ASSETS ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªª ªªªªªªªªª ªªªªªªª

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2 ASSETS Current Year Prior Year Net Admitted Nonadmitted Assets Net Admitted Assets Assets (Cols. 1-2) Assets ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªª 1. Bonds (Schedule D) 36,079,240 36,079,240 39,266, Stocks (Schedule D): ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªª 2.1 Preferred stocks 460,089 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªª 2.2 Common stocks 8,716,088 8,716,088 11,954, Mortgage loans on real estate (Schedule B): ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 3.1 First liens 2,197,493 2,197,493 2,526,292 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 3.2 Other than first liens 4. Real estate (Schedule A): ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 4.1 Properties occupied by the company (less $ ªªªªªªªªªªªªªªªªªencumbrances) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 4.2 Properties held for the production of income (less $ ªªªªªªªªªªªªªªªªªencumbrances) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 4.3 Properties held for sale (less $ ªªªªªªªªªªªªªªªªªencumbrances) 5. Cash ($ ªªªªªª 6,141,112, Schedule E-Part 1), cash equivalents ($ ªªªªªªªªªªªªªªªªª, Schedule E-Part 2) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª and short-term investments ($ ªªªªªª 1,195,240,Schedule DA) 7,336,352 7,336,352 2,549,310 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 6. Contract loans (including $ ªªªªªªªªªªªªªªªªªpremium notes) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 7. Derivatives (Schedule DB) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 8. Other invested assets (Schedule BA) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 9. Receivables for securities ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 10. Securities lending reinvested collateral assets (Schedule DL) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 11. Aggregate write-ins for invested assets ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªª 12. Subtotals, cash and invested assets (Lines 1 to 11) 54,329,173 54,329,173 56,756,176 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 13. Title plants less $ ªªªªªªªªªªªªªªªªªcharged off (for Title insurers only) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª 14. Investment income due and accrued 395, , , Premiums and considerations: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªªª ªªªªªªª ªªªªªªª 15.1 Uncollected premiums and agents' balances in the course of collection 3,307, ,500 2,514,891 3,328, Deferred premiums, agents' balances and installments booked but deferred and not yet due ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª (including $ ªªªªªªªªªªªªªªªªªearned but unbilled premiums) 15.3 Accrued retrospective premiums ($ ªªªªªªªªªªªªªªªªª) and contracts ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª subject to redetermination ($ ªªªªªªªªªªªªªªªª) 16. Reinsurance: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª 16.1 Amounts recoverable from reinsurers 272, , ,532 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªª 16.2 Funds held by or deposited with reinsured companies 6,188,676 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 16.3 Other amounts receivable under reinsurance contracts ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 17. Amounts receivable relating to uninsured plans ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 18.1 Current federal and foreign income tax recoverable and interest thereon ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 18.2 Net deferred tax asset ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 19. Guaranty funds receivable or on deposit ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª 20. Electronic data processing equipment and software 14,736 14,736 22,863 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 21. Furniture and equipment, including health care delivery assets ($ ªªªªªªªªªªªªªªªªª) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 22. Net adjustment in assets and liabilities due to foreign exchange rates ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 23. Receivables from parent, subsidiaries and affiliates 2,941,428 2,941,428 1,764,116 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 24. Health care ($ ªªªªªªªªªªªªªªªªª) and other amounts receivable ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªª ªªªªªªªªª ªªªªªªª 25. Aggregate write-ins for other-than-invested assets 632,491 39, ,118 1,330,185 ªªªªªªªªªªªªªªª ªªªªªª ªªªªªªªªª ªªªªªª ªªªªªª 26. Total assets excluding Separate Accounts, Segregated Accounts and Protected Cell Accounts (Lines 12 to 25) 61,893, ,873 61,061,384 70,294,003 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 27. From Separate Accounts, Segregated Accounts and Protected Cell Accounts ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªªªª ªªªªªª ªªªªªª 28. Total (Lines 26 and 27) 61,893, ,873 61,061,384 70,294,003 DETAILS OF WRITE-INS ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 11 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Totals (Lines 1101 through 1103 plus 1198) (Line 11 above) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Salvage receivable 39,373 39,373 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª Other assets 593, , ,014 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªª Bond receivable 417,171 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 25 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªª ªªªªªªªªª ªªªªªªª Totals (Lines 2501 through 2503 plus 2598) (Line 25 above) 632,491 39, ,118 1,330,185 2

3 LIABILITIES, SURPLUS AND OTHER FUNDS 1 2 Current Year Prior Year ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªª 1. Losses (Part 2A, Line 35, Column 8) 2,178,178 2,359,005 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 2. Reinsurance payable on paid losses and loss adjustment expenses (Schedule F, Part 1, Columnn 6) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª 3. Loss adjustment expenses (Part 2A, Line 35, Column 9) 750, ,645 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªª 4. Commissions payable, contingent commissions and other similar charges 547,091 2,237,432 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªªª 5. Other expenses (excluding taxes, licenses and fees) 1,746, ,922 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªª 6. Taxes, licenses and fees (excluding federal and foreign income taxes) 18,192 43,990 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 7.1 Current federal and foreign income taxes (including $ ªªªªªªªªªªªªªªªªªª on realized capital gains (losses)) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªª 7.2 Net deferred tax liability 57,634 57,634 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 8. Borrowed money $ ªªªªªªªªªªªªªªªªªª and interest thereon $ ªªªªªªªªªªªªªªªªªª 9. Unearned premiums (Part 1A, Line 38, Column 5) (after deducting unearned premiums for ceded reinsurance of $ ªªªªªªªª 893,187 and including warranty reserves of $ ªªªªªªªªªªªªªªªªªªand accrued accident and health experience rating refunds ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª including $ ªªªªªªªªªªªªªªªªªªfor medical loss ratio rebate per the Public Health Service Act) 11,423,248 14,899,089 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 10. Advance premium 11. Dividends declared and unpaid: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 11.1 Stockholders ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 11.2 Policyholders ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª 12. Ceded reinsurance premiums payable (net of ceding commissions) (504,593) (494,035) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 13. Funds held by company under reinsurance treaties (Schedule F, Part 3, Column 19) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª 14. Amounts withheld or retained by company for account of others 324, ,271 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 15. Remittances and items not allocated ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 16. Provision for reinsurance (including $ ªªªªªªªªªªªªªªªªªªcertified) (Schedule F, Part 8) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 17. Net adjustments in assets and liabilities due to foreign exchange rates ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 18. Drafts outstanding ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 19. Payable to parent, subsidiaries and affiliates ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 20. Derivatives ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªª 21. Payable for securities 1,838,260 5,000,000 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 22. Payable for securities lending ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 23. Liability for amounts held under uninsured plans ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 24. Capital notes $ ªªªªªªªªªªªªªªªªªª and interest thereon $ ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 25. Aggregate write-ins for liabilities ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 26. Total liabilities excluding protected cell liabilities (Line 1 through Line 25) 18,380,012 25,519,953 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 27. Protected cell liabilities ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 28. Total liabilities (Line 26 and Line 27) 18,380,012 25,519,953 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 29. Aggregate write-ins for special surplus funds 27,676,195 27,851,707 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªª 30. Common capital stock 2,800,000 2,800,000 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 31. Preferred capital stock ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 32. Aggregate write-ins for other than special surplus funds ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 33. Surplus notes ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª 34. Gross paid in and contributed surplus 125, ,000 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 35. Unassigned funds (surplus) 12,080,177 13,997, Less treasury stock, at cost: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 36.1 ªªªªªªªªªªªªªªªªªª shares common (value included in Line 30 $ ªªªªªªªªªªªªªªªªªª) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 36.2 ªªªªªªªªªªªªªªªªªª shares preferred (value included in Line 31 $ ªªªªªªªªªªªªªªªªªª) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 37. Surplus as regards policyholders (Line 29 to Line 35, less Line 36) (Page 4, Line 39) 42,681,372 44,774,050 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 38. Totals (Page 2, Line 28, Column 3) 61,061,384 70,294,003 DETAILS OF WRITE-INS ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 25 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Totals (Line 2501 through Line 2503 plus Line 2598) (Line 25 above) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª Statutory Catastrophe Trust Fund 27,676,195 27,851,707 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 29 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª Totals (Line 2901 through Line 2903 plus Line 2998) (Line 29 above) 27,676,195 27,851,707 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 32 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Totals (Line 3201 through Line 3203 plus Line 3298) (Line 32 above) 3

4 STATEMENT OF INCOME UNDERWRITING INCOME 1 2 Current Year Prior Year ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªª 1. Premiums earned (Part 1, Line 35, Column 4) 29,475,347 37,738,590 DEDUCTIONS ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªª 2. Losses incurred (Part 2, Line 35, Column 7) 13,676,331 14,346,839 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªªªª 3. Loss adjustment expenses incurred (Part 3, Line 25, Column 1) 1,426, ,858 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªª 4. Other underwriting expenses incurred (Part 3, Line 25, Column 2) 18,533,027 21,582,521 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 5. Aggregate write-ins for underwriting deductions ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªª 6. Total underwriting deductions (Line 2 through Line 5) 33,635,598 36,753,218 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 7. Net income of protected cells ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªªªª 8. Net underwriting gain (loss) (Line 1 minus Line 6 plus Line 7) (4,160,251) 985,372 INVESTMENT INCOME ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 9. Net investment income earned (Exhibit of Net Investment Income, Line 17) 1,796,198 3,609,785 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªª 10. Net realized capital gains (losses) less capital gains tax of $ (Exhibit of Capital Gains (Losses)) 974,236 (1,751,400) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 11. Net investment gain (loss) (Line 9 plus Line 10) 2,770,434 1,858,385 OTHER INCOME ªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 12. Net gain (loss) from agents' or premium balances charged off (amount recovered $,amount charged off $ ªªªªªªªªªªªªªªªª) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªªª 13. Finance and service charges not included in premiums 20,032 6,118 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 14. Aggregate write-ins for miscellaneous income ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªªª 15. Total other income (Line 12 through Line 14) 20,032 6, Net income before dividends to policyholders, after capital gains tax and before all other federal and foreign income taxes ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªª (Line 8 plus Line 11 plus Line 15) (1,369,785) 2,849,875 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 17. Dividends to policyholders 18. Net income, after dividends to policyholders, after capital gains tax and before all other federal and foreign income taxes ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªª (Line 16 minus Line 17) (1,369,785) 2,849,875 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 19. Federal and foreign income taxes incurred ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªª 20. Net income (Line 18 minus Line 19)(to Line 22) (1,369,785) 2,849,875 CAPITAL AND SURPLUS ACCOUNT ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªª 21. Surplus as regards policyholders, December 31 prior year (Page 4, Line 39, Column 2) 44,774,050 66,505,833 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªª 22. Net income (from Line 20) (1,369,785) 2,849,875 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 23. Net transfers (to) from Protected Cell accounts ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªª 24. Change in net unrealized capital gains or (losses) less capital gains tax of $ 279,904 (8,480,084) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 25. Change in net unrealized foreign exchange capital gain (loss) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 26. Change in net deferred income tax ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªª 27. Change in nonadmitted assets (Exhibit of Nonadmitted Assets, Line 28, Column 3) (2,800) (11,600) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 28. Change in provision for reinsurance (Page 3, Line 16, Column 2 minus Column 1) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 29. Change in surplus notes ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 30. Surplus (contributed to) withdrawn from protected cells ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 31. Cumulative effect of changes in accounting principles 32. Capital changes: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 32.1 Paid in ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 32.2 Transferred from surplus (Stock Dividend) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 32.3 Transferred to surplus 33. Surplus adjustments: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 33.1 Paid in ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 33.2 Transferred to capital (Stock Dividend) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 33.3 Transferred from capital ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 34. Net remittances from or (to) Home Office ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªª 35. Dividends to stockholders (999,997) (3,248,000) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 36. Change in treasury stock (Page 3, Line 36.1 and Line 36.2, Column 2 minus Column 1) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªª 37. Aggregate write-ins for gains and losses in surplus (12,841,974) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªª 38. Change in surplus as regards policyholders for the year (Line 22 through Line 37) (2,092,678) (21,731,783) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªª 39. Surplus as regards policyholders, December 31 current year (Line 21 plus Line 38) (Page 3, Line 37) 42,681,372 44,774,050 DETAILS OF WRITE-INS ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 5 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Totals (Line 0501 through Line 0503 plus Line 0598) (Line 5 above) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 14 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Totals (Line 1401 through Line 1403 plus Line 1498) (Line 14 above) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªª Surplus adjustment: Transferred to Statutory Catastrophe Trust Fund 175,512 6,291,541 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªª Statutory Catastrophe Trust Fund (175,512) (6,291,541) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªª Dividend in kind to Anglo Holding LLC (12,841,974) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 37 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªª Totals (Line 3701 through Line 3703 plus Line 3798) (Line 37 above) (12,841,974) 4

5 CASH FLOW 1 2 Current Year Prior Year Cash from Operations ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 1. Premiums collected net of reinsurance 26,802,964 32,539,015 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªª 2. Net investment income 1,933,460 3,680,235 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªªªª 3. Miscellaneous income 292,068 6,118 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 4. Total (Line 1 through Line 3) 29,028,492 36,225,368 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 5. Benefit and loss related payments 15,225,968 16,290,990 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 6. Net transfers to Separate Accounts, Segregated Accounts and Protected Cell Accounts ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 7. Commissions, expenses paid and aggregate write-ins for deductions 13,030,266 17,630,396 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 8. Dividends paid to policyholders ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 9. Federal and foreign income taxes paid (recovered) net of $ ªªªªªªªªªªªªªªªªªªtax on capital gains (losses) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 10. Total (Line 5 through Line 9) 28,256,234 33,921,386 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªª 11. Net cash from operations (Line 4 minus Line 10) 772,258 2,303,982 Cash from Investments 12. Proceeds from investments sold, matured or repaid: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 12.1 Bonds 28,353,979 46,155,278 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªª 12.2 Stocks 5,028,444 39,741,805 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªª 12.3 Mortgage loans 328,799 8,738,579 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 12.4 Real estate ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 12.5 Other invested assets ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 12.6 Net gains or (losses) on cash, cash equivalents and short-term investments ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª 12.7 Miscellaneous proceeds 118,667 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 12.8 Total investment proceeds (Line 12.1 through Line 12.7) 33,711,222 94,754, Cost of investments acquired (long-term only): ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 13.1 Bonds 23,932,090 15,456,085 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªª 13.2 Stocks 4,764,351 41,975,203 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªª 13.3 Mortgage loans 8,000,000 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 13.4 Real estate ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 13.5 Other invested assets ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªª 13.6 Miscellaneous applications 1,940,894 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª 13.7 Total investments acquired (Line 13.1 through Line 13.6) 28,696,441 67,372,182 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 14. Net increase (decrease) in contract loans and premium notes ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªª 15. Net cash from investments (Line 12.8 minus Line 13.7 minus Line 14) 5,014,781 27,382,147 Cash from Financing and Miscellaneous Sources 16. Cash provided (applied): ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 16.1 Surplus notes, capital notes ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 16.2 Capital and paid in surplus, less treasury stock ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 16.3 Borrowed funds ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 16.4 Net deposits on deposit-type contracts and other insurance liabilities ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªª 16.5 Dividends to stockholders 999,997 3,748,000 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªª 16.6 Other cash provided (applied) (30,513,663) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªª 17. Net cash from financing and miscellaneous sources (Line 16.1 through Line 16.4 minus Line 16.5 plus Line 16.6) (999,997) (34,261,663) RECONCILIATION OF CASH, CASH EQUIVALENTS AND SHORT-TERM INVESTMENTS ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªª 18. Net change in cash, cash equivalents and short-term investments (Line 11 plus Line 15 plus Line 17) 4,787,042 (4,575,534) 19. Cash, cash equivalents and short-term investments: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªª 19.1 Beginning of year 2,549,310 7,124,844 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªª 19.2 End of year (Line 18 plus Line 19.1) 7,336,352 2,549,310 Note: Supplemental disclosures of cash flow information for non-cash transactions: ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª

6 UNDERWRITING AND INVESTMENT EXHIBIT PART 1 - PREMIUMS EARNED Unearned Unearned Premiums Premiums Premiums Net December 31 December 31 Earned Premiums Prior Year- Current Year- During Year Written per per Column 3, Last per Column 5 (Columns Line of Business Column 6, Part 1B Year's Part 1 Part 1A 1 plus 2 minus 3) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª ªªªªªªªªª ªªªªªªªªª 1. Fire 324, , , ,935 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª ªªªªªªª ªªªªªªª 2. Allied lines 3,704,276 2,639,235 2,167,090 4,176,421 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 3. Farmowners multiple peril ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª ªªªªªªªªª ªªªªªªªªª 4. Homeowners multiple peril 634, , , ,763 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª ªªªªªªª ªªªªªªª 5. Commercial multiple peril 2,864,540 2,015,849 2,249,252 2,631,137 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 6. Mortgage guaranty ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 8. Ocean marine ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªª ªªªªªªªªªªªªª ªªªªªªªªªªªªª ªªªªªªªªªªªªª 9. Inland marine ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 10. Financial guaranty ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 11.1 Medical professional liability - occurrence ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 11.2 Medical professional liability - claims-made ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªª ªªªªªªª ªªªªªªª ªªªªªªª 12. Earthquake 4,167,648 3,016,350 2,461,727 4,722,271 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 13. Group accident and health ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 14. Credit accident and health (group and individual) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª ªªªªªªªªªªª 15. Other accident and health 1, ,872 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 16. Workers' compensation ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª 17.1 Other liability - occurrence 30,442 18,231 15,307 33,366 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 17.2 Other liability - claims-made ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 17.3 Excess workers' compensation ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª 18.1 Products liability - occurrence 92,469 34,712 51,960 75,221 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 18.2 Products liability - claims-made ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªªª ªªªªªªª ªªªªªª 19.1, 19.2 Private passenger auto liability 12,271,609 5,747,420 3,043,168 14,975,861 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª ªªªªªªªªª ªªªªªªªªª 19.3, 19.4 Commercial auto liability 508, , , ,239 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª ªªªªªªªªª ªªªªªªªªª 21. Auto physical damage 684, , , ,841 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 22. Aircraft (all perils) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªª 23. Fidelity 15,438 13,895 5,962 23,371 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªª ªªªªªªªªª ªªªªªªªªª 24. Surety 492, , , ,395 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 26. Burglary and theft ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 27. Boiler and machinery ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 28. Credit ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 29. International ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 30. Warranty ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 31. Reinsurance - Nonproportional Assumed Property ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 32. Reinsurance - Nonproportional Assumed Liability ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª 33. Reinsurance - Nonproportional Assumed Financial Lines ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªª 34. Aggregate write-ins for other lines of business 206,548 4,316 26, ,348 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªª ªªªªªª ªªªªªª ªªªªªª 35. TOTALS 25,999,506 14,899,089 11,423,248 29,475,347 DETAILS OF WRITE-INS ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªª Title 206,548 4,316 26, ,348 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 34 from overflow page ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªª ªªªªªªªªª Totals (Line 3401 through Line 3403 plus Line 3498) (Line 34 above) 206,548 4,316 26, ,348 6

7 UNDERWRITING AND INVESTMENT EXHIBIT PART 1A-RECAPITULATION OF ALL PREMIUMS Amount Unearned Amount Unearned Reserve for Total Reserve (Running One Year (Running More Than Earned Rate Credits and for Unearned or Less from One Year from but Retrospective Premiums Date of Policy) Date of Policy) Unbilled Adjustments Based Columns Line of Business (a) (a) Premium on Experience ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª 1. Fire 235, ,284 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªª 2. Allied lines 2,167,090 2,167,090 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 3. Farmowners multiple peril ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª 4. Homeowners multiple peril 414,021 (87) 413,934 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªª 5. Commercial multiple peril 2,249,252 2,249,252 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 6. Mortgage guaranty ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 8. Ocean marine ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªª 9. Inland marine ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 10. Financial guaranty ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 11.1 Medical professional liability - occurrence ªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 11.2 Medical professional liability - claims-made ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªª 12. Earthquake 2,461,727 2,461,727 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 13. Group accident and health ªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 14. Credit accident and health (group and individual) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªª 15. Other accident and health ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 16. Workers' compensation ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª 17.1 Other liability - occurrence 15,307 15,307 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 17.2 Other liability - claims-made ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 17.3 Excess workers' compensation ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª 18.1 Products liability - occurrence 51,960 51,960 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 18.2 Products liability - claims-made ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªª 19.1, 19.2 Private passenger auto liability 3,043,168 3,043,168 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª 19.3, 19.4 Commercial auto liability 223, ,601 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª 21. Auto physical damage 284,247 1, ,339 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 22. Aircraft (all perils) ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªª 23. Fidelity 5,962 5,962 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª 24. Surety 234,226 9, ,918 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 26. Burglary and theft ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 27. Boiler and machinery ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 28. Credit ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 29. International ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 30. Warranty ªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 31. Reinsurance - Nonproportional Assumed Property ªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 32. Reinsurance - Nonproportional Assumed Liability ªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 33. Reinsurance - Nonproportional Assumed Financial Lines ªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª 34. Aggregate write-ins for other lines of business 26,516 26,516 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªª 35. TOTALS 11,386,035 37,213 11,423,248 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 36. Accrued retrospective premiums based on experience ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª 37. Earned but unbilled premiums ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªª 38. Balance (Sum of Line 35 through Line 37) 11,423,248 DETAILS OF WRITE-INS ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª TITLE 26,516 26,516 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª Summary of remaining write-ins for Line 34 from overflow page Totals (Line 3401 through Line 3403 plus Line 3498) (Line 34 ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªªªªªªªªªª ªªªªªªªªªªª above) 26,516 26,516 (a) State here basis of computation used in each case. ªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªªª 7

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