on premium notes loans or liens 19 Market value of real estate over cost 20 Gross premiums due and unreported on poli cies in force December 31 1892 258930 77 21 Gross deferred premiums on policies in force December 31 1892 91226 66 22 Total 350157 43 2S Deduct twenty per cent for average loading on above gross amount 70031 48 17998 91 14939 15 24 Net amount of uncollected and deferred premiums 280125 95 Total assets 9511499 06 ITEMS NOT ADMITTED 3 Furniture fixtures and safes 18000 00 5 Agents balances 124004 04 7 Bills receivable 21 662 94 8 Supplies printed matter and stationery 2000 00 Total 165666 98 Total assets less items not admitted 9345832 08 IIILIABILITIES 1 Net present value of all the outstanding poli cies in force on the 31st day of December 1892 computed according to the comb exp table of mortality with four per cent interest 8453087 00 Net premium reserve 453 987 qo 3 Matured endowments due and unpaid 500 00 4 Death losses and matured endowments in pro cess of adjustment or adjusted and not due 44384 00 COMPTROLLERGENERALS REPORT 335 5 Death losses and other policy claims resisted by the company 23500 00 7 Total policy claims 9 Unpaid dividends or surplus or other description of profits due policyholders 15 Amount of any other liability of the company 16 Liabilities on policyholders account 17 Gross surplus on policyholders account 68384 00 3398 84 95694 69 8621464 53 724367 55 3 IVINCOME DURING YEAR 1892 New premiums including notes without deductions for commis sions or other expenses 1551043 97 Renewal premiums including notes without deductions for commissions or other expenses 893385 17 Premiums paid by dividends 126094 47 Total 2570523 61 5 Total premium income 2570523 61 6 Interest upon mortgage loans 405150 39 7 Interest on bonds owned and dividends on stock 999 24 8 Interest on premium notes loans or liens 37117 86 9 Interest on other debts due the company 42007 17 10 All other items 22233 37 Total income 3078031 64 VDISBURSEMENTS DURING YEAR 1892 1 3 Losses and additions Premium notes used in payment Matured indowments and addi tions Premium notes used in payment Total 371791 64 4368 80 34458 41 1026 52 411645 37 5 Total amount actually paid for losses and matured endowments 6 Annuitants 7 Surrendered policies 8 Dividends paid to policyholders 9 Premium notes loans or liens voided by lapse of policies 10 Cash surrender values Premium notes used in payment of dividends 11 Stockholders for interest or dividends 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agts 14 Medical examiners fees 15 Salaries and other compensation of officers and other office employees 16 Taxes 19 All other items 411645 37 969 08 112587 33 51635 43 144414 35 83577 49 5527 29 10000 00 409935 45 97281 75 39333 50 61277 32 41401 32 112630 46 1582246 14 21 Total disbursements BUSINESS IN GEORGIA FOR 1893 Risks 1305526 00 Premiums 46922 96 Losses 10500 00 Taxes paid on premiums 469 23336 COMPTROLLERGENERALS REPORT THE WASHINGTON LIFE INSURANCE CO OF NEW YORK N Y 1 Amount of capital stock 125000 00 2 Amount of capital stock paid up in cash 125000 00 IIINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 418032 0 2 Loans on bonds and mortgages first lien on real estate 10 174128 17 3 Loans secured by pledge of bonds stocks or other marketable collaterals 103500 00 4 Loans made in cash to policyholders on this companys policies assigned as collateral 333828 3 5 Cost value of bonds and stocks owned abso lutey 341711 13 7 Gash in companys office 3018 66 8 Cash deposited in banks 120374 21 10 Agents ledger balances 48645 82 14 Total net or invested assets less depreciation11570400 47 OTHER A88ETS 15 Interest due 2847169 and acrued 9956971 on bonds and mortgages 128041 40 lb Interest due and accrued on bonds and slocks 17 Interest due and accrued if loans on collateral 1687 30 8362 41 20 Gross premiums due and unreported on poli cies in force December 31 1892 103351 22 21 Gross deferred premiums on policies in force December 31 1892 232964 88 22 Total 336316 10 23 Deduct twenty per cent for average load ing on above gross amount 67263 22 24 Net amount of uncollected and deferred premiums 269 052 88 25 All other items 83901 37 Total assets 12061455 03 III LIABILITIES 1 Net present value of all the outstanding poli cies in force on the 31st day of December 1892 computed according to the actuaries table of mortality with four per cent inter est11578894 00 et premium reserve 11578 894 00 2 I loath losses due and unpaid 2000 i io 3 Matured endowments due and unpaid 7834 30 4 Death losses adjusted and not due 8700 86 18535 16 774 96 6132 84 Total policy claims 12 Salaries rents and office expenses 15 Amount of any other liability of the company 16 Liabilities on policyholdersaccount1161131 96 17 Gross surplus on policyholders account 45ol43 07 IVINCOME DURING THE YEAR 1892 1 New premiums including notes without any deduction for com missions or other expenses 571863 14 2 Renewal premiums including notes without deductions for commissions or other expenses 1647484 10 For annuities 7888 08 COMPTROLLERGENERALS REPORT 337 Total 2226730 32 5 Total premium income 2226730 32 6 Interest upon mortgage loans 469352 37 7 Interest on bonds owned and dividends on stock 18639 93 8 Discounts on claims paid in advance 2736 83 9 Interest on other debts due the company 22223 09 10 All other items 10950 94 Total income 2750633 48 VDISBURSEMENTS DURING YEAR 1892 882236 62 139731 17 1 Losses and additions 2 Matured endowments and addi tions 3 5 6 7 8 9 11 12 13 14 15 16 17 19 21 Total 1021967 79 Total amount actually paid for losses and matured endowments Annuities Surrendered policies Dividends paid to policyholders Premium notes loans or liens voided by lapse of policies Stockholders for interest or dividends Commissions to agents Salaries and traveling expenses of managers of agencies and general special and local agents Medical examiners fees Salaries and other compensation of officers and other office employees Taxes Commuting commissions All other items 1021967 79 9993 94 376755 26 129959 00 3366 17 8750 00 229416 08 88303 19 28077 36 88505 60 25439 45 42876 74 91198 23 Total disbursements BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 2144608 81 1215539 00 47991 61 9579 36 479 92 THE AMERICAN ACCIDENT ASSESSMENT INSURANCE CO OF LOUISVILLE KY a Amount of net or ledger assets December 31st of previous year 106877 73 IIINCOME DURING YEAR 1892 Total paid by members Total 88846 32 12000 00 Total income 100846 32 IIIDISBURSEMENTS DURING YEAR 1892 I Losses and claims 24694 91 Total paid to members 3 Commissions and fees retained by or paid to agents o Salaries and traveling expenses of managers of agencies and general special and local agts 6 Medical examiners fees whether paid direct by members or otherwise 7 Salaries and other compensation of officers and other office employees 22 24694 91 31114 94 2600 84 868 00 14984 09338 COMPTROLLERGENERALS REPORT commuted 8 Rent taxes commission 10 Advertising blanks and printing 11 All other items 2312 00 5446 69 4914 26 Total disbursements IVINVESTED ASSETS 5 Cost value of bonds and stocks owned absolutely 6 Cash in office 7 Cash deposited in banks on reserve fund acct All other deposits 8 Agents ledger balances cash in hands of agts 9 All other ledger assets viz office furniture 86935 73 1022 50 408 97 100000 00 6493 58 j 11400 85 1462 42 Total net or ledger assets less depreciation 120788 32 VCONTINGENT ASSETS 16 Due from members for claims not yet assessed 24 All other assets 647 98 7647 98 Total assets 128436 30 VILIABILITIES 3 Losses reported for which assessments have not been made number of claims 51 2647 98 4 Losses resisted by the company number of claims 1 5000 00 Total liabilities 7647 98 VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT Policies or certificates in force December 31 1891 Policies or certificates written during the year 1892 Total Deduct number and amount which have ceased to be in force during 1892 Total policies or certificates in force December 31 1892 Losses and claims on policies or certificates paid during the year 1892 Total Business of 1892 Number Amount 6057 27961600 00 4930 22234000 00 10987 50195600 00 4438 20104000 00 6549 30091630 00 428 24694 91 BUSINESS IN GEORGIA FOR 1893 Risks Premiums received Losses paid Taxes paid on premiums 1685000 00 4548 82 900 99 45 48 THE ATLANTA ACCIDENT ASSESSMENT INSURANCE ASSOCI V TION OF ATLANTA GA IIINCOME DURING YEAR 1892 Gross amount paid by members to the association or its agents without deduction for commis sions or other expenses as follows 2 Annual dues Total paid by members 7 Cash received from all other sources viz Guaranteee fund paid by directors 112 00 112 00 2750 00 Total income 2862 00COMPTROLLERGENERALS REPORT 339 IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 255 02 3 Commissions and fees retained by or paid to agents 17 55 5 Salaries and traveling expenses of managers of agencies and general special and local agents 409 50 7 Salaries and other compensation of officers and other office employees 496 00 9 Advanced to officers and agents to be repaid out of future salaries or commissions 127 75 10 Advertising blanks and printing 145 42 11 All other items 1037 65 Total disbursements IVINVESTED ASSETS 6 Cash in office All other deposits 8 Agentsledger balances 9 All other ledger assets 52 72 320 39 127 75 932 95 Total net or ledger assets less depreciation VCONTINGENT ASSETS 20 Annual payments or premiums in process of collection not yet due 3353 21 21 22 23 Total due from members Deduct estimated cost of collection 3353 21 838 31 Net amount due from members Total assets VILIABILITIES 8 To officers or others for advances on account of expenses of organization Total 1433 81 2514 90 3948 71 2750 00 2750 00 VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT Policies or certificates written during the year 1892 Total policies or certificates in force December 31 1892 Losses and claims on policies or certificates paid during the year 1892 Total Business of 1892 Number Amount 172 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 246500 00 246500 00 255 02 564350 00 3826 29 758 77 38 27340 COMPTROLLER GENERALS REPORT THE BANKERS ASSESSMENT LIFE ASSOCIATION OF ST PAUL MINNESOTA a Amount of net or ledger assets December 31st of previous year 27203S 13 IIINCOME DURING YEAR 1892 1 Membership fees 121043 81 2 Annual dues 82405 04 3 Assessments 120280 57 5 Interest 11284 28 7 Cash received from all other sources 43580 25 Total income 378594 95 IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 149544 25 2 Guaranty deposits returned to beneficiaries 1092 00 Total paid to members 150636 25 3 Commissions and fees retained by or paid to agents 139073 97 4 Commissions allowed for collecting assessments 1102 88 5 Salaries and traveling expenses of managers of agencies and general special and local agents 7553 0l 6 Medical examiners fees whether paid direct by members or otherwise 17200 83 7 Salaries and other compensation of officers and other office employees 14 399 33 8 Rent taxes commuted com missions 10 Advertising blanks and printing 11 All other items 3566 37 7478 61 9433 57 Total disbursements 359 449 7 IVINVESTED ASSETS 5 Cost value of bonds and stocks owned abso lay 260952 47 6 Cash in office 579 57 7 Cash deposited in banks on reserve fund account 38660 17 1Q Total net or ledger assets 300183 21 11 Deduct depreciation from cost of assets to bring same to market value 19 997 47 Total net or ledger assets less depreciation 283255 74 VCONTINGENT ASSETS 16 Due from members for claims not yet assessed 61544 25 18 Mortuary assessments due to date 11771 18 20 Guaranty trust fund notes not yet due 245883 25 21 22 Total due from members 319 19s us Deduct estimated cost of collection 734 70 23 Net amount due from members 318 463 98 Total assets 601 719 72 VILIABILITIES 3 Losses reported for which assessments have not been made 2000 00 Total liabilities 2 qqq qq COMPTROLLERGENERALS REPORT 341 VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount Policies or certificates in force December 31 1891 Policies or certificates written during the year 1892 7577 6436 15154000 00 12872000 00 Total 14013 Deduct number and amount which have ceased to be in force during 1892 1 311 Total policies or certificates in force De cember 31 1892 12702 Losses and claims on policies or certificates incurred during the year 1892 Total Losses and claims on policies or certificates paid dur ing the year 1892 BUSINESS IN GEORGIA FOR 1893 Premiums received Taxes paid on premiums 10 75 28026000 00 2622000 00 25404000 00 150000 00 150000 00 150000 00 1149 09 11 49 THE CHICAGO GUARANTY FUND ASSESSMENT LIFE SOCIETY a Amount of net ledger assets December 31st of previous year 126707 37 IIINCOME DURING YEAR 1892 Gross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 1 Membership fees 9417 67 2 Annual dues 20053 49 3 Assessments and guaranty reserve 98070 34 Total paid by members 127535 50 5 Interest guaranty and reserve 5499 50 7 Cash received from all other sources 127 43 Total income IIIDISBURSEMENTS DURING YEAR 1892 91053 69 5 10 133162 43 1 Losses and claims 2 Annual payments and assessments returned to members Total paid to members 3 Commissions and fees retained by or paid to agents 4 Collections 5 Salaries of managers of agencies and general special and local agents 6 Medical examiners fees whether paid direct by members or otherwise 7 Salaries and other compensation of officers and other office employees 8 Rent taxes commuted com missions 10 Advertising blanks and printing 11 All other items Total disbursements IVINVESTED ASSETS 2 Bills receivable 5 Cost value of bonds and stocks owned abso lutely 91058 79 6840 52 519 73 949 14 287 00 9678 75 1817 69 1440 26 3740 00 116337 88 2235 34 120806 95 342 COMPTROLLERGENERALH REPORT 6 Cash in office 876 81 7 Cash deposited in banks on reserve fund account 17670 62 8 Agents ledger balances 1942 20 10 Total net or ledger assets 143531 92 Total net or ledger assets less depreciation 143531 92 VCONTINGENT ASSETS 16 Due from members for claims not yet assessed 20000 00 17 Mortuary assessments due and unpaid on mem berships in force 371 34 21 Total due from members 22 Deduct estimated cost of collection 20371 64 1629 73 23 Net amount due from members 18 741 91 24 All other assets koSO 00 Total assets 21 791 91 VILIABILITIES 2 Losses in process of adjustment or adjusted and not due number of claims 5 44 qqq qq 3 Losses reported for which assessments have not been made number of claims 1 2 000 00 4 Losses resisted by the company number of claims 2 eooo 00 9 Amount of all other liability 9206 46 Total liabilities 24206 46 VII EXHIBIT OF CERTIFICATES OE POLICIES NUMBER AND AMOUNT Total Business of 1892 Number Amount Policies or certificates in force December 31 1891 Policies or certificates written during the year 1892 Total Deduct dumber and amount which have ceased to be in force during 1892 Total policies or certificates in force Decem ber 31 1892 Losses and claims on policies or certificates unpaid December 311891 Losses and claims on policies or certificates incurred during the year 1892 6284 906 7190 610 6284000 0 906000 00 7191000 00 610000 00 6580 6580000 00 Total Losses and claims on policies or certificates paid dur ing the year 1892 BUSINESS IN GEORGIA FOR 1893 Risks Premiums received Losses paid Taxes paid on premiums 13 101 114 92 13000 00 101000 00 114000 00 92000 00 317000 00 6095 45 2000 00 60 95 COMPTROLLERGENERALS REPORT 343 THE CONNECTICUT INDEMNITY ASSESSMENT LIFE ASSOCIATION OF WATERBURY CONN a Amount of net or ledger assets Dec 31st of previous year 79620 42 IIINCOME DURING YEAR 1892 2 Annual dues 78057 25 4 For medical examiners fees none dividend deductions Total paid by members 5 Interest Rents Cash received from all other sources 3649 00 115174 95 3237 47 644 75 21296 39 Total income IIIDISBURSEMENTS DURING YEAR 1892 Losses and claims 55538 27 Annual payments and assessments returned to members 312 50 8 10 Total paid to members Commissions and fees retained by or paid to agents Salaries and traveling expenses of managers of agencies and general special and local agents Medical examiners fees whether paid direct by members or otherwise Salaries and other compensation of officers and other office employees Rent taxes commuted com missions Advertising blanks and printing 11 All other items Total disbursements 55850 77 22630 89 15194 56 3968 58 17912 53 3776 05 3066 83 15877 71 IV INVESTED ASSETS 2 Loans on bonds and mortgages first liens on real estate 51826 04 3 Loans secured by pledge of bonds stocks or other marketable collaterals 4076 08 5 Cost value of bonds and stocks owned absolutely 535100 6 Cash in office 3898 99 7 Cash deposited in banks on reserve fund acct 4558 28 8 Agents ledger balances 6530 86 9 All other ledger assets 3918 39 Total net or ledger assets less depreciation VCONTINGENT ASSETS 12 Interest due and accrued 13 Rents due and accrued 14 Market value of real estate over cost 15 Market value of bonds and stocks over cost 17 Mortuary assessments due and unpaid on mem berships in force 18 Mortuary assessments not yet due 6506 91 7808 21 21 Total due from members 22 Deduct estimated cost of collection 23 Net amount due from members 24 All other assets 14315 12 286 30 14028 82 140353 56 139814 34 80159 64 872 84 36 00 8673 60 429 00 Total assets 92079 60 196279 50344 COMPTROLLERGENERALS REPORT VILIABILITIES 1 Losses due and unpaid number of claims 1 2 TmbVoTSmf fl0 justed and not due 3 umEiCnf aSSeS8mentShaVe been made Total liabilities VIIEXHIBIT OF CERTIFICATES OR POLICIESXI 11000 00 9650 00 500 00 7619 34 1585 92 30355 26 NUMBER AND AMOUNT Total Business for 1892 Policies or certificates in force December 31 1891 syn Amount Policies or certificates written during the year 1892 Total Deduct number and amount which have ceased to be in force during 1892 Ter1lrtifiCate8infOTCe Losrctbtiri8p9fcies or certiflcates unPaid 1723 5593 5031475 00 2306725 00 7338200 00 L092 1464675 00 4501 5873525 00 15 44 Total Losses and claims on policies or certificates paid during the year 1892 BUSINESS IN GEORGIA FOR 1893 59 41 Risks Premiums received Losses paid Taxes paid on premiums 23500 00 60094 34 83594 34 54825 00 236200 00 2402 34 3000 00 24 02 VINCOME DURING YEAR 1892 1 Membership fees ft m 3 Assessments 19L602 00 1203843 71 Total paid by members 5 Interest F 1398505 71 17173 76 Total income HI DISBURSEMENTS DURING YEAR 1892 1 Losses and claims 2 AniemberJmentS and aS8ments returned to 8 COageIiitS88i0nS and f6eS retained hy or Paid to 5 Salaries and traveling expenses of managers of 6 MedTcieSaUd genea8pecial and locallgenta b Medical examiners fees whether paid by members or otherwise y rWnaffid other1cmpensation of officers and otner office employees sion q taxes commutedcommis Mions c 11 All other items 1415679 47 992283 36 54861 26 218742 23 16930 70 29521 00 43882 00 17719 43 30921 80 Total disbursements 1404861 78 COMPTROLLERGENERALS REPORT 345 IVINVESTED ASSETS 5 Cost value of bonds and stocks owned abso lutely 551019 43 All other deposits 101355 45 10 Total net or invested assets 052374 88 11 Deduct depreciation from cost of assets to bring same to market value 37544 62 Total net or ledger assets less depreciation VNONINVESTED ASSETS 12 Interest due and accrued on stocks and bonds owned 15 Market value of real estate over cost 24 All other assets 4796 15 2940 75 13332 33 614830 26 Total noninvested assets Cross assets VILIABILITIES 21069 23 635899 49 1 Losses in process of adjustment or adjusted and not due number of claims 207770 80 3 Losses reported for which assessments have not been made number of claims 105500 00 4 Losses resisted by the company number of claims 16000 00 19 Advance assessments 14068 88 Total liabilities 343339 68 VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount Policies or certificates in force December 31 1891 35042 Policies or certificates written during the year 1892 13876 Total 48918 Deduct number and amount which have ceased to be in force during 1892 6601 87206625 00 25688625 00 112895250 00 14262675 00 Total policies or certificates in force De cember 31 1892 42317 98632375 00 Losses and claims en policies or certificates unpaid December 31 1891 94 Losses and claims on policies or certificates incurred during the year 1892 433 Total 527 Losses and claims on policies or certificates paid du ring the year 1892 397 BUSINESS IN GEORGIA FOR YEAR 1893 Risks Premiums received Losses unpaid Taxes paid on premiums 224375 00 1122250 00 1346625 00 1017354 20 256000 00 3256 70 5000 00 32 57346 COMPTROLLERGENERALS REPORT THE FIDELITY MUTUAL ASSESSMENT LIFE INSURANCE ASSO CIATION OF PHILADELPHIA PA a Amount of net or ledger assets December 31st of previous year 482631 71 IIINCOME DURING YEAR 1892 Gross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 1 Membership fees 47769 75 2 Annual dues 239460 35 490015 93 3 Assessments 4 For medical examiners fees Total paid by members 5 Interest 6 Rents 7 Cash received from all other sources 2423 00 779669 03 22162 33 2877 65 99 00 Total income 804808 01 IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 359165 56 2 Annual payments and assessments returned to members 1 539 39 Total paid to members 370704 95 3 Commissions and fees retained by or paid to agents 104743 96 4 Commissions and fees retained by or paid to officers and directors 1209 00 5 Salaries and traveling expenses of managers of agencies and general special and local agents 286149 6 Medical examiners fees whether paid direct by members or otherwise 27116 80 7 Salaries and other compensation of officers and other office employees 57761 88 8 Rent taxes commuted commissions 8730 69 10 Advertising blanks and print ing 27913 20 11 All other items 33544 00 Total disbursements 660343 97 IVINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 57553 11 2 Loans on bond and mortgage first liens on real estate 225900 00 3 Loans secured by pledge of bonds stocks or other marketable collaterals 4497 51 Interest bearing notes secured by liens on poli cies 27792 66 5 Cost value of bonds and stocks owned abso iutely 20649 51 6 Cash in office 580 81 7 Cash deposited in banks on fund account 52521 49 Printing machinery 1767 28 All other deposits 196349 58 8 Agents ledger balances 39483 80 Total net or ledger assets less depreciation 627095 75 VCONTINGENT ASSETS 12 Interest due if and accrued 3966 06 14 Market value of real estate over cost 22 246 89 Indemnity reserve or amount pledged for losses 1148753 00 Total assets 1802061 7COMPTROLLERGENERALS REPORT 347 VILIABILITIES 2 Losses in process of adjustment or adjusted and not due number of claims 7 36000 00 3 Losses reported for which assessments have not been made number of claims 26 51000 00 6 For salaries rents and office expenses 133 94 Advance assessments 13205 50 Total liabilities 100339 44 VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount Folioies or certificates in force December 311891 15005 33579750 00 Policies or certificates written during the year 1892 6018 15903750 00 Total 21023 49483500 00 Deduct number and amount which have ceased to be in force during 1892 3513 8052550 00 Total policies or certificates in force December 311892 17510 41430950 00 Losses and claims on policies or certificates un paid December 31 1891 22 118000 00 Losses and claims on policies or certificates in curred during the year 1892 170 395415 56 Total 192 446165 56 Losses and claims on policies or certificates paid during the year 1892 159 359165 56 BUSINESS IN GEORGIA FOR 1893 Risks 1428500 00 Premiums 32550 03 Losses 20300 00 Taxes paid on premiums 325 50 THE HARTFORD LIFE AND ANNUITY ASSESSMENT LIFE INSUR ANCE CO OF HARTFORD CONN a Amount of net ledger assets December 31st of previous year 1111410 55 IIINCOME DURING YEAR 1892 Gross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 1 Membership fees 67967 26 2 Annual dues 240918 88 3 Assessments 1196735 68 Total paid by members 1505621 82 5 Interest 46283 36 7 Cash received from all other sources 95262 63 Total income 1647167 81 IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims and dividends from accumu lated safety fund 1121317 05 2 Advance payments applied to members pay ments 15747 29 Total paid to members 1137064 34348 COMPTROLLERGENERALS REPORT 3 Commissions and fees retained by or paid to agents 139443 77 5 Salaries and traveling expenses of managers of agencies and general special and local agts 22362 52 6 Medical examiners fees whether paid direct by members or otherwise 24188 96 7 Salaries and other compensation of officers and other office employees 59860 61 8 Rent taxes commuted commissions 18982 70 10 Advertising blanks and printing 10348 73 11 All other items 56769 10 Total disbursements IVINVESTED ASSETS 2 Loans on bonds and mortgages first lien on real estate 5 Cost value of bonds and stocks owned abso lutely 6 Cash in office 7 Cash deposited in banks on reserve fund account 1056527 60 All other deposits 144776 58 1469020 83 3600 00 83333 50 1319 85 10 Total net or ledger assets 1289557 53 11 Deduct depreciation from cost of assets to bring same to market value 13876 50 Total net or ledger assets less depreciation 1275681 03 VCONTINGENT ASSETS 12 Interest due and accrued 16 Due from members for claims not yet assessed 17 Mortuary assessments due and unpaid on mem berships in force 323 66 106000 00 200300 29 21 22 23 Total due from members Deduct estimated cost of collection 306300 29 2750 54 Net amount due from members 363543 75 Total assets 1639548 44 VILIABILITIES 1 Losses due and unpaid number of claims 3 2 Losses in process of adjustment or adjusted and not due number of claims 83 3 Losses reported for which assessments have not been made number of claims 23 4 Losses resisted by the company number of claims 4 5 National State or other taxes due 13000 00 253500 00 83000 00 23000 00 13685 31 9 Amount of all other liability 1125019 05 Total liabilities 1511204 36 VIIEXHIBIT OP CERTIFICATES OR POLICIESNUMBER AND AMOUNT Policies or certificates in force December 31 1891 Policies or certificates written during the year 1892 Total Deduct number and amount which have ceased to be in force during 1892 Total Business of 1892 Number Amount 36324 83105500 00 6717 12970000 00 43041 96075500 00 4651 9820500 00COMPTROLLERGENERALS REPORT 349 38390 86255000 00 Total policies or certificates in force December 31 1892 Ill 420 531 418 348000 00 1126500 00 1474500 00 1102000 00 Losses and claims on policies or certificates unpaid December 311891 Losses and claims on policies or certificates in curred during the year 1892 Total Losses and claims on policies or certificates paid during the year 1892 BUSINESS IN GEORGIA FOR 1893 isks 2785500 00 Premiums received 46 539 gg Losses paid 25oOO 00 1 axes paid on premiums 4g5 33 THE HOME FRIENDLY ASSESSMENT LIFE INSURANCE CO OF BALTIMORE MD a Amount of net or ledger assets December 31st of previous year 18932 31 IIINCOME DURING YEAR 1892 Gross amount paid by members to the asso ciation or its agents without deduction for commissions or other expenses as follows 1 Membership fees 2 Annual dues 3 Assessments 4 Stationery Total paid by members 5 Interest 6 Rents 7 Cash received from all other sources 932 27 1092 72 89907 85 87 31 92080 15 538 40 260 00 35163 02 Total income 128041 57 IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 39 878 33 2 Annual payments and assessments returned to members 222 25 Total paid to members 40100 58 3 Commissions and fees retained by or paid to agents 24601 33 5 Salaries and traveling expenses of managers and agencies and general special and local aens 10260 47 6 Medical examiners fees whether paid direct by members or otherwise 1195 95 7 Salaries and other compensation of officers and other office employees 8792 07 8 Rent taxes com muted commissions 2017 33 9 Advanced to officers and agents to be repaid out of future salaries of commissions 447 18 10 Advertising blanks and printing 1325 28 11 All other items 33517 30 Total disbursements 122 257 49 IVINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incunibrances 9250 00350 COMPTROLLERGENERALS REPORT 5 Cost value of bonds and stocks owned abso lutely 6 Casb in office 7 Cash deposited in banks on reserve fund ac count franchises and debits of companys purchasing All other deposits 8 Agents ledger balances 1100 00 164 91 4000 00 5121 40 5080 08 10 Total net ledger assets 24710 39 11 Deduct depreciation from cost of assets to bring same to market value 1528 42 Total net or ledger assets less depreciation CONTINGENT ASSETS 12 Interest due and accrued 13 Rents due and accrued 14 Market value of real estate over cost 15 Market value of bonds and stocks over cost 17 Mortuary assessments due and unpaid on mem berships in force 18 Mortuary assessments not yet due 21 Total due from members 22 Deduct estimated cost of collection 23187 97 213 09 435 00 100 00 900 00 2203 03 700 00 903 03 290 30 23 Net amount due from members 24 All other assets viz stationery furniture 2612 73 2000 00 Total assets 36448 79 VILIABILITIES 1 Losses due and unpaid number of claims 1 2 Losses in process of adjustment or adjusted and not due number of claims 2 4 Losses resisted by the company number of claims 1 6 For salaries rents and office expenses 7 Bills payable interest due or accrued 700 12 550 00 186 94 454 93 3605 00 Total liabilities 5496 99 VIIEXHIBIT OF CERTIFICATES OK POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount 23626 5003500 00 17597 3582750 00 Policies or certificates in force December 31 1891 Policies or certificates written during the year 1892 Total 41223 8586250 00 Deduct number and amount which have ceased to be in force during 1892 15707 3259450 00 Total policies or certificates in force De cember 31 1892 25516 5326800 00 Losses and claims on policies or certificates unpaid De cember 31 1891 0 Losses and claims on policies or certificates incurred during the year 1892 4664 Total 4670 Losses and claims on policies or certificates paid during the year 1892 4 goo 3515 75 37799 64 41315 39 39878 33 BUSINESS IN GEORGIA FOR 1893 5isks 676000 00 Premiums Losses paid Taxes paid on premiums 12196 25 3274 69 121 96COMPTROLLERGENERALS REPORT THE INDUSTRIAL AID ASSESSMENT ASSOCIATION OF HAM ALABAMA a Amount of net or ledger assets Dec 31st of previous year IIINCOME DURING YEAR 1892 Gross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 1 Membership fees 2 Annual dues 4 For medical examiners fees 351 BIRMING 404 45 100 70 912 40 5 50 Total paid by members 1018 00 Total income IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 5g 40 Total paid by members 3 Commissions and fees retained by or paid to agents 5 Salaries and traveling expenses of managers of agencies and general special and local agents 6 Medical examiners fees whether paid direct by members or otherwise 7 Salaries and other compensation of officers and other office employees 8 Rent taxes commuted commissions 10 Advertising blanks and printing 11 All other items 158 40 212 00 76 00 5 50 155 00 130 75 70 00 5 50 Total disbursements IVINVESTED ASSETS 6 Cash in office 8 Agents ledger balances Total net or ledger assets less depreciation 609 90 128 75 VCONTINGENT ASSETS 19 Annual payments or premiums due and unpaid on memberships in force 20 Annual payments or premiums in process of collection not yet due 21 Total due from members 22 Deduct estimated cost of collection 128 75 6052 80 6181 55 1236 31 23 Net amount due from members 24 All other assets Total assets VILIABILITIES 6 For salaries rents and other office expenses 8 To officers or others for advances on account of expenses of organization Total liabilities 1018 60 813 15 738 65 4945 24 91 00 5774 89 224 00 500 00 724 00352 COxMPTROLLERGENERALS REPORT VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT 22 8S5 Policies or certificates in force December 31 1892 Policies or certificates written during the year 1802 Total Deduct number and amount which have ceased to be in force during 1892 Total policies or certificates in force December 31 1892 Losses and claims on policies or certificates in curred during the year 1892 Total 53 Losses and claims on policies or certificates paid during the year 1892 53 BUSINESS IN GEORGIA FOR 1893 Risks Premiums received Losses paid Taxes paid on premiums Total Business of 1892 Number Amount 12400 00 17100 00 1512 480 29500 00 8860 00 i 1032 20640 00 53 158 40 158 40 38370 00 1330 20 168 80 13 31 THE MASSACHUSETTS BENEFIT ASSESSMENT ASSOCIATION OF BOSTON MAS3 a Amount of net orledger assets December 31st of previous year 843663 53 IIINCOME DURING YEAR 1892 Gross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 1 Membership fees 176948 18 2 Annual dues 239848 60 3 Assessments 1540860 21 Total paid by members 1957556 99 5 Interest 29662 03 6 Advances for claims not due 99345 90 7 Cash received lrom all other sources 81023 59 Total income 2167688 51 IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 1525258 35 Total paid to members 1525258 35 3 Commissions and fees retained by or paid to agents 308262 44 4 Commissions and paid for collecting assess ments 3566 57 6 Medical examiners fees whether paid direct by members or otherwise 17958 95 7 Salaries and other compensation of officers and other employees 48294 18 8 Rents taxes commuted com missions 32797 62 11 All other items 67206 38 Total disbursements 2003344 49 IVINVESTED ASSETS 2 Loans on bond and mortgage first liens on real estate 331882 71 5 Cost value of bonds and stocks owned abso lutely 258401 45I SSaa COMPTROLLERGENERALS REPORT 6 Cash in office 14 gj3 qi 7 Cash deposited in banks on reserve fund account 276 337 15 Loan to death fund for advance payments 99345 90 All other deposits 5689 32 8 Agents ledger balances 2l738 01 10 Total net or ledger assets 1008007 55 Total net or ledger assets less depreciation VCONTINGENT ASSETS 12 Interest due and accrued 15 Market value of bonds and stocks over cost 353 1008007 55 18 Mortuary assessments not yet due 540 7166 49 933 55 000 00 Total assets 1556107 59 VILIABILITIES 1 bosses due and unpaid number of claims 60 185 550 00 2 Losses in process of adjustment or adjusted and not due number of claims 27 73 gQ 3 Losses reported for which assessments have not been made number of claims 36 115 650 00 4 Losses resisted by the company number of claims 5 2ooo0 00 Total liabilities 395150 00 VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount 1 ohcies or certificates in force December 31 1891 28081 94 067 750 00 Policies or certificates written during the year 1892 10399 2488so80 00 Total 33 4gQ jjg ggg 0 Deduct number and amount which have ceased to be in force during 1892 4137 13777800 00 Total policies or certificates in force Decem ber 31 1892 34i343 105178030 00 Losses and claims on policies or certificates unpaid December 31 1891 By liability Losses and claims on policies or certificates incurred during the year 1892 Total Losses and claims on policies or certificatespaid dur ing the year 1892 125 32 399500 00 108000 00 488 1551750 00 645 2059250 00 517 1664100 00 BUSINESS IN GEORGIA FOR 1893 Risks prenumsreceived14i2 Losses paid onf Taxes paid on premiums l72 16 THE MASONS FRATERNAL ACCIDENT ASSESSMENT LIFE INSUR ANCE ASSOCIATION OF WESTFIELD MASS a Amount of net or ledger assets December 31st of previous year 14968 96 IIINCOME DUBING YEAR 1892 Gross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 1 Membership fees 24 815 00 28 354 COMPTROLLERGENERALS REPORT 2 Annual dues 3 Assessments 4 Advance agents repaid 5 Interest 7 Cash received from all other sources 36953 73 78722 00 4187 87 406 00 1500 00 Total income IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 67787 01 Total paid to members 3 Commissions and lees retained by or paid to agents 5 Salaries and traveling expenses of managers of agencies and general special and local agts 6 Medical examiners fees whether paid direct by members or otherwise 7 Salaries and other compensation of officers and other office employees 8 Rent taxes commuted com missions 10 Advertising blanks and printing 11 All other items Total disbursements IVINVESTED ASSETS 5 Cost value of bonds and stocks owned abso lutely 6 Cash in office 7 Cash deposited in banks on reserve fund ac count All other deposits 9 All other ledger assets 67787 01 30293 09 7327 92 719 00 17656 79 1998 92 1378 29 3410 89 130571 91 2580 00 70 35 20302 00 8029 30 33127 62 Total net or ledger assets less deprecia tion VCONTINGENT ASSETS 17 Mortuary assessments due and unpaid on memberships in force 18 Mortuary assessments not yet due 21 Total due from members Total 6978 00 18934 00 25912 00 Total assets VILIABILITIES 8 To officers or others for advances on account of expenses of organization 9 Amount of all other liability Total liabilities 146584 60 33127 62 25912 00 59039 62 933 61 1844 00 2777 61 VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount Policies or certificates in force December 31 1891 10508 44786900 00 Policies or certificates written during the year 1892 4963 21638680 00 Total 15471 66425580 00 Deduct number and amount which have ceased to be in force during 1892 4261 18577960 00 Total policies or certificates in force Decem ber 31 1891 11210 47847620 00 COMPTROLLERGENERALS REPORT 355 Losses and claims on policies or certificates during the year 1892 Total Losses and claims on policies or certificates paid during the year 1892 853 853 853 67787 01 67787 01 THE MUTUAL RESERVE FUND ASSESSMENT LIFE ASSOCIATION OF NEW YORK N Y a Amount of net or ledger assets December 31st of orevious year 3384437 05 IIINCOME DURING YEAR 1892 Gross amount paid by members to the Association or its agents without deduction for commis sions or other expenses as follows 1 Membership fees 288787 00 2 Annual dues 572319 85 3 Assessments 3 041 740 93 4 For medical examiners fees 46284 00 Total paid by members 3949131 78 5 Interest 445 543 57 7 Cash received from all other sources 32567 74 Total income 4481680 14 IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 2 702 337 04 2 Advance payments returned to rejected ap plicants 529 40 3 Commissions and fees retained by or paid to agents 345139 26 4 Commissions paid banks and collectors 186957 55 0 Salaries and traveling expenses of managers of agencies and general special and local agents 66192 42 7 Salaries and other compensation of officers and other office employees 141273 82 8 Rent taxes commuted commis sis 151661 45 11 All other items 139024 17 Total disbursements 3 794 037 33 IVINVESTED ASSETS 41531 G7 1 Cost value of real estate in cash exclusive of all incumbrances 2 Loans on bonds and mortgages first lien on real estate 2310000 00 0 Par value of bonds and stocks owned abso luty 250893 32 6 Cash in office 0 892 49 7 Cash deposited in banks on reserve fund ac count 768878 60 All other deposits 111206 61 8 Agents ledger balances 185783 01 9 Furniture and fixtures 19407 06 Total net or ledger assets less depreciation 3690 592 76 VCONTINGENT ASSETS 12 Interest due and accrued 15 Market value of real estate over cost 16 Market value of bonds and stocks over cost 18 Mortuary assessments not yet due 1041971 54 28104 66 2000 00 8870 25356 COMPTROLLERGENERALS REPORT 20 Annual payments or premiums in process of collection not yet due 107699 40 Total due from members 1149670 94 Deduct estimated cost of collection 93952 55 21 22 23 Net amount due from members 1055718 39 Gross total assets 3729567 67 VILIABILITIES 2 Losses in process of adjustment or adjusted and not due number claims 205400 00 3 Losses reported for which assessments have not been made number of claims 42078S 00 4 Losses resisted by the company number of claims 64900 00 9 Advance assessments outstanding bond obligations and all other contingent liabilities 1045995 37 Total liabilities 1737083 37 VIIEXHIBIT OF CERTIFICATES OK POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount 215207910 00 48646650 00 Policies or certificates in force December 31 189164679 Policies or certificates written during the year 1892 13314 Total 79993 Deduct number and amount which have ceased to be in force during 1892 7651 Total policies or certificates in force De cember 31 1892 72342 Losses and claims on policies or certificates unpaid December 31 1891 134 Losses and claims on policies or certificates incurred during the year 1892 818 952 773 263854560 00 27432770 00 236421790 00 526063 00 2898 200 00 Total aZ 3424263 00 Losses and claims on policies or certificates paid dur ing the year 1892 773 2702337 04 BUSINESS IN GEORGIA FOR 1893 Risks 4154250 00 Premiums received oon Losses paid 22f Taxes paid on premiums zo TO THE NATIONAL ASSESSMENT LIFE ASSOCIATION OF HARTFORD CONN a Amountof net or ledger assets December 31st of previous year 1512431 78 IIINCOME DURING YEAR 1892 Gross amount paid by members to the association or its agents without deduction for commis sions or other expenses as follows 1 Membership fees 1026 50 2 Annual dues 40034 44 3 Assessments 196275 24 Total paid by members 237336 18 5 Interest 47150 14 6 Rents 188 58 7 Cash received from all other source viz Net premium liens obtained on new policies writ ten in 1892 1754611 31 Total income 2039286 21COMPTROLLERGENERALS REPORT 357 IIIDISBURSEMENTS DURING YEAR 1892 3 5 6 7 8 10 11 Paid for surrendered policies Losses and claims Dividends to policyholders 17178 15 127806 71 10151 11 Total paid to members 155135 97 Commissions and fees ret lined by or paid to agents 34762 74 Salaries and traveling expenses of managers of agencies and general special and local agts 13088 86 Medical examiners fees whether paid direct by members or otherwise 1701 70 Salaries and other compensation of officers and other office employees 10348 69 Rent taxes commuted commissions 3538 89 Advertising blanks and print ing 3207 03 All other items viz Incidental expenses divi dends to stockholders etc 609069 88 Total disbursements IVINVESTED ASSETS Cost value of real estate in cash exclusive of all incumbrances Loans on bond and mortgage first liensj on real estate Loans secured by pledge of bonds stocks or other marketable collaterals Cost value of bonds and stocks owned abso lutely Cash in office Cash deposited in banks on reserve fund ac count Loans on renewal interest Notes for premiums Bills receivable Furniture and fixtures Agents ledger balances 830853 76 23477 70 56519 90 7623 96 27935 00 4776 09 14376 15 17526 32 4236 61 897 75 872 85 1838 53 Total net or ledger assets less depreciation VCONTINGENT ASSETS 12 18 19 20 21 22 23 24 Interest due and accrued Mortuary assessments not yet due Annual payments or premiums due and unpaid on memberships in force Annual payments or premiums in process of collection not yet due Total due from members Deduct estimated cost of collection 26889 07 19384 34 40213 00 86486 41 11919 46 160080 86 1983 32 Net amount due from members All other assets viz Premium liens on policies standing as claims premium liens on policies in force 74566 95 2474016 93 Total assets 2710648 06 VILIABILITIES 2 Losses in process of adjustment or adjusted and not due number of claims 29 4 Losses resisted by the company number of claims 6 9 Amount of all other liability viz Reserve under Connec ticut law 47100 00 8000 00 10054536 Total liabilities 155645 36358 COMPTROLLERSGENERALS REPORT VIIEXHIBIT OF CERTIFICATES OK POLICIESNUMBER AND AMOUNT Policies or certificates in force December 311891 Policies or certificates written during the year 1892 Total Deduct number and amount which have ceased to be in force during 1892 Total policies or certificates in force December 31 1892 Losses and claims on policies or certificates un paid December 31 1891 Losses and claims on policies or certificates in curred during the year 1892 Total Business of 1892 Number Amount 7894 5647517 00 7964 11076016 00 15858 4850 18 159 Total Losses and claims on policies or certificates paid during the year 1892 177 130 BUSINESS IN GEORGIA FOR 1893 Risks Premiums received Losses paid Taxes paid on premiums 16723533 00 4065673 00 11008 12657860 00 20950 00 174245 00 195195 00 130395 00 279600 00 7001 91 600 00 70 01 THE NATIONAL COOPERATIVE GUARANTEE ASSESSMENT INSURANCE CO OF AMERICA OF NASHVILLE TENN IIINCOME DURING YEAR 1892 i Gross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 1 Membership fees 2181 00 2 Monthly class one 1812 50 3 Dues class two 145 75 Total paid by members 4139 25 7 Cash received from all other sources 51 45 Total income IIIDISBURSEMENTS DURING YEAR 1 Losses and claims 1069 64 6 Medical examiners fees whether paid direct by members or otherwise 943 00 7 Salaries and other compensation of officers and other office employees 480 00 8 Rent taxes commuted com missions 175 00 9 Advanced to officers and agents to be repaid out of future salaries or commissions 43 15 10 Advertising blanks and printing 571 78 11 All other items 175 50 Total disbursements IVINVESTED ASSETS 6 Cash in office 7 Cash deposited in banks on reserve fund ac count 164 63 568 00 4190 70 458 07 Total net or ledger assets less depreciation 732 63COMPTROLLERGENERALS REPORT 359 VCONTINGENT ASSETS 19 Monthly payments or premiums due and un paid on memberships in force 860 00 21 Total due from members 23 Net amount due from members 24 All other assets 860 00 1592 63 43 15 Total assets 1635 78 VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount Policies or certificates written during the year 1893 to May 11 943 Deduct number and amount which have ceased to be in force during 1893 to May 11 57 Total policies or certificates in force to May 11 1893 886 Losses and claims on policies or certificates unpaid to May 11 1893 3 Losses and claims on policies or certificates incurred dur ing the year to May 11 1893 3 Total 3 687725 00 30800 00 658925 00 1069 64 1069 64 1069 64 THE NATIONAL LIFE AND MATURITY ASSESSMENT INSURANCE CO OF WASHINGTON D C a Amount of net or ledger assets Dec 31st of previous year 189315 35 IIINCOME DURING YEAR 1892 Grose amount paid by members to the Associ ation or its agents without deduction for commissions or other expenses as follows 2 Annual dues 3 Assessments 5 Interest 7 Cash received from all other sources viz ad vances to agents repaid 72916 04 295354 65 12312 98 11606 59 Total income 392190 26 IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 118027 15 2 Annual payments and assessments returned to members 1336 95 3 Commissions and fees retained by or paid to agents 25833 42 5 Salaries and traveling expenses of managers of agencies and general special and local agents 8640 23 6 Medical examiners fees whether paid direct by members or otherwise 4861 50 7 Salaries and other compensation of officers and other office employees 26937 30 8 Rent taxes commuted commissions 8514 97 11 All other items 109602 65 Total disbursements 307279 35 IVINVESTED ASSETS 2 Loans on mortgages first liens on real estate 170100 00 3 Loans secured by pledge of bonds stocks or other marketable collaterals 34931 45 360 COMPTROLLERGENERALS REPORT 5 Cost value of bonds and stocks owned absolutely 44171 43 6 Cash in office 1326 34 7 Cash deposited in banks on reserve fund acct 5381 95 Personal property 1019 61 8 Agents ledger balances 17295 48 Total net or ledger assets less depreciation 274226 26 VCONTINGENT ASSETS 12 Interest due and accrued 15 Market value of bonds and stocks over cost 17 Mortuary assessments due and unpaid on mem berships in force 18 Mortuary assessments not yet due Mortuary assessments not yet called for Payments per tabular rate for expected losses 4408 31 480 00 12092 78 68056 03 43000 00 234336 81 21 Total due from members 357485 62 22 Deduct estimated cost of collection 17874 28 23 Net amount due from members 339611 34 24 All other assets viz paid for interest on real estate notes 438 90 Total invested noninvested and contingent assets 617164 81 VILIABILITIES 1 Losses due and unpaid 1000 00 2 Losses in process of adjustment or adjusted and not due 18350 00 3 Losses reported for which assessments have not been made 14000 00 4 Losses resisted by the company number of claims 5 10500 00 9 Amount of all other liability 234942 74 Total actual and contingent mortuary liabilities 278792 74 VIIEXHIBIT OF CERTIFICATES OK POLICIESNUMBER AND AMOUNT Policies or certificates in force December 31 1891 Policies or certificates written during the year 1892 Total Business of 1892 Number Amount 11910 12452845 00 3159 2764200 00 Total Deduct number and amount which have ceased to be in force during 1892 15069 15217045 00 2289 1910650 00 Total policies or certificates in force December 31 1892 12780 13306395 00 Losses and claims on policies or certificates unpaid December 31 1891 Losses and claims on policies or certificates during the year 1892 22 79 Total Losses and claims on policies or certificates paid during the year 1892 101 64 BUSINESS IN GEORGIA FOR 1893 Risks Premiums received osses unpaid Paxes paid on premiums 41250 00 153250 00 194500 00 131250 09 73000 00 1714 25 5000 00 17 14 COMPTROLLERGENERALS REPORT 361 THE NATIONAL MUTUAL ASSESSMENT LIFE INSURANCE CO OF NEW YORK N V a Amount of net ledger assets December31st of previous years 4079 35 IIINCOME DURING YEAR 1892 Gross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 1 Membership fees 2 Annual dues 3 Assessments 4 For medical examiners fees Total paid by members 7 Cash received from all other sources 6555 88 3848 75 52470 40 3903 00 66778 03 11322 97 Total income IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 28900 00 Total paid to members 28900 00 3 Commissions and fees retained by or paid to agents 13286 98 5 Salaries and traveling expenses of managers of agencies and general special and local agents 2806 66 6 Medical examiners fees whether paid direct by members or otherwise 4199 45 7 Salaries and other compensation of officers and other office employees 5766 26 8 Rent taxes commuted com missions 2003 09 9 Advanced to officers and agents to be repaid out of future salaries or commissions 604 22 10 Advertising blanks and printing 3647 04 11 All other items 3394 94 Total disbursements IVINVESTED ASSETS 2 Loans on bond and mortgage first liens on real estate reserve fund 6 Cash in office 7 Cash deposited in banks on reserve fund account All other deposits 8 Agents ledger balances 6000 00 1540 27 228 39 5398 50 4404 55 Total net or ledger assets less depreciation VCONTINGENT ASSETS 16 Due from members for claims not yet assessed 17 Mortuary assessments due and unpaid on mem berships in force 18 Mortuary assessments not yet due 20 Annual payments or premiums in process of collection not yet due 32642 66 6577 32 14000 00 497 75 21 22 23 Total due from members Deduct estimated cost of collection Net amount due from members Total assets 53717 73 2585 88 78101 00 64608 64 17571 71 51131 85 51131 85362 COMPTROLLERGENERALS REPORT VILIABILITIES 1 Losses due and unpaid number of claims 5 2 Losses in process of adjustment or adjusted and not due number of claims 7 Total liabilities 9100 00 14000 00 22100 00 VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount Policies or certificates in force December 31 1891 1550 2793000 00 Policies or certificates written during the year 1892 1431 2421000 00 Total 2981 Deduct number and amount which have ceased to be in force during 1892 454 Total policies or certificates in force Decem ber 31 1892 2527 5214000 00 868000 00 4346000 00 Losses and claims on policies or certificates unpaid December 311891 Losses and claims on policies or certificates incurred during the year 1892 Total BUSINESS IN GEORGIA FOR 1893 9 18 27 18000 00 34000 00 Risks Premiums received Taxes paid on premiums 34000 00 329000 00 2824 73 28 24 THE NEW ENGLAND MUTUAL ASSESSMENT ACCIDENT ASSOCIATION OF BOSTON MASS a Amount of net or ledger assets Dec 31st of previous year 45456 10 IIINCOME DURING YEAR 1892 Gross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 1 Membership fees 15867 08 2 Annual dues 664 75 3 Assessments 130799 60 Total paid by members 147331 43 5 Interest 1506 98 Total income IIIDISBURSEMENTS DURTNG YEAR 1892 148838 41 1 Losses and claims 2 Annual payments returned to members Total pid to members 3 Commissions and fees retained by or paid to agents 4 Commissions and fees paid to officers and direc tors 5 Traveling expenses of managers of agencies and general special and local agents 6 Medical examiners fees whether paid direct by members or otherwise 7 Salaries and other compensation of officers and other office employees 8 Rent taxes commuted com missions 57442 87 705 52 58148 39 30282 95 748 00 1089 26 11926 79 21090 78 3859 65COMPTROLLERGENERALS REPORT 363 10 Advertising 11 All other items blanks and printing 4521 29 3917 37 Total disbursements IVINVESTED ASSETS 5 Cost value of bonds and stocks owned abso lutely 24933 10 6 cash in office 840 22 7 Cash deposited in banks on reserve fund act 31161 30 8 Agents ledger balances 1774 41 10 Total net or ledger assets 58709 03 11 Deduct depreciation from cost of assets to bring same to market value 493 10 Total net or ledger assets less depreciation VCONTINGENT ASSETS 12 Interest due and accrued 16 Due from members for claims not yet assessed 15463 52 18 Mortuary or indemnity assessments not yet due 4735 00 23 Net amount due from members 23 All other assets viz furniture and movables Total assets VILIABILITIES 2 Losses in process of adjustment or adjusted and not due number of claims 33 3 Losses reported for which assessments have not been made number of claims 23 4 Losses resisted by the company number of claims 8 5 National State or other taxes due 8 To officers or others for advances on account of expenses of organization 9 Amount of all other liability viz advance payments de posited 135585 48 58215 93 316 56 20198 52 2897 49 81628 50 3106 74 1034 28 11322 50 150 00 500 00 1300 60 Total liabilities 17414 12 VIIEXHIBIT OF CERTIFICATES OK POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount Policies or certificates in force December 31 1891 9255 39686500 00 Policies or certificates written during the year 1892 5952 23086000 00 Total 15207 62772500 00 Deduct number and amount which have ceased to be in force during 1892 5343 19862750 00 Total policies or certificates in force Decem 31 1892 9864 42909750 00 Losses and claims on policies or certificates unpaid December 31 1891 7 Losses and claims on policies or certificates incurred during the year 1892 891 Total 898 Losses and claims on policies or certificates paid dur ing the year 1892 890 BUSINESS IN GEORGIA FOR 1893 Risks Premiums received Losses paid Taxes paid on premiums 8690 00 60075 37 68765 37 57442 87 388750 00 1627 00 1193 55 16 27ff 364 COMPTROLLERGENERALS REPORT THE NORTHWESTERN MASONIC AID ASSESSMENT LIFE ASSO CIATION OF CHICAGO ILL a Amount of net or ledger assets Dec 31st of previous year 585748 61 IIINCOME DURING YEAR 1892 Gross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 1 Membership fees 80038 50 3 Assessments 2249108 97 Total paid by members 2329147 47 5 Interest 15922 37 7 Cash received from all other sources 10371 64 Total income 2355441 48 IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 1822985 72 2 Payments returned to rejected applicants 9937 95 3 Commissions and fees retained bv or paid to agents 96161 11 4 Commissions allowed for collecting assessments 13865 75 5 Salaries of managers of agencies not paid by commissions 37371 69 Salaries of officers 46703 91 6 Medical examiners fees whether paid direct by members or otherwise 15876 55 7 Salaries and other compensation of office em ployees 44085 12 8 Rent taxes com muted commissions 12214 78 10 Advertising blanks and printing 10837 50 11 All other items 41026 28 Total disbursements 2151066 16 IVINVESTED ASSETS 5 Cost value of bonds owned absolutely 6 Cash in office 7 Cash deposited in banks on reserve fund ac count 8 Agents ledger balances 10 Total net or ledger assets 11 Deduct depreciation from cost of assets to bring same to market value 379623 64 100 00 408565 64 1834 65 790123 93 6592 39 Total net or ledger assets less depreciation CONTINGENT ASSETS 12 Interest due and accrued 17 Mortuary assessments due and unpaid on mem berships in force 35000 00 18 Mortuary assessments not yet due 517000 00 783531 54 2126 63 21 Total due from members 552000 00 23 Net amount due from members 552000 00 Total assets VILIABILITIES 554126 63 6014 28 1 Losses due and unpaid number of claims 1 2 Losses in process of adjustment or adjusted and not due number of claims 103 334500 00 3 Losses reported for which assessments have not been made number of claims 59 181500 00 COMPTROLLERGENERALS REPORT 365 4 Losses resisted by the company number of claims 1 9 Amount of all other liability 1000 00 31574 90 Total liabilities 554589 28 VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount Policies or certificates in force December 31 1891 58290 155378500 00 Policies or certificates written during the year 1892 4800 14948500 00 Total 63096 170327000 00 Deduct number and amount which have ceased to be in force during 1892 13679 14419000 00 Total policies or certificates in force De cember 31 1892 49417 155908000 00 Losses and claims on policies or certificates unpaid December 31 1891 134 Losses and claims on policies or certificates incurred during the year 1892 661 Total 795 Losses and claims on policies or certificates paid dur ing the year 1892 635 375250 00 1977000 00 BUSINESS IN GEORGIA FOR 1893 Risks Premiums received Losses paid Taxes paid on premiums 2352250 00 1822985 72 448000 00 4559 81 18500 00 45 60 THE PEOPLES MUTUAL BENEFIT ASSESSMENT SOCIETY OF ELKHART INDIANA a Amount of net or ledger assets Dec 31st of previous year 7564 95 IIINCOME DURING YEAR 1892 Gross amounts paid by members to the Asso ciation or its agents without deduction for commissions or other expenses as follows 1 Membership fees 1956 52 2 Annual dues 705 15 3 Assessments 319809 29 Total paid by members 322470 96 5 Interest 192 51 Total income III DISBURSEMENTS DURING YEAR 1892 250306 86 4408 83 322663 47 1 Losses and claims 2 Annual payments and assessments returned to members Total paid to members 254715 19 3 Commissions and feesretained by or paid to agents 7058 90 5 Salaries and traveling expenses of managers of agencies and general special and local agents 9762 02 6 Medical examiners fees whether paid by mem bers or otherwise 4522 00 7 Salaries and other compensation of officers and other office employees 26355 06366 COMPTROLLERGENERALS REPORT commuted 8 Rent taxes commissions 9 Advanced to agents to be repaid out of future salaries or commissions 10 Advertising blanks and printing 11 All other items 966 92 1337 80 2307 56 10635 50 Total disbursements IIINVESTED ASSETS 2 Loans on bonds and mortgages first liens on real estate 3 Loans secured by pledge of bonds stocks or other marketable collaterals 4 Loans made in cash to members on this com panys certificates assigned as collateral 7 Cash deposited in banks on reserve fund acct 317660 95 1000 00 338 25 865 46 9363 76 Total net or ledger assets less depreciation VCONTINGENT ASSETS 12 Interest due and accrued 16 Due from members for claims not yet assessed 19 Annual payments or premiums due and unpaid on memberships in force 48319 36 420 70 12567 47 238 33 21 Total due from members 22 Deduct estimated cost of collection 48740 06 9748 01 23 Net amount due from members 38992 05 24 All other assets 128774 91 Total assets 180572 76 VILIABILITIES 2 Losses in process of adjustment adjusted and not due number of claims 12 774 shares 4 Losses resisted by the company number of claims 29 219 shares 9 Amount of all other liability 714 82 Total liabilities 3714 82 VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT Policies or certificates in force December 31 1891 Policies or certificates written during the year 1892 Total Business of 1892 Number Amount 12846 46461 shares 2219 13318 Total 15065 Deduct number and amount which have ceased to be in force during 1892 2559 59779 6709 Total policies or certificates in force December 31 1892 12506 53070 Losses and claims on policies or certificates unpaid December 31 1891 163 Losses and claims on policies or certificates incurred during the year 1892 911 1601 5521 Total 1074 Losses and claims on policies or certificates paid during the year 1892 889 BUSINESS IN GEORGIA FOR YEAR 1893 Risks Premiums received Losses paid Taxes paid on premiums 7122 shares 250306 86 In shares 1392 95 1066 40 13 93B COMPTROLLERGENERALS REPORT 367 THE PROVIDENT FUND ASSESSMENT SOCIETY OF NEW YORK N Y a Amount of net or ledger assets December 31st of previous year IIINCOME DURING YEAR 1892 Gross amount paid by members to the association or its agents without deduction for commissions or other expenses as follows 1 Membership fees 13 50 3 Assessments 74821 80 5 Interest 278 00 Total income IIIDISBURSEMENTS DURING YEAR 1892 22278 40 84 29 1 Losses and claims 2 Annual payments and assessments returned to members Total paid to members 3 Commissions and fees retained by or paid to agents 5 Salaries and traveling expenses of managers of agencies and general special and local agents 7 Salaries and other compensation of officers and other office employees 8 Rent taxes commuted commissions 10 Advertising blanks and printing 11 All other items Total disbursements IVINVESTED ASSETS 5 Cost value of stocks and bonds owned abso lutely 6 Cash in office and banks 8 Agents ledger balances 5150 00 9703 82 7626 24 Total net or ledger assets less depreciation VCONTINGENT ASSETS 20 payments or premiums in process of collec tion 30820 000 Total Total assets 15830 69 75113 30 22362 69 9189 84 5858 46 13259 53 2740 86 4422 27 15780 28 73613 93 22480 06 30820 00 53300 06 2 Losses in process of adjustment or adjusted and not due number of claims 57 3218 40 4 Losses resisted by ihe company number of claims 13 16097 07 9 Amount of all other liability 1730 78 Total liabilities 21046 25 VIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT Policies or certificates in force December 31 1891 7726 Policies or certificates written during the year 1892 7454 Total Business of 1892 Number Amount 30849650 00 29060000 00 Total 15180 Deduct number and amount which have ceased to be in force during 1892 7225 59909650 00 27439650 00 Total policies or certificates in force Decem ber 31 1892 7955 32470000 00368 COMPTROLLERGENERALS REPORT Losses and claims on policies or certificates incurred during the year 1892 57 Losses and claims on policies or certificates paid dur ing the year 1892 586 BUSINESS IN GEORGIA FOR YEAR 1893 Risks Premiums received Losses paid Taxes paid on premiums THE RAILWAY OFFICIALS EMPLOYEES ASSESSMENT ASSOCIATION OF INDIANAPOLIS IND a Amount of net or ledger assets December31stof previous year IIINCOME DURING YEAR 1892 3218 40 22278 40 3745000 00 4240 47 1765 74 42 40 ACCIDENT 24387 26 Gross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 3 Assessments Total paid by members 5 Interest 421449 64 421449 64 180 00 Total income IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 248435 20 421629 64 Total paid to members 248435 20 3 Commissions and fees retained by or paid to agents 96666 43 4 Commissions and fees for collection and ex change 17222 79 5 Salaries and traveling expenses of managers of agencies and general special and local agts 5738 45 6 Medical examiners fees whether paid direct by members or otherwise 2795 25 7 Salaries and other compensation of officers and other office employees 24127 76 8 Rent taxes commuted com missions 4451 74 10 Advertising blanks and printing 8473 62 11 All other items 7443 48 Total disbursements IVINVESTED ASSETS 6 Cash in office 7 Cash deposited in banks on reserve fund account All other deposits 8 Agents ledger balances 415354 72 5213 81 10150 00 12068 38 3229 99 Total net or ledger assets less depreciation VCONTINGENT ASSETS 24 All other assets viz office furniture fixtures and supplies Total assets VILIABILITIES 2 Losses in process of adjustment or adjusted and not due number of claims 8 4 Losses resisted by the company number of claims 2 Total liabilities 30662 18 3500 00 231153 49 11850 00 3500 00 15350 00 COMPTROLLERGENERALS REPORT 369 VIIEXHIBIT OF CERTIFICATEH OS POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount Policies or certificates in force December 31 1891 22281 43784595 00 Policies or certificates written during the year 1892 21354 37296400 00 Total 43635 Deduct number and amount which have ceased to be in force during 1892 23249 81080995 00 47268810 00 Total policies or certificates in force Decem ber 31 1892 20386 33812185 00 Losses and claims on policies or certificates incurred during tlw year 1892 4228 261285 20 261285 20 248435 20 Total 4228 Losses and claims on policies or certificates paid dur ing the year 1892 4218 BUSINESS IN GEORGIA FOR YEAR 1893 gisks 458800 00 Premiums received 4 453 85 Losses paid 6453 02 Taxes paid on premiums 44 83 THE STEPHENS INDUSTRIAL ASSESSMENT SOCIETY OF AUGUSTA GA IIINCOME DURING YEAR 1892 Gross amount paid by members of the association or its agents without deduction for commissions or other expen ses as follows 1 Membership fees 2 Annual dues 190 90 1166 70 Total paid by members i Cash received from all other sources 1357 60 100 00 Total income 1457 60 IIIDISBURSEMENTS DURING YEAH 1892 1 Losses and claims 354 95 Total paid to members 3 Commissions and fees retained by or paid to agents 5 Salaries and traveling expenses of managers of agencies and general special and local agents 7 Salaries and other compensation of officers and other office employees 8 Rent taxes commuted com missions 10 Advertising blanks and printing 11 All other items 354 05 653 02 10 00 88 50 58 00 117 00 90 20 Total disbursements IVINVESTED ASSETS 6 Cash in office 86 83 VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT 1370 77 Policies or certificates written during the year 1892 24 Total Business of 1892 Number Amount 1365 33662 30370 COMPTROLLERGENERALS REPORT Deduct number and amount which have ceased to be in force during 1892 484 Total policies or certificates in force De cember 31 1892 881 Losses and claims on policies or certificates in curred during the year 1892 5 BUSINESS IN GEORGIA FOR YEAR 1893 Risks Premiums received Losses paid Taxes paid on premiums 11171 55 22490 75 107 75 27685 20 2665 75 829 00 26 66 THE UNITED LIFE INSURANCE ASSOCIATION OF NEW YORK N Y IIINCOME DURING YEAR 1892 Cross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 1 Membership fees 2 Annual dues 3 Assessments 20308 00 36250 67 120773 84 Total paid bv members 177332 51 5 Interest 225 88 6 Rents 1135 00 7 Cash received from all other sources 186 83 Total income IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 2 Accident claims paid 93268 80 2218 21 Total paid to members 3 Commissions and fees retained by or paid to agents 4 Mortuary fund expense 5 Salaries and traveling expenses of managers of agencies and general special and local agts 6 Medical examinersfees whether paid direct by members or otherwise 7 Salaries and other compensation of officers and other office employees 8 Rent taxes 5 commuted commissions 9 Commissions paid or allowed for collecting as spssm pnts 10 Advertising blanks and print ing 11 All other items 95487 01 29152 84 11218 87 4008 34 536 42 14189 67 5255 04 4671 46 357 40 2162 58 Total disbursements IVINVESTED ASSETS 6 Cash in office 7 Cash deposited in banks on reserve fund ac count All other deposits 178 83 39381 83 4500 00 178880 82 167039 63 Total net or ledger assets less depreciation 44060 66 COMPTROLLERGENERALS REPORT 371 VCONTINGENT ASSETS 16 Due from members for claims not yet assessed 18 Mortuary assessments not yet due 21 22 23 Total due from members Deduct estimated cost of collection 59000 00 4196 46 63196 46 1300 00 Net amount due from members 61 896 46 Total assets 105957 12 VILIABILITIES 2 Losses in process of adjustment or adjusted and not due number of claims 9 21 000 00 4 Losses resisted by the company number of claims 11 Soaaa 9 Amount of all other liability viz advance assessments Total liabilities 38000 00 1871 48 60871 48 VIIEXHIBIT OF CERTIFICATES OK POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount 3338 10977600 00 Policies or certificates in force December 311891 Policies or certificates written during the vear 1892 Reinstated during the year Total Deduct number and amount which have ceased to be in force during 1892 909 50 3431000 00 143000 00 4297 923 14551600 00 2938000 00 Total policies or certificates in force December 31 1892 Losses and claims on policies or certificates un paid December 31 1891 Losses and claims on policies or certificates in curred during the year 1892 3374 11613600 00 52 Total Losses and claims on policies or certificates paid during the year 1892 60 38 24500 00 142000 00 166500 00 93268 80 THE UNITED STATES MASONIC BENEVOLENT ASSOCIATION OF COUNCIL BLUFFS IOWA a Amount of net or ledger assets Dec 31st of previous year 155788 29 IIINCOME DURING YEAR 1892 Gross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 1 Membership fees 18 650 00 3 Assessments 208775 00 5 Interest 1 874 02 7 Cash received from all other sources 25460 16 Total income 261059 18 IIIDISBURSEMENTS DURING YEAR 1892 1 Losses and claims 143 100 00 3 Commissions and fees retained by or paid to r agents i8j650 00 4 Commissions paid or allowed for collecting assessments 5 126 26372 COMPTROLLERGENERALS REPORT 5 Salaries and traveling expenses of managers of agencies and general special and local agts 12384 00 6 Medical examinersfees whether paid direct by members or otherwise 2908 50 7 Salaries and other compensation of officers and other office employees 20955 70 10 Advertising blanks and printing S 1238 30 11 All other items 20755 06 Total disbursements 225117 82 IVINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 118479 00 2 Loans on bond and mortgage first liens on real estate 52800 00 6 Cash in citizens State bank 12691 23 7 Cash deposited in banks on reserve fund acct 1000 00 8 Agents ledger balances 6759 42 10 Total net ledger assets 191729 65 Total net or ledger assets less depreciation VCONTINGENT ASSETS 12 Interest due and accrued 16 Due from members for claims not yet assessed 26 Xet amount due from members 54400 00 Total assets VILIABILITIES 3 Losses reported for which assessments have not been made number of claims 22 9 Amount of all other liability viz advance assessments Total liabilities 191729 65 1174 02 54400 00 255303 67 54400 00 498 10 54898 10 VIIEXHIBIT OF CERTIFICATES OR POLICIES NUMBER AND AMOUNT Total Business of 1892 Number Amount Policies or certifitates in force December 31 1891 8086 20067500 00 Policies or certificates written during the year 1892 2643 6191250 00 Total 10729 Deduct number and amount which have ceased to be in force during 1892 1885 Total policies or certificates in force Decem ber 31 1892 Losses and claims on policies or certificates unpaid December 31 1891 8 Losses and claims on policies or certificates incurred during the year 1892 71 Total 79 Losses and claims on policies or certificates paid dur ing the year 1892 57 BUSINESS IN GEORGIA FOR YEAR 1893 Risks Premiums received Taxes paid on premiums 26258750 00 455250 00 8844 21706250 00 20000 00 177500 00 197500 00 142500 00 120000 00 1404 00 14 04 COMPTROLLERGENERALS REPORT 373 THE UNITED STATES MUTUAL ACCIDENT ASSOCIATION OF NEW YORK N Y a Amount of net or ledger assets Dec 31st of previous year 167735 83 IIINCOME DURING YEAK 1892 Gross amount paid by members to the Associa tion or its agents without deduction for com missions or other expenses as follows 1 Membership fees 3 Assessments Total paid by members 5 Interest 50424 00 921024 21 971448 21 7019 40 Total income 978467 61 DISBURSEMENTS DURING YEAR 1892 444739 24 912 32 1 Losses and claims 2 Annual payments and assessments returned to members Total paid to members 445651 56 3 Commissions and fees retained by or paid to agents 163823 15 5 Salaries and traveling expenses of managers of agencies and general special and local agts 97478 01 6 Medical examinersfees whether paid direct by members or otherwise 21600 98 7 Salaries and other compensation of officers and other office employees 123149 85 7 Rent taxes commuted commissions 25388 85 10 Advertising blanks and printing 35617 87 11 All other items 67700 08 Total disbursements IVINVESTED ASSETS 2 Loans on bonds and mortgages first liens on real estate 5 Cost value of bonds and stocks owned absolutely 6 Cash in office 7 Cash deposited in banks on reserve fund acct All other deposits 8 Agents ledger balances 92500 00 11837 47 9639 75 29731 52 6595 99 15488 36 10 Total net or ledger assets 165793 09 Total net or ledger assets less depreciation CONTINGENT ASSETS 12 Interest due and accrued 16 Due from members for claims not yet assessed 82950 84 18 Indemnity assessments not yet expired 14619 57 21 Total due from members 22 Deduct estimated cost of collection 97570 41 4147 00 23 Net amount due from members 24 All other assets viz furniture fixtures safes etc Total assets 980410 35 165793 09 866 49 93423 41 22000 00 285082 99374 COMPTROLLERGENERALS REPORT VILIABILITIES 2 Losses in process of adjustment or adjusted and not due number of claims 234 47 553 74 3 Losses reported for which assessments have not been made number of claims 112 21599 39 4 Losses resisted by the company number of claims 6 13797 71 9 Amount of all other liability 16102 55 Total liabilities 99053 39 VIIEXHIBIT OF CERTIFICATES OR POLICIESNUMBER AND AMOUNT Total Business of 1S92 Number Amount Policies or certificates in force December 31 1891 Reinstatements issued prior to December 31 1891 Policies or certificates written during the year 1892 Total Deduct number and amount which have ceased to be in force during 1892 Total policies or certificates in force December 31 1892 Losses and claims on policies or certificates unpaid December 31 1891 Losses and claims on policies or certificates incurred during the year 1892 Total Losses and claims on policies or certificates paid during the year 1892 BUSINESS IN GEORGIA FOR YEAR 1893 ftisks 2903000 00 Premiums received 8466 00 Losses paid 7386 00 Taxes paid on premiums 84 66 THE VALLEY MUTUAL ASSESSMENT LIFE INSURANCE ASSOCIA TION OF STAUNTON VA aAmount of net or ledger assets December 31ft of previous year 58518 285 25212 285362150 00 1389800 00 121663500 00 84015 408415450 00 24082 115150300 00 59933 293265150 00 211 82526 08 3502 445164 00 3713 527690 08 3371 444739 24 173399 11 IIINCOME DURING YEAR 1892 Gross amount paid by members to the associa tion or its agents without deduction for com missions or other expenses as follows 2 Annual dues premiums 30941 05 3 Assessments 168537 13 Total paid by members 199478 18 5 Interest 2163 60 7 Cash received from all other sources 32385 48 Total 234027 26 HIDISBURSEMENTS DURING YEAR 1892 203519 80 14877 22 1 Losses and claims 2 Annual payments and assessments returned to members Total paid to members 218397 02 3 Commissions and fees retained by or paid to agents 8206 16 COMPTROLLER GENERALS REPORT 375 5 Salaries and traveling expenses of managers of agencies and general special and local agents 10098 17 6 Medical examiners fees whether paid direct by members or otherwise 686 00 7 Salaries and other compensation of officers and other office employees 14180 96 8 Rent taxes commuted commis sions f 4326 22 10 Advertising blanks and printing 2659 36 11 All other items 5868 65 Total disbursements 264422 54 IVINVESTED ASSETS 1 Cost value of real estate in cash exclusive of all incumbrances 14479 96 2 Loans on bonds and mortgages first lien on real estate 6498 26 4 Loans made in cash to members on this companys certificates assigned as collateral 575 96 5 Cost value of bonds and stocks owned abso lutely 26000 00 6 Cash iii office 9386 59 8 Agents ledger balances 18976 73 9 All other ledger assets 67086 33 Total net or ledger assets less depreciation 143003 83 VCONTINGENT ASSETS 15 Market value of bonds and stocks over cost 16 Due from members for claims not yet assessed Total assets 895 00 97000 00 240898 83 VILIABILITIES 3 Losses reported for which assessments have not been made number of claims 50 89000 00 4 Loses resisted by the company number of claims 4 8000 00 7 Borrowed money including interest due or accrued 23000 00 Total liabilities 120000 00 VIIEXHIBIT OF CERTIFICATES OK POLICIESNUMBER AND AMOUNT Total Business of 1892 Number Amount Policies or certificates in force December 31 1891 4661 8365100 00 Policies or certificates written during the year 1892 913 1040550 00 Total Deduct number and amount which have ceased to be in force during 1892 Total policies or certificates in force De cember 31 1892 Losses and claims on policies or certificates unpaid December 31 1891 Losses and claims on policies or certificates incur red during the year 1892 Total Losses and claims on policies or certificates paid during the year 1892 BUSINESS IN GEORGIA FOR YEAR 1893 Risks 365500 00 Premiums received 5485 08 Taxes paid on premiums 54 85 5574 9405650 00 711 1162500 00 4863 8243150 00 58 124000 00 109 192000 00 167 316000 00 113 219000 00 376 COMPTROLLERGENERALS REPORT THE AMERICAN CASUALTY INSURANCE AND SECURF BALTIMORE MD 1 Whole amount of capital stock 1000000 00 IIASSETS 2 Loans on bond and mortgage duly recorded and being first 3 Interest due on all said bond and mortgage loans interest accrued thereon 17416 DY CO OF 12500 00 174 16 1158025 00 264731 79 203269 48 615528 23 10599 59 328625 61 14221 90 4 5 Value of lands mortgaged exclusive of buildings and perishable improvements Value of buildinss mortgaged insured for 1560000 as collateral Total value of said mortgaged premises carried inside Stocks and bonds 9400 00 15600 00 6 8 25000 00 11 12 Cash in the companys principal office Cash belonging to the company deposited in bank 2091 91 262639 88 Total cash items 13 14 16 Cash in hands of managers due January 20 1893 Gross premiums payable in installments Interest due and accrued on bonds not included in market value uncollected Cash in the hands of agents and in course of transmission All other assets both real and personal viz interest on bank balances Total assets of the company actual cash r IIILIABILITIES Losses due and unpaid and to become due Gross losses in process of adjustment or in suspense including all reported and supposed losses larket value 16006 75 143358 43 30425 00 1 2 2607675 76 189790 18 1186531 49 91597 10 1467918 77 1000000 00 139756 99 3 Losses resisted including interest costs and other expenses thereon Total gross amount of claims for losses Net amount of unpaid losses 4 6 189790 18 7 8 Gross premiums without any deductions received and receivable upon all unexpired risks running one year or less from date of policy217534358 Unearned premiums fifty per cent Gross premiums without any deductions received and receivable upon all unexpired risks running more than one year from date 1087671 79 98859 70 Unearned premiums pro rata Total unearned premiums as computed ab out All other demands against the company absoh tingent due and to become due admitted anc Total amount of all liabilities except ca Jointstock capital actually paid up in cash Surplus beyond capital and all liabilities 11 19 20 21 23 ove carried ite and con contested aital stock COMPTROLLERGENERALS REPORT 377 IVINCOME DURING THE YEAK On Bisks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 577329 34 3 Net collected 577329 34 4 Gross premiums on risks written and renewed during the year 3255501 28 5 Total 3832830 62 3 Deduct premiums and bills in course of collec tion at this date 944153 84 7 Entire premiums collected during the year 2888676 78 8 Deduct reinsurance abatement rebate and return premiums 421977 67 9 Net cash actually received for premiums carried out 2466699 11 10 Received on account of reinsurance 20000 00 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 56340 00 14 Aggregate amount of income actually received during the year in cash 2543039 11 VEXPENDITURES DURING THE YEAR Ou Risks 1 Gross amount actually paid for losses includ ing 8758689 losses occurring in previous years 1162142 88 2 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years 5817800 and all amounts actually received for reinsurance in other companies total deductions 58178 00 3 Net amount paid during the year for losses 1103964 88 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 100000 00 6 Paid for commissions or brokerage 736930 67 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 118777 17 8 Paid for State national and local taxes in this and other States 55178 94 9 All other payments and expenditures 308012 75 Aggregate amount of actual expenditures during the year in cash 2422864 41 BUSINESS IN GEORGIA FOB 1893 Risks Premiums Losses Taxes paid on premiums 1976550 00 12644 21 18892 41 126 44 THE AMERICAN EMPLOYEES LIABILITY INSURANCE CO OF JERSEY CITY N J 1 Whole amount of capital stock 200000 00 2 Amount paid up in cash 200000 00 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 196500 00 3 Interest due on all said bond and mortgage loans interest accrued thereon 235101 total 2351 01378 COMPTROLLERGENERALS REPORT W 4 Value of lands mortgaged exclusive of build ings and perishable improvements 5 Value of buildings mortgaged insured for 19200000 as collateral 219000 00 216000 00 6 Total value of said mortgaged premises carried inside 435000 00 8 Stocks and bonds 11 Cash in the companys principal office 1035 06 12 Cash belonging to the company deposited in bank 52429 07 Total cash items 14 Interest due and accrued on stocks not included in market value uncollected 17 Bills receivable not matured taken for casualty and risks Due from other companies for reinsurance on losses already paid 89 500 00 53464 13 1544 86 200 00 189434 12 Total assets of the company actual cash market value 532994 12 IIILIABILITIES 1 Losses due and unpaid 3 Losses resisted including interest costs and other exDenses thereon 955 07 11750 00 4 Total gross amount of claims for losses 12705 07 6 Net amount of unpaid losses 12 Net premium reserve and all other liabilities except capital under the life insurance or any other special department 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 20 Total amount of all liabilities except capital stock scrip and net sui plus 21 Joint stock capital actually paid up in cash 23 Surplus beyond capital and all liabilities IVINCOME DURING YEAR On Casualty Risks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 83593 20 2 Deduct amount of same not collected 46 154 62 12705 07 274223 53 24974 66 311903 26 200000 00 21090 86 37438 58 Net collected Gross premiums on risks written and renewed during the year 651924 47 9 10 11 14 Total 689363 05 Deduct premiums and bills in course of collec tion at this date 185934 12 Entire premiums collected during the year 503428 93 Deduct reinsurance and return premiums 24499 99 Net cash actually received for premiums carried out 478928 94 Received for interest on bonds and mortgages 6382 28 Received for interest and dividends on stocks and Donds col lateral loans and from all other sources 4 729 42 Aggregate amount of income actually received during the year in cash 490040 64 VEXPENDITURES DURING THE YEAR Ou CasuaHy Risks Gross amount actually paid for losses inclu ding losses occurring in previous years 204183 11 Net amount paid during the year for losses 204183 11 sfesa COMPTROLLERGENERALS REPORT 379 4 Cash dividends actually paid policyholders amount of stockholders dividends declared during the year 5914 16 6 Paid for commissions or brokerage 104671 09 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 8 Paid for State national and local taxes and fees in this and other States 9 All other payments and expenditures Aggregate amount of actual expenditures during the vear in cash BUSINESS IN GEORGIA FOE YEAR 1893 Premiums Taxes paid on premiums 41725 93 8572 61 41892 88 406959 78 37724 46 377 24 THE AMERICAN SURETY CO OF NEW YORK N Y 1 AVhole amount of capital stock 2 Amount paid up in cash 2000000 00 2000000 00 11 12 14 16 17 Market value of real estate owned by the company less the amount of inoumbrances thereon Loans on bond and mortgage duly recorded and being first liens on the fee simple Value of lands mortgaged exclusive of build ings and perishable improvements 1800 00 Value of buildings mortgaged insured for as collateral 6000 00 Total value of said mortgaged premises carriedinside 7800 00 Amount of other loans Stocks and bonds Cash in the companys principal office 1355 75 Cash belonging to the company deposited in bank 128990 56 1281508 63 5000 00 Total cash items Interest due and accrued on stocks not included in market value uncollected Cash in the hands of agents and in course of transmission Bills receivable not matured taken for risks Due from other companies for reinsurance on losses already paid 18557 80 1651317 33 130346 31 13076 78 35123 97 7240 52 62516 97 Total assets of the company actual cash market value 3204688 31 IIILIABILITIES 2 Gross claims in process of adjustment or in suspense including all reported and sup posed losses 155982 77 3 Claims resisted including interest costs and other expenses thereon 23407 99 4 Total gross amount of claims for losses 179390 76 6 Net amount of unpaid claims 179390 76 7 Gross premiums without any deductions re ceived and receivable upon all unexpired risks running one year or less from date of policy55833547 Unearned premiums fifty per cent 279167 74 11 Total unearned premiums as computed above car ried out 279167 74 19 All other demands against the company absolute and con tingent due and to become due admitted and contested viz commissions 1355 1380 COMPTROLLERGENERALS REPORT 20 21 23 1 Total amount of all liabilities except capital stock scrip and net surplus Joint stock capital actually paid up in cash Surplus beyond capital and all liabilities IVINCOME DURING Til a YEAR On Surety Risks Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 47224 13 459913 62 2000000 00 744774 69 47224 13 Net collected Gross premiums on risks written and renewed during the year 585632 69 8 Total 632856 82 Deduct premiums and bills in course of collec tion at this date 47817 13 9 10 11 12 14 Entire premiums collected during the year cash 585039 69 Deduct transfer and return premiums 68872 27 Net cash actually received for premiums carried out Received for interest on bonds and mortgages Received for interest and dividends on stocks and bonds collateral loans and from all other sources Incomereceived from all other sources omitting increase if any in value of securities 516167 42 250 00 42463 54 54714 07 Aggregate amount of income actually received dur ing the year in cash 613600 03 VEXPENDITURES DUBING THE YEAR On Surety Risks 1 Gross amount actually paid for losses includ ing 2988710 losses occurring in previous years 233549 05 2 Deduct all amounts actually received for sal vages whether on losses of the last or of pre vious years and all amounts act ually received for reinsurances in other com panies total deductions 38522 70 3 Net amount paid during the year for losses 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the vear 10000000 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees Paid for State national and local taxes in this and other States 9 All other payments and expenditures Aggregate amount of actual expenditures during the year in cash 8 195026 35 100000 00 30469 82 126488 15 14926 98 76358 80 543270 10 BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 1600633 00 8198 12 785 06 81 98 M COMPTROLLERGENERALS REPORT 381 L6 17 THE BRITISH AND FOREIGN MARINE INSURANCE CO OF LIVERPOOL ENGLAND Whole amount of capital stock 200000 IIASSETS Loans on bond and mortgage duly recorded and being first liens on the fee simple Amount of other loans Stocks and bonds Total cash items Net premiums in course of collection Bills receivable not matured taken for marine and inland risks Due from other companies for reinsurance on losses already paid 50000 00 245108 75 079722 12 55506 67 217638 25 14472 90 26787 24 Total assets of the company actual cash market value 1289236 02 IIILIABILITIES Gross losses in process of adjustment or in suspense including all reported and sup posed losses 134981 84 Losses resisted including interest cost and other expenses thereon 10004 00 4 5 6 10 11 13 19 20 23 Total gross amount of claims for losses Deduct reinsurance thereon 144985 84 20812 84 Net amount of unpaid losses Gross premiums without any deduction re ceived and receivable on all unexpired ma rine risks 244995 45 Deduct cash rebate to credit of assured 20704 28 Total unearned premiums as computed above carried out Unused balances of bills and notes taken in advance for pre miums on open marine and inland policies or otherwise returnable on settlement All other demands against the company absolute and con tingent due and to become due admitted and contested Total amount of all liabilities except capital stock scrip and net surplus Surplus beyond all liabilities IVINCOME DURING THE YEAR On Marine and Inland Risks Gross premiums and bills in course of collection at close of last previous year as shown by that years statement 284153 31 Deduct amount of same not collected 9517 33 124173 00 224291 17 11945 93 99271 41 459681 51 829554 31 9 11 Net collected 274635 98 Gross premiums on risks written and renewed during the year 1986475 31 Total 2261111 29 Deduct premiums and bills remaining uncol lected at this date 221508 41 Entire premiums collected during the year 2039602 88 Deduct reinsurance and return premiums 676090 04 Net cash actually received for premiums carriad out Received for interest and dividends on stocks and bonds collateral loans and from all other sources 1363512 84 46113 90382 COMPTROLLERGENERALS REPORT 12 Income received from all other sources omitting increase if any in value of securities 229345 37 14 Aggregate amount of income actually received during the year in cash 1638972 11 VEXPENDITURES DIKING THE YEAR On Marine and Inland Risks 1 Gross amount actually paid for losses includ ing losses occurring in previous years 1017593 04 2 Deduct all amounts actually received for sal vages whether on losses of the last or pre vious years 17966732 and all amounts actually received for reinsurances in other companies 36551223 total deductions 549180 55 3 Net amount paid during year for losses 468412 49 6 Paid for commissions or brokerage 165983 83 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 82715 38 8 Paid for State national and local taxes in this and other States 21605 70 9 All other payments and expenditures viz remittances to home office 876813 10 Aggregate amount of actual expenditures during the year in cash 1615530 50 BUSINESS IN GEORGIA FOR 1893 5isks 447201 00 Premiums 5706 85 Losses 122 27 Taxes paid on premiums 57 07 THE EMPLOYEES LIABILITY ASSURANCE CORPORATION OF LONDON ENGLAND 1 Whole amount nf capital stock 5000000 00 2 Amount paid up in cash 750000 00 7 Amount of other loans 22934 62 8 Stocks and bonds 1 4l3yi4 95 11 Cash in companys principal office 130 08 12 Cash belonging to the company deposited in bank 62884 04 63014 12 1480 00 Total cash items 14 Interest due and accrued not included in market value V uncollected I 15 Interest due and accrued on collateral loans and uncoliected j 16 Gross premiums in course of collection 416 891 04 Total assets of the company actual cash market value 1917934 04 IIILIABILITIES 6 Net amount of unpaid losses 372 263 61 11 Total unearned premiums as computed above carried OUt 417 jgQ QQ 16 Cash dividends to stockholders remaining unpaid 144 50 17 Due and accrued for salaries rent advertising and for agency and other miscellaneous expenses 4 666 16 19 All other demands against the company absolute and con tingent due and to become due admitted and contested viz due to agents and brokers and other companies 141900 83 20 Total amount of all liabilities except capital stock scrip and net surplus 93g 505 q 21 Jointstock capital actually paid up in cash 750000 00 23 Surplus beyond capital and all liabilities 23l328 91COMPTROLLERGENERALS REPORT 383 IVINCOME DURING YEAR 1892 On Fire Risks On Casualty Risks 9 Net cash premiums carried out 1780 91 1210437 54 1212218 45 10 Received for interest on bonds and mortgages 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 12 Income received from all other sources omitting increase if any in value of securities viz rents transfer fees 48749 64 218 13 14 Aggregate amount of income actually received during the vear in cash 1261186 22 VEXPENDITURES DURING THE YEAR On Fire Risks On Casualtv and Guaranty Risks 3 Net amount paid during the vear for losses 2651 23 666399 87 663748 64 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 54166 67 6 Paid for commissions or brokerage 205257 17 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 183821 85 9 All other payments and expenditures viz rent rate taxes advertising postage stationery etc 116623 08 Aggregate amount of actual expenditures during the year in cash BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 1223617 41 21007 70 9817 86 5527 50 98 18 THE FIDELITY AND CASUALTY INSURANCE COOF NEW YORK Whole amount of capital stock Amount paid up in cash 250000 00 250000 00 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 5150 00 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 7266 66 7 Amount of other loans 121839 00 8 Stocks and bonds 1192090 25 11 Cash in companys principal office 72259 43 12 Cash belonging to the company deposited in bank 27045 77 99305 20 Total cash items 14 Interest due and accrued on stocks not included in market value uncollected 15 Interest due and accrued on collateral loans and uncollected Due from other companies for reinsurance on losses already paid 384159 72 2729 00 415 59 Total assets of the company actual cash market value 1812955 42 IIILIABILITIES 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 86737 74 3 Losses resisted including interest costs and other expenses thereon 119810 47 6 Net amount of unpaid losses 206548 21384 COMPTROLLERGENERALS REPORT 11 Total unearned premiums as computed above carried out 17 Due and accrued for salaries rent advertising and for agen cy and other miscellaneous expenses 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 20 1075726 03 8248 31 97919 92 Total amount of liabilities except capital stock scrip and net surplus 1388442 47 21 Joint stock capital actually paid up in cash 250000 00 23 Scrip beyond capital and all liabilities 174512 95 IVINCOME DURING YEAR THE 1892 9 Net cash actually received for premiums carried out 2104864 04 10 Received for interest on bonds and mortgages 11 Received for interest and dividends on stocks and bonds 55734 58 collateral loans and from all other sources 12 Income received from all other sources omitting increase if any in value of securities 175 00 14 Aggregate amount of income actually received during the year in cash 2160773 62 VEXPENDITURES DURING THE YEAR 792737 75 3 Net amount paid during the year for losses 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 40000 00 6 Paid for commissions or brokerage 620258 40 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 216324 70 8 Paid for State national and local taxes in this and other States 30937 77 9 All other payments and expenditures 279673 66 Aggregate amount of actual expenditures during the year in cash 1979932 28 BUSINESS IN GEORGIA FOR 1893 5isks 2819118 00 Premiums 19178 68 Losses 12 216 96 Taxes paid on premiums l91 79 THE FIDILITY AND DEPOSIT INSURANCE CO OF BALTIMORE MD 1 Whole amount of capital stock 500000 00 2 Amount paid up in cash 500000 00 IIASSETS 1 Value of real estate owned by the company less the amount of incumbrances thereon 2 Loans on mortgage duly recorded and being first liens on the fee simple 7 Amount of other loans 8 Stocks and bonds 335ig 7 12 Cash belonging to the company deposited in bank 28000 00 Total cash items 13 Cross premiums not more than three months due 17 Rills receivable All other assets both real and personal viz rent due and accrued furniture and fixtures 1000 00 210163 26 1831 06 33750 00 5 28000 00 5080 87 4477 92 Gross assets of the company actual cash market value 620664 94 COMPTROLLERGENERALS REPORT 385 11 IIILIABILITIES Gross premiums without any deductions re ceived and receivable upon all unexpired surety risks running one year or less from date of policy6957256 Unearned premiums fifty per cent 34786 28 Total unearned premiums as computed above carried out 34786 28 20 Total amount qf all liabilities except capital stock scrip and net surplus 21 Jointstock capital actually paid up in cash 23 Surplus beyond capital and all liabilities 34786 28 500000 00 85878 66 IVINCOME DURING THE YEAR On Surety Risks 1 Gross premiums and bills in couise of collec tion at close of last previous year as shown by that years statement 11926 80 2 Deduct amount of same not collected 2015 00 3 Net collected 9 9x1 80 4 Gross premiums on risks written and renewed during the year 69572 56 5 Total 6 Deduct premiums and bills in course of collec tion at this date 7 Entire premiums collected during the year cash 69925 57 8 Deduct reinsurance and return premiums 2187 67 9 Net cash actually received for premiums carried out 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources Income received from all other sources omitting increase if any in value of securities viz rents profits investments commissions tc 13 Received for calls on capital 23906500 for increased capi tal 79484 36 9558 79 12 14 Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR 67737 90 42434 63 9647 11 239065 00 358884 64 1 Gross amount actually paid for losses includ ing losses occurring in previous years 2 Deduct all amounts actually received for sal vages whether on losses of the last or of pre vious years and all amounts act ually received for reinsurances in other com panies total deductions On Surety Risks 3894 22 1204 10 8 Net amount paid during the year for losses Paid for commissions or brokerage Paid for salaries fees and other charges of officers clerks agents and all other employees Paid for State national and local taxes in this and other States All other payments and expenditures 2690 12 4615 62 12043 27 3390 15 24546 50 Aggregate amount of actual expenditures during the year in cash 47 285 66386 COMPTROLLERGENERALS REPORT THE GENERAL MARINE FIRE INSURANCE CO OF DRESDEN GERMANY 2 Amount paid up in cash 221000 00 IIASSETS 8 Stocks and bonds 11 Cash in the companys principal office 12 Cash belonging to the company deposited in bank 2363 45 32146 15 Total cash items 13 Amount of premium in course of collection 17 Bills receivable not matured taken for fire marine and inland risks 246000 00 35509 60 31686 92 877 50 Total assets of the company actual cash market value 314074 02 IIILIABILITIES 11 20 Unearned premiums one hundred per cent 25104 GO Total unearned premiums as computed above carried out 25104 60 Total amount of all liabilities except capital stock BCrip and net surplus 23 Surplus beyond all liabilities 25104 60 288969 42 INCOME DURING THE YEAH On Marine and Inland Risks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 34860 12 2 Deduct amount of same not collected 1080 62 3 Net collected 4 Iross premiums on risks written and renewed during the year 5 Total 6 Deduct premiums and hills in course of collec tion at this date 7 Entire premiums collected duringthe year S Deduct reinsurance and return premiums i Net cash actually received for premiums carried out 14 Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Marine and inland Risks 1 ross amount actually paid for losses includ ing 2411451 losses occurring in previous years 2 Deduct all amounts actually received for sal vages whether on losses of the last or of previous years and all amounts actually received for reinsurances in other companies total deductions 33 77 o 187 975 63 221 755 L3 32 564 42 lSH 10 71 859 23 183331 48 183331 48 72433 87 21114 51 3 Net amount paid during the year for losses 6 Paiil for commissions or brokerage All other payments and expenditures Aggregate amount of actual expenditures during the year in cash 4831i 36 16523 57 59661 62 124504 55 COMPTROLLERGENERALS REPORT 387 BUSINESS IN GEORGIA FOR 1893 Risks 2825808 00 Premiums 17336 48 Taxes paid on premiums 173 35 THE GUARANTEE CO OF N A OF MONTREAL CANADA 1 Whole amount of capital stock 2 Amount paid up in cash 6 8600 00 304600 00 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 7 Amount of other loans 8 Stocks and bonds 11 Cash in the companys principal office 654 05 12 Cash belonging to the company deposited in bank 82101 85 Total cash items 14 Interest due and accrued on stocks not included in market value uncollected 16 Cash in the hands of agents and in course of transmission Due from other companies for reinsurance on losses already paid Total assets of the company actual cash market value 31588 85 14616 80 13500 00 584703 16 82755 90 8361 28 30976 94 5803 79 772306 72 IIILIABILITIES 1 Losses due and unpaid 3 Claims resisted including interest costs and other expenses thereon 33961 37 18500 00 52461 37 4 Total gross amount of claims for losses 6 Net amount of unpaid losses 7 Gross premiums without any deductions re ceived and receivable upon all unexpired risks running one year or less from date of policv21725469 Unearned premiums fifty per cent 108627 34 11 Total unearned premiums as computed above carried out 19 Allother demands against the company absolute and con tingent due and to become due admitted and contested viz reinsurance salaries rent and all other expenses 20 Total amount of all liabilities except capital stock scrip and net surplus 21 Jointstock capital actually paid up in cash 23 Surplus beyond capital and all liabilities IVINCOME DURING TIIE YEAR i r 0n Fire Risks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 28844 37 On risks written during 1892 250488 00 52461 37 108627 34 9803 60 170892 31 304600 00 296814 41 Ttal 279332 37 6 Deduct premiums and bills in course of collec tion at this date 30 975 94 7 Entire premiums collected during the year 248 355 43 8 Deduct reinsurance rebate and return pre miums 40306 35388 COMPTROLLERGENERALS REPORT 9 Net cash actually received for premiums carried out 208049 08 10 Received for interest on bonds and stocks 28553 28 12 Income received from all other sources omitting increase if any in value of securities 22120 40 14 Aggregate amount of income actually received during the year in cash 258722 76 VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing 2912806 losses occurring in previous years 91361 86 2 Deduct all amounts actually received for rein surances in other companies total deductions 13795 33 3 Net amount paid during the year for losses 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 8 Paid for State national and local taxes in this and other States 9 All other payments and expenditures Aggregate amount of actual expenditures during the year in cash 77566 53 18276 00 12672 25 58299 18 5371 31 60319 61 BUSINESS IN GEORGIA EOR 1893 Risks Premiums Losses Taxes paid on premiums GUARANTORS INSURANCE CO OF PHILADELPHIA IIASSETS 8 Stocks and bonds 11 Cash in the companys principal office 200 00 12 Cash belonging to the companv deposited in bank 9850 08 232504 88 171100 00 3213 88 443 45 32 14 PA Total cash items 14 Interest due and accrued on stocks not included in market value uncollected 16 Cash in the hands of agents and in course of transmission 17 Bills receivable not matured taken for casualty risks Total assets of the company actual cash market value IIILIABILITIES 7 Gross premiums without any deductiens re ceived and receivable upon all unexpired risks running one vear or less from date of policy17208 06 Unearned premiums fifty per cent 8604 03 103125 00 10050 08 50 00 4400 00 76 95 117702 03 11 Total unearned premiums as computed above carried out 12 Net premium reserve and all other liabilities except capital under the life insurance or any other special department 8604 03 8604 03 20 Total amount of liabilities except capital stock scrip and net surplus 17208 Oli 23 Surplus beyond all liabilities 104493 97WSKslfr COMPTROLLERGENERALS REPORT 389 VEXPENDITURES DURING THE YEAR 1892 3 Net amount paid during the year for losses Aggregate amount of actual expenditures during the year in cash BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 1954 45 1954 45 300000 00 1827 06 63 25 18 27 THE HARTFORD STEAM BOILER INSURANCE CO OF H CONNECTICUT ARTFORD 1 Whole amount of capital stock 2 Amount paid up in cash 500000 00 500000 00 1 Market value of real estate owned by the company less the amount of incumbrances thereon 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 3 Interest due on all said bond and mortgage loans 323975 interest accrued thereon 696325 total 4 Value of lands mortgaged exclusive of buildings and per ishable improvements 1050981 00 5 Value of buildings mortgaged insured for 6811000 as collateral 213250 00 Total cash items 14 Interest due and accrued on stocks not included in market value uncollected 15 Interest due and accrued on collateral loans and uncollected 16 Cash in the hands of agents and in the course of transmis sion Total assets of the company actual cash market value IIILIABILITIES 2 Gross losses in process of adjustment or in sus pense including all reported and supposed losses 17657 95 4 Total gross amount of claims for losses 17657 95 7 Gross premiums without any deductions re ceived and receivable upon all unexpired risks running one year or less from date of policy7556226 Unearned premiums fifty per cent 8 Gross premiums without any deductions re ceived and receivable upon all unexpired risks running more than one year from date of policy180576498 Unearned premiums pro rata 36666 53 343227 85 10203 00 6 Total value of said mortgaged premises carried inside 1264231 00 7 Amount of other loans 8 Stocks and bonds 11 Cash in the companys principal office 5056 91 12 Cash belonging to the company deposited in bank 55142 97 5000 00 1028132 00 60799 88 18879 21 58 33 122261 72 1625228 52 37781 13 958069 17 11 Total unearned premiums as computed above carried out 995850 30 390 COMPTROLLERGENERALS REPORT Due and accrued for salaries rent advertising and for agency and other miscellaneous expenses Brokerage Total amount of all liabilities except capital stock scrip and net surplus Joint stock capital actually paid up in cash Surplus beyond all capital and liabilities IVINCOME DUKING THE YEAR 17 20 21 23 625 00 4997 56 019130 81 500000 00 106097 71 On Steam Boiler Risks 1 Gross premiums for inspection in course of col lection at close of last previous year as shown by that years statement Total Deduct premiums and bills in course of collec tion at this date 783261 04 783246 04 67018 60 10 11 14 Net cash actually received for premiums and inspection carrried out Received for interest on bonds and mortgages Received for interest and dividends on stocks and bonds collateral loans and all other sources Special mechanical service Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Steam Boiler Risks Gross amount actually paid for losses inclu ding 913996 losses occurring in previous years 106722 89 Net amount paid during the year for losses Cash dividends actually paid stockholders amount of stock holders dividends declared during the year Paid for commissions or brokerage Paid for salaries fees and other charges of officers clerks agents and all other employees Paid for State national and local taxes in this and other States All other payments and expenditures viz agency and office except apparatus furniture etc 716227 44 20848 16 44940 58 3053 57 785069 75 106722 89 55000 00 163725 74 30332 50 14882 41 337950 23 Aggregate amount of actual expenditures during the year in cash BUSINESS IN GEORGIA FOR 1893 Risks Premiums received Losses paid Taxes paid on premiums 708413 7 554850 00 5443 04 402 85 54 43 THE INTERSTATE CASUALTY CO OF NEW YORK N Y 1 Whole amount of capital stock 150000 00 2 Amount paid up in cash 150000 00 IIASSETS 8 Stocks and bonds 11 Cash in companys principal office 12 Cash belonging to the company deposited in bank Total cash items 929 43 80648 99 138575 00 81578 42 COMPTROLLERGENERALS REPORT 391 15 Interest due and accrued on collateral loans and uncollected 16 Cash in the hands of agents and in course of transmission Due from other companies for reinsurance on losses already paid Total assets of the company actual cash market value IIILIABILITIES 7 Gross premiums without any deductions re ceived and receivable upon all unexpired risks running one year or less from date of policv117180 Unearned premiums 8 Gross premiums without any deductions re ceived and receivable upon all unexpired risks running more than one vear from date of policy17001 Unearned premiums pro rata 106 25 160 00 1457 07 221876 74 586 40 153 01 11 Total unearned premiums as computed above carried out 17 Due and accrued for salaries rent advertising and for agency and other miscellaneous expenses 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 20 Total amount of all liabilities except capital stock scrip and net surplus 21 Jointstock capital actually paid in cash 23 Surplus beyond all liabilities 739 40 1230 00 40 00 2009 40 150000 00 69867 34 IVINCOME DURING THE YEAR 4 Gross premiums on risks written and renewed during the year On Accident Kisks 1342 80 5 Total 1342 80 6 Deduct premiums and bills in course of collec tion at this date 160 00 9 Net cash actually received for premiums carried out 11 Received for interest and dividends on stocks and bond col lateral loans and from all other sources 12 Income received from all other sources omitting increase if any in value of securities 13 Received for calls on capital 15000000 for increased capi tal total 1182 80 183 98 7500 00 150000 00 14 Aggregate amount of income actually received in cash 226366 78 VEXPENDITURES DURING THE YEAR 6 Paid for commissions or brokerage 418 99 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 1283 07 8 Paid for State national and local taxes in this and other States 503 50 9 All other payments and expenditures 4007 80 Aggregate amount of actual expenditures in cash 6213 36 THE LLOYDS PLATE GLASS INSURANCE CO OF NEW YORK N Y 1 Whole amount of capital stock 2 Amount paid up in cash 250000 00 250000 00 IIASSETS 1 Market value of real estate owned by the company less the amount of incumbrances thereon 135000 00 8 Stocks and bonds 352065 00392 COMPTROLLERGENERALS REPORT 11 Cash in companys principal office 12 Cash belonging to the company deposited in bank 4630 90 19940 23 Total cash items 15 Interest due and accrued on collateral loans and uncollected 16 Gross premiums in course of collection Due from other companies for reinsurance on losses already paid 24671 13 4270 00 60440 41 1550 00 3657 24 Total assets of the company actual cash market value 577896 54 IIILIABILITIES 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 3 057 24 6 Net amount of unpaid losses 7 Gross premiums without any deductions re ceived and receivable upon all unexpired risks running one year or less from date of policy34990274 Unearned premiums fifty per cent 174951 37 8 Gross premiums without any deductions re ceived and receivable upon all unexpired risks running more than one year from date of policy2208460 Unearned premiums pro rata 12288 87 11 Total unearned premiums as computed above car ried out Se and accrued for agency and other miscellaneous expenses 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 20 Total amount of all liabilities except capital stock scrip and net surplus 21 Joint stock capital actually paid up in cash 23 Surplus beyond capital and all liabilities IVINCOME DURING THE YEAK On Fire Risks 1 Gross premiums and bills in course of collection at close of last previous year as shown by that years statement 74626 22 2 Deduct amount of same not collected Il81 17 3 Net collected 73 445 95 4 Gross premiums on risks written and renewed during the year 390968 98 5 Total 4g4 44 03 6 Deduct premiums and bills in course of collec tion at this date 57 g25 35 7 Entire premiumscollectedduringthe year cash 396788 68 8 Deduct reinsurance rebate abatement and re turn premiums 29 460 84 187240 24 31100 42 16906 34 238904 21 250000 00 88992 30 9 Net cash actually received for premiums carried out 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 12 Income received from all other sources omitting increase if any in value of securities 367327 84 16380 02 5578 87 14 Aggregate amount of income actually receceived dur ing the year in cash 339 286 73 COMPTROLLERGENERALS REPORT 393 VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing 350835 losses occurring in previous years 209712 16 2 Deduct all amounts actually received for sal vages whether on losses of the last or of pre vious years 5227381 and all amounts act ually received for reinsurances in other com panies total deductions 52273 81 3 Net amount paid during the year for losses 157438 35 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 35000 00 6 Paid for commissions or brokerage 97483 01 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 35110 17 8 Paid for State national and local taxes in this and other States 11951 83 9 All other payments and expenditures 35267 84 Aggregate amount of actual expenditures during the year in cash BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 392251 20 32814 38 987 98 48 00 9 88 THE LONDON GUARANTEE AND ACCIDENT INSURANCE CO OF LONDON ENGLAND 2 Amount of capital stock paid up in cash 266680 00 IIINVESTED ASSETS 2 Loans on bonds and mortgages first lien on real estate 62000 00 6 Cost value of bonds and stocks owned abso lutely 493313 15 7 Cash in companys office 46 43 8 Cash deposited in banks 320895 68 10 Agents ledger balances 41951 29 12 14 Total net or invested assets 918206 55 Total net or invested assets less depreciation 918206 55 OTHER ASSETS 16 Interest due and accrued on bonds and stocks 25 All other items 4858 50 41527 40 Total assets IIILIABILITIES Net premium reserve fifty per cent of net premiums 4 Losses in process of adjustment or adjusted and not due 47964 66 5 Losses and other policy claims resisted by the company 18926 56 7 Total policy claims 10 Unpaid dividends due stockholders 12 Salaries rents and office expenses 15 Amount of any other liability of the company 964592 45 134923 64 66891 22 451 37 5458 75 9690 54 16 Liabilities on policyholders account 217415 52 17 Gross surplus on policyholders account 747176 93I 394 COMPTROLLERGENERALS REPORT IVINCOME DURING YEAR Total 4 Deduct amount of premiums paid to other companies for rein surance on policies in this com pany less S dividends thereon 279658 29 9811 00 5 Total premium income 6 Interest upon mortgage loans 7 Interest on bonds owned and dividends on stock 8 Profit on exchanges 9 Profit on stocks sold 10 All other items 269S47 29 2005 00 23081 91 885 33 2971 17 66640 00 Total income VDISBURSEMENTS DURING YEAR 5 Total amount actually paid for losses 11 Stockholders for interest or dividends 12 Commissions to agents 13 Salaries and traveling expenses of managers of agencies and general special and local agents 14 Medical examiners fees 15 Salaries and other compensation of officers and other office employees 16 Taxes 19 All other items 89 46 50 9 12 56 448 00 457 75 14 26 3 99 688 17 280 75 278 66 623 14 039 32 Total disbursements BUSINESS IN GEORGIA FOR 1893 21 Risks Premiums Taxes paid on premiums 366090 70 253808 35 89000 00 338 00 3 38 THE NEW YORK PLATE GLASS EIRE INSURANCE CO YORK INT Y 1 Whole amount of capital stock 100000 00 2 Amount paid up in cash 100000 00 OF NEW 8 Stocks and bonds 11 Cash in the companys principal office 12 Cash belonging to the company deposited in bank 2717 69 10725 20 Total cash items 13 Amount of premium notes upon which policies have been issued 14 Interest due and accrued on stocks not included in market value uncollected Due from other companies for reinsurance on losses already paid Total assets of the company actual cash market value IIILIABILITIES 1 Losses due and unpaid r Total gross amount of claims for losses Gross premiums without any deductions re ceived and receivable upon all unexpired plate glass risks running one year or less from date of policy14582661 Unearned premiums fifty per cent 3878 75 148125 00 13442 89 27659 42 1000 00 37 24 190264 55 3878 75 72913 30sswEsr COMPTROLLERGENERALS REPORT 395 Gross premiums without any deductions re ceived and receivable upon all unexpired plate glass risks running more than one year from date of policy503006 Unearned premiums pro rata 3706 08 11 Total unearned premiums as computed above carried out 76619 38 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 8128 20 20 Total amount of all liabilities except capital stock scrip and net surplus 88626 33 21 Jointstock capital paid up in cash 100000 00 23 Surplus beyond capital and all liabilities 1638 22 IVINCOME DURING THE YEAR 2 Deduct amount of same not collected On Plate Glass Risks 13799 94 9 LI 14 Net collected 13799 94 Gross premiums on risks written and renewed during the year 176161 42 Total 189961 36 Deduct premiums and bills in course of collec tion at this date 29115 04 Entire premiums collected during the year 160846 32 Deduct reinsurance and return premiums 23281 89 Net cash actually received for premiums carried out Received forinterest and dividends on stocks and bonds collateral loans and from all other sources Aggregate amount of income actually received during the year in cash VEXPENDITURES DUKING THE YEAR On Plate Glass Kisks Gross amount actually paid for losses includ ing losses occurring in previous years38101 43 Net amount paid during the year for losses Cash dividends actually paid stockholders amount of stock holders dividends declared during the year Paid for commissions or brokerage Paid for salaries fees and other charges of officers clerks agents and all other employees Paid for State national and local taxes in this and other States All other payments and expenditures Aggregate amount of actual expenditures during the year in cash BUSINESS IN GEORGIA FOR 1893 137564 43 5375 50 142939 93 Risks Premiums Losses Taxes paid on premiums 38101 43 2500 00 44003 41 22360 78 4071 63 23229 52 134266 77 14477 25 352 22 150 00 3 52 396 COMPTROLLERGENERALS REPORT THE PREFERRED ACCIDENT INSURANCE CO OF NEW YORK N Y 1 Whole amount of capital stock 100000 00 2 Amount paid up in cash 100000 00 IIASSETS 8 Stocks and bonds 11 Cash belonging to the company deposited in bank Total cash items 99728 77 100271 23 99728 77 Total assets of the company actual cash market value IIILIABILITIES 31 Joint stock capital actually paid up in cash 23 Surplus beyond all liabilities 200000 00 100000 00 100000 00 THE SOUTHERN LIVE STOCK INSURANCE CO OF ATLANTA GA 1 Whole amount of capital stock 2 Amount paid up in cash 50000 00 5000 00 IIASSETS 2 Loans on bond and mortgage duly recorded and being first liens on fee simple 7 Amount of other loans 11 Cash in companys principal office 26 51 12 Cash belonging to the company deposited in bank 900 82 Total cash items 927 33 15 Interest due and accrued on collateral loans and uncollected 16 Cash in the hands of agents and in course of transmission 17 Bills receivable not matured Due from other companies for reinsurance on losses already paid 500 00 150 00 50 06 136 67 1963 39 926 83 1 Losses due and unpaid 3 Losses resisted including interest costs and other expenses thereon Total assets of the company actual cash market value VILIABILITIES 150 00 75 00 6 Net amount of unpaid losses 20 Total amount of liabilities except eapital stock scrip and net surplus 21 Joint stock capital actually paid up in casti IVINCOME DURING THE YEAR 1892 x 0n Fire Risks 7 imtire premiums collected during the year 4197 37 9 Net cash actually received lor premiums carried out 10 Received for interest on bonds and mortgages 14 4654 28 225 00 225 00 5000 00 4197 37 71 91 Aggregate amount of income actually received during the year in cash 4269 28 VEXPENDITURES DURING THE YEAR 1892 3 Net amount paid during the year for losses 1 075 00 6 Paid for commissions or brokerage 765 63 7 Paid for salaries fees and other charges of officer clerks agents and all other employees 1750 62 COMPTROLLERGENERALS REPORT 397 S Paid for State national and local taxes in this and other States 9 All other payments and expenditures Aggregate amount of actual expenditures during the in cash BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 152 93 1847 71 5591 89 95229 65 7318 18 2009 00 73 18 THE STANDARD LIFE AND ACCIDENT INSURANCE CO TEOIT MICH 1 Amount of capital stock 200000 00 2 Amount of capital stock paid up in cash 200000 00 IIINVESTED ASSETS 2 Loans on bonds and mortgages first lien on real estate 302391 23 3 Loans secured by pledge of bonds stocks or other marketable collaterals 10000 00 6 Cost value of bonds and stocks owned abso lutely 148000 00 7 Cash in companys office 1156 19 8 Cash deposited in banks 50503 91 i Bills receivable 76 47 OF DE 12 14 Total net or invested assets 512127 80 Total net or invested assets less depreciation OTHER ASSETS 15 Interest due and accrued on bonds and mortgages 16 Interest due and accrued on bonds and stocks 20 Gross premiums due and unreported on policies in force December 31 1892 153739 98 512127 80 6241 82 612 50 22 Total 23 Deduct twentysix per cent for average load ing on above gross amount 153739 98 39972 39 24 Net amount of uncollected and deferred premiums 25 All other items Total assets ITEMS NOT ADMITTED Bills receivable Reserve on business premiums in foreign countries 659 76 47 4 Total 113767 59 6592 74 63932 45 6669 21 Total assets less items not admitted 632673 24 IIILIABILITIES Net premium reserve fifty per cent of premiums in force December 31 1892 Indemnity losses in process of adjustment 750 00 Death losses and other policy claims resisted by the company 37142 02 Total policy claims 16 Liabilities on policyholders account 17 Gross surplus on policyholders account 350236 68 37892 02 388128 70 244544 54 398 COMPTROLLERGENERALS REPORT IVINCOME DURING THE YEAR On Accident Risks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 160252 68 2 Deduct amount of same not collected 46534 69 3 Net collected 113717 99 4 Gross premiums on risks written and renewed during the year 914442 12 r Total 1028160 11 6 Deduct premiums and bills in course of collec tion at this date 153739 98 7 Entire premiums collected during the year 874420 10 8 Deduct reinsurance rebate abatement and re turn premiums 108509 20 9 Net cash actually received for premiums carried out 765910 93 10 Received for interest on bonds and mortgages 16382 30 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 2073 38 14 Aggregate amount of income actuallv received during the year in cash 784366 61 VEXPENDITURES DURING THE YEAR On Accident Risks 1 jross amount actually paid for losses includ ing 1202156 losses occurring in previous years 361413 60 3 JSet amount paid during the year for losses 6 Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees 8 Paid for State national and local taxes in this and other States 9 All other payments and expenditures 361413 60 200104 72 96027 03 17825 42 52179 69 Aggregate amount of actual expenditures during the year in cash 727550 46 BUSINESS IN GEORGIA FOR 1893 Sisks 288100 00 Premiums Losses Paxes paid on premiums 2135 92 383 56 21 35 THE THAMES AND MERSEY MARINE FIKE INSURANCE CO OF LIVERPOOL ENGLAND 1 AVhole amount of capital stock 10 000 000 00 2 Amount paid up in cash 1000000 00 IIASSETS 8 Stocks and bonds 52i 35Q 11 Cash in the companys principal office 9 ruis 77 12 Cash belonging to the company deposited in 068 77 00 bank 25879 53 Total cash items 16 Cash in the hands of agents and in course of transmission Due from other companies for reinsurance on losses already paid 27948 30 32297 90 2046 31 Total assets of the company actual cash market value 583642 51 ii SBaHBwn COMPTROLLERGENERALS REPORT 399 IIILIAHIIITIES 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 46594 00 3 Losses resisted including interest costs and other expenses thereon 20673 00 4 Total gross amount of claims for losses 67357 00 5 Deduct reinsurance thereon 14366 00 6 Net amount of unpaid losses 10 Gross premiums without any deduction re ceived and receivable on all unexpired ma rine risks 32386 00 11 Total unearned premiums as computedabove carried out 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 20 Total amount of all liabilities except capital stock scrip and net surplus 23 Surplus beyond all liabilities IVINCOME DURING THE YEAR On Marine and Inland Risks 1 Gross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 26555 90 3 Net collected 26555 90 4 Gross premiums on risks written and renewed during the year 299872 84 52991 00 32386 00 5663 30 91040 30 492602 21 8 Total Deduct premiums and bills in course of collec tion at this date Entire premiums collected during the year Deduct reinsurance and return premiums 326428 74 32279 90 294130 84 44673 16 9 Net cash actually received for premiums carried out 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 12 Income received from all other sources omitting increase if any in value of securities 14 Aggregate amount of income actually received during the year in cash YEXPENDITURES DURING THE YEAR On Marine and Inland Risks 1 Gross amount actually paid for losses inclu ding losses occurring in previous years 135715 70 2 Deduct all amounts actually received for sal vages whether on losses of the last or pre vious years and all amounts actu ally received for reinsurance in other com panies total deductions 249457 68 15000 00 187 50 264645 18 9 19154 04 Net amount paid during the year for losses Paid for commissions or brokerage Paid for salaries fees and other charges of officers clerks agents and all other employees Paid for State national and local taxes in this and other States All other payments and expenditures Aggregate amount of actual expenditures during the year in cash 116561 66 17652 44 17559 25 8159 82 13951 28 173884 45400 COMPTROLLERGENERALS REPORT BUSINESS IN GEORGIA FOR 1893 Risks Premiums Losses Taxes paid on premiums 205985 00 803 18 215 85 8 03 THE UNITED STATES GUARANTEE INSURANCE CO YORK N Y 1 Whole amount of capital stock 250000 00 2 Amount paid up in cash 250000 00 OF NEW 1 Market value of real estate owned by the company less the amount of incumbrances thereon 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 4 Value of lands mortgaged exclusive of build ings and perishable improvements 70500 00 5 Value of buildings mortgaged insured for 55300 as collateral 80500 00 1560 00 63500 00 6 Total value of said mortgaged premises carried inside 151000 00 8 Stocks and bonds 11 Cash in the companys principal office 850 17 12 Cash belonging to the company deposited in bank 35495 11 Total cash items 14 Interest due and accrued on stocks not included in market value uncollected 16 Premiums in course of collection Total assets of the company actual cash market value IIILIABILITIES 2 Gross losses in process of adjustment or in suspense including all reported and sup posed losses 221225 00 36345 28 2472 64 3414 58 328517 50 4 Total gross amount of claims for losses Gross premiums without any deductions re ceived and receivable upon all unexpired guarantee risks running one year or less from date of policy8106580 Unearned premiums fifty per cent 838985 00 838985 00 40532 90 11 40532 90 500 94 Total unearned premiums as computed above carried out 19 All other demands against the company absolute and con tingent due and to become due admitted and contested viz commissions on premiums in course of collection 20 Total amount of all liabilities except capital stock scrip and net surplus 49423 69 21 Jointstock capital actually paid up in cash 250000 00 23 Surplus beyond capital and all liabilities 29093 81 IV INCOME DURING THE YEAR On Guarantee Risks 1 Oross premiums and bills in course of collec tion at close of last previous year as shown by that years statement 12936 85 3 Net collected 12 936 85 COMPTROLLERGENERALS REPORT 401 4 Gross premiums on risks written and renewed during the year 5 Total 6 Deduct premiums and bills in course of collec tion at this date 7 Entire premiums collected during the year s Deduct reinsurance and return premiums 99630 33 112567 18 3414 58 109 152 60 20936 41 9 Net cash actually received for premiums carried out 10 Received for interest on bonds and mortgages 11 Received for interest and dividends on stocks and bonds collateral loans and from all other sources 12 Income received from all other sources omitting increase if any in value of securities 14 Aggregate amount of income actually received during the year in cash VEXPENDITURES DURING THE YEAR On Fire Risks 1 Gross amount actually paid for losses includ ing losses occurring in previous years 33287 15 Net amount paid during the year for losses 4 Cash dividends actually paid stockholders amount of stock holders dividends declared during the year 15000 i Paid for commissions or brokerage 7 Paid for salaries fees and other charges of officers clerks agents and all other employees s Paid for state national and local taxes in this and other states 0 All other payments and expenditures Aggregate amount of actual expenditures during the year in cash BUSINESS IN GEORGIA FOR 1893 Risks Premiums Taxes paid on premiums 88216 19 2520 00 9340 81 4468 63 104545 63 33287 15 15000 00 11245 10 13186 11 2824 30 10794 48 86337 14 31000 00 157 27 1 57 THE UNION CASUALTY AND SURETY CO OF ST LOUIS MO 1 Whole amount of capital stock 250000 00 2 Amount paid up in cash 250000 00 2 Loans on bond and mortgage duly recorded and being first liens on the fee simple 12500 00 7 Amount of other loans 25000 00 8 Stocks and bonds 250562 50 J2 Cash belonging to the company deposited in bank 58877 50 Total cash items 58877 50 14 Interest due and accrued on stocks not included in market value uncollected 3150 00 16 Cash in the hands of agents and in the course of transmis sion 4764 16 Total assets of the company actual cash market value 354854 16 IIILIABILITIES 7 Gross premiums without any deductions received and re ceivable upon all unexpired casualty risks running one year or less from date of policy476416 11 Total unearned premiums as computed above carried out 2382 02 25102 COMPTROLLERGENERALS REPORT 17 Dae and accrued for salaries rent advertising and for agen cy and other miscellaneous expenses i goo 00 19 All other demands against the company absolute and con tingent due and to become due admitted and contested 1588 05 20 Total amount of liabilities except capital stock scrip and net surplus 5 470 qj 21 Joint stock capital actually paid up in cash 25ooOO 00 23 Surplus beyond all liabilities 9384 03403404405406 INSURANCE DEPARTMENT TABLE No 1 Fire Insurance Companies Authorized to Transact Business in this State for the year 1893 Their General Condition is Shown to 1st of January 1893 and Business in this State to 1st of May 1893 NAME OF COMPANY jEtnaFire American American Atlanta Home British America Caledonia Citizens Commercial Onion Continental Connecticut Delaware Fire Association Georgia Home German American Germania Girard Glens Falls Greenwich Guardian Hamburg riremen Hanover Hartford Home Home Imperial InsCo of N A Lancashire Lion LivA Lon Globj Lon Assurance Lon Lancashire Macon Mech Traders Merchants Mumal National Niagara Norwich Union North Bri Mer Northern Orient Pennsylvania Pnoenix Pheanix Phcenix Queen of America Rochester German Royal Scot Union Nat Southern Mutual St Paul Sun Western Westchester Williamsburgh City Total Location Assets Total Liabilities Surplus be yond Capital and all Liabilities Hartford Conn New York N Y Philadelphia Pa Atlanta Ga Toronto Canada Edinburgh Scot New York N Y London Eng New York N Y Hartford Conn Philadelphia Pa Philadelphia Pa Columbus Ga New York N Y New York N Y Philadelphia Pa Glens Falls N Y New York N Y London Eng Hamburg Ger New York N Y Hartford Conn New Orleans La New York N Y London Eng Philadelphia Pi Manchester Eng London En Liverpool ling London Eng Liverpool Fng Macon Ga New Orleans La Newark N J New York N Y Hartford Conn New York N Y Norwich Eng London Eng London Etig Hartford Conn Philadelphia Pa London Eng Brooklyn N Y Hartford Conn New York N Y Rochester N Y Liverpool Eng Edinburgh Scot Athens Ga St Paul Minn London Eng Toronto Canada New York N Y Brooklyn N Y 10915829 63 1697505 94 3183302 47 354020 80 819092 37 1974246 35 1028389 34 3590990 74 6380180 73 2809697 81 1664185 67 5220263 01 1111333 87 6202395 03 3195170 90 1681104 56 2158539 76 1486152 69 1671938 79 1130492 75 2600990 44 7109825 49 530642 04 9328754 41 1854882 18 9730689 23 2894752 58 914333 23 8193023 89 2402792 97 2639587 64 156842 73 780039 74 1546547 23 1284656 34 3153454 07 2190192 42 1857877 51 3453004 55 1653232 69 2189981 85 3825160 63 3492333 30 5794596 78 5820322 06 3538915 65 962137 50 7180858 12 2258649 38 915387 95 2245386 24 2671249 91 1617195 40 1753307 23 1496 364 02 3308281 45 1088926 59 2541873 61 96816 82 505597 91 1516849 15 607825 21 2703235 36 3594315 77 1290953 57 679122 37 3849598 69 524464 03 2945479 94 1183521 81 843247 14 735983 72 1165 095 46 1136949 12 1015933 43 1197901 37 3276990 95 151740 42 5049514 62 1134457 40 4365964 06 2082707 71 499693 31 4233827 13 118366 53 1934609 57 41837 83 317459 35 941179 09 557321 40 1665561 33 1277032 38 1298213 8 2306658 84 1155318 27 1141230 77 2 005605 33 1868053 78 4250852 24 2580057 92 2017282 69 521308 14 5095504 45 802788 49 140835 07 1072107 53 2003329 70 1056014 07 1026577 02 553 222 20 3607548 18 208579 35 141428 86 56334 86 108494 46 457397 20 120564 13 887755 38 1785864 96 518744 24 282188 30 876664 32 286869 2256915 09 1011649 09 537857 42 1219389 05 121057 23 534989 67 314559 32 403089 07 2582835 54 L27923982 720421 78 2364725 17 812044 87 414639 92 3959196 76 1219106 44 704978 07 15004 90 87580 39 205368 14 473290 71 487892 74 413160 04 559663 70 1146345 71 497914 42 48751 1419555 30 624279 52 543744 54 1240264 14 1021632 96 240829 36 2085353 67 1455860 89 668653 86 6732 8 71 667920 21 561181 33 426730 21 693141 82 168338783 64 8 92 240515 93 8 46052498 38 8104852382 61 Income 4185822 01 1584319 39 2668874 16 140293 62 621993 38 1920262 47 733008 10 3 107812 93 2935703 01 1636459 49 933375 23 2293648 22 346153 97 3124743 67 1114806 08 528714 32 755347 1296659 48 1152643 12 1265144 48 1340681 34 3852270 43 466 818 69 53328ff 74 1294779 82 5939930 69 2828297 25 612172 15 5649779 19 1812461 79 2223502 76 73215 46 453167 1036158 37 961132 37 2151067 30 1047436 12 1631814 58 2501494 09 1262933 21 1552262 13 1641568 31 203672 49 4635533 42 3607020 70 2302380 39 616781 21 4972695 22 974691 29 311134 1635785 12 2244352 79 1724523 91 1165492 10 616703 49 Expenitures 3245186 11 1576964 17 2661912 39 125677 81 602063 54 1483465 66 768061 56 2989437 86 2654642 89 1425048 37 833850 40 2014251 50 298972 74 2722923 34 994223 95 408324 90 565804 03 1392888 35 1158108 87 1172105 13 1244058 23 1237935 12 472189 97 5155567 31 1228289 41 5327219 21 3500764 08 540988 73 5089156 90 1616877 2070249 79 61512 21 474728 54 1044918 54 552729 59 1811525 33 159269 44 1521660 91 2421841 57 1308 837 77 1416994 73 1464116 46 2036708 71 4150932 79 3301214 75 2022533 08 552223 6 4495454 4 750061 87 337143 97 1373001 21 2113456 34 1539646 64 1071871 561650 98 Profit Loss At Risk in Georgia BUSINESS IN GEORGIA Premiums Losses Profits Loss 8 940635 7355 6961 14615 19929 436796 118375 281060 211411 99524 279396 47181 401820 120582 120389 189543 93039 90623 2614335 177320 66490 612711 71183 560622 195583 153252 11703 408402 339541 110153 79652 135267 177451 494600 30580 279847 64557 477240 224629 8 262781 13089 184877 93620 55052 35053 46 96228 S7 5465 75 672455 83 21560 M 8760 17 545257 32 45901 56 303622 6712499 00 2260654 00 2045163 00 6668352 00 949717 00 893507 00 564126 00 4542950 00 2593747 00 1265712 00 1909988 00 1897486 00 6770495 00 2924198 00 66650 00 560456 24 664395 00 2520184 00 1449896 95 2 703040 00 1319693 00 9787352 00 1415685 00 4650854 00 714960 00 5356241 00 1427548 00 1374326 00 7062704 00 1297597 00 1885805 00 1903805 00 970475 00 2946772 50 1675520 00 1635711 00 1555057 00 2528918 00 4115683 00 2863934 00 2509300 00 2067875 00 3098718 00 4584510 00 3741321 00 2542759 27 1374262 00 4658230 29 2151525 00 22939615 00 1726775 00 1817153 00 2292216 00 1619233 00 1256564 00 8 94554064 59 12382875 71 8 1465114 36 8144861950 25 8 2155752 31 1093375 07 83163 63 24603 73 27199 22 70729 03 14728 0 13600 35 8048 02 67415 70 36492 43 18135 78 27006 87 28672 56 93688 59 35383 15 982 73 7022 08 7844 7 37380 03 18366 90 45868 40 19142 90 120383 29450 76 62430 38 11950 12 53259 32 34625 32 20637 52 107433 95 11497 27 26198 29315 09 11534 59 35288 54 15031 91 21924 60 22962 78 32999 30 53026 34115 58 33498 53 29243 77 33145 50 57912 20 48968 20 34283 21608 70 78187 5r 32857 15 256414 02 17380 94 22309 04 30405 67 23014 91 16983 01 43113 89 14723 08 16983 28 33082 7 10713 98 6907 14 3013 23 35706 06 18677 04 11871 20 18558 41 20508 87 42403 71 16895 77 2178 32 9328 55 11667 43 14138 70 19862 19 11331 09 36205 56 19838 23 46398 43 3513 29 43743 74 29568 44 4729 05 38304 43 8073 95 9233 49 7972 95 12746 11453 71 5171 10 10810 36 15692 15 12625 44 80139 78 16103 79 27668 83 13551 15 42521 79 25629 66 24954 84 22751 33 10856 36 44266 78 17315 25 89810 94 14004 48 23627 43 9845 01 15028 67 7554 39 40049 74 9880 64 10215 94 37646 31 4014 05 6693 21 5034 79 31710 64 17815 39 6264 58 8448 46 8163 69 51284 88 18487 38 982 73 4843 76 25712 60 4228 20 26006 21 7811 81 84178 27 9012 53 16031 95 8436 S3 9515 58 5056 15908 47 69129 52 3323 32 16965 43 21342 14 2388483 9860 81 11114 24 7270 63 20373 22886 30 18011 79 5829 70 15692 62 82282m 24013 36 11532 08 10752 34 33920 77 15541 90 166603 08 3376 46 20560 66 7986 24 9428 62 8 1065669 16 8 13389 99 ifcSSEsaaSSSSSESHfcfcSfcfcfriPtf lVrPTROTTHf4RNrFUATK PRPniT INSURANCE DEPARTMENT TABLE No 2 Old Line Life Insurance Companies Authorized to Transact Business in this State for the Year 1893 Their General Condition is Shown to 1st of January 1892 and Business in this State to 1st of May 1893 NAME OF COMPANY Location Liabilities Gross Sur on rolicy plusonPoli holders ey Holders Account Account Receipts I Expendi tures Proiit Loss At Risk in Georgia BUSINESS IN GEORGIA Premiums Losses Loss EtnaLife Brooklyn Com Alliance Connecticut Mat Equitable Germania Home Life Iu ClgCo Manhattan Maryland Mass Mutual Metropolitan Mich Mutual Mut Benefit Mutual Mutual New York Northwesn Mut Penn Mutual Phoenix Mut Provident Savgs Travelers United States Union Central Washington Total Hartford Conn New York X Y New York N V Hartford Conn New York N Y New York NY Brooklvn N Y St Paul Minn New York N Y Baltimore Md Springfield Mas New York N Y Detroit Mich Newark N 1 New York N Y Louisville Ky New York N Y Milwaukee Wis Philadelphia Pa Hartford Conn New York N Y Hartford Conn New York N Y Cincinnati O New York N Y 838658176 21 1621209 23 352555 35 60761549 89 151717971 97 17744262 60 8085362 26 140563 97 13286907 63 16001141 96 13133668 21 16506282 22 4047211 41 51386i2 30 175081156 61 2067745 42 137499198 99 56225024 70 20808692 29 1004724s 93 1225277 99 15029921 09 6889212 12 9345832 08 12061455 03 32361689 10 1477895 11 244337 00 54331620 01 121870236 52 16513974 71 6556395 72 150i5 61 12278612 06 1270255 52 12342809 38 12831611 73 3721122 72 47734381 58 1588721 6 67 2020758 00 120694259 89 46 768 704 58 18204840 48 9403584 29 605215 00 1310704 85 6277806 19 8621461 53 11611311 96 829656130 46 708044663 27 8 6296487 11 143311 12 107818 35 6126929 88 31189815 49 1230287 89 1528966 54 125558 36 1008265 57 330186 44 1090 858 83 3674670 49 325118 69 3651690 72 14321216 37 56568 65 16801948 10 9167384 54 2623618 81 613664 64 681795 23 13719216 24 611405 93 724367 55 450143 07 6552958 270709 431122 7884916 40286237 3609813 1755204 16084 2731663 267015 3106803 13307811 1218217 9586043 40238865 559 635 30936590 11557551 5746757 1517569 1882841 4940779 1495629 3078031 2750633 4558563 236193 408760 5865368 22467812 2343992 1255837 25617 2208379 194719 1960259 10312653 658689 5627472 24121714 363249 20246071 6275137 2815905 1368099 1274376 3342695 1301508 15206 1 2005899 115934427 61 199029789 71 122859920 45 75021233 18 1994394 98 31516 66 22361 94 2019548 67 17818124 98 1265820 07 499367 08 2 is 6 72295 61 1446543 73 2965158 09 559527 79 3758571 37 16117151 07 196385 34 10690519 65 8282116 59 2900852 46 149469 76 608465 14 1598083 97 191121 14 1558419 93 744733 67 9563 92 S 1493376 00 112500 00 97000 00 734600 00 12191900 00 185070 00 14090 00 14000 00 4339162 00 44005000 296823 00 55500 00 2855900 00 14270384 00 658000 00 13129000 00 713750 00 2785500 00 513196 00 2712500 00 1776100 00 1031745 00 1305526 00 1215539 00 9563 91 10069 40 2708 10 6836 87 17802 08 423020 59 2696 19 477 40 353 96 141670 99 17321 61 8198 15 1108 98 1160 o 111683 19 530942 38 32770 69 431250 76 213031 57 99159 68 12575 99 55009 72 49689 28 30025 74 46922 96 47 991 61 70368331 00 2316379 75 1500 00 2000 00 111735 00 1000 00 44391 77212 00 SiOOO 00 11500 00 170054 09 136339 S3 56 500 00 50015 00 5209 00 20000 00 14000 00 15000 00 10500 00 9579 36 31871 25 2708 0 5336 87 15802 08 278285 59 1696 19 477 40 64758 99 12321 66 744786 34 1108 98 1160 05 100183 10 354888 27 32770 69 394811 93 156531 57 49144 68 7366 99 35009 72 35689 28 15025 71 36422 96 38412 25 89 95 TABLE No S Accident Indemnity and Marine Insurance Companies Authorized to Transact Business in this State for the Year 1893 Their General Condition is Shown to 1st of January 1892 and Business in this State to 1st of May 189 NAME OF COMPANY State Assets Liabilities Surplus beyond Capital and Liabilities Receipts Expenditures Profit Lets At Risk in Georgia BUSINESS IN GEORGIA Profits Loss Premiums Losses Amer n casity m Sec y Co Jersey City N New York N Y Liverpool Eng London Eng New York N Y Baltimore Md Dresden Germany Montreal Canada Philadelphia Pa New York N Y New York N Y London Eng New York X Y New York N Y Atlanta Ga Detroit Mich Liverpool Eng Hartford Conn NewYork N Y St Louis Mo 2607675 76 532994 12 8204688 31 1289236 02 1917984 01 1812955 12 620664 94 314071 02 772306 72 117702 03 1625 228 52 221876 71 577896 54 964592 15 190264 55 200000 00 4654 2s 632673 21 583642 51 32851756 354854 16 SI167H1S 77 311M03 26 459913 02 459081 51 986605 10 1388442 47 34780 28 25104 60 170892 31 17208 06 1019130 SI 2069 40 238904 24 217115 52 88626 33 100000 00 5225 0l 388128 70 91040 30 49423 69 5470 13 S 139756 99 21090 80 741771 69 829554 51 23132s 91 174512 95 85878 66 288969 42 200814 41 100493 97 106097 71 60867 34 88992 30 717176 93 1638 22 100000 00 52513039 11 490010 64 613600 03 1638072 11 1361186 22 2160773 62 358884 04 123331 48 258722 76 785069 75 226366 78 389286 73 366100 70 142939 93 S2322864 41 401045 62 443270 10 16155311 50 1169450 71 1939932 28 472S5 66 124504 55 21122s 88 1954 45 053413 77 6213 36 317251 20 207360 35 131760 77 S 220174 70 88995 02 170320 93 23441 61 91735 48 220 811 31 315598 98 58826 93 44493 88 1954 45 131655 OS 220153 12 42035 53 158730 35 11173 16 S 37724 46 7413 06 558 1 58 4200 36 6061 72 17 is 2770 43 1763 81 5040 19 i is 338 00 202 22 S62I8 20 Amern Employers Liabilty Co American Surety British Foreign Marine Employers Liability As Co 1600633 00 117201 00 2100770 00 2819118 00 2S2580S00 171 100 00 300000 00 551S50 00 2814 soooo 00 14477 25 37724 46 8198 12 5706 85 0817 86 10178 68 1 6 Is 3213 88 1827 06 5443 01 9S7I8 338 00 352 22 78506 122 27 5527 50 12216 06 Fidelity Deposit Co General Marine Co Guarantee Co of N A 1 13 15 63 25 102 85 isoo Hartford Steam Boiler Co Interstate Casualty Co Lloyds Plate Glass Co London Guarantee Co New York Plate Glass Co Preferred Accident Co 150 66 Southern Live Stock Co 4260 28 784366 61 264015 IS 104 m f i 89 727556 46 1738s1 15 71337 14 6 816 1 90760 73 33208 49 1322 61 05220 65 288100 00 205085 00 2321500 00 31000 00 7318 18 2135 92 803 18 13952 86 157 20 2000 00 33 56 215 85 8298 54 5300 18 1752 36 587 33 5651 32 157 20 Standard Life Accident Co 244 11 il 492602 21 isossS 99384 03 Thames Mersey Marine Co Travelers Accident Co United States Guarantee Co Union Casualty Surety Co Total 18894831 87 7477850 20 4892581 47 12576431 10 10604436 58 1980926 22 1322 61 15874135 28 149136 18 49558 70 101825 69 6248 20 TABLE No 4 Showing Business of Fire Insurance Companies in this State for the Year Ending April 30 1893 NAME OF COMPANY Etna American American Atlanta Home British America Caledonian Citizens Commercial Union Continental Connecticut Delaware Fire Association Georgia Home German American Germania iirard dens Falls Greenwich Guardian HamburgBremen Hanover Hartford Home Home Imperial Ins Co of N America Fire STATE T3 j a Hartford Conn New York N V Philadelphia Pa Atlanta Gs Toronto Canada Edinburgh Scd I New York N Y London Eng JNew York N Y Hartford Conn Philadelphia Pa Philadelphia Pa Columbus Ga New York N Y New York N Y Philadelphia Pa Glens Falls N Y New York N Y London Eng Hamburg Gery New York N Y Hartford Conn New Orleans La New York N Y London Eng Philadelphia Pa 6712499 00 2260654 00 204516 00 6668352 00 947717 00 893507 00 5i i 1126 00 4542950 00 2593747 00 1215712 00 1909988 00i I8n7486 00 6770495 00 2924198 OOj 66650 00 560456 24 664395 00 2520184 00 1449896 95 2703040 00 1319693 00 9787352 00 1415685 00 4650854 00 714960 00 5356241 00 a 3 1 u CO 0 m a 0 a 3 11 g Charter 3 2 m 0 0 si a CD 0 i iS H g 0 83163 63 43113 89 58 2 40 139 20 1 10 00 if 16 00 831 63 T 1002 83 24603 73 14723 08 15 2 40 36 00 16 00 16 00 240 03 314 03 0 27199 22 16983 28 17 2 40 40 89 10 00 16 00 271 99 344 79 F 70729 03 33082 72 62 2 40 148 10 16 00 16 00 707 29 888 09 14 728 03 10713 98 9 2 40 21 00 16 00 10 00 147 28 200 88 g 13600 35 6907 14 9 2 40 21 60 16 00 16 00 136 00 189 60 r 8048 02 3013 23 15 2 40 36 00 16 00 16 On 80 48 148 40 C 810 56 E3 528 92 g 67416 70 35706 06 46 2 40 110 40 16 00 10 00 074 16 6492 43 18677 04 55 2 40 132 00 16 00 16 00 364 92 IS 135 78 11871 20 10 2 40 24 00 16 00 16 00 181 35 27 35 g 7006 87 18558 41 28 2 40 67 20 16 Q0 16 00 270 06 369 26 28672 56 93688 59 35383 15 20508 87 12 2 40 28 80 16 00 16 00 286 72 347 52 f1 42403 71 59 2 40 141 00 16 00 16 00 936 88 1110 48 ui 16895 77 25 2 40 60 00 16 00 16 00 353 83 445 83 M 982 73 2 2 40 4 80 16 00 16 00 9 82 40 62 7 022 08 2178 32 4 2 40 9 60 16 00 16 00 70 22 111 82 it 7844 73 9 328 55 3 2 40 7 20 16 00 16 00 78 44 117 04 O 564 20 37 380 03 11667 43 66 2 40 158 40 16 00 16 00 373 80 18366 90 14138 70 18 2 40 43 20 16 00 16 00 183 66 258 86 45 808 40 19802 19 25 2 40 60 00 16 00 16 00 458 68 550 68 19142 90 120383 83 11331 09 16 2 40 38 40 16 00 16 00 191 42 261 82 36205 56 79 2 40 189 60 16 00 16 00 1203 83 1425 43 29450 76 62430 38 19838 23 6 2 40 14 40 16 00 16 00 294 50 340 90 46398 43 62 2 40 148 80 16 00 10 00 624 30 805 10 11950 12 53259 32 3513 29 8 2 40 19 20 16 00 16 00 119 50 170 70 43743 74 50 2 40 120 00 16 00 16 00 5112 59 684 59 S TABLE No 4 Continued NAME OF COMPANY Lancashire Lion Iiv London Globe London Assurance London Lancashire Macon Mechanics and Traders Merchants Mutual National Niagara Norwich Union N British Mercantile Northern irient Pennsylvania Phoenix Phoenix Phoenix ueen of America Rochester German Royal Scottish Union Natl Southern Mutual St Paul Sun Western Westchester Williamsburg City Total STATE Manchester Eng London Eng Liverpool Eng London Eng Liverpool Eng Macon Ga New Orleans La Newark N J New York N Y Hartford Conn New York N Y Norwich Eng London Eng London Eng Hartford Conn Philadelphia Pa London Kng Brooklyn N Y Hartford Conn New York N Y Rochester N Y Liverpool Eng Edinburgh Scd Athens Ga St Paul Minn London Eng Toronto Canada New York N Y Brooklyn N Y 1427548 00 1374326 00 7062704 00 1297597 00 1885805 00 Ino805 00 970475 00 2946772 50 1675520 00 1035711 00 1555057 00 2528918 00 4115683 00 2863934 00 2509300 00 2067875 00 3098718 00 1584510 00 3741321 00 2542759 27 1374262 00 4558230 29 2151525 00 22939 615 00 1726775 00 Isi 7153 00 2292216 00 1119233 00 12565504 00 2 34025 32 20637 52 107433 1149 26199 92 29315 09 11534 59 35288 4 15031 91 21024 60 22902 78 32000 30 53020 OS 34115 58 33498 53 29243 77J 33145 50 57012 20 48968 Id 34283 SS 2160S 70 78187 55 35857 15 250414 02 17380 HI 22300 04 30405 67 23014 01 16983 01 29568 II 4720 05 38304 43 8073 95 92333 49 7072 95 12746 08 11453 71 5171 10 10810 36 15002 15 12625 44 30139 Hi 103 79 2760S 83 13551 15 42521 70 25020 66 24054 84 22751 30 10856 36 44266 78 17315 25 SOS10 04 I 1004 48 23027 43 9845 01 15028 67 7554 39 144861950 25 2155752 311098875 07 1493 60 15 9 71 4 12 37 10 11 17 15 26 53 32 17 48 50 40 45 37 15 1 10 32 23 14 39 15 5 0 G 2 40 2 40 2 40 2 40 2 40 2 40 2 40 2 401 2 40 2 40 2 40 2 40 2 40 2 40 2 40 2 40 2 40 2 40 2 40 30 00 21 60 1S2 40 9 60 28 80 88 80 24 00 26 40 Hi 80 36 00 62 40 127 20 76 80 40 80 115 20 120 00 117 00 108 00 88 SO 36 00 43 20 24 00 76 80 55 20 33 60 93 60 36 00 12 00 5 s 16 00 16 00 16 00 10 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 10 00 16 00 16 00 16 00 10 00 16 00 16 00 16 00 16 00 16 00 16 00 10 00 16 00 16 00 10 00 16 00 10 00 16 00 16 00 16 00 16 00 16 00 16 00 10 00 10 00 16 00 10 00 16 00i 16 00 16 00 10 00 16 00 16 0i 10 00 16 00 16 00 16 OOi 16 00 10 00 16 00 16 00 10 00 10 00 16 00 10 00 10 00 3583 20 SSO 00 S80 00 2155 7 34 26900 54 H 341 i 25 200 3 1074 33 114 9 261 98 293 15 115 34 352 88 150 31 219 24 229 62 320 99 530 26 341 15 334 98 202 43 331 15 579 12 480 OS 342 S3 216 OS 781 87 328 57 2504 14 173 80 223 00 304 05 230 14 169 83 H 414 250 1288 156 322 413 171 411 182 202 297 424 689 440 407 430 483 72S 020 403 2S4 857 3S4 2072 261 2SS 420 20S 213 25 07 73 57 78 95 74 28 31 04 62 39 40 95 78 03 45 72 OS 63 a T SO 53 P3 c 08 W 07 07 04 00 69 65 14 83TABLE No 5 Showing Business of Old Line Life Insurance Companies in this State for the Year Ending April 30th 1892 NAME OP COMPANY State Etna Brooklyn Coml Alliance Connecticut Mutual Equitable Germania Home Life In Clearing Co Manhattan Maryland Massachusetts Mut Metropolitan Michigan Mutual Mutual Benefit Mutual Mutual New York Northwestern Mut Pennsylvania Mut Phomix Mutual Provident Savings Travelers US Life Union Central Washington Life Hartford Conn New York N Y New York N Y Hartford Conn New York N Y New York N Y Brooklyn N Y St Paul Minn New York N Y Baltimore Md Springfield Mass New York N Y Detroit Mich Newark N T New York N Y Louisville Ky New York N Y Milwaukee Wis Philadelphia Pa Hartford Conn New York N Y Hartford Conn New York N Y Cincinnati O New York N Y Total 1493370 00 112500 00 497000 00 734000 00 12494900 00 185070 00 14000 00 14000 00 4339162 00 440500 00 o J a u CO c 3 a 60 2 0 m o B c3 bo v a a ui ta fe o 40009 40 2708 10 0830 87 17802 08 423020 59 2969 19 477 40 353 96 141970 99 17321 66 296823 00 55500 00 2855900 00 14270384 00 658 000 00 13429000 00 7137510 00 2785500 00 513196 00 2712500 00 1776100 00 1031745 00 1305526 00 1215539 00 1108 98 1160 05 111683 10 530942 38 32770 69 431250 76 213031 57 99159 68 12575 99 55009 72 49689 28 30025 74 46922 96 47991 61 70368331 00 2316379 75 5744786 34 8198 15 1500 00 2000 oo 144735 00 1000 00 443 91 77212 00 5000 00 11500 00 176054 09 136339 83 56500 00 50015 00 5209 00 20000 00 14 000 00 15000 00 10500 00 9579 36 6 8 30 1 2 1 10 2 3 28 4 26 20 8 83 17 6 5 13 22 9 12 2 40 40 40 40 40 40 2 40 2 40 2 40 2 40 2 40 2 40 2 40 2 40 2 40 2 41 2 40 2 40 2 40 2 40 2 40 2 40 2 40 2 40 2 40 28 16 80 14 40 19 20 72 00 2 40 4 80 2 40 24 00 4 80 7 20 67 20 9 60 62 40 48 00 19 20 199 20 40 80 14 40 12 00 31 20 52 80 21 60 28 80 12 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 32 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 10 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 32 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 10 00 16 00 16 00 o H 400 69 27 08 68 36 178 02 4230 20 26 96 4 77 353 1419 70 173 21 11 08 11 60 1116 83 5309 42 327 70 4312 50 2130 31 991 59 125 75 550 09 496 89 300 25 469 22 479 91 787 20 40 00 400 00l23t03 66 24750 86 449 73 100 227 4334 61 41 37 1475 210 71 110 53 1211 5389 378 4543 2203 1037 169 613 549 353 530 523 a o K a H X c f r ft 93 Q 70 H 01 20 I 28 20 h 23 k 70 1e 99 g to 29 69 85 02 91 TABLE No 6 Showing Business of Assessment Life and Accident Insurance Companies Authorized to Transact Business in this State for the Year Ending April 30 1893 NAME OF COMPANY American Accident Atlanta Accident Bankers Life STATE Louisville Ky Atlanta Ga St Paul Minn Bay State BeneficiaryWestfleld Mass Chicago Guaranty Fund Connecticut Indemnity Covenant Mutual Fidelity Mutual Hartford Life and Annuity Home Friendly Industrial Aid Manufacturers Accident Massachusetts Benefit Masons Fraternal Accident Mutual Reserve Fund National Life National Cooperative Guarantee National Life and Maturity Washington D 0 National Mutual New York N Y New England Mutual Northwestern Masonic Peoples Mutual Benefit Provident Fund Railway Officials Indianapolis Ind Stephens IndustrialJAugusta Ga Chicago 111 Waterbury Conn Galesburgh 111 Philadelphia Pa Hartford Conn Baltimore Md Birmingham Ala Geneva N Y Boston Mass Westfleld Mass New York N Y Hartford Conn Nashville Tenn Boston Mass Chicago 111 Elkhart ind New York N Y R 3 a Qj o i5 a M 1685000 00 564350 00 196000 00 31700 00 236200 00 265000 00 i 428500 00 2785500 00 676000 00 38370 00 1430000 00 4154250 00 279600 00 4548 85 j 3826 29 1149 09 96 04 6095 451 2402 34 3256 70 i 32550 03 46532 98 12196 25 1330 20 900 99 758 77 2000 00 3000 00 5000 00 20300 00 25000 09 3274 69 168 80 17116 71 12000 00 28845 92 7001 911 26250 00 600 00 73000 00 329000 00 388750 00 448000 00 3745000 00 458800 00 27685 20 1714 25 2824 73 1627 00 4559 811 1392 95 4240 47j 4483 85 2665 75 5000 00 1193 55 18500 00 1066 40 1765 74 6453 02 829 00 fe o 4 1 8 14 1 2 40 2 40 2 40 2 40 2 40 40 40 40 40 40 40 40 40 40 40 40 411 40 40 10 40 40 40 40 40 a 53 O s 12 00 19 20 9 60 4 80 9 00 16 80 12 00 9 60 2 40 19 20 33 60 2 40 2 40 16 80 12 00 4 80 2 40 4 80 7 201 bo 53 C3 N 16 0 16 00 32 0 32 00 16 0C 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 11 00 32 00 32 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 Ki 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 K 00 Ki 00 16 00 X 03 45 48 38 27 11 49 96 00 95 24 02 32 57 325 50 465 33 121 96 13 31 172 10 2S8 46 70 01 17 14 28 24 Ki 27 45 00 13 93 42 40 44 83 26 66 c3 O H 89 48 121 47 53 09 32 96 92 95 60 82 64 57 367 10 514 13 165 96 86 91 34 40 22 36 32 00 354 06 104 41 32 00 51 54 77 04 60 27 82 40 45 93 76 80 81 63 65 86 a o g hj 3 w o t1 w o w co TS C X HTABLE No 6Continued NAME OF COMPANY STATE CD 3 C CO 3 a CO a 3 6 GO CD m CO O J CQ 3 CD SO 6 3 3 O a d a 608 23 73CC fa u 03 5 OS n o U S Masonic Benevolent New York N Y Council Bluffs la New York N Y 120000 00 2903000 00 365500 00 1404 00 8466 00 5485 08 2 2 40 1 2 40 3 2 40 4 2 40 4 80 2 40 7 20 9 60 16 00 16 00 16 00 16 00 16 00 16 00 O 36 80 a 14 04 48 44 2 7386 00 16 00 84 66 16 00 54 85 123 86 Yallev Mutual Staunton Ya 96 45 O t1 Total 22924505 20 205812 65 141636 96 94 225 60 496 001496 0o2059 09 3276 69 g a IS SB a O SB 4 05 TABLE No 7 Showing Business of Accident Indemnity and Marine Insurance Companies in this State for the Year Ending April 30 1898 NAME OF COMPANY STATE American Casualty Ins Security Co American Employes Liability Co American Surety Co British and Foreign Marine Co Employes Liability Assurance Co Fidelity and Casualty Co Fidelity and Deposit Co General Marine Co Guarantee Co of North America Guarantors Co Hartford Steam Boiler Co Interstate Casualty Co Lloyds Plate Glass Co London juarantee Co New York Plate Glass Co Preferred Accident Co Southern Live Stock Standard Life and Accident Co Thames and Mersey Marine Co Travelers Accident Co US Guarantee Co Union Casualty and Surety Baltimore Md Jersey City N J New York N Y Liverpool Eng London Eng New York N Y Baltimore Md Dresden Germany Montreal Can Philadelphia Pa Hartford Conn New York N New York X V London Enj New York X Y New York N Y Atlanta Ga Detroit Mich Liverpool Eng Hartford Conn Xew York N Y St Louis Mo Total a a 1600033 00 447201 00 210077 00 2819118 00 1976550 00 if 12044 21 37724 46 8198 12 5706 85 9817 86 19178 68 2825808 00 171100 HI 300001 K 554850 Hi 17336 48 3213 88 1827 5443 04 32S14 S 89000 00 14477 0522 05 288100 00 205985 H 2321500 00 31000 00 15874136 28 087 S 33S 01 352 22 7218 is 2135 92 803 18 1352 86 157 20 117138 IS L8892 41 785 00 122 27 5527 50 12216 96 443 45 63 25 402 85 is 00 150 66 20 90 383 56 215 S5 8298 54 1 f 11 16 2 i l 49498 50l 101 240 240 240 240 240 240 240 240 240 240 240 240 240 240 240 240 240 240 240 240 240 240 if 4 80 19 20 16 80 4 80 I 20 52 SO 14 40 2 40 4 80 2 40 16 80 2 40 2 40 2 40 2 40 26 40 38 40 4 80 2 40 2 40 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00j 16 00l l 00 16 00 16 00 16 00 16 00 16 00 46 00 16 00 16 00 16 00 16 00 16 00 16 00 3 75 S o H 16 00 46 00 16 00 16 00 46 00 16 00 16 00 16 00 16 00 16 00 16 00 10 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 16 00 126 44 377 24 84 98 57 06 98 47 191 78 173 3 32 13 IS 27 54 43 9 87 3 38 3 52 73 18 21 35 8 03 139 53 1 57 242 40 352 00 352 00 1471 23 2417 63 163 24 42S 44 130 78 93 86 140 37 276 58 46 40 207 76 68 93 52 67 103 23 34 40 44 27 35 38 37 02 34 40 131 58 91 75 44 83 171 53 35 07 34 40 O C S v H ft o F F ft i C K H ft F ft K O ft HTABLE No 8 Comparative Table Showing Comparative Business of Insurance Companies in the State for the Years 1889 90 91 92 and 95 1889 1889 1889 1889 1889 1890 1890 1890 1890 1890 1891 1891 1891 1891 1891 1892 1892 1892 1892 1893 1893 1893 1893 Fire companies Life companies Cooperative Life Accident and Marine Unauthorized companies Firecompanies Life companies Cooperative Accident and Marine Unauthorized companies Fire companies Life companies Cooperative companies Accident Marine and Indemnity Companies doing special business Fire companies Life companies Cooperative companies Accident Marine and Indemnity Fire companies Life companies Cooperative companies Accident and Marine companies T3 C 5 s a a Ph 125351845 57 33598813 00 27559008 00 13606587 15 127345256 93 44682288 00 14495150 00 13306713 52 172650780 03 54477167 00 40671350 00 14760970 41 147393355 1274s051 SO 29472671 00 19734903 92 144861950 70368331 00 22924505 20 15874131 28 1551422 70 1113424 97 910668 81 86143 45 1760647 41 1496305 46 130270 23 100925 83 2053669 62 1853505 21 199160 27 108091 69 2137753 22 1937713 15 228641 01 118284 98 1155752 31 2316379 75 205812 65 147138 18 o be rj o a a go 1066633 61 361561 66 282227 16 19368 16 949519 38 457728 SI 114292 30 17304 34 826115 93 581553 13 155634 85 27013 41 1065 210 102 48 1336 208 121 45 1617 220 138 46 1496977 48 1618 752209 75 143850 85 76861 00 1093375 07 744786 34 141636 96 49498 50 248 143 79 1492 328 94 101 4199 20 1157 80 1068 80 504 00 416 00 5061 20 1171 20 1070 40 42S 00 320 00 5767 80 1240 00 1356 00 622 40 224 00 5803 20 1363 20 1623 20 701 60 5343 20 1587 20 1217 60 946 40 I 03 H 20545 74 18535 01 2544 76 1018 90 85 29 21377 03 19377 13 2286 41 1182 78 21557 34 23163 66 2059 09 1471 23 15514 22 11134 24 937 55 861 61 196 02 17667 68 14962 05 1320 28 1008 17 2 45 26313 54 19775 01 3900 76 1703 30 309 29 271 SO 63 20740 23 3909 61 1184 38 26900 54 24750 86 3276 69 2417 63 a O o tl o H M W 1 t O w enitidejzs A ACADEMY FOR THE BLIND Amount paid to for 18921893 j Repairing ETNA FIRE INSURANCE CO OF HARTFORD CONN Statement of for 189319619 ETNA LIFE INSURANCE CO Statement of for 1893292293294 AGRICULTURE Department of amounts paid for 18921893 4h AGGREGATE VALUE OF WHOLE PROPERTY IN STATE 87128 AMERICAN FIRE INSURANCE CO OF NEW YORK N Y Statement of for 18921893 19198199 AMERICAN FIRE INSURANCE CO OK PHILADELPHIA PA Statement of for 18921893 199200201 AMERICAN SURETY CO OF NEW YORK N Y Statement of for 1892189339380 AMERICAN ACCIDENT ASSESSMENT INSURANCE CO OF LOUISVILLE KY Statement of for 189218933333S AMERICAN CASUALTY INSURANCE AND SECURITY CO Statement of for 18921893303 AMERICAN EMPLOYERS LIABILITY INSURANCE CO Statement of for 189218933 3839 APPROPRIATIONS Sundry special appropriations paidfvbd84sob ARTISTS Q Tax on for 18921893 89 ASSETS OF THE STATE Table showing VSSESSED VALUE OF PROPERTY Comparisons of from 1879 to 1893 4 ATLANTA HOME FIRE INSURANCE CO Statement of for 1892189320102 ATLANTA ACCIDENT ASSESSMENT INSURANCE ASSOC1A rpQ Statement of for 18921893338339 AUCTIONEERS Tax on for 18921893 B BANKS Value of shares for10811 BANKERS ASSESSMENT LIFE ASSOCIATION Statament of for 18921893340341 1WILIARDS Tax on for 18921893 BRANCH COLLEGES Amounts paid BRITISH AMERICA FIRE INSURANCE CO OF TORONTO CANADA Statement of for 18921893203204 BROOKLYN LIFE INSURANCE CO Statement of for 1892189329429o2J6418 INDEX BRITISH AND FOREIGN MARINE INSURANCE CO Statement of for 18921893 BUTLER T J Special tax refunded 381382 S3 CHEMIST STATE Salary paid 18921893 70 CALEDONIAN FIRE INSURANCE CO OF EDINBURGH SCOTHND Statement of for 18921893 20506 CITIZENS FIRE INSURANCE OF NEW YORK N Y Statement of for 18921893 L0ii07 CITIZENS BANK Amount received CITY OF CHATTANOOGA Amount received CHICAGO GUARANTY FUND ASSESSMENT LIFE SOCIETY Statement of for 18921893 341S4 CIVIL ESTABLISHMENT 2i37 208209 297 Amounts paid on account of for 18921893 COMMERCIAL UNION ASSURANCE CO OF LONDON Statement of for 18921893 COMMERCIAL ALLIANCE LIFE INSURANCE CO Statement of for 18921893 CONTINENTAL FIRE INSURANCE CO OF NEW YORK Statement of for 18921893 10211 CONNECTICUT INDEMNITY ASSESSMENT LIFE ASSOCIATION Statement of for 18921893 313344 CONNECTICUT FIRE INSURANCE CO OF HARTFORD CONN statement of for 18921893 CONNECTLCUT MUTUAL LIFE INSURANCE COOF HART Statement of for 18921893 CONTINGENT FUND Disbursements from for 18921893 CONTINGENT EXPENSES 298299 3847 Amounts paid session General Assemblv Supreme Court Railroad Commission COSTS ON fi fas Amount recei ved CONVICTS Hire of for 1892 COTTON CORN AND ANNUAL CROPS VTalue of held for sale 18921893 COTTON MANUFACTORIES Amount invested in for 18921893 79 47 47 I I 13 123127 CnEAlssOCTATiFIT SSMENT ASBI Statement of for 18921893 CLERK FOR BANK EXAMINER Amount paid 1892 1131U 344345 80INDEX 419 CLERK SUPREME COURT COSTS Amount paid 1892 47 CTTY OF ATLANTA Raid paving in front of Mansion 78 CONFEDERATE WIDOWS Amount pension paid them 1892 82 D DEAF AND DUMB INSTITUTE Amount paid for the support of for 18921893 52 Deficiency M Repairing and refurnishing 1892 85 DEFAULTERS Table showing number of 18921893 98102 DEL WVARK FIRE INSURANCE CO OF PHILADELPHIA PA Statement of for 18921893213214215 DISBURSEMENTS AT THE TREASURY ITEMIZED On account of Academy for Blind 1892 6 On account of Academy for Blind 1893 6 On account of Civil Establishment 1892 6 On account of Civil Establishment 1893 6 On account of Contingent Fund 1892 6 On account of Contingent Fund 1893 6 On account of Contingent Fund R R Com 1892 6 On account of Contingent Fund R R Com 1893 6 On account of Contingent Expenses Supreme Court 1892 6 On account of Contingent Expenses Supreme Court 1893 6 On account of Clerk Supreme Court Costs 6 On account of Deaf and Dumb Institute 1892 6 On account of Deaf and Dumb Institute 1893 t On account of Department of Agriculture 1892 6 On account of Department of Agriculture 1893 6 On account of Direct Tax 6 On account of Fertilizer Fund 6 n account of Fund for Maimed Soldiers 6 n account of Geological Fund 6 On account of Insurance Public Buildings 1892 6 On account of Insurance Public Buildings 1893 On account of Land Scrip Fund 1S93 6 On account of Legislative Pay Roll Session 1892 i On account of Library Fund 1892 6 On account of Library Fund 1893 6 On account of Lunatic Asylum 1892 6 On account of Lunatic Asylum 1893 On account of Military Fund 1892 6 On account of Military Fund 1893 6 On account of Overpayment of Taxes 6 On account of Penitentiary Fund 6 On account of Printing Fund 1892 On account of Printing Fund 1893 6 On account of Printing Fund R R Com 1892 On account of Printing Fund R R Com 1893 6 On account of Public Building Fund 1892 6 On account of Public Building Fund 1893 fi On account of Public Debt 6 On account of Salary of Chemist 1892 6 On account of School Fund 1892 7 On account of School Fund 1893 7 On account of School Fund 1894 7 On account of School for Colored 1892 7 On account of School for Colored 1893 7 On account of School of Technology 1892 7 On account of School of Technology 1893 7 On account of SolicitorsGeneral 7 On account of SolicitorsGeneral in U S Court 7 On account of Special Appropriations 7f 420 INDEX On account of Supreme Court Reports On account of Trustees Lunatic Asylum 1802 Cn account of Trustees Lunatic Asylum 1893 On account of Trustees University of Georgia 1892 On account of Trustees University of Georgia 1893 On account of University of Georgia 1893 On account of Widows Pensions 1893 DIRECT TAX Amount paid 18921893 DIVIDENDS From stocks DOCTORS AND DENTISTS Table showing number of 18921893 DRAPING SENATOR JONESDESK Amount paid 1892 48 11 98102 81 108112 383 ELECTRIC LIGHT COMPANIES Value of shares in 18921893 EMPLOYEESLIABILITY ASSURANCE CO Statement of for 18921893 S2 EXPERIMENT STATION Amounts paid and for what 1892 75 EQUITABLE LIFE ASSURANCE CO OF NEW YORK Statement of for 18921893 299300301 EXPENSES Gober Investigating Committee 1892 Engraving and printing bonds 1892 EXPRESS COMPANIES Tax on for 18921893 S 85 FEES Of Inspectors Of office Insurance fees FERTILIZERS Fees of Inspectors Fund 1893 Fund 1894 FIRE ASSOCIATION OF PHILADELPHIA PA Statement of for 18921893 215216217 FIDELITY MUTUALpASSESSMENT LIFE INSURANCE ASSOCIATION Statement of for 18921893 FIDELITY AND CASUALTY INSURANCE CO OF NY Statement of for 18921893 383 FIDELITY AND DEPOSIT INSURANCE CO Statement of for 18921893 i 0 11 48 4950 340347 384 FIRE INSURANCE COMPANIES Authorizedto transact business FUTURES Taxes on for 1893 FUND FOR MAIMED SOLDIERS Amount paid 1893 384385 185187 Aiom aME9R1A N0RMAL AND INDUSTRIAL SCHOOU 50 INDEX 421 G GAMES Tax on 18921898 22 GAS COMPANIES Value of shares in 18921893108112 GENERAL ASSEMBLY Table showing aggregate pay roll for 1892 97 GEORGIA HOME FIRE INSURANCE CO OF COLUMBUS GA Statement of for 18921893217218 GERMAN AMERICAN FIRE INSURANCE COMPANY Statement of for 18921893218219220 GENERAL TAX Amount paid 18921893 n3 GERMANIA FIRE INSURANCE CO Statement of for 18921893220221 GEOLOGICAL FUND Amount paid 18921893 a152 GERMANIA LIFE INSURANCE CO Statement of for 18921893301302303 GENERAL MARINE FIRE INSURANCE CO Statement of for 1892189338638 GIRARD FIRE INSURANCE CO Statement of for 18921893222223 GLENS FALLS FIRE INSURANCE CO Statement of for 18921893223224225 GREENWICH FIRE INSURANCE CO Statement of for 18921893225226227 GUARDIAN LIFE AND FIRE INSURANCE CO Statement of for 18921893 227228229 GEORGIA NORMAL AND INDUSTRIAL SCHOOL Amount paid for 18921893 Improving grounds 8 Furnishing 1893 S3 GUARANTEE CO OF NORTH AMERICA Statement of for 18921893387388 GUARANTORS INSURANCE CO OF PHILADELPHIA Statement of for 18921893389390 H HAMBURGBREMEN FIRE INSURANCE CO Statement of for 18921893229230231 HANOVER FIRE INSURANCE CO Statement of for 18921893231232233 HARTFORD FIRE INSURANCE CO Statement of for 18921893233234 HARTFORD LIFE AND ANNUITY ASSESSMENT LIFE INSUR ANCE CO Statement of fcr 18921893347348319 HARTFORD STEAM BOILER INSURANCE CO Statement of for 18921893 389390 HIRE OF CONVICTS Amount received 1892 13 HOME FIRE INSURANCE CO OF NEW YORK Statement of for 18921893 236237238 HOME FIRE INSURANCE CO OF NEW ORLEANS Statement of for 18921893 23523 HOME FRIENDLY ASSESSMENT LIFE INSURANCE CO Statement of for 18921893349350 HOME LIFE INSURANCE CO OF BROOKLYN N Y Statement of for 18921893303304305422 INDEX HORSES MULES ETC Amount invested in for 18921893 i ig HOUSEHOLD AND KITCHEN FURNITURE Amount invested in for 18921893 118122 HOUSE OF REPRESENTATIVES 1892 Table showing names of members and amounts paid each 9395 1 able showing attachees of the House and amounts paid each 96 39039 II 351352353 1616 1415 14 IMPERIAL FIRE INSURANCE CO Statement of for 18921893 3839 INTERSTATE CASUALTY CO OF N Y Statement of for 18921893 INSURANCE CO OF NORTH AMERICA Statement of for 18921893 4041 INSPECTORS OF FERTILIZERS Fees for 1893 INDUSTRIAL AID ASSESSMENT ASSOCIATION OF BIRMING HAM ALA Statement of for 18921893 INSURANCE Agents tax for 1893 Fees for 18921893 Tax for 18921893 Names and postoffices of authorized agents fire insurance com panies 88195 JNamesot nre insurance companies authorized to transact busi ness in 1893 jgg Names and postoffices of life insurance companies authorized to transact business 185186 Names of Assessment Life and Accident Insurance Companies authorized to transact business in 1893 l86 Names of other than Life or Fire Insurance Companies authorized to transact business in 1893 18618 INSURANC E COM PA NIES FireOeneral condition and business 403406 Old Line LifeGeneral condition 407 Accident Indemnity and MarineGeneral condition 40s EireBusiness mq Old Line LifeBusiness 41 i Assessment Life and AccidentBusiness412413 Accident indemnity and MarineBusiness 414 Comparative statement of business 415 INSURANCE OX PUBLIC BUILDINOS Amount paid to whom and for what in 18921893 IRON WORKS Amount invested for 18921893 INSOLVENT GENERAL TAN Amount paid INTEREST From Bank of Americus From railroads 53 IIS122 14 17 17 JOURNALS Amount paid for indexing I Si 12 82Cr UHBKUBUHHHM INDEX 123 L LANCASHIRE FIRE INSURANCE CO Statement of for 18921893242243 LAND Number acres improved land and value103107 Number acres wild land and value103107 LAND SCRIP FUND Semiannual interest paid University 1S03 55 LAWYERS Table showing number of100102 LEGISLATIVE PAY ROLL Amount of for session 1892 97 LIBRARY Amount fund 18921893 5455 LIQUOR Tax on 18921893 1718 Tax refunded 18921893 SI LION EIRE INSURANCE CO Statement of for 18921893 243244 LIVERPOOL AND LONDON AND GLOBE FIRE INSURANCE CO Statement of for 18921893245246 LIKE INSURANCE CLEARING CO OK ST PAIL MINN Statement of for 18021893305300 LIGHTNING HOD DEALERS Tax on for 18921893 17 LLOYDS PLATE GLASS INSURANCE CO Statement of for 18921893301392393 LOAN AND BUILDING ASSOCIATIONS Amount invested in 18921898 108112 LONDON ASSURANCE EIRE CO Statement of for 18921893246247248 LONDON GUARANTEE AND ACCIDENT INSURANCE CO Statement of for 18921893 303304 LONDON AND LANCASHIRE FIRE INSURANCE CO Statement of for 18921893 248249250 LOVE 7 E Liquor Tax refunded 1S02 i i LUNATIC ASYLUM Amount paid for 18921893 5556 Amounts paid Trustees salaries 5657 Amounts paid repairing Asylum 83 M MACON EIRE INSURANCE CO Statement of for 1S921893250251 MANHATTAN LIFE INSURANCE CO OF N V Statement of for 18021893306307308 MARYLAND LIFE INSURANCE CO Statement of for 18921893 308309310 MASONS FRATERNAL ACCIDENT ASSESSMENT LIFE INSURANCE CO Statement of for 189218933o33o4355 MASSACHUSETTS BENEFIT ASSESSMENT ASSOCIATION Statement of for 18921893 352353 MASSACHUSETTS MUTUAL LIFE INSURANCE CO Statement of for 18921893310311312 MAKING MAPS For Secretary of State 76 MECHANICS AND TRADERS FIRE INSURANCE CO Statement of for 18921893251252424 INDEX MERCHANTS FIRE INSURANCE CO Statement of for 18921893253254 MERCHANDISE Value of every kind for 18921893 13 l 7 METROPOLITAN LIFE INSURANCE CO Statement of for 18921893312313 MICHIGAN MUTUAL LIFE INSURANCE CO Statement of for 18921893313314315 MILITARY FUND Amounts paid to whom and for what 18921893 5758 MINING Capital invested in for 18921893 18122 MONEY AND SOLVENT DEBTS Amounts of in 18921893108112 MONEY REFUNDED Amounts and to whom g MUTUAL BENEFIT LIFE INSURANCE CO OF NEWARK Statement of for 18921893315310317 MUTUAL FIRE INSURANCE CO OF NEW YORK Statement of for 18921893 255256 MUTUAL LIFE INSURANCE CO OF NEW YORK Statement of for 18921893317318 MUTUAL LIFE INSURANCE CO OF KENTUCKY Statement of for 18921893318319320 MUTUAL RESERVE FUND ASSESSMENT LIFE ASSN Statement of for 18921893 355350 N NATIONAL COOPERATIVE GUARANTEE ASSESSMENT INSURANCE CO Statement of for 18921893358359 NATIONAL FIRE INSURANCE CO Statement of for 18921893250257 NATIONAL ASSESSMENT LIFE ASSOCIATION Statement of for 18921893356357358 NATIONAL LIFE AND MATURITY ASSESSMENT INSURANCE CO Statement of for 18921893 359360 NEW ENGLAND MUTUAL ASSESSMENT ACCIDENT ASSOCIATION Statement of for 18921893302303304 NEW YORK PLATE GLASS FTRE INSURANCE CO Statement of for 18921893 394395 NEW YORK LIFE INSURANCE CO Statement of for 18921893320321322 NIAGARA FIRE INSURANCE CO Statement of for 18921893 258259200 NORTHERN ASSURANCE CO OF LONDON Statement of for 18921893264265 NORTH BRITISH AND MERCANTILE FIRE INSURANCE CO Statement of for 18921893262263 NORWICH UNION FIRE INSURANCE SOCIETY Statement of for 18921893200201212 NORTHWESTERN MUTUAL LIFE INSURANCE CO Statement of for 18921893322323324 NATIONAL MUTUAL ASSESSMENT LIFE INSURANCE CO Statement of for 18921893 301302 NORTHWESTERN MASONIC AID ASSESSMENT LIFE ASSOCIATION Statement of for 18921893 304305 NORMAL COLLEGE Amount paid 18921893 77 laiaBBm hi INDEX NOSTRUMS Tax on for 18921893 425 2324 ORIENT FIRE INSURANCE CO Statement of for 1892326o26626 OVERPAID TAXES Disbursements of to whom and for what18921893 5961 PENALTIES Against Tax Collectors 18921893 1 Against railraads 18911892 1819 PENITENTIARY Amounts paid from fund 1Jr Amounts paid for traveling expenses 64 PENN MUTUAL LIFE INSURANCE CO Statement of for 18921893324321326 PHCENIX MUTUAL LIFE INSURANCE CO Statement of for 1892189332632 PENNSYLVANIA FIRE INSURANCE CO Statement of for 18921893267268 PHCENIX ASSURANCE CO Statement of for 1892189326920 PHCENIX FIRE INSURANCE CO OF BROOKLYN N Y Statement of for 18921893 28027122 PHCENIX FIRE INSURANCE CO OF HARTFORD CONN Statement of for 18821893272273 PERSONAL ESTATE Value of for 18921893128132 PEOPLES MUTUAL BENEFIT ASSESSMENT LIFE SOCIETY Statement of for 18921893 365366 PREFERRED ACCIDENT INSURANCE COMPANY Statement of for 1892189339639 PISTOLSDealers Tax on for 18921893 23 POLLS Table showing number white and colored 98K colored 98102 Table showing number PRINTING FUND Amounts paid for 1892189 Amounts paid for R R Commission for 18921893 PROFESSIONS In default for 18921893 9810 Tax on for 18921891 PROPERTY Character and value of property of colored taxpayers 189218931 Increase and decrease of each species in 1S93 Value of all property in 1893 Value of city and town property in 1893 Value of property returned by railroads in 1893 Table showing increase in value from 18791893 Value of property returned by street railroads in 1893 PROVIDENT SAVINGS LIFE INSURANCE SOCIETY Statement of for 18921893328329 PROVIDENT FUND ASSESSMENT LIFE SOCIETY Statement of for 18921893367368 PUBLIC BUILDINGS Insurance on for 18921893 Fund for 18921893 PUBLIC DEBT Amount of interest paid on bonds and coupons cancelled a QUEEN OF AMERICA FIRE INSURANCE CO Statement of for 18921893 66 676 128132 137 4 4 4 4 4 4 5354 65 65 274 275426 INDEX If 1 19 20 142164 168 167 67 47 68 369 128 132 76 84 276 277 278 279 R RAILROADS Taxes on for 18921893 Rent of Western and Atlantic Railrooad 18921893 Tax for hauling sleeping ears 1892 Property returned in 1893 Street railroads 1892 RAILROAD COMMISSION Contingent expenses for 1821893 Amount printing for 18921893 RAILWAY OFFICIALSEMPLOYEES ASSESSMENT ACCIDENT ASSOCIATION Statement of for 1892 1893 REAL ESTATE Value of for 18921893 REPAIRING Roof of Capitol Executive Mansion ROCHESTER GERMAN FIRE INSURANCE CO Statement of for 1892 1893275 ROYAL FIRE INSURANCE CO Statement of for 18921893277 S SALES Of Acts Of wild lands Of Supreme Court reports SCHOOL FUND Receipts and disbursements 189218931894 Table of school population 18921893 SCOTTISH UNION AND NATIONAL FIRE INSURANCE CO Statement of for 18921893 279280 SENATORS OF 18921893 Table showing names of members and amounts paid each Table of attachees and amounts paid each SPECIAL APPROPRIATIONS Sundry special appropriations ST PALL FIRE INSURANCE CO Statement of for 18921893282283 STANDARD LIFE AND ACCIDENT INSURANCE CO Statement of for 18921893397398 STATIONERY Stationery furnished General Assembly STOCKS AND BONDS Amount invested in for 1 921893n STENOGRAPHERS For AttorneyGeneral 18921893 For Gober investigation 1892 SERGEANTATARMS For Gober investigation 1892 SNOOK SON P H Amount paid 1892 SEWING MACHINE AGENTS Tax on for 18921893 SHIPPING AND TONNAGE Money invested in for 18921893 SHOWS Tax on for 18921893 oq SOLDIERS Amounts paid to disabled Confederate soldiers for 18921893 SLEEPING CARS Tax on sleeping cars 18921893 20 21 20 6869 98102 11 93 7680 78 i n 80 so 15 113117INDEX 427 SOLICITORS GENERAL Salaries of paid for 18921893 SOUTHERN MUTUAL FIRE INSURANCE CO Statement of for 18921893 SUN INSURANCE OFFICE OF LONDON Statement of for 18921893 SCHOOL OF TECHNOLOGY Amount paid 18921893 Restoring school SCHOOL FOR COLORED Amount paid 18921893 SUPREME COURT REPORTS Amounts paid 18921893 STEPHENS INDUSTRIAL ASSESSMENT SO OF AUGUSTA GA Statement if for 18921893 717273 281282 284285 73 81 70 74 369370 TAX On brewing companies 18921893 On agencies 1892189 On clock peddlers 18921893 On cold storage 18921893 On express companies 18921893 On futures 18921893 On games 18921893 On liquor On lightning rod dealers 18901893 On pawnbrokers 18921893 On pistol dealers 1S921893 On special nostrums 1892 1893 On specialties 1892 1893 On sleeping car companies 18921893 On telegraph companies 18921893 On telephone companies 18921893 Wild land 2122 21 22 22 22 22 25 17 27 2223 23 2324 23 23 24 24 24 TAX COLLECTORS ACCOUNTS Statement of their condition 18921893138 141 TREASURY RECEIPTS ATItemized From artiststax 1892 From artists tax 1893 From auctioneerstax 1892 From auctioneers tax 1893 From billiard tax 1S92 From billiard tax 1893 From Citizens Bank From city of Chattanooga From cost on ji fas From dividends irorn stocks From fees of officers From fees of oil inspectors From fees of inspection of fertilizers From general tax 1891 From general tax 1892 From hire of convicts 1892 From insolvent general tax From insurance agents 1892 From insurance agents 1893 From insurance fees 1892 From insurance fees 1893 Prom insurance taxes 1893 From interest from Bank of Americus From interest from railroads From lease of oyster lands From lightning rod dealers 1890 From lightning rod dealers 1891 From lightning rod dealers 1892 From lightning rod dealers 1893428 INDEX From liquor tax 1892 From liquor tax 1893 From money refunded From railroad tax 1891 From railroad tax 1892 From rental W A R R From rental public buildings From penalties against collectors From sale Supreme Court Reports From sale of acts From sewing machine agents 1892 From sewing machine agents 1893 From sewing machine companies 1893 From show tax 1892 From show tax 1893 From street railroad tax 1892 From Supreme Court Costs From surplus from sale of wild land From tax on agencies 1892 From tax on agencies 1893 From tax on brewing companies 1892 From tax on brewing companies 1893 From tax on clock peddlers 1892 From tax on clock peddlers 1893 From tax on cold storage 1893 From tax on express companies 1892 From tax on express companies 1893 From tax on futures 1893 From tax on games 1892 From tax on games 1893 From tax on pawnbrokers 1892 From tax on pawnbrokers 1893 From tax on pistol dealers 1892 From tax on pistol dealers 1893 From tax on sleeping car companies 1892 From tax on specialists 1892 From tax on specialists 1S93 From tax on special nostrums 189 From tax on special nostrums 1892 From tax on special nostrums 1893 From tax on telegraph companies 1892 From tax on telegraph companies 1893 From tax on telephone companies 1892 From tax on telephone companies 1893 From wild land tax TRAVELERS LIFE INSURANCE CO Statement of for 1892189330331 THAMES AND MERSEY MARINE INSURANCE CO Statement of for 18921893398399 TJ UNITED STATES GUARANTEE INSURANCE CO Statement of for 18921893400401 UNITED STATES LIFE INSURANCE CO Statement of for 1892 1893332333 UNION CENTRAL LIFE INSURANCE CO Statement of for 18921893334335 UNITED LIFE INSURANCE ASSOCIATION OF X Y Statement of for 18921893370371 UNION CASUALTY AND SURETY CO Statement of for 18921893401402 UNITED STATES MASONIC BENEVOLENT ASSESSMENT AS SOCIATION Statement of for 18921893371372INDEX 429 UNITED STATES MUTUAL ACCIDENT ASSOCIATION Statement of for 18921893373374 UNIVERSITY OF GEORGIA Amount appropriation 1893 74 Salary trustees 18921891 7475 336 280 VOTING Number voting at last election for Georgia State House officers and members of Congress168179 VALLEY MUTUAL ASSESSMENT LIFE ASSOCIATION Statement of for 18921893374375 WASHINGTON LIFE INSURANCE CO Statement of for 18921893 WESTERN ASSURANCE CO Statement of for 18921893 WESTCHESTER FIRE INSURANCE CO Statement of for 18921893 VVILLIAMSBURGH FIRE INSURANCE CO Statement of for 18921893 C C WHEELER Liquor tax refunded 1892 WESTERN AND ATLANTIC RAILROAD Witnesses Commission Lessees award to WIDOWS Pensions paid 288 290 337 287 289 291 80 76 82 74 f