Click here to load reader

CCXVr REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1 ... · PDF file 2018-11-07 · CCXVr REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports

  • View
    2

  • Download
    0

Embed Size (px)

Text of CCXVr REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1 ... ·...

  • CCXVr REPORT OF THE COMPTROLLER OF THE CURRENCY.

    Abstract of reports since October 1, 1885, arranged MONTANA.

    Resources.

    Loans and discounts. Bonds for circulation -Bonds for deposits... IT. S. bonds on hand Other stocks and b'ds Due from res've ag'ts Due froinnat'l banks. Due from State banks Real estate, 2 43 52,602 13 80, 785 81

    80, 932 00 039 41

    6G0 805 w> 450, 073 00

    19, 277 50 3, 646 54

    9, 718, 922 03

    MAItCII 1.

    15 banks.

    $5, 660, 450 441,850 200, 000

    513, 878 504, 595 407, 180 278, 888 330, 2(30

    28, 203 51, 521

    104,(9!)

    71,500 42o

    620 54(5 428. 928

    19, 835 856

    9, 663, 083

    76 00 00

    71 44 56 91 83 10 76 35

    00 70

    8'-! 00

    50 79

    24

    JUN'E 3.

    15 banks

    $6,186,570 443, 100 200, 000

    445, 905 360, 460 377, 889 382, 065 326, 642

    59, 040 51,003

    110 006

    103, 116 880

    789 077 380, 567

    19,807 2,113

    10, 24.5, 560

    21 00 00

    9 8 59 24 91 MJ) 75 16 frt

    00 77

    ;'f> 00

    59 00

    32

    AUGUST 27 - - - • - •

    16 b a n k s .

    $6, 088, 818 455, 600 200, 000

    497, 778 636, 864 733, 564 431,451 331,641

    22, 273 55, 200

    198 ;J96

    71, 197 602

    2 770 k:)O7 402! 101

    20, 399 5, 597

    10, 921, 715

    41 00 00

    98 33 39 30 24 76 57 flr>

    00 54 00 0 T

    00

    00 69

    91

    OCTOBER 7

    16 banks .

    $6,417,859 455, 600 200, 000

    531,149 539, 583 737,284 428, 458 352, 496 45, 874 67, 748

    125 072

    164, 067 455

    j 777 158 405,582

    19, 899 7,597

    11, 275, 889

    75 00 00

    87 99 01 38 90 63 62 70

    00 85 00 10 00

    00 69

    49

    NEW MEXICO.

    Loans and discounts Bonds for circulation.Bonds for deposits^.. U. S. bonds on band.. Other stocks and b'ds Due from res've ag'ts Due from nafl banks. Due from State banks Real estate,

  • REPORT OF THE COMPTROLLER OF THE CURRENCY

    by States and reserve cities—Continued. MONTANA

    | DECEMBER 24. i MARCH 1.

    I 15 banks. ' 15 banks. Liabilities.

    JUSB 3.

    Capital stock . . .

    Surplus fund j Undivided profits i Natl bank circulation- State bank circulation |.

    Dividends unpaid

    Individual deposits... U. S. deposits .'

    Dep'ts U.S.dis. officers

    Due to national banks

    Due to State banks...

    Notes re-discounted..

    Bills payable Total

    $1, 810, 000 00 ' $1, 810, 000 00

    298, 000 00 825,551 27 ;

    302,180 00

    819, 300 00 676, 459 111

    31)0,420 00

    5, 729, 406 81 90,150 07 81, 908 82

    246, 676 42

    90, 503 54

    154, 313 75 I

    22'8 35 I 9, 718, 922 03

    5,841,522 56 79, 570 25 92,776 17

    279, JJOU 91

    50,169 63

    122, 964 41

    15 banks . I

    1151,821,500 00 |

    319, 420 00 : 700, 322 6- i

    ! 300,820 00 '

    AUGUST 27. |1._ 16 banks. j

    $1, 847, 500 00 I

    333,125 00 ! fci'0, 53(i 80

    OCTOBER 7.

    380, 330 00 -I-

    16 banks .

    $1, 863, 500 00

    333,125 00 803, 307 95

    309, 500 00

    I

    6, 277, 988 25 i 79, 957 48 ! 80,387 62 |

    277,429 77 \

    100,812 11

    97, 928 47

    6,703,765 17 104, 572 32

    65,016 77

    503, 216 46

    107, 850 91

    46, c()2 48

    6. 079,137 03 92, 187 85 76, .103 74

    •189, 233 05

    77,550 57

    72,080 50

    9, 663, 083 24 10, 245, 566 32 ! 10, 921, 715 91 j 11,275, 880 49

    Capital stock j

    Surplus fund ! Undivided profits ! JKi at/1 bank circulation! State bank circulation | -

    Dividends unpaid

    Individual deposits. -. U. S. deposits

    Dep'ts U.S.dis.oflicers

    Due to national banks

    Due to State banks...

    Xotes re-discounted.. Bills payable..

    Total

    NEW MEXICO.

    j 8 banks . 8 hanks. j

    $750, 000 00 j

    8 banks.

    $700, 000 00 ! $700, 000 00 '

    8 banks . • 0 banks .

    $800, GOO 00 $825, 000 00

    163,226 46 j 64,182 01 |

    380,270 00 |

    163, 226 46 . 53,450 40

    169, 126 4,(5 j 70,700 14 ;

    380,400 00 ; 301,270 00 j

    168,171 46 43,437 10

    302, 880 00

    240 00

    1, 748, 912 27 ' 122,621 27 80, 507 01

    235,121 69

    58, 817 33

    5, 000 00

    3, 567, 898 04

    80 00

    1,633,288 81 112, 940 73 82, 633 81

    141, 606 IS I

    448 00

    1, 380, 347 02 : 144, 640 95 !

    52, 096 50 •

    i 101,096 53

    95,120 01

    76,212 46 ;

    ...... j 4, 000 00 '

    3,392,151. 33 | 3,~332, 877 06"i

    82, 250 10 |

    41,184 69 !

    820 00

    1,478,542 82 132,036 42 61,033 51

    150,812 26

    68,217 36

    23, 360 00

    3,3:9,210 93

    UTAH.

    6 banks.

    Capital stock

    Surplus fund Undivided profits Xat'l bank circulation State bank circulation!

    $800, 000 00

    274, 500 00 94,195 67

    320, 560 00

    6 banks.

    $800, 000 00

    289, 500 00 66,466 08

    312, 030 00 |

    6 brinks. I

    $800, 000 00

    289, ttH) 00

    318,120 ou .;

    7 banks.

    $832,990 00

    302 r>00 00 1] 4,37(5 89

    206, 230 00

    161108 81 52, 5liO 88

    252,080 00

    1,500 00

    1,538,717 08 137.465 54 40,881 15

    152, 435 78

    40, 520 83

    64,733 89

    3, 270, 094 86

    7 banks.

    $837,175 00

    302, 750 00 130. 578 13

    303,110 00

    Dividends unpaid In dividual deposits. -. U S deposits Dep'ts U.S.dis.onicers

    Due to national banks

    Due to State banks...

    Xotes re-discounted..

    Total

    661 00

    1, 754, 292 55 26,115 80 47,834 17

    16, 477 47

    16,019 75

    3, 350, 656 41

    1, 821

    1, 765, 648 9, 209

    47, 864

    33, 209

    69, 622

    3, 396, 272

    00

    85 78 00

    17

    78

    56

    1,400

    1, 704, 437 7 5, 707 15, 505

    31, 885

    18,411

    3, 371, 279

    00

    lit 50 10

    38

    04

    99

    2, 029

    2. 068.

  • REPORT OF THE COMPTROLLER OF THE CURRENCY. 9 5 3

    J\ E W MEXICO.

    J. REYNOLDS, President.

    First National Bank, Albuquerque. No. 2614. M. W. FLOURNEY, Assistant Cashier.

    Resources.

    Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing-house Bills of other banks Fractional currency Trade dollars Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with IT. S. Treas . Due from IT. S. Treasurer

    Total.

    $245, 927 15 8,725 49

    25,000 00

    8,804 51 8,138 71

    93, 702 04 58,845 74 3,782 24 1, 459 33 5, 653 61

    8,245 00 61 52

    45,462 50 14, 058 00

    1,125 00 339 50

    529, 330 34

    Liabilities.

    Capital stock paid in.

    Surplus fund Other undivided profits .

    National bank notes outstanding.. State bank notes outstanding

    Dividends unpaid.

    Individual deposits United States deposits Deposits of IT. S. disbursing officers.

    Due to other national banks Due to State banks and bankers . .

    Notes and bills re-discounted . Bills payable

    Total.

    $100, 000 00

    11, 200 00 5,491 81

    22,490 00

    369, 092 77

    3,949 41 17,106 35

    529,330 U

    Albuquerque National Bank, Albuquerque. JOSEPH BELL, President. No. 3222. W. S. STRICKLER, Cashier.

    Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bondson hand Other stocks, bonds, and mortgages - Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid.. - Premiums paid Checks and other cash items Exchanges for clearing-house Bills of other banks Fractional currency Trade dollars Specie . Legal-tender notes U. 3. certificates of deposit Redemption fund with U. S. Treas - Due from U. S. Treasurer

    $161,985 78 4, 857 45

    25,000 00

    Capital stock paid in.

    Surplus fund Other undivided profits .

    3,961 83 6,337 39 9,165 44 5, 037 52 2, 393 89 3,315 62

    747 96

    12,255 00 205 95

    17, 594 75 6, 025 00

    1,125 00

    Total. 260,008 58

    I National bank notes outstanding . State bank notes outstanding

    Dividends unpaid

    Individual deposits United States deposits Deposits of TJ. S. disbursing officers.

    Due to other national banks Due to State banks and bankers ..

    Notes and bills re-discounted . Bills payable

    Total.

    $100,000 00

    2,500 00 5, 005 29

    22,500 00

    108, 040 17

    3, 347 37 255 75

    18,360 00

    260, 008 58

    Capital stock paid in .

    Surplus fund Other undivided profits

    National bank notes outstanding.. State bank notes outstanding

    Dividends unpaid

    Individual deposits United States deposit

    $50,000 00

    3,000 00 3, 089 38

    11, 250 00

    First National Bank, Deming. CHARLES H. DANE, President. No. 3160. FR