Transcript
Page 1: CCXVr REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1 ... · 2018-11-07 · CCXVr REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since

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 handOther stocks and b'dsDue from res've ag'tsDue froinnat'l banks.Due from State banksReal estate, <feeCurrent expensesPremiums paidCash itemsClear'g-house exch'gsBills of other banks..Fractional currency -Trade dollars. ..Specie -Legal-tender notes ..TL S. cert's of deposit.5 % fund with Treas.Due from U. S. Treas.

Total

DECEMBER 24.

15 banks.$5, 866, 809 04

439,350 00200, 000 00

440, 120 72427.453 18406, 332 05193,575 01299,917 5*5'96, 0l>2 4352,602 1380, 785 81

80, 932 00039 41

6G0 805 w>450, 073 00

19, 277 503, 646 54

9, 718, 922 03

MAItCII 1.

15 banks.

$5, 660, 450441,850200, 000

513, 878504, 595407, 180278, 888330, 2(30

28, 20351, 521

104,(9!)

71,50042o

620 54(5428. 928

19, 835856

9, 663, 083

760000

7144569183107635

0070

8'-!00

5079

24

JUN'E 3.

15 banks

$6,186,570443, 100200, 000

445, 905360, 460377, 889382, 065326, 642

59, 04051,003

110 006

103, 116880

789 077380, 567

19,8072,113

10, 24.5, 560

210000

9 8592491MJ)7516frt

0077

;'f>00

5900

32

AUGUST 27- - - • - •

16 b a n k s .

$6, 088, 818455, 600200, 000

497, 778636, 864733, 564431,451331,641

22, 27355, 200

198 ;J96

71, 197602

2770 k:)O7402! 101

20, 3995, 597

10, 921, 715

410000

98333930247657flr>

0054000 T

00

0069

91

OCTOBER 7

16 banks .

$6,417,859455, 600200, 000

531,149539, 583737,284428, 458352, 49645, 87467, 748

125 072

164, 067455

j777 158405,582

19, 8997,597

11, 275, 889

750000

8799013890636270

0085001000

0069

49

NEW MEXICO.

Loans and discountsBonds for circulation.Bonds for deposits^..U. S. bonds on band..Other stocks and b'dsDue from res've ag'tsDue from nafl banks.Due from State banksReal estate, <fecCurrent expensesPremiums paidCash itemsClear'g-house exch'gsBills of other banks..Fractional currency.Trade dollarsSpecieLegal-tender notes ..TJ. S. cert's of deposit.5 % fund with Treas.Due from U. S. Treas.

Total

8 banks.

$1, 540, 85742a, 000210, 000

75, 527201, 013520, 41M

63, 271164,806

30, C768,138

28, 607

31,4781,066

1146, 826101,440

18, 602

3, 567, 898

970000

1574199477890825

008500

00

00

04

8 banks.

$1, 605, 808 60425, i)00 00210,000 00

63,134 51130,421. 23412,041 75

56, (520 26170, 579 0924, 8i)l 188, 044 33

19,404 60

17, 118 661,139 62

1 00157, 391 1667, 104 00

18,612 004, 840 00

3,392,151 33

8 banks.

$1,584,2] 3437, 5002.10, 000

68, 2fi)2f.'O, 81'6.'512,11849,819

16S, 00736,182

7, 10013 007

21,6131,073

1124,71777,120

19, 6861, 520

3, 332, 877

430000

75771187670297

007100'{(I

00

5000

06

8 banks.

$1, 492. 918 44450,000 002L0, 000 00

39, C,61 44IHK), 9.57 52352. 548 93

86, i2'.i 59173, 286 83

15, 561 416, 538 68

14 '"93 11

41, 236 00904 03

131 875 4585, <J19 00

18, 606 50400 00

3,329,210 93

9 banks.

$1, 564,177800, 000210, 000

39, 207148, 786377, 70069,871

174, 90326. 14613,846

61, 055777

161 03896̂ 061

12, 6963,500

3, 270, 994

490000

2482874854757139

0062

4500

5000

86

UTAH.

Loans and discountsBonds for circulation.Bonds for deposits...LJ S bonds on handOther stocks and b'dsDue from res've ag'ts -Due from nat'l banksDue from State banksReal estate, &cCurrent expensesPremiums paidCash items -Clear'g-house exch'gsBills of other banks..Fractional currency.Trade dollarsSpecieLegal-tender notes ..TJ. 3. cert's of deposit.5 % fund with Treas.Due from TJ. S. Treas.

Total

6 banks.

$1,429, 587 10437, 500 00100, 000 0014,000 00

312,811 1095, 756 75

215, 201 24150, 360 19111,214 24

19, 076 2830,437 987, 904 27

30, 620 0044 86

334, 399 9042, 055 00

19, 687 50

3, 350, 656 41

6 banks.

$1,398,143437, 500100, 000

14, 000313, 026139,416246, 231126,947123,643

14, 37822, 9377,638

19, 021230

8362,185

52, 468

18,497

3, 396, 272

230000000096561701409830

0030001500

50

56

6 banks.

$1,694,393437, 500100,000

244, 527145,794114,26878, 546

123, 72316, 84244, 4957,402

18,144337

10298, 52427,083

19, 687

3, 371, 279

220000

2763700091284871

001400150U

50

99

7 banks .

$1,733,912400, 000100,000

204, 944279, 808383, 077

86, 494124,90519, 36052, 8857,798

30, 893515

15307, 34137,172

17,437

3, 786, 561

250000

177908883335570 0

0074001000

50

09

7 banks.

$1, 820, 584 96400, 000 00100, 000 00

204, 376 07154, 786 85311,973 73134,753 85124,921 9328, 249 1352, 385 576 461 40

24,180 0075 5615 00

375 188 0536, 336 00

17, 999 50

3,792 257 60

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1886

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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 jUndivided profits iNatl 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 payableTotal

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

298, 000 00825,551 27 ;

302,180 00

819, 300 00676, 459 111

31)0,420 00

5, 729, 406 8190,150 0781, 908 82

246, 676 42

90, 503 54

154, 313 75I

22'8 35 I9, 718, 922 03

5,841,522 5679, 570 2592,776 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 00803, 307 95

309, 500 00

I

6, 277, 988 25 i79, 957 48 !80,387 62 |

277,429 77 \

100,812 11

97, 928 47

6,703,765 17104, 572 32

65,016 77

503, 216 46

107, 850 91

46, c()2 48

6. 079,137 0392, 187 8576, .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 j64,182 01 |

380,270 00 |

163, 226 46 .53,450 40

169, 126 4,(5 j70,700 14 ;

380,400 00 ; 301,270 00 j

168,171 4643,437 10

302, 880 00

240 00

1, 748, 912 27 '122,621 2780, 507 01

235,121 69

58, 817 33

5, 000 00

3, 567, 898 04

80 00

1,633,288 81112, 940 7382, 633 81

141, 606 IS I

448 00

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

52, 096 50 •

i101,096 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 82132,036 4261,033 51

150,812 26

68,217 36

23, 360 00

3,3:9,210 93

UTAH.

6 banks.

Capital stock

Surplus fundUndivided profitsXat'l bank circulationState bank circulation!

$800, 000 00

274, 500 0094,195 67

320, 560 00

6 banks.

$800, 000 00

289, 500 0066,466 08

312, 030 00 |

6 brinks. I

$800, 000 00

289, ttH) 00

318,120 ou .;

7 banks.

$832,990 00

302 r>00 001] 4,37(5 89

206, 230 00

161108 8152, 5liO 88

252,080 00

1,500 00

1,538,717 08137.465 5440,881 15

152, 435 78

40, 520 83

64,733 89

3, 270, 094 86

7 banks.

$837,175 00

302, 750 00130. 578 13

303,110 00

Dividends unpaidIn dividual deposits. -.U S depositsDep'ts U.S.dis.onicers

Due to national banks

Due to State banks...

Xotes re-discounted..

Total

661 00

1, 754, 292 5526,115 8047,834 17

16, 477 47

16,019 75

3, 350, 656 41

1, 821

1, 765, 6489, 209

47, 864

33, 209

69, 622

3, 396, 272

00

857800

17

78

56

1,400

1, 704, 4377 5, 70715, 505

31, 885

18,411

3, 371, 279

00

lit5010

38

04

99

2, 029

2. 068. <")(/.")43,34053, 075

30, 087

34, 316

3, 786, 561

00

(',;»70 '75 ;

13 j

03 !

i

09 |

-.

2, 048.41,40,

50,

11,

3, 702,

274

151435730

466

579

257

00

5 7

4273

97

78

60

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1886

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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 discountsOverdraftsU. S. bonds to secure circulation...IT. S. bonds to secure depositsTJ. S. bonds on handOther 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 paidChecks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollarsSpecieLegal-tender notesTJ. S. certificates of depositRedemption fund with IT. S. Treas .Due from IT. S. Treasurer

Total.

$245, 927 158,725 49

25,000 00

8,804 518,138 71

93, 702 0458,845 743,782 241, 459 335, 653 61

8,245 0061 52

45,462 5014, 058 00

1,125 00339 50

529, 330 34

Liabilities.

Capital stock paid in.

Surplus fundOther undivided profits .

National bank notes outstanding..State bank notes outstanding

Dividends unpaid.

Individual depositsUnited States depositsDeposits of IT. S. disbursing officers.

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

Notes and bills re-discounted .Bills payable

Total.

$100, 000 00

11, 200 005,491 81

22,490 00

369, 092 77

3,949 4117,106 35

529,330 U

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

Loans and discountsOverdraftsU. S. bonds to secure circulation...IT. S. bonds to secure depositsIT. S. bondson handOther 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 paidChecks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollarsSpecie .Legal-tender notesU. 3. certificates of depositRedemption fund with U. S. Treas -Due from U. S. Treasurer

$161,985 784, 857 45

25,000 00

Capital stock paid in.

Surplus fundOther undivided profits .

3,961 836,337 399,165 445, 037 522, 393 893,315 62

747 96

12,255 00205 95

17, 594 756, 025 00

1,125 00

Total. 260,008 58

I National bank notes outstanding .State bank notes outstanding

Dividends unpaid

Individual depositsUnited States depositsDeposits of TJ. S. disbursing officers.

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

Notes and bills re-discounted .Bills payable

Total.

$100,000 00

2,500 005, 005 29

22,500 00

108, 040 17

3, 347 37255 75

18,360 00

260, 008 58

Capital stock paid in .

Surplus fundOther undivided profits

National bank notes outstanding..State bank notes outstanding

Dividends unpaid

Individual depositsUnited States deposit

$50,000 00

3,000 003, 089 38

11, 250 00

First National Bank, Deming.CHARLES H. DANE, President. No. 3160. FRANK H. SIEBOLD, Cashier.

Loans and discounts ' $77,757 10 [Overdrafts 3,672 52 IU. S. bonds to secure circulation... 12,500 00 IU. S. bonds to secure depositsIT. S. bonds on hand \Other stocks, bonds, and mortgages. | 2,069 02 IDue from approved reserve agents. i 9,717 71 iDue from other banks and bankers. - 14,814 87Real estate, furniture, and fixtures, i 12,466 08 iCurrent expenses and taxes paid... | 3,826 48Premiums paid. 3, 230 09Checks and other cash items 936 09Exchanges for clearing-houseBills of other banks I 3,300 00Fractional currency 131 50Trade dollarsSpecie 1,182 00Legal-tender notes 6,904 00U. S. certificates of depositRedemption fund with IT. S. Treas. 562 50Due from U. S. Treasurer I

United States depositsDeposits of U.S. disbursing officers.

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

Notes and bills re-discounted.Bills payable.

12 00

81,906 97

1,811 61

Total. 151,069 96 j Total. 151,069 96

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1886

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954 JJEPORT OF THE COMPIKOLLER OP THE CUKKENOY.

N E W M E X I C O ,First National Bank, Las Vegas.

JEFFERSON RAYNOLDB, President. No. 2436. JOSHUA S. RAYNOLDS, Cashier.

Resources.

Loans and discountsOverdraftsXT. S. bonds to secure circulation...U. S. bonds to secure depositsIT. S. bonds on handOther 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 paidChecks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollarsSpecieLegal-tender notesU. S. certificates of depositRedemption fund with U. S. Treas .Due from U. S. Treasurer

Total.

$408, 483 118, 571 52

50,000 00

9,145 1228,188 41

132,231 8747, 967 074,196 88

1, 722 60

22, 000 00218 01

10, 931 6013, 912 00

1, G70 00

739,238 19

Liabilities.

Capital stock paid in.

Surplus fundOther undivided profits

National bank notes outstanding..State bank notes outstanding

Dividends unpaid.

Individual depositsUnited States depositsDeposits of U.S. disbursing officers.

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

Notes and bills re-disGountedBills payable

Total.

$100,000 00

25,000 0012,571 60

45,000 00

358,625 30

132, 588 5419,078 8(J

46,373 89

739,238 19

W. M. EADS, President

Loans and discountsOverdraftsU. S. bonds to secure circulation...U. S. bonds to secure depositsU. S. bonds on handOther 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 paidChecks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollars 'SpecieLegal-tender notesU. S. certificates of depositRedemption fund with U. S. Treas.Due from U. S. Treasurer

San Miguel National Bank, Las Vegas.No. 2454. D. T. HOSKINS, Cashier.

Total.

$197,489 544, 324 6325,000 00

2, 949 1026, 848 8459, 818 .156,125 738, 417 232, 507 321, 910 82

1, 050 0032 10

22, 067 2510, 272 00

1,124 50

369,937 21

Capital stock paid in.

Surplus fundOther undivided profits .

National bank notes outstanding..State bank notes outstanding

Dividends unpaid.

Individual depositsUnited States depositsDeposits of U. S. disbursing officers.

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

Notes and bills re-discounted.Bills payable

Total.

$100,000 00

50, 000 0015,414 92

22,490 00

181,067 13

621 03344 13

369,937 21

W. W. GRIFFIN, President.

First National Bank, Santa Fe\No. 1750. R. J. PALEN, Cashier.

Loans and discountsOverdraftsU. S. bonds to secure circulation...U. S. bonds to secure depositsU. S. bonds on handOther stocks, bonds, and mortgagesDue from approved reserve agents.Due from other banks and bankers.Real estate, furniture, and fixturesCurrent expenses and taxes paid...Premiums paidChecks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollarsSpecieLegal-tender notesU.S. certificates of depositRedemption fund with U. S. Treas.Due from U. S. Treasurer

Total.

$261,212'553,774 21

100, 000 00210, 000 00

5,129 0032 09

Capital stock paid in.

Surplus fundOther undivided profits .

4,872 3739,794 8060,889 3041,000 002,171 CO

208"69

35,233 3030, 916 00

4, 500 003, 500 00

i National bank notes outstanding.| State bank notes outstanding

j Dividends unpaid

i Individual deposits *.United States depositsDeposits of U.S. disbursing officers

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

Notes and bills re-discounted.Bills payable

803, 233 91 j Total.

$150,000 00

60,371 468,612 05

90,000 00

304,967 34137, 465 5440,881 15

8,185 092, 751 28

803,233 91

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1886

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REPORT OF THE COMPTROLLER OF THE CURRENCY. 9 5 5

NEW MEXICO.

Second National Bank of New Mexico, Santa Fe.LEHMAN SPIEGELBERG, President. No. 2024. W. G. SIMMONS, Cashier.

Resources.

Loans and discountsOverdraftsU. S. bonds to secure circulation...U. S. bonds to secure depositsU. S. bonds on handOther 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 paidChecks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollarsSpecieLegal-tender notesU S. certificates of depositRedemption fund with TJ. S. Treas .Due from TJ. S. Treasurer

Total.

$157, 986 221, 017 22

37, 500 00

Liabilities.

Capital stock paid in.

7,219 4319, 222 9226, 892 483,261 24

10 153,478 10

I Surplus fundOther undivided profits

| National bank notes outstanding..j State bank notes outstanding

Dividends unpaid .

5, 320 0025 01

20, 949 056, 674 00

1, 687 50 ;

Individual depositsUnited States depositsDeposits of U. S. disbursing officers.

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

Notes and bills re-discounted .Bills payable

$150, 000 00

12, 037 351, 877 51

33, 750 00

291,243 32 j Total.

1, 578 00

89, 806 33

1, 209 67984 46

291, 243 32

First National Bank, Silver City.CHARLES H. DANE, President No. 3554.

Loans and discounts $5,009 65Overdrafts 79 00U. S. bonds to secure circulation... 12, 500 00U. S. bonds to secure depositsU S. bonds on handOther stocks, bonds, and mortgages. 185 86Due from approved reserve agents. jDue from other banks and bankers. 'l 30,775 13 ;|Real estate, furniture, and fixtures. ICurrent expenses and taxes paid... I 251 24Premiums paid i 1,265 62Checks and other cash items j 45 62Exchanges for clearing-houseBills of other banksFractional currencyTrade dollarsSpecieLegal-tender notesU. S. certificates of depositRedemption fund with U. S. Treas.Due from U. S. Treasurer

Capital stock paid in.

Total.

2,751 0040 90

4, 020 005,300 00

I Surplus fund\ Other undivided profits

j National bank notes outstanding..State bank notes outstanding

Dividends unpaid

Individual depositsUnited States depositsDeposits of U.S.disbursing officers.

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

Notes and bills re-discounted .BiUs payable

12, 224 02 Total.

.., Cashier.

$25, 000 00

127 40

36, 373 56

62, 224 02

Silver City National Bank, Silver City.H. M. MEREDITH, President. No. 3539. G. D. GOLDMAN, Cashier.

Loans and discountsOverdraftsU. S. bonds to secure circulation...U. S. bonds to secure depositsU. S. bonds on handOther 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 paidChecks and other cash items. --.„..Exchanges for clearing-houseBills of other banksFractional currency. .*.Trade dollarsSpecieLegal-tender notesU. S. certificates of depositRedemption fund with U. S. Treas.Dae from TJ. S. Treasurer -

$13, 304 35 11 Capital stock paid in..

! Surplus fund| Other undivided profits .

$50,000 00

10, 538 0419, 283 07

200 16 i7,097 04

590 63

National bank notes outstanding..State bank notes outstanding

Dividends unpaid.

1, 005 0030 54

3, 598 002, 000 00

Total.

562 f»0

64, 709 33

Individual depositsUnited States depositsDeposits of U. S. disbursing officers

Due to other national banksDue to State banks and bankers .

Notes and bills re-discounted .Bills payable

Total.

370 92

5, 500 00

8, 838 41

64,709 33

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1886

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3 6 0 REPORT OF THE COMPTROLLER OF THE CURRENCY.

Abstract of reports since October 7, 1886, arranged

IDAHO.

Loans and discounts.Bonds for circulationBonds for deposits...U. S. bonds on hand .Other stocks and b'dsDue from res Ve ag'ts -Due from nat'lbanks.Due from State banksReal estate, etcCurrent expensesPremiums paidCash itemsClear' g-house exch'gsBills of other banks..Uncur't & minor coinsTrade dollarsSpecie . . .•Legal-tender notes . .TJ. S. cert's of deposit.5 % fund with TreasDue from TJ; S. Treas.

Total

6 banks.

$511,192.25105, 300. 0050, 000. 00

133,701.7217, 896.1928,921. 3865, 520.2027, 858. 0819,158.9721,672.7418,956. 64

34, 801.0048.3610.00

65,463.9749, 967.00

4,727. 50100. 00

1,155, 356. 00

6 banks.

$513,088.79105,300. 0050, 000.00

126,885.1120.999. 7942,689. 9718, 371. 7135,068. 63

8,979. 5321,381.424, 067. 93

54,611.0038. 6610. 00

65,974. 7943,652. 00

4,737. 50

1,115, 856.88

6 banks.

$564, 028. 8492, 800. 0050,000. 00

158,155.3815,413.9043, 670.7233, 680.4235, 236. 437,263. 53

16, 474. 565,197. 01

30, 517. 0065.6410.00

51, 988. 7042,630. 00

4,175. 00100. 00

1,151,407.13

6 banks .

$560,299.1692, 800.0050, 000. 00

176,013.117, 038. 53

22,449. 2030,616.1235,513.0311, 052. 6215,485.7621, 852. 38

53, 023. 0018.00

45, 368. 0041,043. 00

4,175. 00

1,166, 751. 91

6 banks .

$577, 769.7592, 800. 0050,000. 00

190,186.1723, 234.4526, 879. 7048, 980. 5441,443.4817, 834. 4515,104.195, 305. 46

51, 385. 0023.72

48, 847. 4039, 715. 00

4,175. 00

1, 233, 684. 31

M O NT AN A.

Resources.

Loans and discounts.Bonds for circulation.Bonds for deposits ..U. S. bonds on hand .Other stocks and b'dsDuo from res Ve ag'ts.Dae from nat'l banksDue from State banksReal estate, etcCurrent expenses...Premiums paidCash itemsClear'g-house exch'gsBills of other banks .TJncur't&minor coinsTrade dollarsSpecieLegal-tender notes . .TJ. S. cert's of deposit.5 % fund with Treas.Due from TJ. S. Treas.

Total

DECEMBER 28.

16 banks .

$7,266, 278.53455, 600.00200, 000. 00

432,149.31315, 534.55486, 569.36403, 347.90356, 231. 88106, 721.56

67, 973.52151,048.14

139, 241.00968.42

811, 666.55445,493.00

20,499.504, 782.17

11,664,105.39

MARCH 4.

17 banks.

$7,388,050.91468,100. 00200,000.00

423,383.78288, 939.97460, 0C0.22375, 287.95871,460.66

39, 283. 3368, 834. 55

118, 019.18

72,601.001,109. 73

784, 813.90430, 093.00

20, 941. 5010, 288.15

11, 527, 237.83

MAY 13.

17 banks .

$7,912^ 142.19468,100.00200, 000.00

428, 593.78270, 303.23570, 694.48606, 817.13360, 837.4156,125.5268, 029. 0257, 825. 77

79, 925.00882.64

757, 975.10476,440.00

21,061.5013, 675.19

12, 349, 427.96

AUGUST 1.

17 banks.

$8, 329, 723.91468,100.00200, 000.00

10,150.00468,170.61479, 060.33636,092.07433,165. 57355, 704.2825, 765. 5767, 920.50

131,021.93

90,695.001, 068.87

701, 379.80558, 610.00

21,061.5014,462.49

12,992,152.43

OCTOBER 5.

17 banks.

$8, 236, 786.34480, 600. 00200,000.00

10,150. 00510, 027.05408, 208. 59632,884.08563, 748. 37421, 795.3746, 074,0365, 783.2146, 462.13

82, 535.00960.89

760,193.30624, 295.00

21, 649. 5017,668.49

13,138, 821.35

N E W M E X I C O .

Loans and discounts.Bon<ls for circulation.Bonds for deposits...TJ. S. bonds on hand..Other stocks an<l bd'sDue from res've ag'ts.Due from nat'l banks.Due from State banksReal estate, etcCurrent expenses—Premiums paidCash itemsClear'g-house exch'gsBills of other banksTJncur't&minor coinsTrade dollarsSpecieLegal-tender notes . .TJ. S. cert's of deposit.5 % fund with Treas.Due from U. S. Treas.

Total

9 banks .

$1,692,659.39262, 500.00210,000.00

25, 894.18240, 886.39269, 277.44

67, 379.50179, 630.43

51, 847.1920, 468. 5913,433.42

29, 366.00997.27

161,210.95105, 272.00

11,482.052, 000.00

3,344, 304.80

9 banks.

$1,721, 783.80240, 000.00100, 000.00

34, 564. 52222,136.44283, 559.6967,449. 74

185,483.0823,148.1329,121.0917,044.18

25, 755.00791, 75

137, 549.6085,051 00

10, 70!). 504, 4S0.00

3,188,717.82

9 banks.

$1, 744, 362.63240, 000.00125,000.00

32, 818.99162,439.15507, 342. 88

58, 787. 27185, 563.9225, 942. 2631, 950. 3414,455.70

25, 560. 66794.27

117, 268.2087,477.00

10,799.501,030.00

3, 371, 592.11

9 banks .

$1, 719,012.88240, 000.00125, 000.00

34,493.74202,327.88564,132.66

76, 085.85180, 813. 51

8,9-17.7423,459.2613,914.50

i8,745.66674. 66

112, 643.00102,081.00

10, 799. 501, 007.00

3,434,138.18

9 banks.

$1, 751,005.18240, 000.00125, 000.00

39, 035. 74188, 297.05287, 318. 45

50,162.21179, 647.8515, 543. 7322,139. 0611, 521. 86

28, 097.00786.86

99,543.4084, 223.00

10, 799.502, 017.12

3,135,138.01

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1887

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REPORT OF THE COMPTROLLER OF THE CURRENCY. 361

by /States and reserve cities—Continued.

IDAHO.

Capital stock

Surplus fundUndivided profits

Nat'l "bank circulationStato l)ank circulation

Individual deposits.-U. S. depositsDep'ts TJ. S.dis. officers

Due to national banks

Due to State banks...

Notes re-discounted

Bills payableTotal

6 banks .

$350,0C0.00

22, 000. 0096, 644. 92

89, 815. 00

501, 554. 802,118. 73

22,395. 73

4, 097. 23

66, 729. 59

1,155,356. 00

6 banks .

$350, 000. 00

27,129. 5965, 639. 69

93,115. 00

457, 307. 007, 627. 35

4-i, 288.13

766. 68

71, 983.44

1,115, 856. 88

6 banks .

$350,000, 00

27,129. 5969, 488. 78

81, 880. 00

533, 816. 6330, 511.4314, 638.49

2, 082. 35

41, 859. 86

1,151,407.13

6 banks.

$350, 000. 00

28, 981.1377, 981. 46

80, 700. 00

520,902. 5044,148. 04

120.10

7,183. 60

56, 735. 08

1,166, 751.91

6 banks .

$350,000. 00

28, 981.1389, 289. 00

81, 940. 00

576, 821.1044, 886. 61

177. 02

8, 755. 92

52, 833. 53

1, 233,684.31

M O N T A N A .

Liabilities.

Capital stock

Surplus fundUndivided profits

Nat'l bank circulationState bank circulation

Individual deposits..TJ. S. depositsDept'sU .S.dis.onicers

Due to national banks

Due to State banks...

Notes re-discounted..

Total

DECEMBER 28.

16 banks.

$1,867,500.00

333,125.001, 030, 802.27

397, 530.00

7,131,484. 5467, 428. 73

109, 937.08

508,828.02

125, 501. 92

91, 967.83

11, 664,105.39

MARCH 4.

17 banks .

$1, 925, 000.00

369, 250.00896, 226.66

414, 680.00

8,400.00

6, 978,977.1067, 212. 22

107, 896. 79

472, 537. 50

102, 960.56

179, 097.00

5, 000. 00

11, 527, 237. 83

MAY 13.

17 banks .

$1, 925,000.00

409, 250.00948, 264.13

413, 500. 00

5, 040.00

7, 651, 898.5488, 037.1090, 8B1.52

576, 996.26

63,174.12

167,446. 29

10,000.00

12, 349,427.96

AUGUST 1.

17 banks .

$1, 925,000.00

413,950.00993, 563.53

409, 830.00

7, 880.00

8,112,102.538.1, 053. 5090, 295. 33

662, 421.64

168, 714.36

122, 341. 54

5, 000. 00

12,992,152.43

OCTOBER 5.

17 banks.$1, 975, 000.00

420,450.001, 090, 974.72

422, 280.00

4, 880.00

8,120,148.0681, 533. 5272, 519.00

574,834.55

297, 979.97

78, 221.53

13,138, 821.35

N E W M E X I C O .

Capital stock

Surplus fundUndivided profits

Nat'l bank circulationState bank circulation

Dividends unpaid

Individual deposits ..IT. S. depositsDept'sU.S.dis.officers

Due to national banks

Due to State banks..

Notes re-discounted..

Bills payableTotal

9 banks.

$825,000.00

164,408.8195, 0J8. 98

236, 240.00

555.00

1,620, 437. 791C0,171. 89

83, 994.29

113,123. 38

68, 274.66

7, 000.00

3, 344, 304. 80

9 banks.

$825,000.00

108, 208.8137,164. 76

215, 990. 00

575. 00

1/583, 258.172,106.97

72,154.11

152,38110

10G, 939.65

21,936.25

3,188, 717. 82

9 banks.

$850, 000.00

1(19, 571.4651, 084.53

215, 990.00

45.00

1,518,828.4810, 680.19

111, 327.27

300, 090. 79

81, 538.14

23, 436. 25

3, 371, 592,11

9 banks .

$850, 000.00

172, 735. 8621, 897. 20

215,990.00

5,102.00

1, 658,154.2516,169.8084, 360-73

271, 249.50

90,987.84

47, 491.00

3,434,138.18

9 banks .

$850, 000. 00

176, 6H5.8640, 683.95

215,990.00

208.00

1,496, 752.203:i, 579. 2380, 776.53

133, 987.53

83, 607. 71

22,917.00

3,135,138.01

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1887

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KEPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 2 1

NEW MEXICO.

First National Bank, Albuquerque.J . RAYXOLDS, President. 2614.

Resources.

M. W. FLOrKNOT, Cashier.

Liabilities.

Loans and discountsOverdrafts ,U. S. bonds to secure circulation...Lr. S. bonds to secure depositsU. S. bonds on handOther stocks, bonds, and mortgages.Due from approved reserve agents.Due from other banks and bankersReal estate, furniture, and fixtures.Current expenses and taxes paid. . .Premiums paidChecks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollarsSpecieLegal-tender notesU.S. certificates of depositRedemption fund with U. S. Treas.Due from U. S. Treasurer

Total.

$253, 055. 574, 424. 30

50, 000. 00125. 000. 00

Capital stock paid in ! $100, 000. 00

i 12, 500. 00| 410.70

Surplus fundOther undivided profits .

7,393. 9236, 951. 00

107, 483, 5955, 000.00

386. f>810, 000. (-01,878. 52

"""6*730." 66'16.05

National-bank notes outstanding..< 45, 000. 00State-bank notes outstanding . . . . . j

Dividends unpaid i

Individual deposits .United States d<Deposits of U.S.'United States deposits j

r.S. disbursing officers.

23, 572. 507, 019. 00

2,250.00 |1,000.00 |

' Due to other national banks '• Due to State banks and bankers .. :

Notes and bills re-discounted .Bills payable

356, 870. 0233, 579. 2380, 77G. 53

46, 982. 0615,842.58

691,961.12 Total 691,961.12

Albuquerque National Bank, Albuquerque.JOSEPH BELL, President. No. 3222. ^Y. S. STUICKLEK, Cashier.

Loans and discountsOverdraftsIT. S. bonds to secure circulation ...IT. S. bonds to secure depositsTJ. S. bonds on handOther stocks, bonds, and mortgages.Due from approved reserve agents.Due from other ba^ks and bankers.Real estate, furniture, and fixtures-!Current expenses and taxes paid... jPremiums paid jChecks and other cash items IExchanges for clearing-house1 Jills of other banks...Fi actional currencyTrade dollarsSpecie. *Legal-tender notesI J. S. certificates of depositRedemption fund with U. S. Treas.Due from U. S. Treasurer

$173,415. 79 I Capital stock paid in17,177.8725, 000.00

Total.

1,625.00 j;8,703.55 j!

23,421.27 :!7,190.93 !i2,555.61 '\2,500.00 !j2,547.49 >•

Surplus fundOther undivided profitsNational-bank notes outstanding..State-bank notes outstanding

Dividends unpaid

$100,000.00

7, 500. 005, 9G0.12

22, 500. 00

10,05)0.00153.60 |

11,775.75 •:12,950.00 i

" 1,125.00 ;!

Individual depositsUnited States depositsDeposits of U.S.disbursing officers.

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

Notes and bills re-discountedBills payable

160.00

150,634.66

1, 755. 6511,721.43

300,231.86 Total. 300,231. 86

CHARLES H. DANE, President.

First National Bank, Deming.No. 3160.

Loans and discountsOverdraftsU. S. bonds to secure circulation ...U. S. bonds to secure depositsU. S. bonds on handOther stocks, bonds, and mortgagesDue from approved reserve agentsDue from other banks and bankersReal estate, furniture, and fixtures.Current expenses and taxes paid...Premiums paid 1Checks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollars *SpecieLegal-tender notesU. S. certificates of depositRedemption fund with U. S. Treas.Due from U. S. Treasurer

Total.

$72, 056. 962, 277. 76

12, 500.00

7, 539. 078, 995.172, 434.98

14, 570. 631,377.691,230.09

435. 36

Capital stock paid in

jj Surplus fund. '• Other undivided profitsi! National-banknotes outstanding..j| State-bank notes outstanding

I Dividends unpaid.

FRANK H. SIEBOLU, Cashier.

$50, 000. 00

3, 600. Of)2,024.48

11. 250. 00

1,000.00233.GO

2, 815. 003,586. 00

562. 50

• Individual deposits! United States depositsI Deposits of U.S. disbursing officers.

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

' Notes and bills re-discounted1 Bills payable

131,634.81 j Total.

18.00

47, 587. 07

8, 899.95755. 31

7, 500. 00

131, 634.81

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1887

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1 0 2 2 REPORT OF THE COMPTROLLER OF THE CURRENCY.

NEW MEXICO.

J . RAYNOLDS, President.

First National Bank, Las Vegas.No. 2436. J. S. RAYNOLDS, Cashier.

Resources. Liabilities.Loans and discountsOverdraftsIT. S. bonds to secure circulation...U. S bonds to secure depositsU. S. bonds on handOther 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 paidChecks and other cash itemsExchanges for clearing-houseBills of other banks.Fractional currencyTrade dollarsSpecieLegal-tender notesU. S. certificates of depositRedemption fund with U. S. Treas.Due from U. S. Treasurer

Total.

$346, 851. 547, 949. 26

25, 000.00

5, 522. 5726, 929. 0960,963.9947, 948. 32

3,920. 731,486.033,108.14

2, 950. 00107.80

Capital stock paid in

Surplus fund . . . ,Other undivided profits

National-bank notes outs tanding. .State-bank notes outstanding

Dividends unpaid .

16, 086. 7322, 560.00

1,125.00 |17.12 |

j | Individual deposits; United States deposits| Deposits of U. S. disbursing officers.

| j Due to other national banks!; Due to State banks*and bankers ..i Notes and bills re-discounted.

Bills payable ,

Total .

$100,000. 00

25, 000. 098, 855. 64

22,500. 00

300, 950.24

61, 871. 8553, 348. 61

572, 526. 34

San Miguel National Bank, Las Vegas.WILLIAM M. EADS, President. No. 2454. D. T. HOSKINS, Cashier.

Loans and discountsOverdraftsU. S. bonds to secure circulation .. .IT. S. bonds to secure depositsU. S. bonds on handOther stocks, bonds,and mortgages.Due from approved reserve agents.Due froiii other banks and barikers.Iteal estate, furniture, and fixtures.Current expenses and taxes paid...Premiums paidChecks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollarsSpecieLwgal-tender notesU. S. certificates of depositRedemption fund with IT. S. Treas .Due from IT. S. Treasurer

Total .

$274, 686.438,140.88

25, 000. 00

304.9728, 582.1324, 987.606,417.222, 390. 601, 382. 321,103. 82

340.0086.00

6, 285. 0510, 626. 00

1,124. 50

391,257.52 !

Capital stock paid in ! $100, 000.00

Surplus fund 50. 000.00Other undivided profits 1 7,633. 39

National-bank notes outstanding.. j 22,490.00State-bank notes outstanding |

Dividends unpaid j

Individual deposits 205, 297.10United States depositsDepositsof U.S.disbursing officers.

Due to other national banks . - , . . . 5, 509.19Due to State banks and bankers . . 327.84

Notes and bills re-discounted -Bills payable

Total. 391, 257. 52

W. TV. GRIFFIN, President.

First National Bank, Santa Fe.No. 1750. R. J. PALEN, Cashier.

Loans and discounts $310, 714. 76Overdrafts .• 175.18U. S. bonds to secure circulation... 40,000.00U. S. bonds to secure depositsIT. S. bonds on handOther stocks, bonds, and mortgages. j 4,012.49Due from approved reserve agents. j 49,936.23Due from other banks and bankers, j 'JO, 577.81Real estate, furniture, and fixtures. 44, 053. 72Current expenses and taxes paid.. . * 1,951. 67Premiums paidC hecks and other cash items 186.31Exchanges for clearing-houseBills of other banksFractional currency 60. 22Trade dollars 'Specie 16,521.35Legal-tender notes 19,969.00TT. S. certificates of depositRedemption fund with U. S. Treas. i 1, 800. 00Due from U. S. Treasurer ! 1, 000. 00

Total . 580, 958. 74

Capital stock paid in j $150, 000. 00

60, 371.4611,516.39

30, 000. 00

Surplus fundOther undivided profits .National-bank notes outstanding.State-bank notes outstanding

Dividends unpaid .

Individual depositsUnited States depositsDeposits of U. S. disbursing officers.

Due to other national banksDue to State banks and bankers ..Notes and bills re-discountedBills payable

Total.

317,899.64

4, 057. 611,113. 64

10, 95& 74

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1887

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REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 2 3

N E W M E X I C O .

Second National Bank of New Mexico, Santa Fe.LKIIMAX SL'IEOELHEKG, President. No. 2024. ~\Y. G. SIMMONS, Cashier.

.Resources.

Loans and discountsOverdraltsIT. S. bonds to secure circulation . . .IT. S. bonds to secure depositsIT. S. bonds on baudOther stocks, bonds, and mortgages.Due from approved reserve agents.Due from other banks and bankers,lteal estate, furniture, and fixtures.Current expenses and taxes pa id . . .Premiums paidChecks and other cash items'Exchanges for clearing-houseEills of other banksFractional currencyTrade dollarsSpecieLegal-tender notesTJ. S. certificates of depositRedemption fund with TJ. S. Treas.Due from IT. S. Treasurer

1159,431.441,857.15

37. 500.JM

5, 548. G716, 327. CO15.2S1.7S3,000.00

9. 1)53, 000, 0.)

200. 00

5, 542. 0020. 90

5, 81G. 00

1, GS7. 50

Total. 270, 484. 55

Liabilities.

Capital stock paid in I $150, 0C0.00

Surplus fund \ 17, 300. 00Other undivided profits j 1, 090. 24

National-bank notes outstanding-. j 33, 750. 00

State-bank notes outstanding j

Dividends unpaid 30. 00

Individual deposits G2, 895. 70United States depositsDeposits of U.S.disbursing officers.Due to other national brinks ! 4, 911. 22Due to State banks and bankers . . i 498. 30

Notes and bills re-discounted .Bills payable

Total. 270, 484. 55

First National Bank, Silver City.CHARLES H. DANE, President. No. 3554.

Loans and discountsOverdraftsTJ. S, bonds to secure circulation . . .IT. S. bonds to secure depositsIT. S. bonds on handOther stocks, bonds, and mortgages.Due from approved reserve agents.Due from other banks and bankers.Tleal estate, furniture, and fixtures.C urroiit expenses and taxes pa id . . .Premiums paidChecks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollarsSpecieLegal-tender notesTJ. S. certificates of depositRedemption fund with TJ. S. Treas.Due from TJ. S. Treasurer

$75, 975. 31.2, 079. 60

12, 500. 00

Capital stock paid in .

Surplus fundOther undivided proflts.

S. T. JI AUK KY, Cashier.

: $50, 000.00

0,929.41 i3, 332. 4G I2,207.44 !

906. 13 i1,359.55 !1,265.02 !1, 682. 12 j

"I," o65."t)o":47.25 I

5, 150. 001, 329. 00

. . . . ; 304.40

. . . . j 1, 952. 28

National-bank notes outstanding. . i 11, 250. 00State-bank notes outstanding |

Dividends unpaid ji

Individual deposits jUnited States deposits '•Depositsof U. S. disbursingofh'cers. j

Due to other national banks '.Due to [State banks and bankers . . :

5G2. 50 i

Notes and bills re-discountedBills payable |.

Total . 116,421.3!) Total .

37, 437. 71

15, 417. 00

116, 421. 2

Silver City National Bank, Silver City.H. M. MEREDITH, President. Xo. 3539. G. D. GOLDMAN, Cashier.

Loans and discountsOverdraftsU. S. bonds to secure circulation.. .U. S. bonds to secure depositsU. 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 pa id . . .Premiums paid .Checks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollarsSpecieLegal-tender notesU. S. certificates of depositRedemption fund with U. S. Treas.Due from U. S. Treasurer

$38,849,851,885. 53

12, 500. 00

Capital stock paid in

Surplus fundOther undivided profits .

359. 648, 539. 73

10,122. 20470. 90

1,791.351,275.00

360.10

440. 0061.38

2, 075. 50368. 00

Total. 79, 661. 68

National-bank notes outstanding.. :State-bank notes outstanding '

Dividends unpaid

Individual depositsUnited States depositsDeposits of U.S. disbursing officers .

Due to other national banksDuo to State banks and bankers .

Notes and bills re-discountedBills payable

Total.

$50, 000.00

1, 231. 71

11, 250. 00

17,179. 97

79, 661. 68

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1887

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300 REPORT OF THE COMPTROLLER OF THE CURRENCY.

Abstract of reports since October 5? 1887, arranged

IDAHO.

Resources.

Loans and discounts.Bonds for circulation.Bonds for deposits...IT. S. bonds on hand .Other stocks and b'dsDuefromres'veag'ts.Duofrom nat'l banksDue from State banksReal estate,*etcCurrentexpensesPremiums paidCash itemsClear' g-house exch'gsBillsvof other banks..Fractional currency.

SpecieLegal-tender notes . .U. S. cert'sof deposit.5 % fund with Treas.Due from U.S. Treas.

Total

DECEMBER 7.

6 banks.

$595, 636.7392, 800. 0060, 000. 00

180, 314.4812, 983. 4137, 022. 6925, 730. 5144, 704. 8219, 778. 8915, 716. 61)

6, 528. 56

31, 615. 0043.06

58, 443. 7559, 023. 00

2, 825.002, 470. 00

1, 245, 636. 59

FEBRUARY 14.

6 banks.

$611,101.2992, 800. 0070, 000.00

123, 9G7.648, 661. 35

11,6-20.9842, 366. 3047,200.38

7, 805. 6416, 560. 44

5,473. 88

26, 880.00' 35.72

85, 558. 5151,361.00

4,175. 00

1,205,568.19

APRIL 30.

6 banks.

$G30, f>47. 0392, 800. 0070, 000. 00

130,130. 494,712.88

21,773.6825, 382.3755, 225. 851],377.('815,1G9. 825,171. 32

19,122.0018.68

71,717.3044, 747.00

3, 625. 00

1, 210, 521.10

JUNE 30.

7 banks .

$714,434.61105, 300.0070, 000. 00

138, 888. 0819, 203. 7449,191. 5761,158. 5465,969. 169, 245.82

14,810.257, 708.16

23, 221. 0067.83

94, 037. 9875, 619. 00

4,175. 66

1,453,030.74

OCTOBEll 4.

7 banks .

$675, 988. 37112,800.00

70, 000. 00

142,484.5147,691.18

151, 049. 2676, 267. 8572, 525.157,414.17

14, 218. 3711, 213. 70

18, 279. 0080.62

117,510.8590, 248.00

5,075.00155. 00

1, 613, 001.03

M O NTANA,

Loans and discounts.Bonds for circulation.Bonds for deposits ..TJ. S. bonds on hand .Other stocks and b'dsDue fromres'voag'ts.Due from nat'l banksDue from States banksReal estate, etcCurrent expenses . . .Premiums paidCash itemsClear'g-house exch'gsBills of other banks .Fractional currency.Trade dollarsSpecieLegal-tender notes -.TJ. S. cert'sof deposit.5 % fund with Treas.Due from TJ. S. Treas.

Total

17 banks.

$8, 584, 520. 44480,600. 00200, 000.0010,150.00

554,111.76660, 791.34554, 624. 94327, 221. 59417,583.09

95, 713. 9857,541.3864, 690. 55

114,8.18.002, 548.42

937, 983.45596, 244. 00

21, 624. 509, 713.76

13,690, 504.20

17 banks. •

$8, 542,334. 69480, 600.00 •200,000.0010,150.00

456,491.93512,247.40619,261.91285, 405. 23417,115.87

23, 712.1453,447. 66

112,488. 25

106, 355. 001,754.78

830,399. 20441, 342.00

21,624.503, 905.44

13,118,636.00

17 banks.

$8,557,400.98480, 600. 00200, 000. 0010,150. 00

460, 285. 33480, 406. 66367, 481.90355,162. 39421, 275. 35

56, 540.4151, 307. 0475, 608. 65

111, 004. 001,104.41

827, 894. 90504, 325. 00

21, 624. 502, 961. 94

12, 985,133. 46

17 banks.

$8, 646,347.75480,600. 00200,000. 00

10,150.00506,442. 79605,514.45480, 576. 34322,556.17428, 575.4217,621.9848, 307. 0451, 685.18

67, 386.002,771.70

963, 241. 35489, 697. 00

21, 624. 504,474.19

13, 353, 571.86

17 banks.

$8,777,362.16480, 600. 00200, 000.0010,150. 00

559, 708.63905,191. 31865, 084.37350, 0(50. 30451,454.06

53, 769.6246, 723. 8562, 942. 54

117, 600. 001, 946. 32

870, 407. 00542, 922. 00

21, 625. 0011, 626. 09

14,329,173.25

Loans and discounts.Bonds for circulation.Bonds for deposits...TJ. S. bonds on hand..Other stocks and bd'sDue fromres'veag'ta.Due from nat'l banks.Due from State banksReal estate, etcCurrent expensesPremiums paidCash itemsClear'g-house exch'gsBills of other banks .Fractional currency.Trade dollarsSpecieLegal-tender notes . .TJ. S. cert's of deposit.5 % fund with Treas.Due from TJ. S. Treas.

Total

NEW ME9 banks.

$1,814,553.09240,000.00125, 000.00

42, 334.47172, 460. 62291,401.88

56, 436. 31175,934.02

45, 883.9021, 357. 8113,966.29

25, 063.001,160.00

105,451.6082, 968. 00

i6,"799.*56"837.12

3, 225, 607. 61

9 banks.

$1, 732, 460. 59240,000. 00125, 000. 00

25,241.43186,816.90390, 268. 71106,728.74165,429.92

14, 855.1220, 887.1025, 274.15

22, 746. 001, 544.16

138,497.1081, 814. 00

i6,*799.56388.12

3, 288, 757. 54

XIC O .9 banks.

$1,792,219.91240,000. 00150, 000. 00

23, 984. 23176,178. 46252, 684. 4760,816.94

170, 537. 4826, 085. 9821,474. 6021,881.69

25, 651. 001, 435.13

138, 544.0676, 682. 00

10/799." 50*900.12

3,189,936.01

9 banks .

$1, 812,465.00240, 000. 00150, 000.00

29, 052. 69288,568.18403, 922.55

57, 052. 84170, 449. 38

10, 807. 5317,862.1016, 940.16

14, 736. 001, 001. 67

130, 249. 7584, 077. 00

10,806.601,217.62

3,439,202.47

9 banks.

$1, 790, 752. 93252, 500. 00150,000.00

40, 273.71323, 317. 05389,926. 42

57, 835. 75174,429. 6219,115.4718, 643. 35

7, 753. 61

24, 248. 00542.18

124, 448. 8584, 409. 00

i6,"932."66'17.12

3, 469,145.06

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1888

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REPORT OF THE COMPTROLLER OF THE CURRENCY. 301

by /States and reserve cities—Continued.

IDAHO .

Liabilities.

Capital stock

Surplus fnndUndivided profits

Nat'1-bank circulationG + n f n VkQTllr fMT'Pill 3."M OT1

"Divifloiifls niiii£iid

Individual deposits..TJ. S. depositsDep'ts U.S.dis.officers

Due to national banks

Due to State banks...

"\TY\"fcka vfi illQpmiTi't'Pfl

BiHs payableTotal

DECEMBER 7.

6 banks.

$350,000.00

28,981.13101, 456.13

82, 525. 00

577,169. 0756, 247. 78

689.85

8, 528. 52

40, 039.11

1, 245, 636. 59

FK1JRUAE.Y 14.

6 banks .

$350, 000. CO

58, 000.0077, 002.21

82,080.00

540,417.9266, 305. 08X, 469, 07

14, 743.43

15,550.48

1,205,568.19

APRIL 30.

6 brinks.

$350, 000.00

58, 000. 0087, 854.70

82, 775.00

524, 719. 3068, 373.52

920. 34

6, 356. 33

31, 521.91

1, 210, 521.10

JUNK 30.

7 banks.

$400, 000.00

60, 000. 0092,177. 75

82, 490.00

40.00

678, 959.5560,015.693, 597. 44

9, 923. 08

59, 827. 23

1, 453, 030. 74

OCTOBER 4." - • - • •

7 banks.

$430, 000. 00

8."), 00;). 0057' 338. 6U

99, 045. 00

845,144. >665, 978 IM3,660.16

8, 092. 21

• 17, 841. 52

1,613,001.03

MONTANA.

Capital stuck

Surplus fundUndivided profits

Nat']-bank circulationState-bank circulation

Dividends unpaid

Individual deposits..U. S. depositsDep'tsU .S.dis.oflicers

Due to national banks

Due to State banks . . .

Notes re-discounted..

Bills payable

Total

17 banks.

$1, 975, 000. 00

420, 450. 001,178, 208.32

428, 811. 00

4, 885.00

8, 790, 205. 37126, 345.3454,194.10

454, 438. 78

191, 219. 85

66, 746. 44

13, 690, 504.20

17 banks.

$1, 975,000. 00

501, 250.001, 035, 692. 20

429, 300. 00

7, 930. 00

8,247,197.10150,042.9138, 012.36

415, 596. 76

196, 922. 23

111,692.35

10, 000. 00

13,118, 636. 00

17 banks.

$1, 950,000.00

501,250. 001, 153,064. 60

426,160.00

7, 930.00

8, Of/0,107.16117,100. 3076, 236. 43

327, 221. 47

186, 205. 59

104, 857. 91

45, 000.00

12, 985,133.46

17 banks.$1,950,000.00

497, 250.001,177, 651.80

423, 320. 00

5, 000. 00

8, 451,326. 63108, 324. 45

86, 662. 78

331, 246.92

177, 243.99

135, 545.29

10, 000. 00

13, 353, 571. 86

17 banks.$1, 950, 000. 00

506, 000. 001,271,232.93

421, 450.00

1, 450. o:j

9,068,342.4177,276,15

105, 312. Oi)

585,180.11

271,140.89

71,788.76

14, 329,173. 25

NB W MEXIC O .

Capital stock

Surplus fundUndivided profits

N at'1-bank circulation

Dividends unpaid —

Individual deposits . .U. S. depositsDep'ts U.S.dis.oiiicers

Due to national banks

Due to Stale banks. .

Notes le-dLscoimted-.

Uills i>ayab!o

Total

9 banks.

$850, 000. 00

174, 935. 8674, 693.13

211, 500. 00

68.00

1, 561, 730. 3327, 783. 8080.114.14

126,078.84

76,002. 62

37.977.20

14, 723. lit)

3, 225, 607. 61

9 banks.

$850, 000. 00

175, 275. 9322,107. 05

216, 000. 00

450.00

1, 657,499. 0610, 848. 38

115, 840. 46

128, 540. 64

77, 460. 87

34, 735.15

3, 288, 757. 54

9 banks.

$850, 000. 00

176,975.9354, 253. 31

215, 500. 00

146.00

1,537,629.1614, 220.66

135,843.03

156, 092. 45

12,827.78

30, 447. 00

3, 189, 936. 01

9 banks.

$850, 000.00

190,225. 9341, 818. 04

211, 500. 00

16,106. 00

1, 675, 434. 9845, 348. 67

101, 763.14

229, 341. 46

33,735. 7fi

43, 928.49

3, 439, 202. 47

9 banks.

$900, 000. 00

185, 725. S348, 60,.74

226, 410. 00

119.00

I, 754,851. 1870, 500. 82HI, 737. <i8

163,4S0. 75

29, 871. 37

27, 834. 59

3,469,145.06

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1888

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1050 REPORT OF THE COMPTROLLER OF THE CURRENCY.

NEW EXICO.

First National Bank, Albuquerque.

J. S. RAYNOLDS, President No. 2614. M. W. FLOURNOY, Cashier.

Resources. Liabilities.

Loans and discountsOverdraftsII. S. bonds to secure circulation. .U. S. bonds to seciiro depositsU. S. bonds on handOther stocks, bonds, and mortgages.Due from approved reserve- agents.Due from other banks and bankers.Real estate, furniture, and fixturesCurrent expenses and taxes paid...Premiums paidChecks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollars 'SpecioLegal-tender notesU. S. certificates of depositRedemption fund with'U. S. TreasDue from U. S. Treasurer

Total.

$253,465.144,701.53

50,000. 00150, COO. 00

5, G02. 9358.529.19

105, 753.1557, 000. 00

2,190. 377, 250. 001, 644. 50

2, 641.0066.75

32, 5(55. 0021,379.00

" "2,*256."6o"

755, 038. 56

Capital stock paid in .

Surplus fundOther undivided profits . .

National-bank notes outstanding -State-bank notes outstanding

Dividends unpaid .

Individual depositsUnited States depositsDeposits of U. S. disbursing officers.

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

Notes and bills re-discountedBills payable

Total.

$100, 000.00

] 7, 500. 004, 097. 05

•13, 0CO. 00

429, 232. Gl70, 508.8261, 737. 68

8, 790.1418,173.60

755,038. 56

Albuquerque National Bank, Albuquerque.

JOHN- A. L E E , President. No. 3222. W. S. STKICKLEB, Cashier.

Loans and discounts $286,Overdrafts ! 9,IT. S. bonds to secure circulation ; 25,U. S. bonds to secure deposits 'U, S. bonds on hand

313.17256. 27000.00

Other stocks, bonds, andmortgages., 1, 706. 01Duo irom approved reserve agents. 65, 8.8.88D no from other banks and ban tors .! 16,420. 08Heal estate, furniture, and fixtures*.! 7, 2.">0.00Current expenses and taxes pa id . . . 3, 521.49Premiums'paid 1, 500. 00Chocks and other cash items 735.24Exchanges for clearing-house :

Bills of other banks | 3,100.00Fractional currency < 221. 65Trade dollars JSpecie ! 23, 600. 50Logal-tender notes ' 10, 259. 00U. S. certificates of deposit jRedemption fund with U. S. Treas 1,125. 00Duo from U. S. Treasurer

Total . 4-55, 837. 89

Capital stock paid in

Surnlus fundOther undivided profits

National-bank notes outstanding..State-bank notes outstandin ( r

Dividends unpaid

Individual depositsUnited States depositsDeposits of U.S. disbursing officers.

Duo to other national banksDue to State banks and bankers . .

Notes and bills re-discountedBills payable

Total

$100, 000.00

12, 500.0014, 422. 58

22, 500.00

65.00

276, 885. 09

16, 996.136, 469. 09

6, 000. 00

455, 837. 89

On AS. H. DANE, President.

First National Bank, Deming.

N o . 31C0. I*. H. SIEBOLD, Cashier.

Loans and discountsOverdraftsU. S. bonds to secure circulation.. .U. S. bonds to secure depositsU. S. bonds on handOther stocks, bonds, andmortgages.Duo from approved reserve agentsDuo from other banks and bankers.Real estate, furniture, and fixturesCurrent expenses and taxes paid . .Premiums paidChecks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollars 'SpecioLegal-tender notesU. S. certificates of depositRedemption fund with U.S. Treas.Due from U. S. Treasurer

Total

$107,470.804, 7«"2.1:0

25, 000.00

Capital stock paid in j $100, 000.00

Surplus fund I 4, 400. 00Ot her undivided profits [ 5, 503. 91

7, 5G6. 67 i5, 760.85 |

20,895.51 !14, 630. 631, 221. 404, 593. 75

178. 08

* "6,666*60"34.10

National-bank notes outstanding..State-bank notes outstanding

Dividends unpaid.

1, 091. 005, 269. 00

695. 00

205, 759. CO

Notes and bills re-discountedBills payable

Total.

22, 500. 00

54.00

59, 734.90Individual deposits IUnited States dppositi) |Deposits of U.S. disbursing office: s. j

1Due to other national banks jDue to State banks and bankers . . i.

13, 409. 54

156.65

205, 759.00

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1888

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REP5RT OF THE COMPTKOLLEK OF THE CURRENCY. 1051

NEW MEXICO.

First National Bank, Las Vegas.JEFFERSON KAYNOLDS, President. ]STo. 2436. JOSHUA S. RAYNOLDS, Cashier.

Eesources.

Loans and discountsOverdraftsII. S. bonds to secure circulation.. -XT. S. bonds to secure deposits ;XT. S. bonds on hand 'Other stocks, bonds, and mortgages, jDae from approved reserve agents •Duo from other banks and bankers.Heal estate, furniture, and fixtures jCurrent expenses and taxes paid. . . !

Premiums paid jChecks and other cash items '•Exchanges for clearing-house . . .Bills of other banksFractional currencyTrado dollars ;Specie |Legal-tender notes iU. 'S. certificates of depositliederaption fund with IT. S. Treas.Due from IT. S. Treasurer.

$319,215.41 !7,847.77 |

25,000.00 |

Liabilities.

Capital stock paid in.

Surplus fund ! 40, 000. 00Other undivided profits | 9, 565. 71

10, <$8. 45 i34,042.33 i

120,663.87 !30,582.37 |

4, 733.10642. 28636. 62

5,197. 00 !G2. 5:.I

23, 571.1012,255. 00

3,125.00 i17.12 ji

Total. 602, 589.95 Total.

22, 500. 00

309, 751. 64

National-bank notes outstanding..State-bank notes outstanding . . . . .

Dividends unpaid

Individual depositsUnited States depositsDeposits of U.S. disbursingomcers. |

Duo to other national banks | 116, 916. 09Duo to State banks and bankers . . ! 3, 856. 51

Notes and bills re-discounted !Bills payable j

602, 589.95

San Miguel National Bank, Las Vegas.WILLIAM M. EADS, President No. 2454. D. T. HOSKINS, Cashier.

Loans and discountsOverdrafts !17. S. bonds to secure circulation... jU. S. bonds to securo depositsTJ. S. bonds on handOther stocks, bonds, and mortgages. IDuo from approved reserve agents. |Duo from other banks and bankers !Heal estate, furniture, and fixtures.Current expenses and taxes paid. . .Premiums paidChecks and other cash itemsExchanges for clearing-houseBills of other banksFractional currencyTrade dollarsSpecieLegal-tender notesIT. S. certificates of depositRedemption fund with U. S. Treas .Due from U. S. Treasurer

Total.

$240, 850. 797, 920. 97

25, 000. 00

39,612.0750, 342. 916,417.222, 640. 07

257. 323, 957.44

1, 000. 0021. 55

5. 854. 7517, 892.00

* 1,124.50

Capital stock paid in.

Surplus fundOther undivided profits.National-bank notes outstanding..State-bank notes outstanding

Dividends unpaid.

Individual depositsUnited States depositsDeposits of U. S. disbursing officers. i

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

J Notes and bills re-discounted .j j Bills payable

402,891.59 Total.

noo, 000.00

50, 000. 005,413. 29

21, 660. 00

222, 297. 80

3,516.354.15

402, 891. 59

W M . W. G BIFFIN, President.

Loans and discounts j $255, 053. 86Overdrafts ! 4,741.20XT. S.bonds to secure circulation... j 40, 000.00U. S. bonds to secure depositsU. S. bonds on handOther stocks, bonds, and mortgages.Due from approved reserve agents.DUG from other banks and bankers.Real estate, furniture, and fixtures.Current expenses and taxes paid. . .Premiums paid ;Checks and other cash items j 40.76Exchanges for clearing-house !

Bills of other banks. - - jFractional currency I 31. 83Trade dollars 'Specie ! 14, 009.95Legal-tender notes I 9, 4G9. 00U. S. certificates of deposit.Redemption fund with U. S. TreasDue from U. S. Treasurer

First National Bank, Santa Fe.No. 1750. E. J. PALEN, Cashier.

Total.

4, 625.3675, 657.2480, 866. 8133, 549.62

1, 971.84

1,800.00

021, 817.47

Capital stock paid in

Surplus fundOther undivided i)rofi ts

National-bank notes outstanding..State-bank notes outstanding

Dividends unpaid

Individual depositsUnited States depositsDeposits of U.S.disbursing officers, j

Due to other national banksDue to State banks and bankers..Notes and bills re-discounted.Bills payable

$150, 000. 00

42,425. 933, 936. 29

36, 000. 00

Total.

285, 437. 79

3, 012.761, 004. 70

521,817.47

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1888

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1 0 5 2 REPORT OF THE COMPTROLLER OF THE CURRENCY.

NEW MEXICO.

Second National Bank of New Mexico, Santa Fe.LEHMAN SL'IEGKLUEUG, President.

Resources.

No. 2024. W. G-. SIMMONS, Cashier.

Liabilities.

Loans and discountsOverdraftsU. S. bonds to secure circulation...;U. S. bonds to secure deposits ;.U. S. bonds on hand \0 t her stocks, bonds, and mortgages 'Duo from approved reserve agents, iDue from other banks and bankers \Real estate, furniture, and fixtures, iCurrent expenses and taxes paid...!Premiums pa-id jChecks and other cash items j .Exchanges for clearing-house j .Bills of ot her banks jFractional currency !Trade dollars '. |.S pecio !

Legal-tender notes .1II. S. certificates of deposit i.Redemption fund with U. S. Treas.Due from U.S. Treasurer

Total..

$144, 530. 61

621. 0937, 500. 00

2, 423. 5G25, 7(50.4529,431.5917, 450. 00

13. 852, 400. 00

4, 500. 0020. 00

10,935.303, 0-14. 00

1, G87. 50

280, 324. Gl

i Capital stock paid in.

Surplus fundOther undivided profits

National-bank notes outstandingState-bank note;s outstanding . . .

Dividends unpaid

$150, 003. 00

17, 800. 00803. 22

33, 750. 00

! Individual deposits i! United States deposits j -

DepositsofU.S.disbursingofficcvs. i •

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

i Notes and bills re-discounted . .Bills payable

Total.

70, 708. 39

839. 743G3. 20

280, 324. 01

First National Bank, Silver City.("HAS. II. DANE, President. No. 3554. S. T. ILARKEY, Cashier:

Loans and discounts $82, 338.410venlrafts ! 3, 913.49U. S. bonds to secure circulation... j 12, 500.00U. S. bonds to secure deposits ;TJ. S. bonds on hand

C, 733. SO16, 600. 8421,311.14

1, 078. 881, 534. 551, 000. 00

412. 09

Other stocks, bonds, andmortgagesDuo from approved reserve agents.Duo from other banks and bankers.Real estate, furniture, and fixturesCurrent expenses and taxes paid. . . jPremiums paid iC hecks and other cash items jExchanges for clearing-house IBills of other banksFractional currencyTrade dollars :Specie i 7, 850. 00Legal-tender notes ! 2, 083. 00U. S. certii.icat.es of deposit jRedemption fund with U. S. Troas. 502. 50Duo from U. S. Treasurer

210. 0050.15

Total. 158,191. 45

Capital stock paid in | $50, 000.00

Surplus fundOther undivided profits -

i 1,100.00I 2,774.42j

National-bank notes outstanding..| 11, 25C. 00State bank notes outstanding !

Dividends unpaid

Individual deposits 81, 214. 81United States depositsDeposits of U. S. disbursing officers.

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

Notes and bills re-discounted j 1], 852. 22Bills payable

Total. 158,191.45

Silver City National Bank, Silver City.JOHN BROCKMAN, President. No. 3539. J . W M . CARTER, Cashier.

Capital stock paid in $50, 000. 00Loann and discountsOverdraftsIT. S. bonds to secure circulation ..U. S. bonds to secure depositsU. S. bonds on handOther stocks,bonds,and mortgagesDue from approved reserve agentsDnc from ol:jier banks and bankers.lte:iI entiite, furniture, and fixtures.Current expenses and taxes paid.. .Premiums paidChecks and other cash itemsExchanges for clearing-houseUillfi of other bunksFractional currencyTrade dollarsSpecieLegal-tender notesU. S. certificates of depositRedemption fund •with U. S. Treas.Due from U. S. Treasurer

$57, 053. 33700. 23

12, 500.00

610. 931, 510.192, 070. 51

470. 901, 288.801,000.00

148.28

1,000.00*27. 62

"i," 965." 25"2, 759. 00

5G2. 50

Total.

!Surplus fundOther undivided profits .

16, G94. 54' i

National-bank notes outstandingState-bank notes outstanding . . .

2,030.07

11,250.00

Dividends unpaid j

Individu al deposits ; 13, 583.15United States deposits JDeposits of U.S. disbursing officers '

Duo to other national banks .Due to State banks and bankers ..!*!'

Notes-ami bills re-discountedBills payable 1

9, 825.72

Total. 80, 694. 54

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1888

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2 9 2 KEPORT OF THE COMPTROLLER OF THE CURRENCY.

Abstract of report a since October 4, 1.888, arranged

Resources.

IDAHO.

DECEMBER 12. I FEliUUAKY 20 . MAY IX.• • ! • -

7 banks.

Loans and discountsBonds for circulationBonds for deposits...U.S.bonds on hand . .Other stocks and b'dsDue from res've ag'ts.Due from nat'lbanksDue from State banksReal estate, etc iCurrent expensesPremiums paidCash itemsClear'g-bouse exeh'gs .Bills of other banks. . ;Fractional currency.SpecieLegal-tender notes ..U. S. cert's of deposit. .5 % fund with Treas ;Due from IT. S. Treas. .

7 banks.

$711, 274.37117,800.00

70, 000. 00

if7(57, 416,36117,800.0070,000.00

8 banks.

8829,166.18130,300.00

70, 000. 00

8 banks.

$860, 248. 09130, 300, 00

70, 000. 00

211. 931.25126,113. 8575,491.77 i

114,906.75 ;70,327.43 !15,634.38 !13,632.45 [

14,459.94 j

158,527.4498, 080.13

162, 353. 5270, 602. 9978,173.3813,007,4113, 6^8. 7011, 900. 57

133, 008. 82 i125,600.59 |181,490.71 |75, 494.95''76,770.29 j10, 030. 30 !10, 270.21 \

5, 505,93 I

146,704.33148, 874. 97167, 771, 5068,411.0082, 068. 91

7, 047. 2515, 409. 8116, 6h8,64

SEPTEMBER 30. J

8 banks . ;

$872,197.91 '130,300.0070, 000. 00

206, 946.74168,506.46188, 464. 0857,485.1977,449,03 ,10,521.43 :

14,851,82 I13, 400.64 i

30,705.0052.03

183,308.5595, J-84. 00

21, 390. 0054.46

208.391.0892, 47ft. 00

24,515.00 :179.77 :

185,170. 90 :04, 002.00

26, 265. 00208. 08

130, 381, 7775,203,00 '

33, 300. 00 J99.38

136,202.48 I77,101. 00 •

5, 300. 00 5, 300. 00 5,300.00500.00

4,801,001,000.00 .

5,863.00 •

Total J, 856,881. 77 1,889,921.24 1,939,989.05! 1.957,503.35: 2,062,689.16!

MONTANA.

Loans and discounts.Bonds for circulation iBonds for deposits ..jU. S. bonds on hand jOther stocks andb'dsjDue fiom res've ag'ts.Due from nat'l banksDue from State banksReal estate, etcCurrent expenses. . .Premiums paidCash itemsClear'g-house exch'gsBills of other banks .Fractional currency.SpecieLegal-tender notes . .TJ. S. cert's of deposit.5 % fund with TreasDue from U. S. Treas.

17 banks. ;

$9,291,389.68480, 600. 00 ;200,000.00 :10,150.00

546, 012. 75 |688,293.50859,355.89300,586.46 i460,587.61 !111,772.81 !

45,833.23 ]77,816.61 j

18 banks.

;9, 351, 828. 53515,000.00200,000.0010,150.00

505, 824,45782,786.49 :

784,930.09 .295,988.30457,859.73 '

25, 350. 7751,958.2632,031.28

18 banks.

$9, 979, 677. 04515, 600. 00200, 000, 0010,150, 00

513, 697. 51828, 808, 64671, 357.64294, 466. 60447, 880. 4667,953.8550, 958. 2652, 740. 63

19 banks. 20 banks.

$10, 679,402,18 I $10,535,600.00 |200,000.00 J10,150,00 !

022,072,29 i747,234.26 1,767,294.49 \374, 750.10428,107.4813,074.9254, 855. 1444, 478. 59

181,831.003, 466. 50

845, 844. 65502, 476. 00

21, 625.0022, 750. 09

142,840.005,121.85

901,68^.85 '504,684.00

188,923.00 !3,117.23 |

088,476.50 j

483,662.00 !

154, 093. 002,184. 49

903, 714. 80501,638.00

858,281.69505, 600. 00200, 000. 0010,150.00

677,615.73510,305.78 :790,736.45492,735.01458,359,37

60. 034, 3956, 868. 8854, 275. 30

152,130.001,905.44

743,019.20437, 483. 00

21,802.0029, 292.38 ;

23,202.00 ;

21,121.38 I22,977.006,844.38

20, 727.006,118.84

Total 14, 650, 391.78 j 14, 619, 737. 58 ; 15, 341,793.34 \ 16,068, 531.12 | 17, 036, 346. 08

NEW MEXIC O .

Loans and discounts.!Bonds for circulation.'Bonds for deposits.. . iTJ. S. bonds on hand..!Other stocks and bd'sjDue from res've ag'ts.Due from nat'l banks.Due from State banksReal estate, etcCurrent expensesPremiums paid '[Cash itemsClear'g-house exch'gs \Bills of other banks .:Fractional currency.|Specie '. iLegal-tender notes . . !U. S. cert's of deposit.;5 % fund with Treas.Due from U. S. Treas.

Total

9 banks. i

$1, 893,107. 56 !277,500.00 :150,000.00 I

9 banks.

51, 952, 036. 64277, 500. 00150, 000. 00

44, 894. 72 i250,169.22 i455,900.73 i69,104.92 !

174,675.79 j46,549.13 !

17,471.9721, 873.91

55, 237. 91290,731.61499, 499. 95

86, 915.42166, 493.3912, 834.0917,371.9719, 307.19

42,746.00 :820.17 :

152,892.65 !

97,398.00 !

27, 721. 00863.14

150, 761. 3562, 048.00

9 banks.

$2, 007,104.28277,500. 00150, 000.00

75, 405. 45199, 976. 65316, 535. 3556,146.21

166, 054.8927, 654. 5934,840.7216, 327.44

9 banks. j 9 banks.

~$2,003, 361. 25 "$2,129, 252.34277,500.00 j 277,500.00150,000.00 I 150,000.00

74, 492. 38378,125. 39367,479.6680,600. 59

164, 777.2815,638.0440, 653.1312, 861. 81

68, 587. 77262, 724. 51373,512.6891,533.62

171, 985. 5921, 064.7347, 949. 0311,801.44

22, 854. 001,059.62

172, 595. 6568,182. 00

31,153.00 I1,094.79 I

179,787.85 j87,062.00 i

28,933.00948. 21

166, 700. 0546,120.00

12, 487.00206.00

12, 487. 00 ; 12,487.00 j 12,487.00 I520.00 !

12,487.001,100.00

3,707,797.77 3,781,813.60 ; 3,584,723.85 \ 3,877,594.17 | 3,802,199.97

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1889

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REPORT OP THE COMPTROLLER OF THE CURRENCY. 293

by States ami reserve cities— Continued.

IDAHO.

DKCESIHEK 12. FEHKL'AKY 20. MAY 13.Liabilities.

Capital stock

Surplus fundUndivided profits.

Nat'1-bank circulationState-ban k circulation

Dividends unpaid.

JULY 12.

7 banks.

$450, 000. 00

85, 500, 0079, 049. 52

104,440.00

7 banks.

•$450. 000.00

8'i, 500, 0073. *58. 84

8 banks.

$475, 000. 00

85, S0O. 0087, 000, 52

105, 500. 00

8 banks.

$485, 000. 00

95, 800. 00 i70,835.42 !

104, 520. 00

SEPTEMBER 30.

8 banks.

$490,000.00

95. 800. 00110,589.78

110,570.00

Individual deposits . . ] 1 035, 250. 37 1, 050. 348, 91U. 8. deposits ! 5>;, xO7.1 * 60.192.01Dep' ts U.S.dis.ofticersi 10, 5(5(5.48 7, 481.09

Due to national bank;-jDue to State banks ..«[

Notes re-discounted..Bills payable

1'2, 617. GO !20,020.62

10.017.2842,022.51

450.00

1,070, 837. 1957, 429. 0911,892.98

12,372.00 •27, 706, 67

700.00

1,048,641.0965.279.113. 992. 01

1, 098,104. 5359,184.819, 48J. 72

14,581.19 i 12,699.8359,154.53 ! 00,259.49

Total .! 1,850,881.7 1, 889, 921.24 1, 939, 989. 05

MO N T A Iff A .

1, 957, 503.35

10, 000. 00

2, 062, 689.16

Capital stock . .

Surplus fundUndivided profits . .

Nat/1-bank circulationState-bank circulation

17 banks. 18 banks. 18 banks.

$1, 950, 000.00

506, 000.001, 394, 604. 07

416,800.00

50. 00

$2,050,000.00 $2,090,000.00

496,000.00 : 499,000.001,395,439.61 1., 452, 120.04

19 banks. 20 banks.

$2, 415, 000.00 ; $2, 645, 000.00

542. 000.00 '. 547 000. 001, 370, 743.16 ; 1, 446, 528. 51

Dividends unpaid . . j

Individual deposits.. i 9,104, 154.67U. S. deposits . . . 100,284.99Dep'tsl1 .S.dis.onicei«! "6,1.91. 70

(588, 900. 67 j393,614.68 I

j19,791.00 !

Due to national banks;Due to State banks . . .

Notes re-discounted -.Bills payable

416, 600. 00

195. 00

9,165,887.32124.554. 92

74, 845. 00

51'.), 702. 04301, 337. 65

75, 176.04

444,240.00 457, 700.10 | 402, 030.00

9, 443,487.10 |!•>!>, 764.0J j7.'), 41)3.45 |

775. 787. JG J320,570.89 j

100, O-'W. 05 \1,300.00

1,260.00

9. 80S, 40.">. 11 I129.075.7800,591.90 .

791, 340.97 i415,504.80 ;

76,833.40

1, 250. 00

10,484,439.1459, 712.14

126, 220. 71

820,718.27401, 014.16

41,833.15

Total ; 14, 650, 391. 78 ! 14, 610, 737. 58 15, 341, 7ii3. 34

NE W MEXICO.

16,068,531.12 j 17,036,346.08

Capital stock j

Surplus fund IUndivided profits I

Nat'1-bank circulation |State-bank circulation j . .

Dividends unpaid . .

Individual deposits . .U. S. depositsDep'ts U.S.dis.olncers

Due to national banksDue to State banks.-j

Notes rc-discounted..:Bills payable I

9 hanks.

$975,000.00

18\ 725.9395,130.47

244, 730. 00

9 banks. j 9 banks. i

$975,000.00 i $975,000.00 !| j

209, 350. 00 i 210, 050. 00 |71,507.21 i40, 589. 52

2V.\ 730. 00 245, 250. 00

9 banks .

$975, 000. CO !

223, 300. 0048,560.41

249, 110.00

119.00

1,824.887.9783, 998. 2062,620.19 ,

173,980.8138,852.95

22,752.25 ;

72. 00

1, 90 t, 504. 8531, 506. 01

Iu7, 3(KU)o

217, (582. 3023, 1.46. 65

2'2, 852, 25

Total 3, 707, 797. 1 U, 781,813.66

72. 00

1,794, h01. 9145,676.41

105,311.32

91, 285. 2928,917.46 j

10,852,25 j

360.00

!, 044, 707. 2855, 475. 9091,014.83

140, 090.6141, 822. 89

8,152.25

9 banks.

$975, 000.00

223, 300.0057, 800. 95

249, 750. 00

3, 584, 723.85 | 3, 877, 594.17

300. 00

1,965,481.9976, 853. 4370, 356.62

192,157. 2336, 839.75

14, 300. 00

3, 862,199. 97

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1889

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REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 9 5

NEW MEXICO.

First National Bank, Albuquerque.J. S. HAYNOLDS, President. No. 2614. M. \V. FLOUUNOY. Cashier.

Resources. LiabilitiesLoans and discountsOverdraftsU. S. bonds to secure circulation...TJ. S. bonds to secure depositsU. S. bonds on handStocks, securities, judgments, etc..Duo from approved reserve agents.Due from other national banksDue from State banks and bankers.Bank'g-liouse, furniture, andflxturesOther real estate and mortg's ownedCurrent expenses and taxes paid ..Premiums on U. S. bondsChecks and other cash itemsExchanges for clearing-houseBills of other national banks.Fractional currency, nickels, cents.SpecieLegal-tender notesTJ. S. certificates of depositRedemption fund with Treas. U. S..Due from Treasurer TJ. S

Total.

$329, 505. 7119,450. 9950, 000. 00

150, 000.00

3, 06 k 9862, 694. (5368,175. 0125, 558. L635, 000. 0015, 000.00

5, 243.425, 750. 00

178. 05

3, 418. 0040.40

51,195.005, 298. 00

2, 250.00

831,823.01

Capital stock paid in $100, 000. 00

Surplus fundUndivided profitsNational-bank notes outstanding-.State-bank notes outstanding

Dividends unpaid.

Individual deposits-United States depositsDeposits of IT. S. disbursing officers.

Due to other national banksDue to State banks and bankers..Notes and bills ro-discountod.Bills payable

17, 309. 0012, 343. 89

45, 000. 00

484,066. 3576, 853. 4370, 356. 62

G75. 2225, 027. 50

Total 831,«23.01

Albuquerque National Bank, Albuquerque.JOHN A. LEE, President. No. 3222. \V\ S. STKICKLKH, Cashier.

Loans and discountsOverdraftsU. S. bonds to secure circulation ...U. S. bonds to secure depositsU. S. bonds on bandStocks, securities, judgments, etc ..Due from approved reserve agents.Duo from other national banksDue from State banks and bankersBank'g-houso,furniture, and fixturesOther real estate and mortg's ownedCurrent expenses and taxes paidPremiums on U. S. bondsChecks and other cash itemsExchanges for clearing-houseBills of ot her national banksFractional currency, nickels, cents.SpecieLegal-tender notesU. S. certificates of depositEedemption fund with Treas. U. SDue from Treasurer U. S

Total .

50, 742. C6 I7,259.24

Capital stock paid in.

50, 000. 0 J j, Surplus fund 28, 500. 00Undivided proiits 0, 009. 21

843. 3050, 770.5510,472. 8715,480.303. 500.002, 550. CO4, 244.14

14, 750. 001, 665. 32

3, 914. 0059.15

30,125. 75

2, 250. 00

45, 00.3. 00National-bank notes outstandingState-bank notes outstanding

Dividends unpaid i

322, 2C0. 5.5Individual depositsUnited States depositsDeposits of U.S.disbursing offic

Due i o other national banks I 404. 6(JDue to State banks and b a n t e r s . - i 10, 402. 20

Notes and bills re-discounted <Bills payable . .

587, 620. 08 ! Total. 5B7, 026. 08

First National Bank, Deming.CHARLES IT. DAXE, President. No. 3160. F. II. SIKBOLD, Cashier.

Loans and discountsOverdraftsU. S. bonds to secure circulation...TJ. S. bonds to secure depositsTJ. S. bonds on handStocks, securities, judgments, etc..Due from approved reserve agents.Due from other national banksDue from State banks and bankers.Bank'g-house, furniture, andlixturesOther real estate and mortg's ownedCurrent expenses and taxes paid...Premiums on U. S. bondsChecks and other cash itemsExchanges for clearing-houseBills of other national banksFractional currency, nickels, centsSpecieLegal-tender notesU. S. certificates of depositRedemption fund with Treas. U. SDue from Treasurer TJ. S

Total.

$138,747. 763, 750. 64.

25, 000. 00

2, 870.173, 201. 91

16, 936. 04118.50

9, 432. 0310, 050. 001, 027.194, 593. 75

948. 74

500. 00118.15

1, 630.001, 935. 00

1,125.00

221, 985. 48

Capital stock paid in

Surplus fundUndivided profitsNational-bank notes outstanding..State-bank notes outstanding

Dividends unpaid

Individual depositsUnited States depositsDeposits of U. S. disbursing officers.

Due to other national banksDue to State banks and bankers.Notes and bills re-discounted.Bills payable

Total 221,985.48

$100, 000. 00

10, 000. 001, 806. 6'J

22, 500.00

300. 00

82, 209. 73

5,169.04

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1889

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1 0 9 6 REPORT OF THE COMPTROLLER OF THE CURRENCY.

NEW MEXICO.First National Bank, Las Vegas.

JEFFERSON RAYXOLDS, President No. 2436. JOSHUA S. BAYNOLDS, Cashier.

Resources.

Loans and discountsOverdraftsU. S. bonds to secure circulation...U. S. bonds to secure depositsU. S. bonds on handStocks, securities, judgments, etc ..Due from approved reserve agents.Dae from other national banksDue from State banks and bankers.Bank'g-house,furniture, and fixturesOther real estate and mortg's ownedCurrent expenses and taxes paid...Premiums on U. S. bondsChecks and other cash itemsExchanges for clearing-houseBills of other national banksFractional currency, nickels, cents .SpecioLegal-tender notesIT. S. certificates of depositRedemption fund with Treas. U. S.Due from Treasurer U. S

$344, 618.937, 200. C8

25, 000. 00

; Capital stock paid in.

Total.

12, 313. G345, 702. 08

135,719.5118, 286. 7135, 707.47

1,228.713,402.897, 295. 904,014.031, 334. 43

11, 508. 31497.16

23, 339. 25C, 500. 00

Liabilities.

Surplus fundUndivided profitsNational-bank notes outstanding..State-bank notes outstanding

, Dividends unpaid.

Individual depositsUnited States deposits

j Deposits of U. S. disbursing officers -

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

• I Notes and bills re-discounted .11 Bills payable

1, 125.00

684, 920. G9 Total.

$100, 000. 00

50, 000.0012,037.47

22, 500. 00

330, 550. 85

169, 807.8924.48

684,920. 69

W. M. EADS, President.San Miguel National Bank, Las Vegas.

No. 2454.

Loans and discountsO ? erdraftsU. S. bonds to secure circulation...U. S. bonds to secure depositsU. S. bonds on handStocks, oecurities, judgments, etc --Due from approved reserve agentsDuo from other national banksDue from State banks and bankers.Ijank'g-house,furniture,and fixturesOther real estate and mortg's ownedCurrent expenses and taxes paid. . .Premiums on U. S. bondsChecks and other cash itemsExchanges for clearing-houseBills of other national banksFractional currency, nickels, cents .Specie 'Legal-tender notesU. S. certificates of depositRedemption fund with Treas. U. S .Due from Treasurer U. S

$305,312.024,662.78

25, 000. 00

Total.

2, 448. 7219, 995.1840,179. 21

4. 279. 743, 725. 822, 500. 001,941.52

2. 225. 31

3,000.00100. 20

13, 723. 708, 540.00

1,124. 50

Capital stock paid in.

Surplus fundUndivided profits .

National-bank notes outstanding..State-bank notes outstanding

Dividends unpaid

Individual depositsUnited States depositsDeposits of U. S. disbursing officers.

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

Notes and bills re-discounted .Bills payable

D. T. HOSKINS, Cashier.

~ $100,000.00

50, 000. 008, 477. 57

22, 500. 00

250, 380. 50

7, 400. 63

438 758. 70 Total. 438, 758. 70

AY. W. GitiFFix, President.First National Bank, Santa Fe.

No. 1750. R. J. PALEN, Cashier.

Loans and discountsO verdrafts -U. S. bonds to secure circulationU. S. bonds to secure depositsU. S. bonds on handStocks, securities, judgments, etc .Due from approved reserve agents.Due from oth jr national banksDue from State banks and bankers .Bank'g-housc, furniture, and fixturesOther real estate and mortg's ownedCurrent expenses and taxes paid...Premiums on U. S. bondsChecks and other cash itemsExchanges for clearing-houseBills of other national banksFractional currenc}', nickels, cents-SpecieLegal-tender notesU. S. certificates of depositRedemption fund with Treas . U SDue from Treasurer U. S

$258,406.4.")15, 744. 81 :40, 00,). U0

Total .

27, 240. 32 ]48,171.."9 '81,910.18 '

1. 650.4733,724. 19 •

J. 609. 57 '

Capital stock paid in j $150, 000. 00

Surplus fund i 42, 300. 004, 963. 37

36, 000. 00jtstanding

Dividends unpaid.

Undivided profits j 4, 963. 37

National-bank notes outstanding..State-bank notes outstanding

11,500.00228. 90

8.7511, 044. GO15,244.00

Individual depositsj United States deposits

Deposits of U.S.disbursing officers.

; Duo to other national banks' Duo to State banks and bankers . .

Notes and bills re-discounted.Bills payable

1, 800.001,10). 00

~549, 443. 63 Total

308,701.89

6, 092.861, 385. 51

549,443.63

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1889

Page 20: CCXVr REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1 ... · 2018-11-07 · CCXVr REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since

REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 9 7

NEW MEXICO,

Second National Bank of New Mexico, Santa Fe.LEHMAX SPIEGELBERG, President. No. 2024. W. G-. SIMMONS, Cashier.

Resources.$157,313.52

108, 0237, 500. 00

Loans and discountsOverdraftsU. S. bonds to secure circulation.. .U. S. bonds to secure depositsU. S. bonds on handStocks, securities, judgments, etc . .Dae from approved reserve agents.Due from other national banksDue from State banks and bankers.Bank'g-liouse,furniture,and fixtures!Other'i'cal estate andmortg 's ownedCurrent expenses and taxes pa id . . .Premiums on U. S. bondsChecks and other cash itemsExchanges for clearing-houseBills of other national banks 1 5, 808.00Fractional currency, nickels, cents .! 2>). 18Specie ". I 12,057.15Legal-tender notes 4, 250. 00U. S. certificates of deposit |Redemption fund with Treas. U. S.j 1, 087. 50Due from Treasurer U. S ...!

5, 896. 8319,490. 6611,116.8916, 088.193, 00;). 00

14,450.00

2,400.00

Liabilities.

Capital stock paid in \ $150, 000.00

Surplus fundUndivided profits.

National-bank notes outstanding..i State-bank notes outstanding

Dividends unpaid

; Individual depositsUnited States depositsDeposits of U.S. disbursing officers.

I Dae to other national banksj Due to State banks and bankers ..! Notes and bills re-discountedi Bills payable

Total. 291,193.24 ;i Total .

18, 500. 007, 528. 32

33, 750. 00

73, £

2, 606.93

291,193. 24

CHARLES H. DANE, President.

First National Bank, Silver City.No. 3554.

Loans and discountsOverdraftsU. S. bonds to secure circulation ..U. S. bonds to secure depositsU, S. bonds on handStocks, securities, judgments, etc ..Due from approved reserve agentsDue from other national banks jDue from State banks and bankers !Bauk'g-house,furniture,and fixtures,Other real estate and mortg's ownedC urrent expenses and taxes paid ..Premiums on U. S bondsC hecks and other cash itemsExchanges for clearing-houseBills of other national banksFractional currency, nickels, cents .SpecieLegal-tender notesU. S. certificates of depositRedemption fund with Treas. U. S .Due from Treasurer U. S

$79, 340. 882, 849.91

12, 500. 00

8, 785. 3810, 392. 324, 284. 49

1,522.!

Total.

1, 879. 87800. 00361.45

535.0083.95

7, 795. 501,165.00

! Capital stock paid i n .

Surplus fundUndivided profits

I National-bank notes outstanding..State-bank notes outstanding

Dividends unpaid

Individual depositsUnited States depositsDeposits of U. S. disbursing officers.

Due to other national banksDue to State banks and bankers .Notes and bills re-discounted .Bills payable

S. T. HARKEY, Cashier.

$.30, 000. 00

2. 000. 002, 628.12

11.250.00

562. 50

132, 862. 23

6Q, 984.11

Tota l ! 132, 8G2. 23

Silver City National Bank, Silver City.J O H N BROCKMAN, President. No. 353P. J. W M . CARTER, Cashier.

| $50, 000. 00Loans and discountsOverdraftsU. S. bonds to secure circulation.. .U. S. bonds to secure depositsU. S. bonds on handStocks, securities, judgments, etc . .Dae from approved reserve agents.Due from other national banksDue from State banks and bankersBank'g-house,furniture, and fixturesOther real estate and raortg's owned'Current expenses and taxes paid ..Premiums on U. S. bondsChecks and other cash itemsExchanges for clearing-houseBills of other national banksFractional currency, nickels, cents.SpecieLegal-tender notesU. S. certificates of depositRedemption fund with Treas. U. S .Due from Treasurer U. S

$59, 746. 605, 485.94

12, 500.00

Total.

5,124. 442, 239. 794,718.48

10,071.25593. 79

£,656. 13859. 33841. 01

. 190.0019.90

15, 789.103,188. 00

62. 50

Capital stock paid in

Surplus fundUndivided profits

National-bank notes outstanding-.State-bank notes outstanding

Dividends unpaid «.

Individual depositsUnited States depositsDeposits of U. S. disbursing officers.

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

Notes and bills re-discountedBills payable

4, 500. 002,006.31

11, 250. 00

41,529.97

14,300.00

123,586.31 ! Total . 123, 586.31

Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis

1889


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