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ANNUAL REPORT
OF THE

COMPTROLLER OF THE CURRENCY
TO THE

FIRST SESSION OF THE FIFTY-SIXTH CONGRESS
OF

THE UNITED

STATES.

DECEMBER 4, 1899.

TWO VOLUMES.
VOLUME

II.

WASHINGTON:
GOVERNMENT PRINTING OFFICE.




18 9 9 .




TREASURY DEPARTMENT,
Document No. 2155A.

Vol. II.

Comptroller of the Currency.

LIST OF STATES, TERRITORIES, AND RESERVE CITIES.
STATES AND TERRITORIES.
Reports. !

States and Territories.

States and Territories.

Page.

Reports.
Page.

Alabama

Montana

Alaska

Nebraska

554

Arizona

Nevada

588

New Hampshire .

589

Arkansas

•

547

New Jersey

California

607
643

;!0 ! New Mexico

Colorado
Connecticut

42

Delaware

69 ; North Carolina...

New York

District of Columbia .

76

Florida

645
754
764

80 , Ohio

North Dakota . . .
!

772
857

Georgia

85

Idaho

94 | Oregon

860

Illinois

97 | Pennsylvania

870

Indiana

170 j | Rhode Island

1016

Indian Territory

209

South Carolina.. -

1035

Iowa

214

South Dakota

1041

Kansas

272

Kentucky

305

Tennessee
Texa
xas
Utah
Vermont
Virginia
Washington
West Virginia
"Wisconsin
Wyoming

Louisiana

330

Maine

337

Maryland

365

Massachusetts

388

Michigan

472

Minnesota

499

Mississippi

522

Missouri

Oklahoma

1050
1066
1133
1137
1154
1166
1177
1189

526

C E N T R A L

Cities.

R E S E R V E

1215

C I T I E S .

Reports, n

Cities.

Reports.

il
Page.

i

Chicago
. New York.

Page, jj
110 St. Louis.
702
R E S E R V E

Albany
Baltimore
Brooklyn
Boston
Cincinnati
Cleveland
Des Moines...
Detroit
Houston
Indianapolis-.
Kansas City ..
Lincoln
Louisville

C I T I E S .
Milwaukee
Minneapolis

509

654

New Orleans

333

392

Omaha

573

786

Philadelphia.

955

791

Pittsburg

968

229

Portland

866

St. Joseph

540

St. Paul

516

477
1102
183

San Francisco

26

533

Savannah

92

568

Washington

76

319

NOTE.—For numerical index, see page 1221; for index of towns, see page 1267.




1203

365

REPORTS OF THE CONDITION

THE NATIONAL BANKS
CLOSE OF BUSINESS ON THURSDAY, SEPTEMBER 7, 1899.
(States, Territories, and towns arranged alpl abetically.)

OUR

99, VOL 2




1

KEPOBTS OF THE CONDITION

THE NATIONAL BANKS
AT THE

CLOSE OF BUSINESS ON THURSDAY, SEPTEMBER 1, 1899.

A L, A B A M A .
First National Bank, Anniston.
W. W. STRINGPELLOW, President.

No. 3041.

H. A. YOUNG, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U . S . b o n d s on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank 1 ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State b a n k s and b a n k e r s .
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, c e n t s .
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

Liabilities.
$316, 738.58 Capital stock paid i n .
810.30 |
50,000.00 Surplus fund
50, 000. 00 Undivided profits, less current
expenses and taxes paid
3, 000. 00 National-bank notes outstanding.
43, 550.00 State-bank notes outstanding
13, 500. 00
2,500.00 Due to other national banks
j
113, 642. 23
2, 446. 86 Due to State banks and bankers..
105,126.14
6, 503. 50 Dividends unpaid

$100,000.00

Individual deposits
United States deposits
Deposits of U. S.disbursing officers.
Notes and bills rediscounted
" 2," 250." 00" Bills payable
Liabilities other than those above
stated
Total .
753, 380.16

437,428.20
47,500.00

1, 400. 00
70.55
26, 842. 00,
15, 000. 00

I
j
|
j
|

100,000.00
7, 828.89
45,000.00
2, 612. 89
10,404.18
216.00

2, 390. 00
753, 380.16

Anniston National Bank, Anniston.
W. H. McKLEROY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg'sowned
Due from other national banks
!
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 4250.
.
C. D. WOODRUFF, Cashier.
$233,733.51 Capital stock paid i n .
$100, 000. 00
440. 83
25, 000. 00 Surplus fund
8, 200. 00
Undivided profits, less current
expenses and taxes paid
6, 710. 31
3,000. 00 National-bank notes outstanding.
22, 500. 00
5, 725.00 State-bank notes outstanding
21, 550. 00
1, 380. 00 Due to other national banks
6, 292. 05 Due to State banks and bankers.
6, 276. 53
9, 585.12 Dividends unpaid
60.00
1, 778. 51
Individual deposits
165, 013. 90
580. 00 United States deposits
325. 41 DepositsofU.S.disbursingofficers.
4, 242. 25
33, 000. 00
14, 450. 00 Notes and bills rediscounted
Bills payable
1,125. 00
Liabilities other than those above
stated
335, 484. 21

Total.

335,484. 21

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ALABAMA,
First National Bank, Birmingham.
N. E. BARKER, President.

No. 3185.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.

TOM. 0. SMITH, Cashier.

Liabilities.
$1, 302, 542. 75
690. 21
50, 000. 00
2,875. 00
60,949. 00
51, 000. 00
6, 395. 47
139, 230. 30
51, 910. 27
514,437. 28
1,990. 37
10, 253. 01
13,180. 00
684.10
65, 674. 00
146, 351. 00
2, 250. 00
650. 00

C a p i t a l stock paid i n .

$250,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits ofU. S. disbursing ofiicers

50,000.00
9,410. 73
45, 000. 00
113, 550. 77
166,431.20

1, 786, 670. 06

Notes and bills rediscounted.
Bills payable

Liabilities other than those above
stated

2, 421, 062. 76

Total.

2, 421, 062. 76

Alabama National Bank, Birmingham.
E. W. RUCKBR, President.

No. 3587.

Loans and discounts
Overdrafts. to secure circulation...
U. S. bonds
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash house
Exchanges for clearingitems
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
,
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S.
Total

W. A. PORTER, Cashier.

$394,696. 99 Capital stock paid in
341 09
50, 000. 00 Surplus fund
Undivided profits less current
expenses and taxes paid
National-bank notes outstanding.
17, 000. 00 State-bank notes outstanding
53, 500. 00.
19, 650. 00 Due to other national banks
22,177. 61 Due to State banks and bankers..
14,471.21
55, 381. 33 Dividends unpaid
173. 90
14,581.17 Individual deposits
17 200 00 U nited States deposits
289. 50 Deposits of U.S.disbursing officers.
24,152.50
30,400. 00 Notes and bills rediscounted
Bills payable
2, 250.00
Liabilities other than those above
716,265. 30

stated
Total

$200, 000. 00
2, 000. 00
6 242 93
45 000 00
11, 967. 03
2, 382.92
996. 68
447, 675.74

716, 265. 30

Berney National Bank, Birmingham.
W A L K E R PERCY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U . S . bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds

Stocks, securities etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 3442.

$495, 958. 89
4,466. 65
51, 000. 00
50, 000. 00
4,500. 00
3, 275. 00
24, 000. 00
1, 000. 00
56,145. 74
11, 900.63
28, 769. 84
65.13
7, 611. 96
4, 605. 00
144.87
18,998. 00
18, 312. 00
1, 795. 20

C. M. WILLIAMSON, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current

expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$200, 000.00
5, 500. 00
11, 732.31
45, 900. 00

Due to other national banks

4,296. 58

Due to State banks and bankers..

14,606.09

Dividends unpaid
Individual deposits
i
United States deposits
!
Deposits of U.S.disbursingofficers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above

27.17
450,486. 76
31,438.97
18, 561.03

stated

782,548. 91

Total.

782,548.91

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ALABAMA.
First National Bank, Decatur.
No. 3699.

C. C. HARRIS, President.

W. W. LITTLEJOHN, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
IT. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.

$75,391.60 ! Capital stock paid in.
400.82 I
25,000.00 I: Surplus fund

$50, 000. 00
168.00

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

3, 431. 08
1,186. 30
8, 972. 64 Due to other national banks
\
7, 235. 71 Due to State banks and bankers..
2, 871. 57
41,478. 91 Dividends unpaid.
11, 479. 26
Individual deposits
12,113. 00 United States deposits
618. 07 Deposits of U.S. disbursing officers.
22, 327. 50
2, 000. 00 Notes and bills rediscounted.
Bills payable
1,125. 00
Liabilities other than those above
stated
215,631.46

15, 449. 53
22, 500.00
5, 323. 89

122,190. 04

215, 631. 46

Total .

First National Bank, Demopolis.
No. 4394.

J . S. HANLY, President.

Loans and discounts
i
Overdrafts
|
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
!
Stocks, securities, etc
j
Bank'g house,furniture, and fixtures!
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalpanks
Fractional currency, nickels, cents.
Specie
1
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from TreasurerU. S
Total.

$121,426. 84
19,162. 31
12,500. 00

J . B. MERIWETHER, Cashier.

Capital stock paid in .

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000. 00

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

4,305.87
2,158. 08

Individual deposits
500." 6o" United States deposits
Deposits of U.S. disbursing officers.
6, 787. 00
4, 000.00 Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

75,105.77

1, 383. 96
5,000. 00
967.74
4, 084. 02
3,987. 87

6,905. 71
11, 250.00

204.00

414. i s

180,813. 07

Total.

20, 883. 64

180, 813. 07

Commercial National Bank, Eufaula.
J. P. FAY, President.
Loans and discounts
|
Overdrafts
i
U. S. bonds to secure circulation...!
U. S. bonds to secure deposits
<
U. S. bonds on hand
'
Premiums on TJ. S. bonds
Stocks, securities, etc
j
Bank'g house,furniture,and fixtures!
Other real estate and mortg's owned
Due from other national banks
Due from State b a n k s and b a n k e r s .
Due from approved reserve agents.
Checks and other cash items
i
Exchanges for clearing house
'
Bills of other national banks
'
Fractional currency, nickels, cents, j
!
Specie
Legal-tender notes
!
U. S. certificates of deposit
I
Redemption fund w i t h Treas. U. S.
Due from Treasurer U. S
Total.




No. 5024.
$99, 345. 26
22,084. 59
17, 500. 00
!75. 00
10, 832. 96
100. 00
752. 64
7,116. 05
8, 602. 90
939. 43
3, 359. 00
104. 65
3, 740. 20
1,500. 00
787.50

177,640.18

C. P. ROBERTS, Cashier.

Capital stock paid in
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.

State-bank notes outstanding

$70,000. 00
8, 000. 00
5, 617. 71
15, 750. 00

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

697.73
1, 086.59

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers

41, 697.17

Notes and bills rediscounted
Bills payable
Liabilities other thai those above
stated

34,443.98

Total.

347. 00

177, 640.18

REPORT OF THE COMPTROLLER OF THE CURRENCY,
ALABAMA.
East Alabama National Bank, Eufaula.
No. 3622.

A. H. MERBILL, President.

J A S . DREWRY, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' g house, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalpanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$111, 997.79
17, 419. 87
25, 000. 00

Capital stock paid in.

$100, 000,00

Surplusfund
Undivided profits, less current
expenses and taxes paid
4, 000. 00 National-bank notes outstanding.
16, 255. 00 State-bank notes outstanding
10, 686.21
903.00 Due to other national banks
i
998. 87 Due to State banks and bankers.. |
2, 493. 36
i
14,100. 72
702. 36 Dividends unpaid
Individual deposits
820." 66 United States d eposits
91. 55 Deposits of U. S.disbursing officers .
3,943.40
3, 000. 00 Notes and bills rediscounted
Bills payable
1,125.00
Liabilities other than those above
stated

213,537.13

Total.

10, 000. 00
187.29
22,500. 00
5, 000. 00
1, 620. 69
53,828.87

20,400.28

213, 537.13

Eufaula National Bank, Eufaula.
No. 2309.

S. H. DENT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U . S .
Due from Treasurer U. S
Total .

$209, 835. 57
21, 772.62
25, 000. 00

E. B. YOUNG, Cashier.

Capital stock paid in

I

$100, 000.00

Surplusfund
I
Undivided profits, less current j
expenses and taxes paid
|
National-bank notes outstanding, j
14, 728. 33 State-bank notes outstanding
i.
15, 000.00
26, 709. 61 Due to other national banks
j
2, 814.63
6,114. 66 Due to State banks and bankers..'
7, 291. 78
.
6, 809. 24 Dividends unpaid

25, 000. 00

j
316. 00 Individual deposits
50. 55 United States deposits
j12,252.35
1
7, 500. 00 Deposits of U.S.disbursing officers, j.
Notes and bills rediscounted
J
1,125.00 Bills payable
Liabilities other than those above
stated

11,741.80
655.69

130, 686. 06

31, 741.79
35, 000. 00

357, 320. 34

Total.

357,320.34

22,495. 00

First National Bank, Eutaw.
B. B. BARNES, President.

Loans and discounts
j
Overdrafts
i
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
!
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
j
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's ownedj
Due from other national banks
\
Due from State banks and bankers
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas.U. S.!
Due from Treasurer U. S
Total .




No. 3931.
$132, 080. 69
7,427.36
12,500. 00

14, 000. 00
2,750. 00
3,960. 00
2,076.22
3,178.28
304. 86

J A S . MURPHY, Cashier.

Capital stock paid in.

11, 000.00

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

2, 891. 48

Individual deposits
j
200.00 United States deposits
48.61 Deposits ofU.S.disbursingofficers. I.
6, 743. 00
1, 600. 00 Notes and bills rediscounted
Billspayable
i.
562.50
Liabilities other than those above
stated

187,431. 52

$50, 000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total.

7, 367.23
11, 250. 00

104, 922. 81

187,431.52

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ALABAMA.
First National Bank, Florence.
No. 3981.

R. L. Buss, President.

N. C. ELTING, Cas,

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bond s to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
J
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

Liabilities.
$200, 379. 92
595.13
25, 000. 00
2, 800. 00
10,260.00
3, 000. 00
18, 975. 00
53,086. 98
436.17
57, 413.16
1, 380.16
267. 09
14, 077. 90
13, 000. 00
1,125. 00
401,796. 51

Total .

Capital stock paid in

|

$100, 000. 00
5, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

4, 338.12
22, 500. 00

Due to other national banks
j.
Due to State banks and bankers..!
i
Dividends unpaid
j

8,155.85

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

261, 802.54

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated .•
Total.

401, 796.51

First National Bank, Gadsden.
W. G. BROCKWAY, Cashier.
No. 3663.
S. "W". RIDDLE, President.
!
Loans and discounts
$151, 662. 63 Capital stock paid in
!
$50,000.00
Overdrafts
j
1,195. 94
U. S. bonds to secure circulation... I
12,500. 00 Surplus fund
!
727.44
U. S. bonds to secure deposits
;
Undivided profits, less current j
TJ. S. bonds on hand
\
expenses and taxes paid
5,038.28
Premiums on U. S. bonds
i
1, 518. 75 National-bank notes outstanding.
11, 250. 00
Stocks, securities, etc
|
4, 256. 42 State-bank notes outstanding
|
Bank'ghouse,furniture,and
fixtures!
1, 295. 24
Other real estate and mortg's owned!
8, 650. 96 Due to other national banks
Due from other national banks
j
1, 059. 79 Due to State banks and bankers..
Due from State banks and bankers.
2, 079. 39
Due from approved reserve agents. I
7,182. 26 Dividends unpaid
Checks and other cash items
'•
1, 061. 29
Individual deposits
133, 472.35
Exchanges for clearing house
\
United States deposits
Bills of other national banks
Fractional currency, nickels, cents. I
34. G5 Deposits ofU.S.disbursing officers.
Specie
j
3,928.25
Legal-tender notes
3,500. 00 Notes and bills rediscounted.
Bills payable
U. S. certificates of deposit
Redemption fund with Treas. U. S.;
562. 50
Liabilities other than those above
Due from Treasurer U. S
! stated
Total.

200,488.07

Total.

200, 488.07

First National Bank, Huntsville.
W. H. ECHOLS, President.
Loans and discounts
!
Overdrafts
|
U. S. bonds to secure circulation... I
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.




No. 4067.
.0. B. PATTON, Cashier.
$130,023. 55 | Capital stock paid in
| $100,000. 00
3, 432.28
32, 000. 00 Surplusfund
920.00
Undivided profits, less current
6, 462.03
25, 000. 00
expenses and taxes paid
6, 958. 75 National-bank notes outstanding.
28, 800.00
750. 00 State-bank notes outstanding
22, 098. 50
2, 376. 50 | Due to other national banks
36, 226. 40 Due to State banks and bankers.
451.10
40,585. 84 Dividends unpaid.
1, 435. 20
4,949. 66
993. 53 Individual deposits
237, 436.17
6, 330. 00 United States deposits
705. 54 Deposits of U.S.disbursingoflicers48, 381. 75
12, 350. 00 Notes and bills rediscounted Bills payable
1, 440. 00
Liabilities other than those above !
stated
!.
375,053.40 :

Total .

375, 053.40

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ALABAMA.
Farmers and Merchants' -National Bank, Huntsville.
WlLLAM) I . WELLMAN, President.

Resources.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation..
TJ. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

No. 4689.

$169, 997. 98
5, 974. 29
25, 500. 00

22, 735.44
6, 053.18
3,600. 00
1,219.12
11,171.38
28, 320. 06
2, 742. 48
382. 31
2, 204. 00
205. 52
9,257. 70
15,000. 00
1,147.50

Capital stock paid in.

$100, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..

4, 000. 00
1, 769.14
22, 950. 00
4,124.59

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

172,667.23

Notes and bills rediscounted.
Billspayable
Liabilities other than those above

stated

305,510. 96

Total.

J . R. BOYD, Cashier.
Liabilities.

305,510.96

Total.

Tredegar National Bank, Jacksonville.
GEO. P. IDE, Cashier.

No. 4319.

P. ROWAN, President.

Loans and discounts
Overdrafts to secure circulation...
U. S. bonds
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfix:tures
Other realestate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total

$69, 433. 99
12, 500. 00
7, 500. 00
1, 500. 00
85.60
1, 000. 00
499.57
2, 762. 66
2, 637.55
45.11
74.82
5, 370. 90
500. 00
562. 50

Capital stock paid in
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50, 000.00
5, 000.00
764.91
10,690. 00

Due to other national banks
Due to State banks and bankers..
186.00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofncers.
Notes and bills rediscounted
Billspayable

32,831.79

5, 000. 00

Liabilities other than those above

Total

104,472. 70

104,472. 70

First National Bank, Mobile.
JAMES H. MASSON, President

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,anufixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.




No. 1595.
$685, 710. 90
4,033.17
105, 000. 00
27, 000. C
O
9, 240. 00
1,156,598.92
19, 445. 50
397, 970. 23
62,413. 37
222, 710. 44
3, 791.04
14, 791. 98
28,155. 00
174. 37
121, 691. 50
40,500.00
4,725.00
2,903,951.42

CHAS. D. WILLOUGHBY, Cashier.

Capital stock paid in.
Surplus fund

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofiicers.

$300, 000.00
100, 000. 00
336, 313.74
70, 430. 00
25, 340. 56
20, 735. 07
192. 00
2, 050, 940. 05

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total ...

2, 903,951.42

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ALABAMA.
First National Bank, Montgomery.
No. 1814.

A. M. BALDWIN, President.

, Cashier.

Resources.

Loans and discounts
Overdrafts
IT. S. bonds to secure circulation-..
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture,and fixtures
Other real estate andmortg's owned
Due from other national banks
Due from State banks and bankers Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total

Liabilities.
$444, 423. 92
33, 886. 9Q
50, 000. 00
6, 000.00
99, 511. 35
40, 783. 23
44, 850. 29
13, 626. 37
17, 468.99
28,797. 86
629. 37

2,666.66
143.03
6, 617. 50
80, 094. 00
2, 250. 00
95.60

Capital stock paid in

.„

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding..
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid

$225, 000. 00
50, 000. 00
2,804.40
45,000.00
2, 394.38
3, 229.96
951. 00

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.
Notes and bills rediscounted
Bills payable

491,798.73

50, 000.00

Liabilities other than those above
stated
. . ..

Total

871,178.47

871,178.47

Farley National Bank, Montgomery.
Jos. L. HALL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

N o . 4180.

Lours B. FARLEY, Cashier.

$305, 028. 38 Capital stock paid in.
11, 441. 58
25, 000.00 Surplus fund

$100,000.00

Undivided profits, less current
expenses and taxes paid
2, 750. 00 National-bank notes outstanding..
State-bank notes outstanding

15, 000.00
7,453. 79
22,500. 00

427, 029. 68

590,301. 76

Total.

1, 350. 93
2,653. 61 Due to other national banks
133,654. 23 Due to State banks and bankers..
36, 892.10
6, 624. 52 Dividends unpaid
4, 890. 76
Individual deposits
250.00 ! United States deposits
698.15 ! Deposits of U.S.disbursingofficers.
22,468.50 I
35,474.00 Notes and bills rediscounted.
Bills payable
1,125. 00
Liabilities other than those above

590, 301. 76

stated
Total .

16,780. 71
1,472.58
65.00

Merchants and Planters' National Bank, Montgomery.
EOBT. GOLDTHWAITE, President

Loans and discounts.. Overdrafts
TJ. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
I
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estateand mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents Checks and other cash items
.Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total.



No. 2029.

$332,391.53
11, 881. 64
25, 000. 00
1, 900. 00
6, 007. 45
2,500.00
4, 216.40
77,444.64
12, 330. 00
20, 553. 54
3, 380. 32
1, 000. 00
5.76
47, 807. 00
20,000.00
1,125.00
567,543. 28

S. B. MARKS, Jr., Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding..
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..

$100, 000.00
70, 000. 00
12, 409.70
22, 500.00
8, 653. 35
1, 878.74

Dividends unpaid
Individual deposits
United States deposits

352,101.49

Deposits of U.S.disbursingofficers.
Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

567, 543.28

10

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ALABAMA.
First National Bank, Opelika.
No. 3452.

. P . RENFRO, President.

ORRIN BROWN, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposi ts
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortgs owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
I
U. S. certificates of deposit
!
Redemption fund with Treas. IT. S.I
!
Due from Treasurer U. S
Total.

$198, 668. 69
10, 013. 26
25, 000.00
2, 500. 00

3,182.00
822. 64
5,658.93
5, 997.93

104.41
13,480.00
12, 000. 00
1,125. 00

Capital stock paid in

$100,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

15, 000. 00
8,787.10
22,500.00

Due to other national banks
|
Due to State banks and bankers.. I
Dividends unpaid

2, 053. 61
89. 06

Individual deposits
j * 122,123. 09
United States deposits
j
DepositsofU.S.disbursingofficers. .
Notes and bills rediscounted
Bills payable

8, 000. 00

Liabilities other than those above
stated
Total .

278, 552. 8

278, 552.86

City National Bank, Selma.
No. 1736.

W. P . ARMSTRONG, President.
Loans and discounts
Overdrafts
U. S. bonds t o s e c u r e c i r c u l a t i o n . . .
U . S. bonds t o secure deposits
U. S. bonds on h a n d
P r e m i u m s on U . S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
O t h e r real e s t a t e a n d m o r t g ' s owned
D u e from o t h e r n a t i o n a l b a n k s
D u e from S t a t e b a n k s a n d b a n k e r s .
D u e from approved r e s e r v e a g e n t s .
Checks a n d o t h e r cash items
E x c h a n g e s for clearing house
Bills of o t h e r n a t i o n a l b a n k s
F r a c t i o n a l c u r r e n c y , nickels, c e n t s .
Specie
Legal-tender notes
U. S. certificates of deposit
R e d e m p t i o n fund w i t h T r e a s . U. S.
Due from T r e a s u r e r U. S

Total.

$606, 373. 94
10, 790. 55
400, 000.00
100,000.00
40, 000. 00
289, 364. 58
10, 000. 00
" 117," 625*61"
78,710.50
225, 992. 58
4,341.76
38,094.00
910. 39
113,614.90
5, 500. 00
18, 000.00

A . Gr. P A R R I S H ,

Capital stock paid in

j

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank note3 outstanding.
State-bank notes outstanding

Cashier.

$400, 000. 00
100, 000.00
91,433.86
360, 000. 00

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

3,989.85
6, 935.78

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

995, 319. 32
97, 000. 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total

2, 059, 318. 81

2,059,318.81

First National Bank, Talladega.
J . B. MCMILLAN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total .




No. 3899.

J. C. BOWIE, Cashier.
$50,000. 00

| i Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State.bank notes outstanding
10, 000. 00
2, 008. 30
1,190. 52
11,663.63
92.21
585. 00
170. 00
7,181.00
1,500.00
1,125. 00
167,107.18

500.00
2, 640. 07
22, 500.00

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

1, 233.78
28.00

Individual deposits
United States deposits
Deposits of U.S.disbursingofficera.

70,205.33

Notes and bills rediscounted
Bills payable

20, 000.00

{

Liabilities other than those above
stated
Total .

167,107.18

REPORT OF THE COMPTROLLER OF THE CURRENCY.

11

ALABAMA.
Isbell National Bank, Talladega.
WM. Jb\ ARMSTRONG, President.

No.

4838.

W. H. BOYNTON, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
XT. S. bonds to secure deposits
X S bonds on hand
T
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S

Liabilities.
$70, 576.48
2, 866. 09
50, 000. 00
7, 215. 00
4, 000. 00
10,000.00

10, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

6, 091.00
45, 000.00

Due to other national banks
14,194.99 Due to State banks and bankers..
4, 484. 04 !
81, 440. 77 Dividends unpaid
357. 65
Individual deposits
i,"iI6.*oo United States deposits
66.10 Deposits of U.S.disbursing officers.
16, 242. 50
1,500.00 Notes and bills rediscounted
Bills payable
2, 250.00
Liabilities other than those above
stated
266, 303. 62

Total

$50, 000. 00

Capital stock paid in

10, 584. 62
1,197.00
143,431.00

266, 303. 62

Total

First National Bank, Tuscaloosa.
FRANK S. MOODY, President.

Loans and discounts
!
Overdrafts
I
IT. S. bonds to secure circulation-.. I
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, centsSpecie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S
Total .

No. 1853.

JOHN LITTLE, Jr., Cashier.

$116,127. 61 I Capital stock paid in.
285. 25
40, 000. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
2,500. 00 National-bank notes outstanding.
3, 830. 50 State-bank notes outstanding
29, 253. 67
19, 208. 32 Due to other national banks
7, 394.24 Due to State banks and bankers.
151.20
4,333.24 Dividends unpaid
333. 71
Individual deposits
"4," 360." bo" United States deposits
39.85 Deposits of IT. S.disbursingofficers
23, 067. 37
Notes and bills rediscounted
Bills payable
1, 800. 00
Liabilities other than those above
stated
252, 684. 96

$60,000.00
20,000. 00
4, 837.31
36, 000.00
513.08
969.23

119,365.34

11,000. 00

252, 684.96

Total .

Merchants' National Bank, Tuscaloosa.
Gr. A. SEARCY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation. ..
U. S. bonds to secure deposits
U. S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estate and mortg's owned
Dae from other national banks...
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legai-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 3678.
$161, 622. 76
17, 438. 50
25, 000. 00

5,400. 00
15, 500. 00
2, 749. 34
716. 65
3. 203. 36
304.81

GLENN FOSTER, Cashier.

Capital stock paid in.

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

I
!

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

500. 00
182.15
14, 671. 75
12, 000. 00 Notes and bills rediscounted
Bills payable
1,125. 00
Liabilities other than those above
stated
260,414. 32

$50,000. 00

Surplus fund
Undivided profits, less current j
expenses and taxes paid
National-bank notes outstanding.!
State-bank notes outstanding

Total .

10, 000.00
12, 631.02
22,500.00
917.08
2,451.31
436. 00
133,193.91

28, 285. 00

260,414.32

12

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ALASKA.
First National Bank, Juneau.

"W. T. SUMMERS, President.

No. 5117.

C. M. SUMMERS, Cashier.

Resources.
Loans and discounts
|
Overdrafts
!
U. S. bonds to secure circulation... |
U. S. bonds to secure deposits
I
U. S. bonds on hand
!
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalTbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. XJ. S.
Due from Treasurer TJ. S
Total.




Liabilities.
$42, 517, 30
989. 32
12,500. 00
50, 000. 00
4, 250. 00
6,625.87
2,742.20
8,312. 33
7, 509.23
54, 241.25
4,685.45
5.00
326. 90
19,451. 70
490, 00
562.50
215,209.05

Capital stock paid in
rp
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

.0, 000. 00

7,900.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

137,843.19
8,493.76
10,972.10

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

215, 209. 05

REPORT OF THE COMPTROLLER OF THE CURRENCY.

13

ARIZONA.
National Bank of Arizona, Phoenix.
EMIL GANZ, President.

No. 3728.

S. OBERFELDEE, Cashier.
Liabilities.

Resources.
Loans a n d discounts
Overdrafts
U . S. bonds t o secure c i r c u l a t i o n . . .
TJ. S. bonds t o secure deposits
TJ. S. bonds on h a n d
P r e m i u m s on TJ. S. bonds
Stocks, securities, etc
B a n k ' g house,furniture,and fixtures
Other real e s t a t e a n d m o r t g ' s owned
Due from other national b a n k s
D u e from State b a n k s and b a n k e r s .
D u e from approved reserve a g e n t s .
Checks a n d o t h e r cash items
E x c h a n g e s for clearing house
Bills of o t h e r national b a n k s
F r a c t i o n a l currency, nickels, c e n t s .
Specie
Legal-tender notes
U.S.certificates of deposit
Redemption fund w i t h T r e a s . U . S.
D u e from T r e a s u r e r U . S

$267, 262.19
8, 987.99
25, 000. 00

13, 089. 62
3, 500.00
1, 589.12
12. 988. 67
16.76
1, 045. 71
1, 887. 00

20,000.00
14,198.98
22, 000.00

D u e to other national b a n k s
D u e to State b a n k s and b a n k e r s . .

19,321. 64

Dividends unpaid

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

218,047.49

"57," 076." 05'

Notes and bills rediscounted .
Bills payable
1,125. 00

Liability

stated.

'3, 568.11

Total .

$100,000.00

Capital stock paid i n .
S u r p l u s fund
Undivided profits, less c u r r e n t
expenses a n d t a x e s paid
National-bank notes o u t s t a n d i n g .
State-bank notes o u t s t a n d i n g

other than those above

Total

393,568.11

Phoenix National Bank, Phoenix.
E. B. GAGE, President.

No. 4729.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers .
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund withTreas.U. S.
Due from Treasurer U. S
Total.

$482, 007. 56
7, 842. 23
75, 000.00

61, 458. 87
4,000. 00
9, 632. 64
62,001.38
73, 041. 45
12, 367. 38
460. 00
201. 50
46, 346.30
18, 002. 00
3, 375.00

E. B. KNOX, Cashier.

Capital stock paid in

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

20,000.00

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

18,458. 75

29, 810. 04
67, 500. 00

i

Individual deposits
I
United States deposits
I
Deposits of U.S.disbursingofficers.

619,967. 52

Notes and bills rediscounted —
Bills payable
Liabilities other than those above
stated
Total.

855,736. 31

855, 736. 31

Prescott National Bank, Prescott.
FEANK M. MUEPHY, President.
Loans and discounts
Overdrafts
U. S.bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and backers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund withTreas.U. S
Due from Treasurer U. S
Total.




No. 4851.
$168,249. 83
4,901.13
50, 000. 00

12,709.34
27, 723. 88
6, 840. 45
195,079.83
1,151.85
540.00
69.41
25, 644. 50
11,437. 00
2, 250.00
506,597. 22

HENRY KINSLEY, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100, 000.00
20, 000.00
14, 880. 96
44,160.00

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

408. 72
67.73

Individual deposits
United States deposits
Deposits of U. S. di sbursing officers.

326, 959.81

120.00.

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

506,597.22

14

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ARIZONA.
Arizona National Bank, Tucson.
No. 4440.

B. M. JACOBS, President.

L. M. JACOBS, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
X S. bonds on hand
L
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghousejfurniture, an d fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items.
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
".
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

Liabilities.
$88, 707. 63
15, 581. 84
12, 500. 00
1,250.00
24,948.79
559.42
85, 251. 68
15,726. 65
33, 384. 60
619.02
3, 952.93
134.35
41, 974.85
2,820.00
562. 50

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers Notes and bills rediscounted.
Bills payable

7,410. 00
3, 495. 41
2,700.00

264, 368. 85

Liabilities other than those above
stated

327,974.26

Total.

$50,000.00

Total.

327, 974. 26

Consolidated National Bank, Tucson.
M. P. FREEMAN, President

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse^urniture^ndfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.)
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
I
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 4287.
$253,718.67
7
10,058.56
12, 500. 00
1,000.00
37, 757. 32
18, 484. 71
i 05," 620." 65
6, 464. 59
213, 747. 01
4, 334. 46
4, 000.00
45.85
42, 405. 35
26, 237.00

H. B. TENNEY, Cashier.

Capital stock paid i n .
Surplus fund
U n d i v i d e d profits, less c u r r e n t
expenses a n d t a x e s paid
National-bank notes outstanding.
State-bank notes o u t s t a n d i n g
D u e t o other n a t i o n a l b a n k s
D u e t o State b a n k s a n d b a n k e r s .

$50, 000. 00
5, 000. 00
9,174. 88
11, 250. 00
4, 909. 07
13,044.47

Dividends u n p a i d
I n d i v i d u a l deposits
U n i t e d States deposits
Deposits of U.S. d i s b u r s i n g officers.

643, 557. 65

N o t e s and bills r e d i s c o u n t e d .
Bills payable

562. 50
Liabilities other t h a n those above
stated
736,936.67

Total .

736, 936. 67

REPORT OP THE COMPTROLLER OF THE CURRENCY.

15

ARKANSAS.
Camden National Bank, Camden.
No. 4066.

W. E. MCRAE, President.

A. A. TUFTS, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on band
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

Liabilities.
$81,139. 46
19, 974. 69
12,500.00
1,125. 00
13,136. 46
1, 085. 25
4,156. 39
34, 411. 78
5, 540. 54
77, 221. 66
2,044.26
184. 95
10, 617. 90
17, 000. 00
562. 50

Capital stock paid i n .

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes o u t s t a n d i n g .
State-bank notes outstanding

11, 000. 00
822.59
11,250.00

Due to other national banks
Due to State banks and b a n k e r s . .

1,429.82

Dividends unpaid

350. 00

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.

205,765.14

Notes and bills rediscounted
Billspayable
Liabilities other than those abov
stated

83.29

Total.

280,700.84

280, 700.84

First National Bank, Fort Smith.
GEORGE T. SPARKS,

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds t o secure deposits
U.S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
'.
Legal-tender notes
U. S. certificates of deposit
Redemption fund w i t h Treas. U. SDue from Treasurer U. S

Total.

No. 1950.
$526, 759. 21
37,715.11
50, 000. 00

48, 464. 03
31,450. 27
54,182. 29
1, 202. 07
117,792.86
5,192. 98
4, 750. 00
1, 439.26
35, 310. 00
4, 445. 00

J N O . YAILE, Cashier.

Capital stock paid in

|

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and b a n k e r s . .

$200, 000.00
90,000. 00
23, 261.58
45, 000.00

10, 857.36

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

531, 834.14

Notes and bills rediscounted.
Bills payable

2, 250.00
Liabilities other than those above
stated
900, 953. 08

Total.

900, 953. C

American National Bank, Fort Smith.
WILLIAM BLAIR, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Otherrealestate and mortg's owned
Due from other national bants
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from TreasurerU. S
Total.




No. 3634.
$394, 900. 76
10, 748.34
25, 000. 00

579. 41
3, 250. 00
10,750.00
3,163. 40
1, 485. 39
' 7,439. 40
3, 867. 65
1,110. 00
129. 69
6, 687. 75
18, 000. 00

P. A. BALL, Cashier.

Capital stock paid i n .
Surplusfund
Undivided profits, less current
expenses and taxes paid

National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.
Notes and bills rediscounted.
Bills payable

$100,000.00
70, 000.00
18,438.29
21,780.00
9, 202. 08
4, 890. 26

233, 926.16

30, 000. 00

1,125. 00

Liabilities other than those above
stated
488,236.79 ||

Total

488,236.79

16

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ARKANSAS.
First National Bank, Helena.
No. 3662.

S. SEELIG, President.

S. S. FAULKNER, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house,furniture, andiixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items .1
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Liabilities.
$189, 609.42
5, 316.20
38,500.00

Capital stock paid in.

8,196.40
34,650.00

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

41, 342. 28
6, 500.00
5, 638. 56
12,522.48
118.45
4, 502. 85
319.38

10.19

Individual deposits
United States deposits
Deposi ts of D. S. disbursing officers.

500. 00
384.60
9, 700. 00
3,932.00

25, 000.00

132, 762.13

Notes and bills rediscounted.
Bills payable

1, 732.50

Liabilities other than those above
stated

320,618.72

Total .

$120,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total .

320, 618. 72

Arkansas National Bank, Hot Springs.
CHAS. N. RIX, President

No. 2832.

Loans and discounts
|
Overdrafts
!
U. S. bonds to secure circulation... j
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of othernationalbanks
!
Fractional currency, nickels, cents
Specie
!
Legal-tender notes
U. S. certificates of deposit
\
Redemption fund with Treas. U. S. j
Due from Treasurer U. S

$172, 104. 28
239.55
25, 000.00

1

$100, 000. 00

:! Surplus fund
640. 00 |J Undivided profits, less current
1
000.00 1 expenses and taxes paid
309.60 National-bank notes outstanding.
150.00 State-bank notes outstanding
865.00 Due to other national banks
i
710. 93 Due to State banks and bankers
06, 342. 77 Dividends unpaid
1, 940. 34
1, 854. 31 Individual deposits
4, 805.00 United States deposits
176.90 Deposits of U.S. disbursing officers.
19, 840. 75
7,000.00 Notes and bills lediscounted
Bills payable
1,125. 00
Liab-lities other than those above
stated

391,104.43

Total .

F R E D . N. RIX, Cashier.

Capital stock paid in

6,000.00
4, 061. 87
22. 500. 00

30.00
258, 512. 56

391,104.43

Total .

Exchange National Bank, Little Rock.
CHARLES F . PENZEL, President

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andnxtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 3300.
$446,475.73
55, 670. 09
50, 500. 00
50, 000. 00
6, 500. 00
12,000.00
10, 425. 23
* 64,327.05
22, 467. 25
65,947.47
130, 232. 25
3, 455. 60
14,501.21
16, 000. 00
117.17
38, 782. 00
27, 000. 00
2, 272. 50
5, 593. 75
1, 022, 267. 30

J. S. POLLOCK, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

$200, 000.00
18, 000. 00
8, 036.43
45, 450. 00

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

16, 345. 55
79, 840.42

Individual deposits
United States deposits.
Deposits ofU. S. disbursing officers

604, 202.73
38, 442. 96
11, 658.71

290.50

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

1, 032, 267.30

REPORT OF THE COMPTROLLER OF THE CURRENCY.

17

ARKANSAS,
German National Bank, Little Rock.
JOHN G. FLETCHER, President.

No. 3318.

OSCAR DAVIS, Cashier.
Liabilities.

Resources.
Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash itemi
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

J669, 767.96
14,440. 67
50, 000.00
1, 500. 00
32, 511. 70
3, 000. 00
42, 395. 01
123, 395. 73
3, 832. 90
74, 528. 04
2, 052.05
11, 650. 81
23,392. 00
457.25
114, 453. 00
78,885. 00




5300, 000. 00
60, 000.00
19, 209. 22
44,100.00

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

13, 381. 21
99,450. 94

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers

465. 00
711, 905. 75

Notes and bills rediscounted.
Bills payable

2, 250. 00
Liabilities other than those above
stated
1,248,512.12

Total.

CUB 99, VOL 2

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

2

Total .

1, 248, 512.12

18

REPORT OF THE COMPTROLLER OF THE CURRENCY'.
CALIFORNIA.
First National Bank, Colton.
No. 3573.

J . W. EOBERTS, President.

HOWARD B. SMITH, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S

$84, 970.83
2, 333. 56
12,500.00
1,125. 00
6, 862. 32
10, 750. 00
5, 320. 00
4, 744.10
41, 745. 52
400. 00
17.65
8,351. 00
1,130.00
562.50
180, 812.48

Total.

Capital stock paid in .

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000. 00

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

1, 524. 37
325.85

Individual deposits
United States deposits
Deposits of U, S.disbursing oflicers.

106, 319. 60

1, 392. 66
11, 250. 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated
Total.

180, 812. 48

First National Bank, Fresno.
No. 3321.

O. J . WOODWARD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
(
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels.cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S Due from Treasurer U. S
!
Total.

$697, 486.17
743. 61
25, 000. 00
24, 000. 00

E. A. WALROND, Cashier.

Capital stock paid in .
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

74,074.53
41, 500.00
36, 319. 29 Due to other national banks
44, 401. 77 Due to State banks and bankers..
62, 669. 78
157, 819.15 Dividends unpaid
2, 684. 02
Individual deposits
United States deposits
50. 00 Deposits of U.S.disbursing officers.
75, 672.10
3,082. 00 Notes and bills rediscounted
Bills payable
1,125. 00
Liabilities other than those above
1, 246, 627.42

stated
Total.

$100, 000. 00
135,000. 00
28, 982. 37
22, 500. 00

48,717.17

911,427.88

1, 246, 627.42

Farmers' National Bank, Fresno.
ADOLPH KUTNER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S

Total.



No. 5162.

$371,832. 61
469.60
37, 500. 00

W A L T E R SHOEMAKER, Cashier.

Capital stock paid in.
Surplus fund

Undivided profits, less current
expenses and taxes paid
2, 000.00 National-bank notes outstanding.
20, 856. 30 State-bank notes outstanding

$150, 000. 00
1, 000. 00
3,724. 26
33, 750. 00

62, 000. 00

Due to other national banks
1,204. 71 Due to State banks and bankers.
51,524.19
30, 896. 51 Dividends unpaid
1, 048.39
Individual deposits
United States deposits
117.40 Deposits of U.S. disbursing officers.
27, 823. 60
199. 00 Notes and bills rediscounted
Bills payable
"l," 687." 50
Liabilities other than those above
stated
609,159.81

Total.

5, 861.35

414, 824. 20

609,159.81

REPORT OF THE COMPTROLLER OP THE CURRENCY.

19

CALIFORNIA,
Fresno National Bank, Fresno.
JOHN MCMULLIN,

No. 3870.

President.

C. ALLISON TELFER, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer IT. S

$337,119. 27
603.05
50, 000. 00

45,489. 32
35, 000.00
86, 305.02
14,174. 63
40,118.12
17, 054. 81
469. 23
22.15
77, 359. 00
3, 561. 00
2,250.00
680.00

Capital stock paid i n .

8, 500. 00
current

expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

8, 933. 86
45, 000. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
j.
Depositsof U.S.disbursing officers. |.

447, 771.74

Notes and bills rediscounted
Bills payable

Liabilities other than those above
stated

710,205.60 |

Total.

5200, 000. 00

Surplus fund
Undivided profits, less

Total .

710, 205. 60

First National Bank, Los Angeles.
No. 2491.

J . M. ELLIOTT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing honse
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total

$1,418,338.81
31,467.62
50, 000.00

FRANK A . GIBSON, Cashier.

Capital stock paid in.

5400, 000.00

Surplus fund
Undivided profits, less current
30,000. 00
expenses and taxes paid
National-bank notes outstanding.
204,"601. 09" State-bank notes outstanding

55, 000. 00
77, 778. 64
355, 681. 92
108, 929. 60
225,985.71
3, 608. 02
32, 218. 06
6, 570. 00
331. 55
479, 292. 00
10, 000. 00

80, 000.00
202, 739. 33
35, 550. 00

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

44, 269. 58
109, 048. 06

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

2,220, 081. 05

365.00

Notes and bills rediscounted.
Bills payable

2, 250. 00
Liabilities other than those above
stated
!

3,092,053.02

Total

3, 092, 053.02

Los Angeles National Bank, Los Angeles.
W. C. PATTERSON, President.

Loans and discounts
I
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S Due from Treasurer U. S
Total.




No. 2938.

W. D. WOOL WINE, Cashier.

$903, 698. 83 Capital stock paid in
j $500,000. 00
4,027.57
500, 000. 00 Surplus fund
I
49, 500.00
150, 000.00 | Undivided profits, less current
12,500.00 I expenses and taxes paid
19, 329.63
49,540. 37 National-bank notes outstanding.
391,200.00
158,645.40
170, 000.00
11,315.10 Due to other national banks
76, 677. 72
29,276. 56 Due to State banks and bankers..
94, 906.97
10, 792. 25
245,000.12 Dividends unpaid
10.50
5,445. 70
9,943. 87 Individual deposits
1, 211, 082. 30
14,855.00 United States deposits
103, 285. 08
128. 75 Deposits of U.S.disbursing officers.
52,368.73
189,367.41
11, 324.00 Notes and bills rediscounted.
Bills payable
22,500.00
Liabilities other than those above
stated
2,498, 360. 93

Total

I 2,498,360.93

20

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Merchants' National Bank, Los Angeles.
W. L. GRAVES, President.

No. 3538.

W. H. HOLLIDAY, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furiiiture.and fixtures
Other real estate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total....

$596,685.37
5, 015.95
50,000.00
9,000. 00
10,850.85
2, 000. 00
18,020. 00
69, 772.57
9, 666. 59
214,457.60
3, 065. 54
14, 448.06
5, 385. 00
190.38
99, 580. 00
3, 000. 00
2, 250.00

'

Capital stock paid in .

$200,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
!
Due to other national banks
Due to State banks and bankers. .|
Dividends unpaid

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

40, 000. 00
29, 395. 52
41, 350.00
2, 316. 71
47, 056.98

753, 268.78

N otes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

1,113,387.99

Total.

1,113, 387. 99

National Bank of California, Los Angeles.
JOHN M. C MARBLE, President.

A. HADLEY, Cashier.

No. 4096.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
'
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U . S . certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$416, 289. 49
3, 887. 51
150, 000. 00

Capital stock paid in .

$200, 000. 00

Surplus fund
Undivided profits, less current
12, 320. 00
expenses and taxes paid
5, 000. 00 National-bank notes outstanding.
48,340.44 State-bank notes outstanding
6,.400. 00
37, 475. 45 Due to other national banks
1,175.13 Due to State banks and bankers.
12, 846. 27
149. 352.02 Dividends unpaid
574. 26
6, 389. 31 Individual deposits
290. 00 United States deposits
133.30 Deposits of U.S. disbursing officers.
137,428. 65
980. 00 Notes and bills rediscounted.
Bills payable
6, 750. 00
2.50 Liabilities other than those above
stated

995, 634.33

Total.

17, 000. 00
15,407.81
131, 820.00
17, 663. 66
4, 683. 52
200.00
608, 859. 34

995, 634. 33

First National Bank, Modesta.
O. MCHENRY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from. State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 3136.
$237,171. 24
24,494.40
25,000.00

J. E. WARD, Cashier.

Capital stock paid in

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

16, 600.00

Due to other national banks
Due to State banks and bankers..
19, 864. 93
1,161. 32 Dividends unpaid
8,197. 24
Individual deposits
United States deposits
20.01 Deposits of U.S.disbursingofncers.
20, 815. 00
Notes and bills rediscounted
Bills payable
1,125. 00
Liabilities other than those above
stated

11, 714.56
4, 333.28

800.00
4, 000. 00

342, 649.14

Total.

5, 343. 62
22, 500. 00

132,157,68

50, 000. 00

342, 649.14

REPORT OP THE COMPTROLLER OP THE CURRENCY.

21

CALIFORNIA.
First National Bank, Monrovia.
No. 3743.

JOHN H. BARTLE, President.

W. A. CHESS, Cashier.

Eesources.
Loans and discounts.
Overdrafts
TJ. S. bonds to secure circulation...
IF. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer IT. S

Liabilities.
$92,190. 39 Capital stock paid in
j $50,000. 00
604. 47
12, 500. 00 Surplus fund
|
10, 000.00
Undivided profits, less current
expenses and taxes paid
!
1,761.85
1, 000. 00 National-bank notes outstanding.!
11, 250. 00
10, 500. 00 State-bank notes outstanding
j
20, 000. 00
Due to other national banks
i
Due to State banks and bankers..!
18,452.01
12, 295. 54 Dividends unpaid
\.
84.55
Individual deposits
101, 992. 70
300. 00 United States deposits
,
41.54 Deposits of U.S.disbursingoffieersJ
4, 973. 55
1, 500. 00 Notes and bills rediscounted.
Bills payable
562. 50
Liabilities other than those above j
175,004.55

Total .

stated
Total .

175,004.55

First National Bank, Oakland.
No. 2248.

P. E. BOWLES, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
[
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g bouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.#S. certificates of deposit
Redemption fund with Treas. U. S.

Due from Treasurer U, S
Total.

$500,473. 04
7, 624. 06
50, 000. 00

L. G. BURPEE, Cashier.

$300, 000.00

Capital stock paid in

Surplus fund
Undivided profits, less current j
expenses and taxes paid
!
4, 500. 00 National-bank notes outstanding. |
117,398. 60 State-bank notes outstanding
4, 750. 00
82, 684. 31 Due to other national banks
Due to State banks and bankers..
9, 814.18
33, 221. 26 Dividends unpaid
3, 383. 83
Individual deposits.
:
725. 00 United States deposits
j
104. 66 Deposits of U. S.disbursing officers. j
59, 246. 50
1, 501.00 Notes and bills rediscounted.
Bills payable
2, 250. 00
Liabilities other than those above
stated

Total .

877,676.44

33, 500. 00
14, 317. 20
45, 000. 00
4,469. 91
2, 575. 60
6,157. 50
470, 631.23

1, 025. 00
877,676.44

Union National Bank, Oakland.
THOMAS PRATHER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.




No. 2266.
$643, 540. 29
189, 331. 08
50, 000. 00
3,161. 75
68,187. 07
3,691 58
20,961.63
446. 26
226.25
9, 571. 76
3, 206.18
285. 00
74. 20
121,162.10
419.00
1, 500.00
1,115,764.15

C. E. PALMER, Cashier.

Capital stock paid in

$150, 000.00

Surplusfund
|
Undivided profits, less current |
expenses and taxes paid
i
National-bank notes outstanding. 1
State-bank notes outstanding.....
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits

100, 000.00
9,961, 84
45; 000. 00
790. 96
474. 00

|

United States deposits
DepositsofU.S.disbursingofficersJ.

809, 207. 35

Notes and bills rediscounted.
Bills payable

Liabilities other than those above
stated
,
Total.

S30.00

1,115,764.15

22

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CALIFORNIA.
First National Bank, Pasadena.
No. 3499.

P . M. GREEN, President.

ERNEST H. M A T , Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bondsonhand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U. S
Total.

$408,620.12
1, 547. 27
25, 000. 00
580. 00
104, 575. 00
45, 000. 00
33,000.00
62,765.37
20,761.57
211,191.47
741. 78
6, 455. 00
637. 88
41, 973.55
18, 748. 00
1,125.00

Capital stock paid i n .

$100, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding.

50, 000.00
15, 021. 27
22, 000.00

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

11, 870.05
20, 255.02

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

763,225.67

350.00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

982,722. 01

982, 722. 01

Pasadena National Bank, Pasadena.
GEORGE F . KERNAGHAN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U . S . certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

No. 3568.
$83, 208.01
129.69
26, 000. 00
21,740. 00
3, 537. 27
37,669.88
2,948. 50
3, 297.11
26, 919.11
1,145. 39
150.00
25.51
4,554.50
242.00
1,170.00
212,736.97

Total.

CHARLES A. SMITH, Cashier.
$50,000.00

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding......
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

1, 028.92
5, 051.01
23, 400.00

2, 03U. 79

131, 226. 25

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated
Total.

212,736.97

First National Bank, Pomona.
JOHN LAW, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 3518.
$255, 951.88
1,109.74
25, 000. 00
2, 000. 00
10, 000.00
28,000. 00
2, 253. 72
15, 698. 52
12,017.05
86, 059.35
2,382.43
105. 00
38.76
54, 385. 00
65.00
1,125. 00
496,191.45

CHAS. E. WALKER, Cashier.

Capital stock paid in
Surplus fund
Undivided profits, less current |
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits ofU.S.disbursing officers.

$100, 000.00
20,000.00
14, 709.23
21, 900.00
358.15
899.89
162.00
338,162.18

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

496,191.45

REPORT OP THE COMPTROLLER OF THE CURRENCY.

23

CALIFORNIA.
National Bank; Pomona.
No. 4663.

J. T. BRADY, President.

Gr. A. LATHROP, Cashier.

Resources.
Loans and discounts.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
j
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer 1). S

Liabilities.
$170, 236. 37
1, 284. 70
12,500. 00

Capital stock paid in.

4, 000. 00
3,199.91

11, 250. 00

2, 600. 00

15, 425. 59
6, 868. 30
3,084.39
500. 00
54.82
15, 848. 00

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

194. 72

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

160, 320.04

Notes and bills rediscounted.
Bills payable
562. 50

Liabilities other than those above
stated

228,964.67

Total .

$50,000, 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

228,964.67

Total.

First National Bank, Redlands.
F. P. MORRISON, President.

No. 3892.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,antl fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing hous
use
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

$225, 365. 99
25,651. 07
25, 000. 00

JOHN W. WILSON, Cashier.

I

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
43, 565. 82 State-bank notes outstanding
39, 500. 00
|.
17,180. 82 Due to other national banks
9, 983. 29 Due to State banks and bankers..I
i
28,188.04
58,155. 52 Dividends unpaid
2,131. 89
Individual deposits
" 1,025." 00 United States deposits
65.50 Depositsof U.S.disbursingofficers.
16, 866. 20
8, 239. 00 Notes and bills rediscounted.
Billspayable
1,125. 00
Liabilities other than those above j
stated

20, 000. 00

502, 043.14

Capital stock paid in

Total.

16,424.10
22, 500. 00

30, 412. 97
80. 00
312, 626.07

502, 043.14

First National Bank, Riverside.
JOHN J. HEWITT, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearinghouse
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U, S
Total.




Gr. E. BITTINGER, Cashier.
No. 3348.
$175,584.33 I Capital stock paid in
$50, 000.00
2,875.30 |
20, 000. 00
25,000.00 Surplus fund
Undivided profits, less current
7, 269. 72
expenses and taxes paid
22, 500. 00
1, 375.00 National-bank notes outstanding.
5, 202. 79 State-bank notes outstanding
2, 422. 25
2, 811. 52
14, 279. 68 Due to other national banks
711.87 Due to State banks and bankers..
'3,738.48
4, 290. 85
133. 720. 04 Dividends unpaid
7.50
1,937.88
428.14 Individual deposits
304, 338. 33
United States deposits
2, 713. 00
27.22 Deposits of U.S.disbursingofficers.
38, 972. 20
Notes and bills rediscounted.
Bills payable
1,125.00
Liabilities other than those above
stated
410, 665. 55

Total .

410, 665.55

24

REPORT OF THE COMPTROLLER OP THE CURRENCY.
CALIFORNIA.
National Bank of D. O. Mills 8c Co., Sacramento.

FRANK MILLEU, President.

No. 2014.

CHAS. P . DILLMAN, Cashier.

Resources.
Loansand discounts
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on band
.*
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, andfixtures
Otber real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of otber national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas.U. S.
Due from Treasurer U. S
Total.

Liabilities.
$1, 259,573. 35
190, 694.45
50, 000.00

Capital stock paid in.

$500, 000.00

Surplus fund
Undivided profits, less current
79,410.00
expenses and taxes paid
15, 000.00 National-bank notes outstanding.
248, 292. 00 State-bank notes outstanding
30, 000.00
850. 00 Due to other national banks
34,335. 67
559, 201.49 Due to State banks and bankers..
454, 762.12 Dividends unpaid
586.18
Individual deposits
1,200.00
United States deposits
796. 60 Deposits of U.S.riisbursingoflicers.
227,539. 00
1, 800. 00 Notes and bills rediscounted
Bills payable
2,250. 00
4, 000. 00 Liabilities other than tbose above
stated

100, 000. 00

3,160,290.86

Total.

49, 264.59
45, 000. 00
29,156. 90
170, 370. 23

2,191, 730. 26

74, 768. 88
3,160,290. 86

Carver National Bank, Saint Helena.
No. 3757.

D. O. HUNT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on band
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Otherreal estate and mortg's owned
Due from other national banks
.
Due from State banks and bankers.
Due from approved reserve agents.
Checks and otber cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$81, 804. 92
1,409.43
12,500.00
100.00
8, 880.28
1, 500. 00
9, 362. 00
4,470. 61
14, 243. 36
643.14
23.00
8, 844. 35
562. 50

Surplus fund
j
Undivided profits, less current \
expenses and taxes paid
National-bank notes outstanding.;
State-bank notes outstanding
!.
Due to other national banks
Due to State banks and bankers.. i
i
Dividends unpaid
|
Individual deposits
United States deposits
Depositsof U.S.disbursingomcers.

$50, 000.00
10, 466. 63
58.63
11, 250. 00
2, 077. 71

70,490. 62

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

144, 343. 59

Total.

F . L. ALEXANDER, Cashier.

Capital stock paid i n .

Total.

144, 343. 59

First National Bank, Salinas.
J. H. MENKE, President.
__
Loans and discounts .
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 5074.

BATTISTA G. TOGNAZZI, Cashier.

.
_____
$113,461.15 Capital stock paid in.
1, 849. 47
12, 500. 00 S urplus fund
Undivided profits, less current
expenses and taxes paid
1, 315.10 National-bank notes outstanding.
State-bank notes outstanding

__

Q o

^

320.00
2, 066.21
10, 710.00

2, 000.00
4,
13,
5,
1,

408.
323.
264.
218.

22
74
52
07

4.30
19,915. 02
206 00
562. 50

176,028.09

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursingoflicers. j

759.74
10.00
112,162.14

!
Notes and bills rediscounted
Bills payable
'
Liabilities other than those above j
stated

Total.

176,028.09

REPORT OF THE COMPTROLLER OF THE CURRENCY.

25

CALIFORNIA.
San Bernardino National Bank, San Bernardino.
J, W. ROBERTS, President.

No. 3818.

W. S. HOOPER, Cashier.

Resources.
Loans and discounts
Overdrafts..
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents Checks and other cash items
Exchanges for clearing house
Bills of other national "banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
XJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

Liabilities.
$291,042. 31
3, 588.13
25, 000. 00
2, 250. 00
17,997. 45
4, 500. 00
12,178. 75
11, 237. 75
6, 808. 63
114,106.27
1, 899.15

751. 66
46.08
18, 631. 50
1,125. 00

Capital stock paid in

$100, 000.00
20, 000.00

25, 697. 07
22, 500. 00

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

40.04
5, 001.87

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

337, 823.04

100.00

Notes and bills rediscountecl.
Bills payable
Liabilities other than those above
stated

511,162.02

Total.

j

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total .

511,162. 02

First National Bank, San Diego.
J. GRUENDIKE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, centsSpecie
'.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

No. 3050.
$220, 652. 75
1, 869. 45
37, 500. 00
3, 375. 00
39, 686. 06
66, 500. 00
66, 376. 71
6, 965. 36
12, 955. 07
169, 776. 89
1, 833. 94
1,778. 66

22.95
58, 472. 25
7, 750. 00
"'"1,687." 5o"
697. 201. 93

D. F. GARRETTSON, Cashier.

Capital stock paid in .

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Duo to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

$150, 000.00
8, 500.00
18, 531.66
33, 750. 00

7, 867.44

478, 552. 83

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

697, 201.93

Merchants' National Bank, San Diego.
EDWARD IVINSON, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits...
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S.
Total.




No. 4886.
G. B. GROW, Cashier.
$296,997.40 Capital stock paid in.
j $100,000.00
5, 935. 95
i
25, 000. 00 Surplus fund
20, 000.00
Undivided profits, less current
4, 996. 65
expenses and taxes paid
2, 400. 00 National-bank notes outstanding.
22, 500. 00
486.17 State-bank notes outstanding
800. 00
4, 000.00 Due to other national banks . . .
73, 667. 04 Due to State banks and bankers .. j
1,328. 63
29, 687. 82
85, 286. 84 Dividends unpaid
3, 571. 75
Individual deposits
441,454. 08
United States deposits
171. 94 Deposits of U.S.disbursingomeers.
61,149. 45
Notes and bills rediscounted
Bills payable
1,125. 00
Liabilities other than those above
stated
590, 279.2

Total .

590, 279.36

26

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CALIFORNIA,
First National Bank, San Francisco.

S. G. MURPHY,

No. 1741.

President,

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and inortg's owned
Due j'rom other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

Liabilities.
$4, 823, 801. 64
161.96
50, 000. 00
350, 000. 00

Capital stock paid in

$1, 500, 000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
12, 660. 00 National-bank notes outstanding.
103, 648. 29 State-bank notes outstanding

325, 000. 00
23, 419. 65
198, 965.18
1, 619, 018. 33
277, 993. 21
10, 477. 58
111, 126. 66
3, 350. 00

238. 63

2,108, 408. 00
4, 057. 00
2, 250. 00
2, 041. 25

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

1, 000, 000. 00
107, 287. 96

633,829.82
2,195,288.97
445

Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits of U. S.disbursing officers
Notes and bills rediscounted
Bills payable

4, 212, 666. 95
12, 638. 73
364, 459. 95

Liabilities other than those above
stated

10, 026, 617. 38

Total.

J A M E S K. LYNCH, Cashier.

Total

10, 026, 617.38

Crocker-Woolworth National Bank, San Francisco.
W M , H. CROCKER, President.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bondson hand
" Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, andfixtures
Other real estate and inortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearin g house
Bills of other national banks
Fractional currency, nick els, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S. j
Due from Treasurer U. S

No. 3555.
» 427, 774. 32
,
106, 901.11
100, 000. 00
10, 000. 00
230, 952.10
5, 000. 00
75, 000. 00
55, 656.55
179,941.89
268, 203.02
1, 688.15
140,904. 34
6, 464. 00
219.90
847, 244.50
8,282. 00
4, 500.00
1, 450. 00

1, 000, 000.00

Surplu s fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding .
State-bank notes outstanding

750, 000. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits of U.S. disbursing officers.
Notes and bills rediscounted
Bills payable

615, 828. 96
513,429.13

53,169. 55
90, 000. 00

4, 417, 222.10
30, 532.14

Liabilities other than those above
stated

7,470,181.8

Total.

Gr. W. KLINE, Cashier.

Capital stock paid in.

Total

7,470,181.8

Nevada National Bank, San Francisco.
I . W. HELLMAN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U . S . b o n d s o n hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total




No. 5105.

5, 046,195.92
127, 526.38
500, 000. 00
770, 000.00
141, 922.80
975, 384.88
3,450.00
1,386,946.00
1, 882, 969.18
391,806.20
210, 809. 52
10, 000. 00
236. 61
3,310,680.00
33, 000. 00
22, 495. 00

14, 813, 422.49

GEORGE GRANT, Cashier.

Capital stock paid i n .

;3, 000, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding.

600, 000. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits ofU. S.disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
s tated
Total.

355, 838. 03
3,140, 996. 62

289, 837. 25

2, 975.00
7,403, 376.48
20, 399.11

14, 813,422.49

REPORT OF THE COMPTROLLER OF THE CURRENCY.

27

•C A I . I F O R N I A .
San Francisco National Bank, San Francisco.
JAMES K. WILSON, President.

#

No. 5096.

L. I. COWGILL, Cashier.

Resources.

Liabilities.

Loans and discounts
$1, 203, 784.69
Capital stock paid in
,
Overdrafts
1, 524.15
Surplus fund
U. S.bonds to secure circulation...
50, 000. 00
Undivided profits, less current
TJ. S. bonds to secure deposits
expenses and taxes paid
U. S. bonds on hand
National-bank notes outstanding.
Premiums on TJ. S. bonds
5, 000. 00 j
State-bank notes outstanding
Stocks, securities, etc
Bank'g house,furniture, and fixtures
"5,'75O*6o"!
Due to other national banks
Other real estate and mortg's owned
60,007.20 ! Due to State banks and bankers..
l
Due from other national banks
Due from State banks and bankers.
46,327.49 ii
Due from approved reserve agents.
129,424.80 I Dividends unpaid
]
Checks and other cash items
6,905.74 I,
43,250.44 i iIndividual deposits
Exchanges for clearing house
445.00 I Certified checks
Bills of other national banks
34.40 Ii United States deposits
Fractional currency, nickels, cents.
273,369.40 !| Deposits of U.S .disbursing officers.
Specie
638.00 Notes and bills rediscounted.
Legal-tender notes.
TJ. S. certificates of deposit
Bills payable
Redemption fund with Treas. TJ. S.
2, 250. 00
Due from Treasurer TJ, S
Liabilities other than those above

$500, 000.00
57, 337.56

54, 372. 00
199, 376. 72
1,013,122.33
4, 502. 70

stated

Total.

Total

1, 828, 711. 31

1,828,711.31

First National Bank, San Jose.
No. 2158.

GEO. M. BOWMAN, President.

Loans and discounts
j
u
Overdrafts
!
U. S. bonds to secure circulation...
U. S. bonds to secure deposits.
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixturesi!
Other real estate and mortg's owned j
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing bouse
Bills of other national banks
\
Fractional currency, nickels, centsSpecie
j
Legal-tender notes
I
U. S. certificates of deposit
'
Redemption fund with Treas. TJ. S-j
Due from Treasurer U. S
j
Total .

L. G-. NESMITH, Cashier.

$560, 357.28 j Capital stock paid in.

$300, 000.00

50, 000.00 i Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
21,000. 00 State-bank notes outstanding
75,000.00
41,623.30 j Due to other national banks
Due to State banks and bankers..
1,699.05 j
183,014.85 ! Dividends unpaid
164.19 !
1,014.40 ' Individual deposits
'
135.00 United States deposits
|.
35.19 || DepositsofU.S.disbursingofficers.i.
55,111.60
139.00 Notes and bills rediscounted
|.
Bills payable
2, 250. 00
Liabilities other than those above
stated
991, 543. 86

Total .

80, 000. 00
27, 976.43
43, 950. 00
4,344.47
40, 405. 58
1,200.00
493, 667.38

991,543.86

First National Bank, Santa Ana.
"W. B. HERVEY,

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U.S
Total .




No. 3520.
$227, 323. 74
2, 708. 57
37, 500. 00
1, 400.00
3, 200. 00
50, 000. 00
1, 792. 61
13, 564. 54
43, 380. 52
695.60

J. A. TURNER, Cashier.

Capital stock paid in

Due to other national banks
j
Duo to State banks and bankers..
Dividends unpaid
|,

Individual deposits
650.00 United States deposits
113. 59 Deposits of U.S.disbursingofficers.
17, 651. 00
1, 050. 00 Notes and bills rediscounted
Bills payable
1, 687. 50
Liabilities other than those above
stated

402,717.67

\

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total.

$100, 000. 00
14, 300.00
3,158. 32
33, 750. 00
1,123. 74
2,132. 24

248, 253. 37

402, 717.67

28

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CALIFORNIA.
First National Bank, Santa Barbara.
No. 2104.

R. B. CANFIELD, President.

H. P . LINCOLN, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and rnortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
XT. S. certificates of deposit
Redemption fund with Treas. U.S.
Due from Treasurer U. S

Liabilities.
$244,434.88
7, 259. 97
25,000. 00
200.00
11,333. 42
26, 347. 50
63, 876.18
4, 624. 51
2,169. 55
31, 996.19
5,046. 64

"'"'moo'
191. 44
32,456. 40
1,022.00
1,125. 00

Capital stock paid in

Due to other national banks
!
Due to State banks an£ bankers..'

50,000.00
15, 733. 75
22,500.00

683.38

Dividends unpaid
j
Individual deposits
I
United States deposits
j
Deposits of U.S.disbursingofficers. j
Notes and bills rediscounted
Bills payable

268, 906. 55

:

!

Liabilities other than those above j

stated

457,823.68

Total.

$100,000.00

Surplu s fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
!

457,823.68

Total .

Santa Barbara County National Bank, Santa Barbara.
W, M. EDDY, President.

No. 2456.

:
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...;
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
.U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$216, 030. 23
13, 019.14
25, 000.00
25, 720. 00
2.184. 31
19, 594.46
28,000.00
7,150.00
2, 737. 26
20, 682. 97
94, 651. 62
2, 082. 65
145.
459.
59, 343.
4, 585.

00
94
00
00

$100, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and b a n k e r s . .

50, 000. 00
23, 431.90
2, 530. 00

9, 678. 70

Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursing officers.

336, 869.98

Notes and bills rediscounted.
Bills payable

1,125. 00
Liabilities other than those above
stated
522, 510. 58

Total.

E. S. SHEFFIELD, Cashier.

Capital stock paid in .

Total.

522, 510.58

First National Bank, Santa Paula.
C. H. MCKEVETT, President.

Loans and discounts
|
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.



No. 4120.
$200, 499. 49 [i
1, 926. 92
18, 750. 00
800. 00
354. 60
9, 571. 00
10, 976. 74
1, 297. 74
55,132. 77
685.25

75.'66
64.59
13, 918. 40
255. 00
843.50
500. 00
315, 651.00

J o s . R. HAUGH, Cashier.

Capital stock paid in .
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$75, 000. 00
10, 000.00
12,107. 69
16,870. 00

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

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.

100.00
201,573 31

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

315, 651. 00

REPORT OP THE COMPTROLLER OF THE CURRENCY.

29

CALIFORNIA.
Santa Rosa National Bank, Santa Rosa.
J. II. BEUSH, President.

No. 3558.

F. A. BRUSH, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents .
Checks and other cash item
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Eedemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.

Liabilities.
$247,483. 63
12, 346. 97
37, 500. 00

Capital stock paid in.

$150, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

24, 000. 00
2, 896. 47
33,750.00

3,700.00
120,793.41
3,500.00 !
49, 049. 89 ! Due to other national banks
Due to State banks and bankers..
790.19
7,19.1. 99 Dividends unpaid
4,071.22
Individual deposits
United States deposits
66.05 Deposits of U .S. disbursing officers
19, 828. 05
200.00 Notes and bills rediscounted.
Bills payable
1, 687. 50
I Liabilities other than those above
stated

457.90
1,197.24

255,907. 29

40, 000. 00

Total .

508,208.90 ! |

508, 208. 90

First National Bank, Stockton.
HENRY H. HEWLETT, President.

Loans and discounts
'
Overdrafts
U. S. bonds to secure circulation... !
|
IT. S. bonds to secure deposits
U. S. bondsonhand
!
Premiums on U. S. bonds
!
Stocks, securities, etc
j
Bank'g house,furniture,andfixtures|
Other real estate and mortg's owned!
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
I
Exchanges for clearing house
I
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




JAMES H. HOUGH, Cashier.

No. 2412.

$361, 810. 87
205.19
100, 000. 00
860.00
177,417,10
2, 000. 00
20, 517. 06
21, 111. 06
3, 015.10
19, 758.59
152,139.43
13. 95
85,363.50
4, 500. 00
8, 711. 85

Capital stock paid in

! $200, 000. 00

Surplus fund
i
Undivided profits, less current I
expenses and taxes paid
I
National-bank notes outstanding. I
State-bank notes outstanding
i

60, 000. 00
146,161.60
90,000. 00

Due to other national banks
i
Due to State banks and bankers..!
Dividends unpaid

1, 743. 50
61, 890.61

Individual deposits
j
United States deposits
I
Deposits ofU.S.disbursing officers. I

388,916.14

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total .

948,711.85

30

REPORT OF THE COMPTROLLER OF THE CURRENCY.
C OL.ORADO.
First National Bank, Boulder.
No. 2352.

A. J . MACKY, President.

"W. H . ALLISON, Cashier.

Resources.
Loans and discounts
j
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
!
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures:
Other real estate and mortg's owned |
Due from other national banks
i
Due from State banks and bankers.'
Due from approved reserve agents.
Checks and other cash items
i
Exchanges for clearing house
Bills of other national banks
|
Fractional currency,nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U, S
Total.

Liabilities.
$269,866.97 | Capital stock paid in.
1,054.20 j
25,000.00 | Surplus fund
Undivided profits, less current
expenses and taxes paid
: National-bank notes outstanding
64, 599.19 j State-bank notes outstanding
14,000.00 j
9,162. 00 Due to other national banks
81, 204. 06 Due to State banks and bankers.
12,339. 54 Dividends unpaid
172. 32
Individual deposits
4, 750.00 United States deposits
490.04 Deposits of U.S.disbursingofficers.
34,289.35
16, 000.00 Notes and bills rediscounted...
Bills payable
1,125. 00 j
\ Liabilities other than those above
stated
534,052.67 \

Total.

$100,000.00
20, 000. 00
7, 955. 44
22, 500. 00

383, 597. 23

534, 052. 67

Boulder National Bank, Boulder.
GEO. R. WiLLTAMSON, President.
Loans and discounts —
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
*.
"
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned j
Due from other national banks
Duo from State banks and bankers. j
Due from approved reserve agents. I
Checks and other cash items
I
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S
Total.

CHAS. C. BROMLEY, Cashier.
No. 3246.
$97. 560. 32 Capital stock paid in.
$50, 000.00
921.05
12,500. 00 Surplus fund
10, 000. 00
Undivided profits, less current
0.00
expenses and taxes paid
4, 776. 81
National-bank notes outstanding.
11, 250. 00
26,411.14 State-bank notes outstanding
21, 000. 00
10, 879.25 Due to other national banks
57,097. 96 Due to State banks and bankers..
29,897.17 Dividends unpaid
1, 351.82
Individual deposits
204,176. 03
185.00 United States deposits
70.60 Deposits of U. S. disbursing officers.
14, 029. 25
7,548. 00 Notes and bills rediscounted.
Billspayable
562. 50
Liabilities other than those above

stated

Total.

280, 314. 06

280, 314.06

National State Bank, Boulder.
C. G. BUCKINGHAM, President.
Loans and discounts
Overdrafts
r
U. S. bonds to secure circulation.
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.




No. 2355.
$185,104. 28
2, 413. 36
20, 000. 00

83, 850. 67
18, 500. 00
3, 350.00
95, 248. 07
2,096. 33
36, 361. 60
^ , 847.10
11,155.00
335.31
22, 507. 00
10, 397. 00
900. 00
494, 065. 72

J. H. NICHOLSON, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50, 000.00
30, 000. 00
7, 903. 61
18, 000. 00

Due to other national banks
Due to State banks and bankers .
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

388,162.11

Notes and bills rediscounted.
Billspayable
Liabilities other than those above
stated
Total.

494, 065.72

31

REPORT OF THE COMPTROLLER OF THE CURRENCY.
COLORADO.
First National Bank, Canon City.
No. 3879.

J. H. PEABODY, President.

N. C. CRAVEN,

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and in ortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$99, 296. 06
853.32
12, 500. 00

6, 895. 95
2, 000. 00
18, 336. 80
24, 671. 49
10, 909. 32
688.31
55.00
74.74
5, 912. 65
4, 400. 00
""562.~50"

$50, 000.00

Capital stock paid in .
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

50.37
11, 250. 00

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

52.82

Individual deposits
United States de;
Deposits of U.S.disbursingofficers .

125,802. 95

Notei3 and bills rediscounted
Bills payable
Liabilities other than those above
stated

187,156.14

Total.

Cashier.

Liabilities.

Total.

187,156.14

First National Bank, Central City.
OTTO SAUER,

President.

Loans and discounts
Overdrafts
U. S. bonds t o secure c i r c u l a t i o n . . .
U. S. bonds t o secure deposits
U. S. bonds on h a n d
P r e m i u m s on U . S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real e s t a t e and m o r t g ' s owned
D u e from other n a t i o n a l b a n k s
Duo from State b a n k s and b a n k e r s .
D u e from approved reserve a g e n t s .
Checks and other cash i t e m s
E x c h a n g e s for clearing house
Bills of o t h e r n a t i o n a l b a n k s
F r a c t i o n a l currency, nickels, c e n t s .
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund w i t h T r e a s . U. S .
D u e from T r e a s u r e r U . S

Total.

No. 2129.
$113, 024.19
9, 416. 49
12, 500. 00 ;
|
2, 000. 00
1,000.00
184,924.12
10, 000. 00
1, 800. 00
128, 579. 90
1,602.09
16,173.56
2, 750. 52
1, 250.
255.
65, 898.
10, 000.

00
60
95
00

562." 50
146. 50

F . H . MESSINGER,

Capital stock paid in

Cashier.

$50,000.00
40,000.00

Surplus fund
U n d i v i d e d profits, less c u r r e n t
expenses a n d t a x e s paid
National-bank notes o u t s t a n d i n g .
State-bank notes o u t s t a n d i n g

8, 038.42
11,250.00

D u e t o other national b a n k s
D u e to State b a n k s and b a n k e r s . .
Dividends u n p a i d

452,596.00

I n d i v i d u a l deposits
U n i t e d States deposits
Deposits of U.S.disbursing officers.
!
Noteis a n d bills rediscounted
Bills payable

|

Liabilities other t h a n those above |

stated

Total .

561,884.42

561,884.42

Rocky Mountain National Bank, Central City.
T. H. POTTER, President.

No. 1652.

Loans and discounts...
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits

$242, 861. 86
21, 499. 31
15, 000. 00

Stocks, securities, etc
Bank'ghouse, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U . S . .

65,416. 65

U. S. bonds on hand
Premiums on U. S. bonds

Total .




13, 509. 86
46,166. 34
12, 954. 81
15, 687. 50
1, 919. 63

H. Gr. SHUCK, Cashier.

Capital stock paid i n .

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding. |
State-bank notes outstanding..

675. 00

537, 849.61

20, 000. 00
13, 500. 00

D u e to other national b a n k s
D u e to State b a n k s a n d b a n k e r s .
Dividends unpaid
I n d i v i d u a l deposits

2, 395. 00
133.30
84, 630. 35
15,000.00

$60, 000. 00

United States deposits
Deposits of U.S.disbursing officers.

444, 349.61

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

537,849. 61

32

REPORT OF THE COMPTROLLER OF THE CURRENCY.
COLORADO.
First National Bank, Colorado Springs.
No. 2179.

J. A. HAYES, President.

A. SUTTON, Cashier.

Resources.

Liabilities.

Loans and discounts
' $1, 586, 753.40
37, 061. 75
Overdrafts
|
100, 000. 00
U. S. bonds to secure circulation... I
U. S. bonds to secure deposits
'
U. S. bonds on hand
i
Premiums on U. S. bonds
222,142.17
Stocks, securities, etc
9, 519. 26
Bank'ghouse,furniture,andfixturesj
7, 800. 00
Other real estate and mortg's owned
824, 455. 92
Due from other national banks
104, 263.10
Due from State banks and bankers.
365, 923. 62
Due from approved reserve agents.
6,082.46
Checks and other cash items
43,381.72
Exchanges for clearing house
40,840. 00
Bills of other national banks
363. 55
Fractional currency, nickels, cents.
220, 730.00
Specie
44, 000. 00
Legal-tender notes
U. S. certificates of deposit
4,500. 00
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Capital stock paid in

Due to other national banks
Dividends unpaid

100, 000. 00
218,889. 67
89, 500.00
52, 575. 94

Due to State banks and bankers.. j

300, 347. 95

[

Individual deposits
! 2, 696, 503. 39
United States deposits
j
Depositsof U.S.disbursingofficers-1
Notes and bills rediscounted...
Bills payable
Liabilities other than those above |
stated
I

3,617,816.95

Total.

$100,000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding-!
State-bank notes outstanding
i

Total

! 3, 617,816. 95

Exchange National Bank, Colorado Springs.
J . R. MCKINNIE, President.

No. 3913.

Loans and discounts
I
Overdrafts
j
U. S. bonds to secure circulation... [
U*. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
~" '
nd< "
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, centsSpecie
Legal-tender notes
U.S.certificates of deposit
I
Redemption fund with Treas. U. S.!
Due from Treasurer U. S
I
Total .

$625,571.07
6, 179. 88
25, 000. 00

102, 251. 62
3, 500.00
409,423.21
282, 260. 06
5, 734. 85
1G, 420. 04
3, 860. 00
91. 81
28, 262. 80
57, 000. 00
1,125. 00

A. G-. SHARP, Cashier.

Capital stock paid in

I

$100, 000. 00

Surplusfund
'
Undivided profits, less current j
expenses and taxes paid
I
National-bank notes outstanding, j
State-bank notes outstanding
!

14, 882.44
22, 500. 00

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

31, 525. 00
47, 502.11

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

1, 350, 270. 79

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

1,566,680.34

Total

! 1, 566, 680. 34

First National Bank, Cripple Creek.
A. E. CARLTON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 4845.

E. C. NEWCOMB, Cashier.

$239,161. 07 Capital stock paid in.
2, 064. 66
12, 500. 00 Surplus fund
Undivided profits, less current
900.00
expenses and taxes paid
63. 00 National-bank notes outstanding.
23, 560. 32 State-bank notes outstanding
1, 000. 00
Due to other national banks
59, 342. 93 Due to State banks and bankers..
10, 017.12
9, 983. 98 Dividends unpaid
28, 908. 78
Individual deposits
4,920. 00
United States deposits
55.40 Deposits of U.S.disbursing officers.
23, 256. 75
60, 073. 00 Notes and bills rediscounted
Bills payable
562. 50
Liabilities other than those above
stated
476, 369. 51

Total .

$50, 000. 00
1, 000. 00
7, 253. 96
11, 250.00

37.12
80.00
406, 742. 68

5.75
476,369.51

REPORT OP THE COMPTROLLER OP THE CURRENCY.

33

COLORADO.
First National Bank, Denver.
DAVID H. MOFFAT, President.

No. 1016.

Gr. E. ROSS-LEWIN, Cashier.
Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

$6, 818, 901. 50
11, 511.14
200, 000.00
150, 000. 00
24, 500. 00
1,692,711.44
82, 587. 56
69, 816. 74
172, 854. 87
7,761,114.71
2,124. 43
293,369. 78
77,297. 00
2,188. 99
1,457,000.00
750,000. 00

Capital stock paid i n .

100, 000. 00
425, 467.62
174, 300. 00

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

3, 246, 639. 94
2,610,081.82

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

12, 348, 836. 60
41, 929. 28
127,722.90

Notes and bills rediscounted.
Bills payable

9, 000.00
Liabilities other than those above
stated
19,574, 978.16

Total.

$500, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total

I 19,574,978.16

Colorado National Bank, Denver.
C. B. KOUNTZE, President.

Gr. B. BERGER, Cashier.

No. 1651.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$2, 960, 377. 66
44, 397. 05
300, 000.00
400, 000.00
84, 400.00
1, 279, 620.97
49, 000. 00
58,746. 00
118, 771. 65
339,140. 53
2,154, 981. 23
48, 863. 72
133, 660. 39
87, 695. 00
915.19
1, 069, 208. 00
300, 000. 00
13, 500.00
44, 201.10

Capital stock paid in.

200, 000. 00
3, 494. 88
269,100. 00

Due to other national banks
Due to State banks and b a n k e r s . .

1,105, 389. 68
404, 35^. 02

Dividends unpaid
Individual deposits
[ 6, 641,024.10
275, 885.93
United States deposits
"!8,226. 88
Deposits ofU.S.disbursing officers.
Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

9, 487,478.49

Total.

$500, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

Total

j 9, 487,478.49

Denver National Bank, Denver.
J. A. THATCHER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds t o secure deposits
U . S . b o n d s on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.


CUR
http://fraser.stlouisfed.org/99, YOL 2 Federal Reserve Bank of St. Louis

J. C. MITCHELL, Cashier.

No. 3269.
$2,147, 432.57
35,884. 02
250, 000.00
350, 000. 00
2, 500. 00
33, 699.00
543,109. 23
13, 600. 00
17,970. 36
3,051. 48
102, 571. 69
1, 776, 008.02
31, 080,34
121, 448. 33
60, 680. 00
1,250. 00
537, 305. 05
282, 622. 00

Capital stock paid in.

;

$500, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

;
j
•
j
i

150, 000. 00

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

17, 623.94
225,000. 00
589, 605. 75
867,871. 36

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
Notes and bills rediscounted
Bills payable

3, 687,620. 29
5, 714.96
278, 025. 79

,
,

11, 250. 00
Liabilities other than those above
stated
6, 321, 462.09

Total.

6, 321, 462. C

34

REPORT OF THE COMPTROLLER OF THE CURRENCY.
COLORADO,
National Bank of Commerce, Denver.
No. 4358.

C. BOETTCHER, President.

D. H. DOUGAN, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulatio*...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national jbanks
.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. "S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total

Liabilities.
$580,256.41
921.41
50, 000.00
4, 000. 00
112, 499.38
10, 000.00
31, 686.90
6, 434.23
536, 832.02
780. 51
42,444.44
31,412.00
120.00
173, 819. 00
40, 000.00
2,250.00

Capital stock paid in.

$200, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

3,624.09
45, 000.00

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

340,566.26
116,124.39

Individual deposits
United States deposits
Depositsof U. S.disbursing officers.

918,141. 56

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

1, 623,456.30

1, 623,456.30

Total.

First National Bank, Durango.
No. 2637.

A. P. CAMP, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U- S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items.
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U . S . certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

Total .

¥ M . P. VAILE, Cashier.

Capital stock paid in.

$87, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding .
State-bank notes outstanding

2, 500. 00
2, 093. 86
19,800.00

29, 300. 00

6, 250.00
110, 435. 37
109.45
44,194.90
1,449.31
5, 060. 00
217.35
31,146.50
4, 315.00
990. 00

Due to other national banks
I
Due to State banks and bankers.. j
Dividends unpaid
I
Individual deposits
United States deposits
Depositsof U.S.disbursing officers.

$106, 704. 39
647. 54
12, 500. 00

17, 705.23
8, 000.00
5,340. 00
52, 800.48
2,580.14
66,269.41
558.10
3, 890.00
40.00
12,902.01
3, 500.00
562.50
293, 989. 80

3,126.03
9,190. 72
378, 820. 60

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
'.
502, 531. 21

Total.

First National Bank, Fort Collins.
No. 2622.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national.banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S




2, 200.00
37,359.30

502, 531.21

Total.

F. C. AVERT, President.

$203, 364.28
4,139.75
22, 000. 00

G. A. WEBB, Cashier.

Capital stock paid in.

$50, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-banknotes outstanding

30, 000. 00

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

162. 23
1,226.98

677.13
11, 250. 00

Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursingonicers-

200, 683. 46

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

293,999. 80

REPORT OF THE COMPTROLLER OF THE CURRENCY

35

COLORADO.
First National Bank, G-lenwood Springs.
JAMES H. DEVEREUX, President.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from appro ved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
-

No. 3661.

$160,127.62
2, 968. 71
25,000. 00

7,150. 03
26, 500. 00
1, 500. 00
70,946.13

Capital stock paid i n .

$50,000.00

Surplus fund
.Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Due to other national banks
Due to State banks and bankers..
19, 799. 36 Dividends unpaid
672. 23
Individual deposits
960.66 United States deposits
24.63 Deposits of U.S.disbursingofficers.

5, 000. 00
2, 267. 05
22, 500. 00

2, 750.22

251, 997.44

15, 841. 00
1, 900. 00 Notes and bills rediscounted.

Bills payable

1,125.00

Liabilities other than those above
stated

334,514. 71

Total .

C. C. PARKS, Cashier.

Liabilities.

Total.

334, 514. 71

First National Bank, Greeley.
ASA

No. 3178.

STERLING, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$141, 920. 93
5, 208. 92
25, 000. 00

13, 797.92
22, 000. 00
15,475. 00
23, 281. 63
11, 661. 29
2, 270.86

52.'66"
143. 66

19,990. 00
1, 250.00
1,125.00

A. J. PARK, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..!
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingoflicers.

$50, 000. 00
10, 000. 00
3, 220.02
22, 500. 00

2,138.73

195, 318.46

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

283,177. 21

283,177. 21

Total.

Greeley National Bank, Greeley.
J . L. BRUSH, President.

Loansand discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 4437.
$166,499. 87
420. 22
12, 500. 00
1, 250. 00
12, 989. 66
2,500. 00
500. 00
27,076.11
26, 502. 84
3, 620. 25
275. 00
74.95
11, 765. 75
6, 000.00
562.50

CHAS. H. WHEELER, Cashier,

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..

$50, 000. 00
10, 000. 00
10,167. 01
11, 250. 00
1, 002. 62

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofticers.

190,117. 52

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated'

272, 537.15

Total .

272, 537.15

36

REPORT OF THE COMPTROLLER OF THE CURRENCY.
COLORADO.
First National Bank, G-unnison.

SAMUEL P. SPENCER, President.

No. 2686.

W. W. M C K E E , Cashier.

Liabilities.

Resources.
Loans and discounts
!
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U. S. bondsonhand
Premiums on U. S. bonds
Stocks, securities, etc
Bank ghouse,furniture,andfixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Eedemption fund with Treas. U.S.
Due from Treasurer U. S

$141,264.36
5, 207.68
12, 500.00
1, 250. 00
11,946.55
10, 000.00
95, 657.57
27, 839.63
117.00
425.00
46.84
8,020. 00
2,740. 00
562.50
2.50

Capital stock paid in

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

10, 000. 00
12, 398. 68
10,750.00

8, 740. 70
60.00
225, 630. 25

Notes and bills rediscounted.,
Bills payable
Liabilities other than those above
stated

317, 579.63

Total

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding

Total

317, 579. 63

First National Bank, Idaho Springs.
HENRY PLUMMEE, President.

No. 2962.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' g house, furniture, and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Eedemption fund with Treas. U . S .
Due from Treasurer U. S

$83, 756.66
1, 366.94
12, 500.00
5, 000. 00
77,112.53
9, 000. 00
17,612.17
64, 863.44
2, 099.99
26,994.00
1, 280.31

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid

Individual deposits
1, 385. 00 United States deposits
35.40 Deposits of U.S.disbursingoflScers.
20,416. 50
7, 342. 00 Notes and bills rediscounted.
Bills payable
562. 50
Liabilities other than those above
stated
331,327.44

Total.

W M . L. BUSH, Cashier.

Capital stock paid in.

25, 000.00
17, 567. 06
11, 250. 00

60.00
227, 450. 38

331, 327.44

Total.

First National Bank, La Junta.
E. W. PATTERSON, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalTbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Eedemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 4507.
$108, 619.94
923.53
12,500.00
850.00
3, 270.82
1,700.00
5,462.02
34,537.48
19, 232.03
1,255.81
155. 00
153.98
3, 322. 30
2, 736. 00
562.50
195,281.41

E. PHILLIPS, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..

89.06

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

113, 789. 37

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

195, 281.41

REPORT OF THE COMPTROLLER OF THE CURRENCY.

37

COLORADO.
First National Bank, Lamar.
No. 3749.

B. B. BROWN, President.

W. C. GOULD, Cashier.

Resources.

Liabilities.

$142,896. 05
Loans and discounts
532.21
Overdrafts
12, 500. 00
0". S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
\
Premiums on U. S. bonds
13, 416. 68
Stocks, securities, etc
5, 500. 00
Bank'g bouse,furniture,and fixtures
2, 000. 00
Other real estate and mortg's owned
14, 787.09
Due from other national banks
Due from State banks and bankers.
12,496.48
Due from approved reserve agents.
194.55
Checks and other cash items
Exchanges for clearing house
1, 500. 00
Bills of other national banks
49.95
Fractional currency, nickels, cents.
3, 719. 00
Specie
\
2, 000. 00
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U.S.
544. 50
Due from Treasurer IT. S

Capital stock paid in.

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

10,000.00
7, 940. 39
11,250.00

3, 630. 09

129, 376. 03

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

212,196. 51

Total.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

212,196. 5L

Total .

American National Bank, Leadville.
ALBERT SHERWIN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds onhand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. 3. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

F . O. STEAD, Cashier.

No. 3949.

$205, 237. 62
374. 59
25, 000. 00
30,000. 00
2,087. 50
47, 893. 34
30, 000.00
147, 452.74
49,882. 93
518.49
2, 009.42
3,000. 00
97.45
42, 796. 80
27,435. 00
1,125.00

Capital stock paid in.

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

20, 000. 00

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

16, 399. 09

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

450,919.76

5, 092.03
22, 500. 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

614,910.88

614, 910.88

Total .

Carbonate National Bank, Leadville.
A. V. HUNTER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U . S . certificates of deposit
Redemption fund with Treas.U.S.
Due from Treasurer U. S
Total.




No. 3746.

$542,711.49
94.10
50, 000. 00

663, 864. 87
12, 776. 06
450, 771. 37
27.50
4,916.14
18,388. 00
458. 60
272, 912.70
10,000. 00
2, 250.00
2, 029,170.83

FRANK X. HOGAN, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid ...
National bank notes outstanding.
State-bank notes outstanding

$100, 000.00
20, 000. 00
36, 735. 08
45, 000. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursing officers.

1, 827,435.75

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

2, 029,170.83

38

REPORT OF THE COMPTROLLER OF THE CURRENCY.
COLORADO.
First National Bank, Longmout.
No. 3354.

THOMAS BUTLER, President.

EBEN W H I T E , Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
IT. S. bonds on band
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estateand mortg's owned
Due from other national banks
Due from State banks and bankersDue from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.

Liabilities.
$71, 560.01
528. 22
12, 750.00

3,007.00
6, 900.00
500.00
24,841.08
7, 319.97
5,358.94
200. 00
218.17
7, 548. 50
3, 048.00
573.50

Capital stock paid in.

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

6, 000.00
595.49
11,470. 00

96.00
76,191. 90

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

144, 353. 39

Total .

144, 353.39

Farmers' National Bank, Longmont.
No. 4653.

F. H. STICKNEY, President.

Loans and discounts
O verd rafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'gbouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

$124,166.77
5, 858.13
15, 000. 00

16,183. 86
2, 500. 00
5, 000.00
48,172.34
25, 292. 27
1,191.70
1, 000. 00
52.19
8, 848. 80
3, 000. 00
675. 00

W. L. MCCASLIN, Cashier.

Capital stock paid in.

$50, 000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

2, 727. 73
13, 500.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

190, 713. 33

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

256, 941. 06

256,941.06

First National Bank,* Montrose,
T. B. TOWNSEND, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' g h ouse, furni ture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents .
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, centsSpecie
Legal-tender notes
TJ. 3. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U, S
Total.




No. 4007.
$133, 339. 89
2, 339.45
13,500. 00

6.453. 39
5, 500. 00
19, 730. 26
12, 354. 82
267. 78
12, 911. 39
5, 701. 46
35.00
51.25
1, 438. 50
5, 500. 00
* "607 "50*

E. L. OSBORN, Cashier.

Capital s t o c k paid i n .

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50, 000. 00
1, 036. 00
3,841. 07
12,150. 00

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

330. 71
3,732. 22

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

148, 640. 69

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

219,730.69

Total .

219,730.G9

REPORT OF THE COMPTROLLER OF THE CURRENCY.

39

COLORADO,
First National Bank, Pueblo.
No. 1833.

M. D. THATCHER, Fresident.

E. F. LYTLE, Cashier.

Resources.
Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationallmnks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas.TJ. S.
Due from Treasurer TJ. S.
Total .

Liabilities.
$1, 625, 053.08
6, 876.01
300,000. 00
250,000. 00
427,757. 50
25, 000. 00
83, 800.45
1, 390, 264.86
213,501.05
560,427. 97
12, 786. 97
10,746. 23
21, 600. 00
417. 05
429, 411. 75
69, 594. 00
13, 500. 00
2, 000. 00

Capital stock paid in.

$300, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100,000. 00

Due to other national banks
Due to State banks and bankers.. |
Dividends unpaid

862, 342. 42
642, 550.13

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.

4, 829. 86
269,100.00

3, 024, 228. 79
232,128. 64
7, 557. 08

Notes and bills rediscounted
Bills payable
Liabilities other than those above

stated

5, 442, 736. 92

Total

5, 442, 736. 92

Mercantile National Bank, Pueblo.
"W. H. THOMPSON, President.

No. 4108.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' ghouse, furniture, and fixtures
Other real estate and niortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

2. 516. 56
25, 000. 00
1, 296. 88
101,969.30
5, 000. 00
10, 335. 76
5,218. 87
30, 515. 39
8,834. 79
2, 665. 00
778.35
30, 670. 45
16, 000. 00
1,125. 00
431,618. 73

A. V. BRADFORD, Cashier.

Capital stock paid in.
Surplus fund
,
Undivided profits, less current
expenses and taxes paid.
National-bank notes outstanding.
State-bank notes outstanding

$100, 000.00
8, 847. 36
22,500.00

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

1, 795. 26
28, 644. 73

Individual deposits
United States deposits
Depositsof U.S.disbursing officers.

269,831 38

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

Total .

431,618.73

Pueblo National Bank, Pueblo.
D. R. GREENE, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total .



No. 4498.
$141,114,45 Capital stock paid i n . .
2,720. 62
50, 000. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
4, 500. 00 National-bank notes outstanding.
44, 475. 73 State-bank notes outstanding
4,000. 00
57, 325. 28 Due to other national banks
13,121. 37 Due to State banks and bankers..
52.50
2, 747. 43 Dividends unpaid
6, 338. 28
Individual deposits
United States deposits
253. 89 Deposits of U.S.disbursing officers.
14,122. 00
15,132. 00 Notes and bills rediscounted.
Bills payable
1, 400. 00
Liabilities other than those above
357, 303. 55

stated
Total.

-, Cashier.
$125, 000. 00

45, 000. 00
11,029.91
8,152. 99

168,120.65

357, 303. 55

40

REPORT OF THE COMPTROLLER OF THE CURRENCY.
COLORADO.
Western National Bank, Pueblo.
No. 2546.

B. B. BROWN, President.

CHARLES E. SAXTON, Cashier.

Liabilities.

Resources.
Loans and discounts
'
Overdrafts
I
U. S. bonds to secure circulation... !
U. S.bonds to secure deposits
j

U. S. bonds on hand
Premiums on TJ. S. bonds

Stocks, securities, etc
Bank'ghouse,furniture,ancl fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.!
Due from Treasurer TJ. S
!
Total .

$235, 001.57
3,777.31
42,500.00
3, 500.00
175,134.98
6, 500. 00

Capital stock paid in

|

$100, 000. 00

Surplus fund
I
Undivided profits, less current |
expenses and taxes paid
!
National-bank notes outstanding.!
State-bank notes outstanding
j

12,185.13
38. 250. 00

Due to other national banks
I
Due to State banks and bankers.. I
Dividends unpaid.

8,709.91
56, 219. 92

! Individual deposits
i
1, 570. 00 | United States deposits
'
124.65 i DepositsofU.S.disbursingofficers.I
13,100. 00
23, 333. 00 Notes and bills rediscounted.
Bills payable
1,912.50
Liabilities other than those above
stated

426, 486.10

80, 685. 07
5, 867.48
39, 950. 98
8,893. 52

Total .

641, 851. 06

641, 851. 06

First National Bank, Salida.
ROBERT PRESTON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits

U. S. bonds on hand
Premiums on TJ. S. bonds

Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S
Total.

D. H. CRAIG, Cashier.
No. 4172.
$76, 617. 32 Capital stock paid in
$50, 000.00
2, 963.27
12, 500.00 Surplus fund
7, 000. 00
Undivided profits, less current
expenses and taxes paid
2, 111. 40
1,125. 00 National-bank notes outstanding-1
11, 250. 00
66,158. 60 State-bank notes outstanding
!
8, 301. 30
1,149.06 Due to other national banks
j
59. 28
101,392.53 Due to State banks and bankers.. j
J
35, 442.71 Dividends unpaid

180. 00
87.40
16,218.20
12,892.00
562.50

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers

265,169. 21

Notes and bills rediscounted
|
Bills payable
!
Liabilities other than those above j
stated
Total.

335,589.89

335, 589. 89

First National Bank, Silverton.
M. D. THATCHER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house...
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total .




No. 2930.
$55, 580. 33
503.74
12, 500.00

64,495.77
2,137.25
4, 073. 86
133,533.59
17.87
19, 915. 99
46.52

J O H N H. "WERKHEISER, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid . . . „
National-bank notes outstanding
State-bank notes outstanding
Due to other national banks
•.
Due to State banks and bankers.. j
Dividends unpaid
\.

| Individual deposits
I
1,405. 00 : United States deposits
I.
25.00 Depositsof U.S.disbursingofficers. I.
25, 596.45
13, 355. 00 Notes and bills rediscounted.
Bills payable
562. 50
Liabilities other than those above |
stated
I

333, 748.87

Total.

$50,000. 00
10, 000. 00
1,548.15
10, 750. 00

602.33

260, 848. 39

333, 748.87

REPORT OF THE COMPTROLLER OF THE CURRENCY

41

COLORADO.
First National Bank, Telluride.
No. 4417.

L. L. NUNN, President.

A. M. WRENCH, Cashier.

Resources.

Loans and discounts
Overdrafts
II. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on hand
i
Premiums on U. S. bonds
!
Stocks, securities, etc
Bank'g house, furniture, andfixturesl
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalTbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
,:
U. S. certificates of deposit
Redemption fund with Treas. IT, S.
Due from Treasurer U. S
Total .

Liabilities.
$76, 761.16
17,206. 82
18, 750. 00

Capital stock paid in.

$75, 000.00

Surplus fund
Undivided profits, less current

expenses and taxes paid
National-bank notes outstanding.
1, 328. 72 State-bank notes outstanding

30, 000. 00
1,565. 93
55,349. 28
1,424.51
26,488.54
558. 83

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
155. 00 United States deposits
78.80 Deposits of U. S.disbursing officers.

8,030. 25
3, 656. 00
843. 75

4, 000. 00
9, 297. 06
16,875.00

031.45

136, 394. 08

Notes and bills rediscounted.
Bills payable.
Liabilities other than those above
stated

242,197.59

242,197.59

Total.

First National Bank, Trinidad.
No. 2300.

M. D. THATCHER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits.
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash, items
Exchanges for clearing house.
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

$518,470. 74
912.71
75, 000. 00

47,106. 69
8, 473. 40
344, 985. 31
88,334. 64
6, 723. 37
1,471.00
444. 55
28,100. 00
45, 000. 00
3,375.00
1,500. 00

H. J . ALEXANDER, Cashier.

Capital stock paid in.

$100, 000. 00

Surplus fund
|
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

25, 000. 00
29, 672.59
67, 500. 00

Due to other national banks
Due to State bank and bankers...
Dividends unpaid

21,459.97
6, 671.43

Individual deposits
United States deposits
Deposits ofU.S.disbursing officers.

919, 593. 42

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

Total .

1,169,897.41

1,169,897.41

Trinidad National Bank, Trinidad.
EDWARD D. WIGHT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total .



No. 3450.

$118, 278. 81
705.60
25,000. 00

H. K. HOLLO WAY, Cashier.

Capital stock paid in.

Surplusfund
Undivided profits, less current
expenses and taxes paid.
National-bank notes outstanding.
5, 050. 02 State-bank notes outstanding

8,000. 00
44, 500. 00 Due to other national banks
51,606.12 Due to State banks and bankers..
1, 366. 29
15,811.66 Dividends unpaid
2,406. 66
730. 37 Individual deposits
840. 00 United States deposits
51.30 Deposits ofU. S.disbursing officers.
5,433.45
13, 001. 00 Notes and bills rediscounted.

$100, 000.00

1, 249.10
22,500.00
168. 70
115.25

169, 873.03

Bills payable

1,125. 00

Liabilities other than those above
stated
Total .
293,906. 08

293, 906. 08

42

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
Ansonia National Bank, Ansonia.
No. 1093.

CHARLES H. PINE, President.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
IT. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nation aljbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with, Treas. U. S
Due from Treasurer U. S
Total .

FRED M. DREW, Cashier.

Liabilities.
$326,400.99
421. 29
50, 000.00

Capital stock paid in.

$200, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid.
National-bank notes outstanding.
State-bank notes outstanding

100, 000. 00

36, 903. 02

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

18, 945. 57
124.23

54, 524. 51
523. 21

Dividends unpaid

381,100.00

188.00

Individual deposits
"" 5," 760." 66" United States deposits
836.10 Deposits of U.S.disbursing officers
39, 078. 00
8,608.00

28, 506. 29
45, 000. 00

513, 646.03

Notes and bills rediscounted.
Bills payable

2, 250. 00
!

Liabilities other than those above
stated

906, 410.12

906,410.12

Total .

First National Bank, Bridgeport.
WM. E. SEELEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

No. 335.
0. H. BROTHWELL, Cashier.
$210, 000. 00
Capital stock paid in
Surplus fund
105, 000. 00
Undivided profits, less current
58, 293.86
expenses and taxes paid
153, 000. 00
National-bank notes outstanding.
20, 095, 00
State-bank notes outstanding
380,000. 00
2, 500. 00
Due to other national banks
60, 775. 37
11,156. 99
40,085. 91 Due to State banks and bankers..

$429, 531. 25
2, 851. 62
170, 000. 00
150, 000. 00

4, 724. 36
158, 070.54
32, 928. 55

Dividends unpaid
Individual deposits
"19," 792." 66' United States deposits
282.43 Deposits of U.S.disbursing officers
45, 080. 00
27,000. 00 Notes and bills rediscounted.
Bills payable
7, 650. 00
Liabilities other than those above
stated
1,490,591.66
Total.

744,807.16
147,409. 35
148.93

1,490,591.66

Bridgeport National Bank, Bridgeport.
T. B. DE FOREST, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Otherrealestateand inortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .



F. N. BENHAM, Cashier.

No. 910.
$599, 093. 89
414.08
200, 000. 00
50, 000. 00
14,000. 00
246,600. 00
50, 000. 00
10, 909. 96
17,266.71
184. 27
106,810. 81
13, 445. 68
17, 797. 00
3, 020.13
39, 607. 50
8, 000. 00
9, 000. 00

1, 386,150.03

Capital stock paid i n .

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers

$215, 850. 00
112, 000. 00
54, 544. 89
180,000.00
67, 282.89 •
4, 694.74
937. 00
703, 340.51
47, 500. 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

1, 386,150. 03

REPORT OF THE COMPTROLLER OF THE CURRENCY.

43

CONNECTICUT.
City National Bank, Bridgeport.
E. Gr. SANFORD, President.

No. 921.

FREDERICK C. BURROUGHS, Cashier.

Resources.
Loans and discounts
,
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total .

Liabilities.
$759, 635. 95
60.53
50, 000. 00
18, 000. 00
45, 250.00
40, 000.00
16, 211.45
22,853. 53
9,071.44
74,420. 56
34, 978.12
9, 855.00
194. 02
18,610.00
56, 500. 00
*"2,"25o"ob"

Capital stock paid in.

$250, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

150, 000. 00

Due to other national banks
,.
Due to State banks and bankers.
Dividends unpaid

27,716.52
126. 44

Individual deposits
United States deposits
Deposits of U.S.disbursing ofli cers

651,581.88

33, 700. 76
44, 400. 00

365. 00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

1,157,890.60

Total.

1,157, 890. 60

Connecticut National Bank, Bridgeport.
S. W. BALDWIN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaibanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

No. 927.
$766, 326. 78
4, 292. 24
100, 000.00
8, 405. 93
176, 621. 70
80, 000.00
1, 500. 00
71, 871.11
4, 870. 58
166, 578. 64
49,118. 94
9,720. 00
106.13
32, 400. 00
25,000. 00
4, 500. 00
3,000. 00

H. S. SHELTON, Cashier.

Capital stock paid in.

$332,100. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
,
Due to State banks and bankers.
Dividends unpaid

100, 000.00
62, 784.15
90, 000. 00
19,462 76
4, 603 40
324. 00

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

895, 037. 74

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
,
Total.

1, 504,312.05

1, 504, 312.05

Pequonnock National Bank, Bridgeport.
DAVID TRUBEE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalpanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 928.
$428, 768. 68
488. 30
50, 000. 00
4, 500. 00
215, 073. 35
50, 012. 31.
17, 917.28
135,163.19
22,812. 09
8, 546. 00
285. 37
24, 111. 00
31, 000. 00
2, 250. 00
1, 000.00
991,927. 57

I. B. PRINDLE, Cashier.

Capital stock paid in.

$200, 000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100, 000. 00

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

23, 504.42
1, 287. 80

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingoflicers.

14,536.38
45,000.00

394.00
607, 204. 97

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

991, 927. 57

44

REPORT OP THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
Bristol National Bank, Bristol.
C. S. TREADWAY, Cashier.

No. 2250.

JOHN H. SESSIONS, President.

Resources.
Loans and discounts
Overdrafts
*
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house...
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

Liabilities.
$370, 629.73
630. 00
25, 000. 00

37, 500.00
8, 500. 00
20,092. 67
88, 443. 50
1,811.43
3,820.00
1,211.47
31, 354. 00
14, 420. 00
1,125. 00
604,537.80

Capital stock paid in.

$100, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

50, 000. 00

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

29,527. 02
10, 908.92

Individual deposits

United States deposits
Depositsof U. S.disbursingofficers

28, 213. 75
22, 500.00

85. 00
363,303.11

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

604, 537.80

Clinton National Bank, Clinton.
LEANDER L. HULL, President.

Loans and discounts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
.
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S-

75,000.00
5, 500. 00
71,125.00
5, 500. 00
588. 96
275. 80
21, 072. 65
311.65
3,140. 00
64.67
4, 304. 00
5, 207. 00
3,375.00

Due from Treasurer U. S

Total

E. E. POST, Cashier.

No. 1314.

$63,258.88

$75, 000. 00

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

20, 000. 00

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

1,021.96

2, 539.93
67, 500. 00

180. 00

Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingomcers.

92, 481. 72

Notes and bills rediscounted
Bills payable
Liabilities other than those above

Total

258, 723.61

258, 723. 61

Danbury National Bank, Danbury.
T. C. MILLARD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse.furniture and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house...
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




$417,221.36
149. 31
50, 000. 00

104, 785.68
25,000. 00
11, 249. 09
300.00
41, 981.37
2,045.41
3, 654.00
606.43
56, 338. 23
2, 250. 00

I

J. AMSBURY, Cashier.

No 943.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
»State«bank notes outstanding

69, 000.00
18, 742. 29
42,900. 00

Due to other national banks
^ue to State banks and bankers.
Dividends unpaid.

19,104. 00

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

341, 394. 38

44.50

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

715, 580.88

$218,000. 00

Total .

6,395. 71
715, 580. 88

REPORT OF THE COMPTROLLER OF THE CURRENCY

45

CONNE C T I C U T .
National Pahquioque Bank, Danbury.
A. N. WILDMAN, President.

No. 1132.

M. H. GRIFFING, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total.

Liabilities.
$382, 772. 78
698.89
50,000.00

Capital stock paid in.

$250, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

4,500.00
88,996.11
30, 000. 00
59,468. 53 Due to other national banks
19, 595. 91 Due to State banks and bankers..
240. 74
43,285.44 Dividends unpaid
2, 977. 39
Individual deposits
1,460. 00 United States deposits
258.65 Deposits of U.S.disbursingofiicers.
5, 672. 30
25,403.00 Notes and bills rediscounted.
Bills payable
2, 250. 00
Liabilities other than those above
stated
Total .

717, 579.74

50, 000. 00
37,218.30
45, 000.00
34, 239.40
1, 542.69
566. 00
299, 013.35

717,579.74

Windham County National Bank, Danielson.
C. S. BURLINGAME, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nation albanks
Fraction al currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

No. 1360.
$218,245. 26
1, 304. 71
25, 000.00

4,438.25
4,000. 00
4, 700. 00
809.42
5, 211.67
58, 283. 65
2, 472. 50
13,478. 00
403. 95
15, 655. 80
4,000.00
1,125.00

$50, 000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid

7, 500.00
670.23
22, 500.00
15,840.79
1, 575.02
42.00

Individual deposits
United States deposits
,
Deposits of U.S.disbursingofiicers

248, 750.17

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

2, 250. 00
10,000.00

Total.

359,128. 21

Total .

CHARLES P. BACKUS, Cashier.

Capital stock paid in.

359,128.21

Deep River National Bank, Deep River.
R. P. SPENCER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S
Total.




No. 1139.
$261,465. 37
291. 68
50,000. 00

9, 468. 75
6, 000.00
499. 38
500. 71
60,900.85
580. 00
5, 354. 00
129.89
10, 000. 00
2, 250. 00

407,440.63

R. L. SELDEN, J R . , Cashier.

Capital stock paid in.
Surplusfund
Undivided profits, leas current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
..
.
Individual deposits
United States deposits
Deposits of TJ. S.disbursingofticers.

$150, 000. 00
35, 000. 00
13, 264.34
45,000. 00
1, 335.28
81.00
161, 950.45

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

809.56
407,440.63

46

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT,
Birmingham National Bank, Derby.

CHARLES H. NETTLETON, President.

No. 1098.

CHARLES E. CLARK, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalpanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

Liabilities.
$659, 065. 04
1,975.37
265, 000. 00
1,000.00
5, 000. 00
195, 000. 00
30, 000.00
13,084. 27
1, 548. 56
61, 475.25
8,948.00
981. 00
646. 00
19,606.98
22, 793. 00
11,925. 00
2.50

Capital stock paid in..

200, 000. 00
16, 208. 25
238, 375. 00

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

42, 507.85
8, 832. 96

Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

491,171. 91

955. 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

Total.

1, 298, 050. 97

Total.

$300,000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1, 298, 050. 97

National Bank of New England, East Haddam.
J U L I U S ATTWOOD, President.

No. 1480.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$114, 575.82
24.07
65, 000. 00

49,146. 00
5, 000. 00
17, 690.
688.
17, 793.
108.

60
56
52
58

225. 00
43.98
6,994. 05
2,085. 00
2, 925.00
282, 300,18

JAMES H. MORTON, Cashier.

Capital stock paid in

|

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
j
Due to State banks and bankers.. |.
Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S.disbursingofficers.

$130, 000. 00
12, 000. 00
2,895. 03
58, 500. 00
4, 964. 09

73, 941.06

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated
Total .

282, 300.18

National Iron Bank, Falls Village.
E. "W. SPUBR, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,andfixtures
Otherreal estate and mortg'sowned
Due from other national banks
Due from State oanks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S
Total.



No. 1214.
$150, 523. 69
6, 680.11
50, 000. 00
4, 800. 00
36, 012.18
10, 000. 00
743. 92
2, 818. 08
61, 688. 63
1,080.19
90.03
11, 034. 05
1,475.00
2, 250. 00
339, 195. 88

DWIGHT E. DEAN, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
j
Due to State banks and bankers.. I
Dividends unpaid
|
Indi vidual deposits
j
United States deposits
j.
DepositsofU.S.disbursingofficers. .
Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

$150, 000. 00
35, 000. 00
841.77
45, 000. 00
9, 295.06
95.00
98, 964. 05

339,195.88

47

REPORT OF THE COMPTROLLER OF THE CURRENCY
CONNECTICUT.
First National Bank, Hartford.

C. D. Hi LEY, Cashier.

No. 121.

J. H. KNIGHT, President.
Resources.
Loans and discounts
Overdrafts
.. . . . . . . . . . . . . . . . .
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U S bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie.
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$2, 349, 939. 82
54 04
50, 000. 00
100, 000. 00

I

9, 500. 00
66, 000. 00
262,901.34
67, 510. 95
1,404.04
546, 428. 83
9, 083. 65
22, 561.19
27, 406. 00
205.26
107, 500. 00
75, 000. 00

2,250. 66
2, 000. 00

Liabilities.
Capital stock paid in

130 000 00

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

40, 219. 52
4, 340.37

73 767 61
42, 810. 00

Dividends unpaid

207.00

Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.
Notes and bills rediscounted
Bills payable

2, 658, 400. 62
100, 000. 00

Liabilities other than those above
stated . . . .
.

3,699,745.12

Total

$650, 000.00

Surplus fund
..............
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

3, 699, 745.12

Total

iEtna National Bank, Hartford.
No! 756.

A. SPENCER, J R . , President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S. certificates of deposit.
Redemption fund with Treas. U. S.
Due from Treasurer U, S.....

$3, 211, 562. 27
56 23
50, 000. 00
51,960.00
6, 960. 00
306,905. 06
5,189. 39
50, 366.15
51, 698. 70
183, 320. 42
558. 66
21,180. 91
4, 742. 00
282.32
210 000 30
105, 710. 00
2, 250.00

$525, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

300,000 00
149,350.13
42 730 00
94,144. O
S
21,812.92

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

60.00

Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.

3, 079, 633. 27
50, 012. 00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

4, 262, 742.41

Total

W. D. MORGAN, Cashier.

Capital stock paid in

Total

4, 262, 742.41

American National Bank, Hartford.
ROWLAND SWIFT, President.

No. 1165.

Loans and discounts
$2, 055, 751.65
Overdrafts
987. 30
U. S. bonds to secure circulation...
50, 000. 00
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
2, 000. 00
Stocks, securities, etc
16, 019. 57
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
46,671.69
Due from State banks and bankers.
105. 85
Due from approved reserve agents.
405, 216. 30
Checks and other cash items
425. 52
20, 349. 78
Exchanges for clearing house
7,589.00
Bills of other national banks
Fractional currency, nickels, cents.
576.44
Specie
102, 205. 00
Legal-tender notes
15, 000. 00
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
'"""2*" 250," 66"
Due from Treasurer TJ, S
Total.




2, 725,148.10

J . H. KING,

Capital stock paid in.

Cashier.

$600, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

253, 000. 00

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

41,874.74

Dividends unpaid
Indi vidual deposits
United States deposits
Deposits of U.S.disbursingofticers.

78,453.10
45, 000. 00

218.00
1,706,602.26

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

2, 725,148.10

48

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
Charter Oak National Bank, Hartford.

JAMES P. TAYLOR, President.

No. 486.

M. A. ANDREWS, Cashier.

Resources.
Loans and discounts
Overdrafts
IT. S. bonds to secure circulation.. U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' g hou se, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks.
Fractional currency, nickels, cents Specie
Legal-tender notes
U. S. certificates of deposit
Kedemption fund with Treas. U. S.
Due from Treasurer U. S

Liabilities.
$1,208,573.13
2, 704.73
50,000.00
100,000. 00
103,100.00
10, 722. 39
7, 563.95
152, 731. 64
989. 74
10,440.13
12,222. 00
299. 24
58, 901. 53
5,678. 00
2, 250. 00

1, 726,176.48

Total.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$500,000. 00
75, 000.00
70, 711.41
45,000. 00

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

1, 096. 66
14.00

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

945, 459. 91
87, 374.40
1, 520.10

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

1, 726,176.48

Farmers and Mechanics' National Bank, Hartford.
J O H N G. ROOT, President.

No. 1321.

Loans and discounts
O verdrafts
U. S.bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S
Total.

$956,331.16
1, 083. 30
50, 000. 00
4,000. 00
599, 203.81
20, 000. 00
8, 983. 67
106,240. 75
1, 746. 39
86, 247. 86
626. 88
15, 836. 59
7,278. 00
197. 93
111, 131. 35
14, 779.00
2, 250. 00

W M . W. SMITH, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$500, 000.00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

60, 600. 57
97, 042. 99

100, 000. 00
47, 848.24
44, 500. 00

90.00
1,135, 854. 89

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

1,985,936. 69

1, 985, 936. (

Hartford National Bank, Hartford.
No. 1338.

JAMES BOLTER, President.

Loans and discounts
Overdrafts
U. S.bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national i>anks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total




:,

179, 768. 25
1, 464. 65
50, 000.00

277, 320. 69
40, 000. 00
220,332. 69
9,496. 63
194, 742. 04
5, 870.15
27,371.36
8, 085. 00
270.94
270, 929. 00
11, 000. 00

W. S. BRIDGMAN, Cashier.

$1, 200, 000. 00

Capital stock paid i n ,

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

600, 000. 00

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

429,184.03
35, 949. 97

51, 322. 23
43, 360. 00

255. 50

Dividends unpaid

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

2, 938,82'.). 67

Notes and bills rediscounted.
Bills payable

2,250 00

Liabilities other than those above
stated
5, 298, 901.40

Total

I 5, 298, 901.40

REPORT OF THE COMPTROLLER OF THE CURRENCY.

49

CONNECTICUT.
National Exchange Bank, Hartford.
JOHN E. REDFIELD, President.

E. C. JOHNSON, Cashier.

No. 361.

Resources.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
D. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.

Liabilities.
, 304,167. 74
2, 376.45
235, 000. 00
3, 000. 00
61, 250. 00
30, 000. 00
61,983.62
14,918.05
80, 552. 22
543. 48
2, 597. 27
5, 986.00
126. 86
62,514. 80
10,411. 00

Capital stock paid in.

$500, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

150,000.00
50, 570. 22
209,160. 00

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

23, 522. 99
611. 53

Individual deposits
United States deposits
Deposits ofU. S.disbursing officers

954, 057. 25

80.50

Notes and bills rediscounted.
Bills payable
10, 575. 00
2, 000.00 Liabilities other than those above

stated

1,888,002.49

Total.

1, 888, 002.49

Phoenix National Bank, Hartford.
H. A. REDFIELD, President.

F. L. BUNCE, Cashier.

No. 670.

1
$1,984,451.08 I Capital stock paid in.
Loans and discounts
$1, 000, 000. 00
15,578.70 1
1
Overdrafts
..
U. S. bonds to secure circulation...
50,000.00 Surplusfund
500, 000. 00
U. S. bonds to secure deposits
Undivided profits, less current
U. S. bonds on hand
expenses and taxes paid
41, 743. 84
Premiums on U. S. bonds
National-bank notes outstanding.
45, 000. 00
Stocks, securities, etc
State-bank notes outstanding
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
56, 550. 91
Due to other national banks
Due from other national banks
7, 565.06
112, 397. 49 Due to State banks and bankers ..
Due from State banks and bankers.
10, 045. 64
Due from approved reserve agents.
246,464.18 Dividends unpaid
1, 092. 50
Checks and other cash items
635. 60
Exchanges for clearing house
2, 222.46 Individual deposits
1,346,749.13
Bills of other national banks
j
20,000. 00 United States deposits
Fractional currency, nickels, cents. I
213. 80 Deposits of U.S.disbursingofficers.
Specie
i
155, 439. 30
Legal-tender notes
10, 000. 00 Notes and bills rediscounted.
Bills payable
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
2, 250. 00
Liabilities other than those above
Due from Treasurer U. S
stated

Total .

Total

2, 798, 701.44

First National Bank, Litchfield.
GEORGE M. WOODRUFF, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.


OUR
http://fraser.stlouisfed.org/99, VOL 2Federal Reserve Bank of St. Louis

No. 709.

CHARLES E. WILSON, Cashier.

$239,472. 27 Capital stock paid in
j
152. 76
100, 000. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
10, 000. 00 National-bank notes outstanding.
55, 349. 56 State-bank notes outstanding
10, 500. 00
5, 007. 83 Due to other national banks
j
2, 829. 24 Due to State banks and bankers.. j
1, 383. 44
48, 829. 66 Dividends unpaid
530. 00
Individual deposits
50.00 United States deposits
83.16 Deposits of U. S.disbursin g officers.
11,713.00
5, 000. 00 Notes and bills rediscounted.
Bills payable
4, 500. 00
Liabilities other than those above
stated
495,400.92

Total .

$200, 000.00
15, 000.00
3, 976. 44
90, 000. 00
4, 628.40
7, 373.92

174,422.16

495, 400. 92

50

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
First National Bank, Meriden.
No. 250.

JOHN D. BILLARD, President.

C. L. ROCKWELL, Cashier.

Resources.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g bouse, furniture,and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.

Liabilities.
$374, 720. 80
418. 34
200, 000. 00
475, 000. 00

Capital stock paid in.

$200, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

200, 000. 00

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

18,464.13
311.64

Individual deposits
10,386. 00 United States deposits
,
105. 60 DepositsofU.S.disbursing officers

294,861.72
475, 000. 00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

30, 500.00
15,000.00

50, 000. 00
140, 500.00
50, 000. 00
12,446. 77
806.77
50,020.17
5,524.34

19,479. 50
25, 500. 00
9, 000.00
1,423,908. 29

Total

13,120. 80
176, 580. 00

70.00

1,423, 908. 29

Home National Bank, Meriden.
A. CHAMBERLAIN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

J. S. NORTON, JR., Cashier.
No. 720.
Capital stock paid in.
$400, 000. 00
Surplus fund
120, 000. 00
Undivided profits, less current
expenses and taxes paid
24, 337. 90
17,125. 00 National-bank notes outstanding.
174, 650. 00
292,698.06 State-bank notes outstanding

$481,909. 03
1,921.65
200, 000. 00
100, 000. 00

50, 000. 00
16, 250. 00
12,375. 65
256. 03
13, 890. 34
3,237.89

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

52, 591.46
4,992. 88

Individual deposits
16,951. 00 United States deposits
73.60 DepositsofU.S.disbursing officers.
51,070.00
15, 200. 00 Notes and bills rediscounted.
Bills payable

355, 225.01
100, 000. 00

9, 000.00

161. 00

50, 000. 00

Liabilities other than those above
stated

Total

1, 281, 958.25

1,281,958.25

Meriden National Bank, Meriden.
O. B. ARNOLD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 1382.

GEO. M. CLARK, Cashier.

$416,840. 61 j Capital stock paid in.
65. 79
50, 000. 00 Surplus fund

78, 318. 84
30, 282. 31
621. 74
28, 501.06

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding...'..

$300, 000. 00
65, 000. 00
23,315. 64
44, 500. 00

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

26, 227.41
114.43

J Individual deposits
10,179. 00 ; United States deposits
279.26 j Deposits of U.S.disbursingofficers.

202,176. 74

377. 61

26,140. 00
18, 000. 00
2, 250.00

522. 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

661,856.22 ;

Total.

661, 856. 22

REPORT OF THE COMPTROLLER OP THE CURRENCY

51

CONNECTICUT.
First National Bank, Middletown.
SETH H. BUTLER, President.

No. 397.

EDW'D. G. CAMP, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits...
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house...
Bills of other national jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
.
Total.

Liabilities.
$251, 202.60

ho, boo. 66
116, 250.00
4, 498.73

14,478.14
3, 781.41
3, 000.00
125.47
15, 300. 00
2, 868. 00
2, 250. 00

Capital stock paid in.

$200, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

40, 000.00

Due to other national banks
j
Due to State banks and bankers.. j
i
Dividends unpaid
j
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

1,925.05
34.09

9, 705. 05
45, 000. 00

2.50
167, 087. 66

Notes and bills rediscounted.
Bills payable
Liabilities other than those above !
stated
.
Total.

463,754.35

463, 754. 35

Central National Bank, Middletown.
R. C. MARKHAM, President

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits...
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

No. 1340.

H. B. BARNES, Cashier.

$261,196. 48 Capital stock paid in.
104.74
100, 000. 00 Surplus fund
Undivided profits, less currentexpenses and taxes paid
10, 000.00 National-bank notes outstanding.
31, 745. 00 State-bank notes outstanding
23,000. 00
Due to other national banks
4,249.70 Due to Stat& banks and bankers..
1,675.55
20,534.10 Dividends unpaid
1,628.87
158. 83 Individual deposits
140. 00 United States deposits
18.81 Deposits of U.S.disbursingofficers.
9,094. 80
5, 000. 00 Notes and bills rediscounted.
Bills payable
4, 500. 00
Liabilities other than those above
stated

$150,000. 00
50, 000. 00
9, 095. 26
88, 470. 00
4, 382. 84
2, 749. 09
850. 50
167, 499.19

Total .

473,046. 88

473, 046. 88

Middlesex County National Bank, Middletown.
JAMES K. GUY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 845.
$336,171.08
37.01
50, 000. 00

32, 550.00
12, 000. 00
17, 870.13
4,139.11
6, 786.26
1, 358. 37
391. 73
2,220. 00
594.45
6, 897. 50
3,440. 00
2, 250.00
476,705.64

"W. B. HUBBARD, Cashier.

i

Capital stock paid in .
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding.....

Due to other national banks
Due to State banks and bankers ..
Dividends unpaid
Individual deposits
United States deposits.
Deposits of U.S.disbursingoflicers. .
Notes and bills rediscounted
Bills payable

$175,000.00
40, 000. 00
7,261.56
45, 000. 00
13,368. 78
16,071.22
250. 50
179, 753.58

\.
J.

Liabilities other than those above
stated
Total .

476, 705.64

52

REPORT OF THE COMPTROLLER OF THE CURRENCY.
C ONNE € T I C U T .
Middletown National Bank, Middletown.

M. B. COPELAND, President.

No. 1216.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total

W M . H. BURROWS, Cashier.

Liabilities.
$469, 916. 67
3,413, 66
365,000.00

316,580. 20
38, 500. 00
11,547.45
427.12
88, 754. 81
2,109.00
1,137.75
13,168. 00
151.45
30,166. 50

Capital stock paid in

$369,300.00

Surplus fund
Undivided profits, less current
expenses and taxes' paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..

150,000.00
64,395. 96
323, 360.00
21,192. 73
473. 95
108. 00

Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursing officers.

428, 966.97

Notes and bills rediscounted
16, 425. 00
500.00
1, 357, 797.61

Liabilities other than those above
stated
Total

1, 357, 797. 61

Mystic River National Bank, Mystic.
F. M. MANNING, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

No. 645.

$105, 696. 09
685.93
100, 000.00

HENRY B. N O YES, Cashier.

Capital stock paid i n .

$100, 000. 00

Surplus fund
Undivided profits, less current
10, 000. 00
expenses and taxes paid
2,309.38 National-bank notes outstanding.
76,763. 75 State-bank notes outstanding
9,500.00
5, 288. 97

Due to other national banks
Due to State banks and bankers.
54, 029.18 Dividends unpaid
2, 056. 06
Individual deposits
795. 00 United States deposits
41.83 Deposits of U. S. dis bursing officers.

20, 000. 00
33, 351. 51
88, 880. 00
5, 339. 93
18, 667. 84
365. 02
125, 096. 54

17, 759. 65
2,275. 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
391, 700. 84
Total.
4,500. 00

391, 700. 84

Naugatuck National Bank, Naugatuck.
GEORGE A. LEWIS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'gh ouse, furniture, and fixtures
Other real estate and mortg' s o wned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Duo from Treasurer TL, S
Total




No. 3020.
$347, 760. 61 Capital stock paid in.
958. 49
100,000.00
Surplusfund

29, 337. 50
4, 453.51
5, 571. 61
111,799.41
353. 31
3, 920. 00
545. 45
27,934. 55
4, 530. 00
4,500. 00
1, 250. 00
64'.t, 214.44

A. H. DAYTON, Cashier.

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Due toother national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

$100, 000.00
45, 000.00
34, 002.12
90,000. 00
29, 629. 82
80.00
344, 502.50

Notes and bills rediscounted .
Bills payable
Liabilities other than those above
stated
Total .

643, 214.44

REPORT OF THE COMPTROLLER OF THE CURRENCY.

53

CONNECTICUT.
Mechanics' National Bank, New Britain.
,T. B. TALCOTT, President.

No. 3668.

WM. E. AT WOOD, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total.

Liabilities.
$484,103.82 Capital stock paid in.
4, 974.00
100, 000. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
10, 000.00 National-bank notes outstanding.
85,446. 25 State-bank notes outstanding

$100,000.00

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

34,530.47
1, 661.44

33,264. 52
3, 921. 96
59,944. 99
4, 709. 72

50,000.00
9,566.41
89,000.00

Dividends unpaid

Individual deposits
7,425. 00 United States deposits
492.40 Depositsof U.S.disbursing officers.
28, 992. 25
18, 000. 00 Notes and bills rediscounted.
Bills payable
3, 500. 00
Liabilities other than those above
stated
844, 774. 91

Total .

560,016.59

844, 774.91

New Britain National Bank, N e w Britain,
A. J . SLOPER, President.

No. 1184.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits...
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Otherrea.' estate and niortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total

$839, 060. 05
2,450.17
100,000.00

E. N. STANLEY, Cashier.

Capital stock paid in.

$310, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

155, 000.00

Due to other national banks
9, 951.16 Due to State banks and bankers..
3, 232. 01
52, 537. 27 Dividends unpaid
9,246.11
Individual deposits
10,172. 00 United States deposits
36.44 Depositsof U.S.disbursingoflicers44,497. 00
16,653. 00 Notes and bills rediscounted
Bills payable
4,500. 00
820.00 Liabilities other than those above
stated

29, 332. 52
8,564.48

6, 000. 00

178,480.00
20,000. 00

Total

1,297,635.21

54,136. 31
90, 000. 00

650, 601.90

1, 297, 635. 21

First National Bank, N e w Canaan.
EDWIN HOYT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S.
Total.




No. 1249.
$87, 656. 35
2, 788. 45
100, 000. 00
7,000.00
4, 500. 00
14,000.00
1, 952. 59
686. 40
11,862. 47
20, 367. 54
2.71
120.00
6, 541.10
2, 050. 00

S. T. ST. JOHN, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State'bank notes outstanding.
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disb ursingoflicers.

$100, 000. 00
5, 000.00
1, 783.14
89, 980. 00
6, 927. 24
790. 75
125. 00
59, 421.48

Notes and bills rediscounted.
Bills payable

4, 500. 00

Liabilities other than those above
stated
264,027. 61

Total.

264, 027.61

54

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
First National Bank, New Haven.

PIERCE 1 T WELCH, President.
S.

No. 2682.

F R E D B. BUNNELL, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks. . .
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S. certificates of deposit
Redemption fund with Treas. U. S.

Due from Treasurer U. S
Total .

Liabilities.
$1,160, 902. 54
1.75
130, 000. 00

250, 346. 25
280, 000. 00
11, 500.00
26, 520. 09
1,108.17
312,137.83
1,934. 65
15, 995. 65
16,135. 00
481.39
84,831. 25
13,100.00
5,850.00
1, 000. 00

Capital stock paid in.

$500, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

200, 000.00

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

7, 082. 20
1, 891. 74

79,492. 78
1L6,4OO.OO

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers

1,406, 977.85

Notes and bills rediscounted...
Bills payable
Liabilities other than those above
stated

2, 311,844. 57

Total.

2,311,844.57

Second National Bank, New Haven.
SAMUEL HEMINGWAY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other caksh items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

No. 227.

$870, 736. 20
20.04
500, 000. 00
50, 000. 00
423, 913. 83
60, 000.00
67,470. 25
2, 930. 38
226,101.18
10,374.29
7, 538.13
29, 729. 00
390. 00

110, 837. 50
35, 000, 00
22,500. 00

CHARLES A. SHELDON, Cashier.

Capital stock paid in.

$500, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

370, 000. 00
48, 208. 39
445,900.00

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

31, 953.87
18, 676.31

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

957,182. 23
43,276.25
1, 723. 75

620.00

Notes and bills rediscounted
Bills payable
Liabilities other than those above

stated

Total

2,417, 540.80

2,417,540.80

Merchants' National Bank, New Haven.
C. S. MERSICK, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on band
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents Checks and other cash items
Exchanges for clearing house
Bills of other national jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 1128.
$934,177. 20
706. 97
100, 000. 00

D. A. ALDEN, Cashier.

Capital stock paid in.

Surplus fund
Undivided profits, less current
expenses and taxes paid
8, 000. 00 National-bank notes outstanding.
105, 910. 71 State-bank notes outstanding
20, 000. 00
12, 500. 00 Due to other national banks
137, 751. 50 Due to State banks and bankers.
40, 506. 66
121, 798.41 Dividends unpaid
1,691.25
214, 684. 79 Individual deposits
8, 805. 00 United States deposits
1,425. 25 Deposits of U. S.disbursingofficers
59,784. 50
17, 990. 00 Notes and bills rediscounted.
Bills payable
4, 500.00
Liabilities other than those above
stated

1, 790, 2!32. 24

Total.

|

$350,000.00
100, 000. 00
26, 904.95
88,450. 00
191, 679.46
55, 944.81
249. 27
977, 003. 75

1, 790,232.24

REPORT OF THE COMPTROLLER OF THE CURRENCY.

55

CONNECTICUT.
National New Haven Bank, New Haven.
WILBUR F. DAY, President.

No. 1243.

ROB'T. I. COUCH, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Danks
Fraetionalcurrency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S

Liabilities.
$780, 232. 87
218. 34
320, 000.00
19, 707. 76
447,177. 89
32, 000. 00

$464, 800.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

58, 068. 53
280, 330. 00
12,095.46

19, 868. 04
1,130. 43
178,144. 61
4, 002. 55
9, 996. 47
10, 000. 00
400. 00
74,068.90
12, 000. 00

Due to State banks and bankers..
Dividends unpaid

1,090.00

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.

904, 963. 87

Notes and bills rediscounted
Bills payable

14,400. 66

1, 000. 00 Liabilities other than those above
stated
o
-.
1,924, 347. 86

Total

203,000.00

Total

1, 924, 347. 86

National Tradesmen's Bank, New Haven.
W. T. FIELDS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
IT. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtun
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items..
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

No. 1202.
., 092, 358. 55
1,907. 72
150,000. 00

163,198.75
50,000.00
79, 837. 39
371, 597. 25
3, 925. 22
75,609. 58
9, 265. 00
995.83
75, 940. 95
4, 635. 00
6, 750. 00
2, 000.00

ROBERT FOOTE, Cashier.

Capital stock paid in.

$300, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

150,000. 00
36, 218.87
133, 310. 00
93, 273. 53
17, 703. 62
72.00
1, 357,443. 22

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

2, 088, 021. 24

2, 088, 021. 24

New Haven County National Bank, New Haven.
EZEKIEL Gr. STODDARD, President.

Loans and discounts
Overdrafts
,
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 1245.
$860,468.13
88.64
200, 000. 00

183, 665. 00
24, 879. 00
42, 332. 71
1, 893.26
154,178. 38
1, 737.95
27, 450. 87
23, 965. 00
620. 00
40,467. 73
26,453. 00
9, 000. 00
2, 000. 00
1, 599,199. 67

H. G-. REDFIELD, Cashier.

Capital stock paid in

$350, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

225, 000.00

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

17,211.06
2, 025. 61

Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.

58, 208. 24
178,200.00

293. 80
768, 260. 96

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

1,599,199.67

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
Yale National Bank, New Haven.
S. E. MERWIN, President.

No. 796.

J. A. RICHARDSON, Cashier.

Resources.
Loans and discounts
Overdrafts.......
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Bills of other national banks
Fractional currency, nickels, cents.
Specie...
Legal-tender notes
U S certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Liabilities.
$865, 556. 30
9 29
120 000 00

$500, 000. 00
150 000 00
57, 345. 45
108, 000.00

85, 000.00
48,153.33
5, 960.83
147,303.68
14,721. 08
51, 753. 68
14, 090.00
106. 80
71, 700.55
22,500. 00
5, 400.00
1,430. 00
1, 812, 073.81

Total

Capital stock paid in

Surplus fund
<.
Undivided profits, less current
4,100. 00
expenses and taxes paid
National-bank notes outstanding
354, 288.27 State-bank, notes outstanding
Due to other national banks
Due to State banks and bankers..

97,413.46
4, 702.86

Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingom'cers.

894, 414. 04

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

198. 00

1, 812, 073. 81

National Bank of Commerce, New London.
CHARLES BARNS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,fiirniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

No. 666.
$441,016.08
107.94
50, 000. 00
75,000.00

$300, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
3, 000. 00 National-bank notes outstanding.
323,190, 00 State-bank notes outstanding

100, 000.00

Due to other national banks
Due to State banks and bankers..
176,173. 78 Dividends unpaid
9, 230. 21
Individual deposits
32, 913. 00 United States deposits
138. 60 Deposits of U.S.disbursingofficers.
44, 247.85
10, 451.00 Notes and bills rediscounted.
Bills payable

25, 208. 59

71, 763.82
44, 290.00

7. 000. 00

13, 610.11

2,250.00
1,188,328.57

Total.

GEO. B. PRKST, Cashier.

Capital stock paid in.

126. 00
573, 805. 33
72,121. 22
1, 013. 61

Liabilities other than those above

stated
Total.

1,188, 328. 57

National "Whaling Bank, New London.
SEBASTIAN D. LAWRENCE, President.

Loans and discounts
O verdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits...
U.S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
hank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U.S.
Due from Treasurer U. S
Total .



No. 978.
Capital stock paid in.

B. A. COPP, Cashier.

$21,506.18

37, 500. 00

255,524.83
4, 000. 00
11,196.89
68, 086. 34
4, 776. 28
3, 880. 00
17.08
17, 765. 50
3, 800. 00
1,687.50

429, 740. 60

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
|
Due to State banks and bankers
Dividends unpaid.
Individual deposits
United States deposits.
DepositsofU.S.disbursingoflicers-

$150, 000. 00
40, 000.00
106, 715. 76
27, 250.00
7, 265. 82
638. 75
90, 870. 27

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

7,000. 00

429,740.60

REPORT OF THE COMPTROLLER OF THE CURRENCY

57

CONNECTICUT.
New London City National Bank, New London.
WILLIAM BELCHER, President.

No. 1037.

W. H. EOWE, Cashier.

Resources.

Liabilities.

Loans and discounts
!
$206, 965. 34 Capital stock paid in
Overdrafts
!
1, 702. 56
U. S. bonds to secure circulation...
50,000.00 Surplusfund
TJ. S. bonds to secure deposits
I
Undivided profits, less current
XJ. S. bonds on hand
expenses and taxes paid
Premiums on TJ. S. bonds
National- bank notes outstanding.
Stocks, securities, etc
99,446. 25
State-bank notes outstanding
Bank'ghouse,furniture, and fixtures
10, 000.00
Otherreal estate and mortg's owned
2, 000. 00
Due to other national banks
Due from other national banks
72, 640. 85 Due to State banks and bankers..
Due from State banks and bankers.
21, 866.74
Due from approved reserve agents.
44,140. 37
Dividends unpaid
Checks and other cash items
3, 979. 08
Exchanges for clearing house
Individual deposits
Bills of other national banks
2,140. 00
United States deposits
Fractional currency, nickels, cents.
75.75
Deposits of U. S.disbursing officers.
Specie
19,590. 00
Legal-tender notes
10,000. 00
Notes and bills rediscounted
U. S. certificates of deposit
Bills payable
Redemption fund with Treas. IT. S.
2,"25O."6o"
Liabilities other than those above
stated . .
546,796.94

Total

Total

$100, 000.00
40,000. 00
11, 083.77
45,000. 00
7, 286.43
42.00
343, 381. 74

546, 796. 94

First National Bank, N e w Milford.
No. 1193.

A. B. MYGATT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents^
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents
Specie
Legal-tender notes
U. S. certificates of deposit.
Redemption fund with Tres U. S.
eas.
Due from Treasurer U. S.
Total.

;338,541. 95
715.79
60, 000. 00

20, 321. 25
7,000 00
10, 691. 23
7, 884. 67
232.83
47, 907. 45
1,155.47

H. S. MYGATT, Cashier.

Capital stock paid in.

$125, 000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

25,000. 00
37, 745. 61
54,000.00

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

8, 873.78

Individual deposits
6, 250. 00 United States deposits
121. 84 Deposits of U.S.disbursingofficers.
16, 642. 00
7, 000. 00 Notes and bills rediscounted.
Bills payable

236, 285.09

260.00

40,000.00

2, 700. 00

Liabilities other than those above
stated
Total.

527,164.48

527,164.48

Central National Bank, Norwalk.
GEO. M. HOLMES, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, tc
Bank'ghouse,furniture,andfixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 2342.
$278, 999. 87
4, 541. 86
25, 000.00
2,875. 00
500.00
3,471. 68
7,000. 00
17,572. 67
11,544.81
3,414. 70

380.00
198. 02
17,894.05
9,504.00
1,125.00
384,021.66

V M . A. CURTIS, Cashier.

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

$100,000.00
20,000.00
13, 871. 96
15, 600.00

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

21,978.58

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

202,451.12

Notes and bills rediscounted.
Bills payable

120.00

10, 000.00

Liabilities other than those above
stated
,
Total.

384,021.66

58

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNE C T I C U T .
Fairfield County- National Bank, Norwalk.

E. 0. KEELER, President.

No. 754.

L. C. GREEN, Cashier.

Liabilities.

Resources.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U S bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks

Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Duo from Treasurer U. S

$294, 255. 59
01.74
200, 000.0C
13, 500. 00
12, 500.00
19, 000. 00
564. 62
28,466. 96
77, 856. 86
3, 052. 22
1, 600. 00
117. 34
12, 415. 50
5,500. 00
9, 000. 00

Capital stock paid in

Due to other national banks
Due to State banks and bankers. .
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursing

13, 200. 00
8, 760.72
180, 000.00
5, 627. 81
825.25
248. 55
269,228. 50

officers.

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

Total

677, 890.83

Total

$200, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

677, 890. 83

National Bank, Norwalk.
No. 942.

EBENEZER HILL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency.nickels, cents.
Specie '.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U.S.
Due from Treasurer U, S

$308,238. 21
468.17
240, 000. 00
100, 000. 00
29,100. 00
126, 083. 75
33, 000. 00
13, 711. 62
58, 995. 02
1, 573. 03
1, 595.00
168.87
12, 872. 94
8, 501.00

$240, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

48, 000. 00
19, 082.86
211, 300. 00

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

24, 903.44
1,725.75

Individual deposits
United States deposits
Deposits ofU.S.disbursing officers.

299, 638.56
95, 000.00

257. 00

Notes and bills rediscounted.
Bills payable

7, 600. 00

Liabilities other than those above
stated
939, 907.61

Total.

H. P. PRICE, Cashier.

Capital stock paid in.

Total.

939,907. 61

First National Bank, Norwich.
CHAS. BARD,

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.



No. 458.
$752,836. 74
736. 98
350,000. 00
34, 000.00
82,029.83
30, 000. 00
5,000. 00
29,120. 33
3, 760. 36
44, 953. 78
16,813.99
6,450. 00
174. 76
22, 304. 00

11, 770. 00
15, 750. 00
1,405, 706.77

F. S.JEROME, Cashier.

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers ..
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

$400, 000. 00
52, 000. 00
6, 095.15
315, 000. 00
46, 698.59
450.83
237.00
578, 716.20

Notes and bills rediscounted
Bills pay able
. . .
Liabilities other than those above
stated
Total

6,509.00
1,405,706.77

REPORT OF THE COMPTROLLER OF THE CURRENCY

59

CONNECTICUT.
Second National Bank, Norwich.
No. 224.

C. P. COGSWELL, President,

IRA L. PECK, Cashier.

Resources.
Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

Liabilities.
$459, 218. 78
1,008.56
50,000.00

Capital stock paid in.

4,500.00
20,466. 34
15,000. 00
4,421.17 Due to other national banks
19,030. 35 Due to State banks and bankers..
180.00
51, 646. 27 Dividends unpaid
6, 921. 85
Individual deposits
5,800.00 United States deposits
580. 64 Deposits oi'U.S.disbursing officers.
38, 028.00
6, 500. 00 Notes and bills rediscounted.
Bills payable
2, 250. 00
Liabilities other than those above
stated
685,551. 96

Total.

$300, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total.

39,900.00
5,839.49
45,000.00
488. 00
841.01
173. 00
293,310.46

685, 551. 96

Merchants' National Bank, Norwich.
J. HUNT SMITH, President.

No. 1481.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$191,131. 86
790. 39
100, 000.00

8, 700.00
5, 000.00

CHAS. H. PHELPS, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Due to other national banks
Due to State banks and bankers..
857. 68
73, 637. 43 Dividends unpaid
1,947.17
Individual deposits
7, 533. 00 United States deposits
115. 53 Deposits of U.S.disbursingofficers.
9,991.45
2, 450.00 Notes and bills rediscounted.
Bills payable
4, 500.00
Liabilities other than those above
stated
406,654.51

Total.

$100, 000. 00
20,000.00
14,648.94
88, 897. 50
12,602.67
759.00
169,746.40

406, 654.51

Thames National Bank, Norwich.
CHAS. W. GALE, Cashier.
No. 657.
$1, 781, 883.19 Capital stock paid in.
Loans and discounts
$1,000, ooo7oo
Overdrafts
2, 635.19
1, 000.000.00 Surplusfund
U. S. bonds to secure circulation...
600,000.00
U. S. bonds to secure deposits
50, 000.00 Undivided profits, less current
U.S. bonds on hand
expenses and taxes paid
128, 036.38
46, 756.44 National-bank notes outstanding.
Premiums on U. S. bonds
899,997. 50
Stocks, securities, etc
769,184. 77 State-bank notes outstanding
BankTghouse,furniture,andfixtures
33,400.00
Other real estate and mortg'sowned
Due to other national banks
33, 263. 53
17, 394. 93 Due to State banks and bankers..
Due from other national banks
404,777.65
153, 370.42
Due from State banks and bankers.
146,555. 22 Dividends unpaid
Due from approved reserve agents.
11, 978.10
2, 293. 92
Checks and other cash items
Exchanges for clearing house
Individual deposits
1, 207,915.14
42, 778.00 United States deposits
Bills of other national banks
45, 000.00
793.47 Deposits of U. S.disbursing officers
Fractional currency, nickels, cents.
216,922. 75
Specie
20,000.00 Notes and bills rediscounted.
Legal-tender notes
Bills payable
U. S. certificates of deposit
45, 000. 00
Redemption fund with Treas. U. S.
2, 000. 00 Liabilities other than those above
Duefrom Treasurer U, S
stated
STEPHEN B. MEECH, President.

Total.




4, 330,968. 30

Total

4,330,968.30

60

REPORT OF THE COMPTROLLER OP THE CURRENCY.
CONNECTICUT.
Uric as National Bank, Norwich.

W. N. BLACKSTONE, President.

No. 1187.

JAMES H. WELLES, Cashier.

Resources.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
IT. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house...
Bills of other national panks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas.U. S.
Due from Treasurer U. S

Liabilities.
$161,047.75
43.40
50, 000.00
2,000. 00
13,735.33
5, 719. 59
2, 912.88
7, 358.17
580.47
2,685.00
190. 46
5, 693. 55
3,000. 00
2,250.00

Capital stock paid in.

Due to other national banks
j
Due to State banks and bankers.. I.
Dividends unpaid.
Individual deposits
United States deposits
DepositsofU.S.disbursingofiicers.

20, 000. 00
7, 033. 50
45, 000.00
531.33
84.00
84, 567. 77

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
,
Total .

257,216. 60

Total.

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

257,216. 60

Pawcatuck National Bank, Pawcatuck.
PELEG S. BARBER, President.

J. A. BROWN, Cashier.

No. 919.

Loans and discounts
Overdrafts
U.S. bonds td secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank 'g h ouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$115,900.43

""" 25," 666.' 66
5,000.00
1,600.00
6, 000. 00
""226*78'
27,973. 03
687. 72
930. 00
10. 00
6,844. 88
958. 00
1,125. 00

Capital stock paid in.

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

7, 325.00
1, 330. 01
22, 500. 00

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

I, 075.71

Individual deposits
United States deposits
Deposits of U.S.disbursingofiicers.

58, 978.02

41.10

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

192,249.84

192,249.84

First National Bank, Portland.
F. GILDERSLEEVE, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S.bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items.
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. ]013.
$126,327.14
101.36
100, 000.00
4,000.00
67, 846. 25
9, 000. 00
4,785.72
36,079.85
878.34
1,750.00
588.85
3,054.05
1, 000.00
4,110.00
359,521.56

JOHN H. SAGE, Cashier.

Capital stock paid in.

$150,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

30, 000.00

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

3, 075. 86
267.48

Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofticers

11, 653. 59
88, 610. 00

63.00
75, 851. 63

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

359, 521.56

REPORT OF THE COMPTROLLER OF THE CURRENCY.

61

CONNECTICUT.
First National Bank, Putnam.
JAMES W. MANNING, President.

No. 448.

J O H N A. CARPENTER, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
j
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures!
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Eedemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

$301,338.52
300. 90
50,000.00

94, 600.00
10, 000. 00

Capital stock paid in.

60, 000.00

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding.

14, 000.41
45,000.00

Due to other national banks
Due to State banks and bankers..
115,448. 27 Dividends unpaid

19, 282.20
271.77

7,510.66

1,868.32

3,000. 00
340. 72
6, 786. 00
12,000.00
2, 250.00
600. 00

136. 00

Individual deposits

317, 353. 01

United States deposits
DepositsofU.S.disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

606, 043.39

Total.

$150, 000.00

Surplus fund

606,043. 39

First National Bank, Rockville.
GEORGE TALCOTT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S. *
Total.

No. 186.
$480,026.27
571.77
50,000. 00
2, 375. 00
75,681.67
5,500. 00
180.04
28, 972. 76
2,163.41
20.00
176.13
10,188. 20
14,291. 00
2, 250. 00
672, 396. 25

JOHN H. KITE, Cashier.

Capital stock paid in

j

$200,000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

40, 000.00

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

15,424. 86

Individual deposits
United States deposits
Deposits ofU.S.disbui'sing officers.

355,501.78

16,335.61
45, 000.00

134.00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated
Total.

672, 396. 25

Rockville National Bank, Rockville.
A. PARK HAMMOND, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
,..
,..
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total .




No. 509.

C. E. HARWOOD, Cashier.

$204,441.47 ! Capital stock paid in.
,
680.33
150,000. 00 Surplus fund
15,000.00
168, 506.25
60, 000. 00

28, 520. 49
637.15
1, 401. 00
281.10
21, 305. 95
14, 355. 00
6, 750.00
671,878.74

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$200, 000.00
43, 000.00
6, 370. 76
133, 050.00

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

11, 690. 72
9, 854.08

Individual deposits
United States deposits
DepositsofU.S.disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

267, 705.18

208.00

671,878. 74

62

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
Southington National Bank, Southington.
No.

CHARLES D. BARNES, President.

2814.

L. K. CURTIS, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on band
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing bouse
Bills of other national banks
Fractional currency,nickels, cents.
Specie
*
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S
Total.

Liabilities.
$178, 697. 79

Capital stock paid in.

25," 666* 66 Surplus fund
1, 500. 00

n," 666! 66'
35,396. 26
29, 030. 46
434. 70
1, 262. 00
96.98
6, 262. 00
1, 000.00
1,125. 00
1, 000.00

$100, 000.00
20, 000. 00

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

6, 476. 64
22, 500. 00

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

20, G05. 52
127. 96

Dividends unpaid

75.00

Individual deposits
United States deposits
DepositsofU.S.disbursiiigofficers.

128, 020. 07

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

297, 805.19

Total.

297, 805.19

First National Bank, South Norwalk.
RUSSELL FROST, President.

No. 502.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bond s to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

$177,798.90

25,666.6b
1, 000. 00
9,156. 84
20,000. 00
3, 628. 26
10, 841. 42
1,285.91
1, 200.
169.
8,147.
3, 000.

00
67
00
00

1,125. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100, 000.00
30, 000. 00
18, 356. 07
21, 900. 00

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

3,175. 30

Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

88, 866. 56

55.07

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

262, 353. 00

Total.

CHARLES E. FERRIS, Cashier.

Capital stock paid in.

Total

262,353.00

City National Bank, South Norwalk.
R. H. ROWAN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U.S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank' g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.

No. 2643.
$276,081. 39
382. 56
65, 000. 0C
2, 636. 50
144,956.49
20,120. 53
2, 230. 90

Total.

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

.83, 000. 00

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

25, 991. 95
3, 277. 26

Individual deposits
United States deposits
DepositsofU.S.disbursing officers.

312, 345. 00

24,494. 37
57, 070. 00

19, 542.10
8, 040. 00
99.12
14, 755. 00
10, 500. 00

Notes and bills rediscounted.
Bills payable

2, 925. 00

Liabilities other than those above
stated
,

Due from Treasurer u, s



JACOB M. LAYTON, Cashier.

Capital stock paid in

606,178. 58

Total .

606,178.58

REPORT OF THE COMPTROLLER OF THE CURRENCY

63

CONNECTICUT.
Southport National Bank, Southport.
No. G60.

E. C. SHERWOOD, President.

0. T. SHERWOOD, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on band
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total .

Liabilities.
$108, 359. 21 Capital stock paid in.
29,105. 70
100, 000. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
129, 225. 00 State-bank notes outstanding
8, 947. 43
Due to other national banks
2, 849. 03 Due to State banks and bankers..
10, 892. 42 Dividends unpaid
11, 357. 83
Individual deposits
,
760. 00 United States deposits
240.18 Deposits of U.S.disbursing officers.
896. 00
9, 420. 00 Notes and bills rediscounted.
Bills payable
4, 500. 00
Liabilities other than those above
stated
416, 552.80

$100, 000. 00
40, 000. 00
17, 384.44
87, 550. 00
29,168. 68
8,169. 73
229. 00
119, 050. 95

15, 000. 00

416, 552.80

Total.

First National Bank, Stafford Springs.
CHARLES L. DEAN, President.

No. 3914.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items.
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$107,728.43
180.71
37, 500. 00

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
3, 000. 00 National-bank notes outstanding.
20, 207. 23 State-bank notes outstanding
15, 000. 00
Due to other national banks
1,132. 32 Due to State banks and bankers..
10, 284. 68 Dividends unpaid.
525.13
Individual deposits
5, 871. 00 United States deposits
114.61 Deposits of U.S.disbursingofficers.
8, 276. 50
Notes and bills rediscounted.
Bills payable
1,687.50
Liabilities other than those above
stated

10,000.00

211, 508.11

Total .

F. Gr. SANFORD, Cashier.

Capital stock paid in.

Total .

7,042.14
33, 250. 00
3, 673. 53
413.33
42.00
107,087.11

211, 508.11

First National Bank, Stamford.
A. R. TURKINGTON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U.S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank 'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents..
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




H. BELL, Cashier.
No. 4.
$415, 317. 29 Capital stock paid in.
$200,000.00
2,221.22
200, 000. 00 Surplus fund
100,000. 00
Undivided profits, less current
expenses and taxes paid
104, 821. 02
4, 250. 00 National-bank notes outstanding.
177, 250.00
298,112. 50 State-bank notes outstanding
35, 000.10
16, 207. 34
Due to other national banks
4, 234. 25
688.20
4, 452. 03 Due to State banks and bankers -.
119, 099. 91 Dividends unpaid
21, 653.15
Individual deposits
563,163.44
1, 000. 00 United States deposits
474.15 Deposits of U.S.disbursingofficers.
26, 863. 50
20, 452. 00 Notes and bills rediscounted.
Bills payable
9, 000. 00
Liabilities other than those above
stated

1,162,130. 00

Total

1,162,130.00

64

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
Stamford National Bank, Stamford.

CHARLES A. HAWLEY, President.

No. 1038.

Resources.
Loans and discounts
*
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S
Total.

"W. L. BALDWIN, Cashier.

Liabilities.
$519,617.75
82.35
200, 000. 00
7,000.00
123,064.17
1,500. 00
2,549. 29
13, 615. 39
9, 759. 58
46,516.81
2, 921.50
1, 220.00
671.25
20,869. 54
20,700. 00
9, 000. 00
5,500. 00
984, 587. 63

Capital stock paid i n .

$202, 020.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

100,000.00
39, 741. 66
176,710. 00

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

30,061. 05

Individual deposits
United States deposits
DepositsofU.S.disbursingoflicers.

425,953.92

10,101.00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

984, 587.63

First National Bank, Stonington.
CHARLES P . WILLIAMS, President.

Loans and discounts
|
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank 'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

No. 735.
$106,292.34
2, 349.98
50, 000. 00

223, 032. 83
2, 000. 00
158.13
48, 261.17
470. 62
985. 00
16.90
13,702. 64
1, 960. 00
2, 250.00

451,479.61

N. A. PENDLETON, Cashier.

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.
Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

5200, 000. 00
67, 000. 00
10, 487.12
43, 767. 00
2, 311. 70
483. 92
832.00
126, 597. 87

451, 479.61

First National Bank, Suffield.
CHAS. L. SPENCER, President.

Loans and discounts
I
Overdrafts
!
U. S. bonds to secure circulation-.. 1
U. S. bonds to secure deposits
|
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalpanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from TreasurerU. S
Total.



No. 497.
$80, 571.07

ioo, 66666
122,000. 00
5, 000. 00
17,568.73
2,039. 58
36,879. 53
2,236. 33
112.21
12, 600.00
3,634.00
4, 500. 00

387,141.45

C. S. F U L L E R ,

Cashier.

!
Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100, 000.~00

Due to other national banks
j
Due to State banks and bankers..
Dividends unpaid.
Individual deposits
United States deposits...1
Deposits of U. S. disbursin g officers.

2,877.08
315.74

50, 000.00
14, 802. 06
88, 650. 00

130,495.97

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

387,141.45

REPORT OF THE COMPTROLLER OF THE CURRENCY.

65

CONNECTICUT.
Thomaston National Bank, Thomaston.
No. 3964.

A. J. HINE, President.

F. I. ROBERTS, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
j
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers
Due from approved reserve agents, j
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
i
Fractional currency, nickels, cents. j
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

Capital stock paid in.

10, 000. 00

13,000.00
33, 683. 77

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

14, 626. 97
2,475.15

10, 842. 56
868.11
4,120. 00
96.40
12,224.80
5,000. 00

2, 729. 20
10,850. 00

Dividends unpaid

33.00

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

105, 869. 50

Notes and bills rediscounted.
| Bills payable
562. 50 j
i Liabilities other than those above

stated

196,583.82 I

Total.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding.

Total.

196, 583. 82

First National Bank, Wallingford.
W. J . LEAVENWORTH, President.

No. 2599.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
j
U. S. certificates of deposit
!
Redemption fund with Treas. TJ. S. j
Due from Treasurer TJ. S

$305,167.20
956. 48
100, 000. 00
11,500.00
2, 000. 00
20, 000. 00
22, 963. 00
4, 793. 53
78, 010. 34
2, 721. 99
2, 000. 00
336. 37
19,411.70
4, 402. 00
4, 500. 00

!

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$150, 000.00
30, 000. 00
24, 823.63
90,000.00

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

17, 025. 79
1,366.10

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

265, 389. 59

157.50

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated

Total .

578, 762. 61

Total.

V M . H. NEWTON, Cashier.

Capital stock paid in

578, 762.61

Fourth National Bank, Waterbury.
No. 3768.

D. S. PLUME, President.

$419,326. 25
5,152. 28
25, 000.00

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house. -.
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates oi' deposit
Redemption fund with Treas. U. S.
Due from TreasurerU, S
Total


CUR 99, YOL 2


B. G. BRYAN, Cashier.

16, 000. 00
42, 733. 30
61,118.67

!

$ 100,000.00

Surplus f und
j
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

50,000. 00

Due to other national banks
|
Due to State banks and bankers..!
Dividends unpaid.

12, 495. 03

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

159, 583.75

Capital stock paid in

607,849.16

23,040.00
652.15
10, 902. 55
30, 246. 00 Notes and bills rediscounted
>
Bills payable
j
1,125. 00
Liabilities other than those above I
stated
j

!

5

795, 573. 83

Total .

4, 819. 64
20,350.00

60.00

795,573.83

66

REPORT OF THE COMPTROLLER OF THE CURRENCY.
C ON B T E C T I C U T .
Citizens' National Bank, Waterbury.
No. 791.

F. J . KINGSBURY, President.

F . L. CURTISS, Cashier.

Resources.

Liabilities.
$713,610.03
8, 283. 76
80, 000. 00

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.

3,000.00
201, 000.00
65, 299. 60
8, 013.16
250, 228. 59
6.855.14
9,448. 00
527. 00
42, 028.18
4,000. 00

Capital stock paid in.

$300, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100, 000. 00

Due to other national banks
Due to State banks and bankers..
Dividend s unpaid

104, 528.47
11, 777.76

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

794, 814.06

20, 249. 07
70,160.00

364.10

Notes and bills rediscounted.
Bills payable

3,600.00

Liabilities other than those above
stated

Due from Treasurer TJ. S

1,401,893. 46

Total.

Total

1,401,893.46

Manufacturers' National Bank, Waterbury.
GrEO. W. BEACH, President.

No. 2494.
$407, 016. 91
341.06
25, 000. 00

Loans and discounts.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'g house, furniture,and fixtures
Other real estate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S

35,150. 00
5, 500. 00
19,912.05
3,485. 98
122,381. 85
5, 370. 64
1, 030. 00
908. 87
63, 986. 65
2,000. 00
1,125. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding..
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

$100,000.00
20,000.00
22,145. 20
22,500. 00
30, 628.15
60.00
497,875. 66

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

693,209.01 |

Total.

CHAS. F . MITCHELL, Cashier.

Capital stock paid in.

Total .

693, 209. 01

Waterbury National Bank, Waterbury.
J . S. ELTON, President.

No. 780.

Loans and discounts
$1,135,177.53
Overdrafts
7,482.46
U. S. bonds to secure circulation... i
100, 000. 00
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
105, 000.00
Bank'ghouse,furniture,and fixtures
25, 000.00
Other real estate andmortg's owned
21, 500. 00
Due from other national banks
I
112, 584. 06
Due from State banks and bankers.
2, 300.15
Due from approved reserve agents.
116, 529.10
Checks and other cash items
54, 859. 96
Exchanges for clearing house
Bills of other national banks
14,310.00
Fractional currency, nickels, cents.
3, 759.44
Specie
126, 850. 00
4, 550. 00
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U . S .
4, 500.00
Due from Treasurer U. S
|
3, 700. 00
Total




;

1, 838,102. 70

A U G . M. BLAKESLEY, Cashier.

Capital stock paid in.

$500,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

250, 000.00

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

72, 023. 57
13,103.12

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

878,524.53

33, 629.48
90,000. 00

822. 00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

1,838,102.70

REPORT OF THE COMPTROLLER OF THE CURRENCY.

67

CONNECTICUT.
First National Bank, Westport.
-, President.

No. 394.

B. L. WOOD WORTH, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

Liabilities.
$65, 686. 72 Capital stock paid in
74.81
90, 000. 00 Surplusf and
Undivided profits, less current
expenses and taxes paid
3, 600. 00 National-bank notes outstanding.
133,145. 71 State-bank notes outstanding
15, 000. 00
Due to other national banks
1,194. 71 Due to State banks and bankers..
39,818.32 Dividends unpaid
379.13 i
Individual deposits
690.66 I United States deposits
88.86 | DepositsofU.S.disbursingofficers.
11,744.50
4,000.00 Notes and bills rediscounted.
Bills payable
4, 050.00
Liabilities other than those above
stated

$100, 000. 00
60, 000. 00
6,342.41
79,997.50
5,123. 38
22.97
360. 00
117, 626. 50

Total .

19, 472. 76

369,472. 76

First National Bank, Winsted.
No. 2414.

D. STRONG, President.

Loans and discounts
I
Overdrafts
U. S. bonds to secure circulation... j
U. S. bonds to secure deposits
!.
U. S. bonds on hand
!.
Premiums on U. S. bon ds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing h o u s e . . . . . .
Bills of other national banks
I
Fractional currency, nickels, cents. i
Specie
Legal-tender notes
I
U. S. certificates of deposit
I
Redemption fund with Treas. U. S.!
Due from Treasurer U. S
Total.

$99, 423.14

FRANK D. HALLETT, Cashier.

Capital stock paid in

j

$75, 000. 00

I Surplusfund
!
' Undivided profits, less current j
expenses and taxes paid
|
477. 00 National-bank notes outstanding. I
21, 002. 39 State-bank notes outstanding
I
1, 449. 79
742. 97 I Due to other national banks
332.42 Due to State banks and bankers..
784. 30
95,817.21 Dividends unpaid
1, 200.18
I Individual deposits
3, 400. 00 I United States deposits
22.33 | Depositsof U.S.disbursingomcers.
3,636.55
8,516.00 I Notes and bills rediscounted.
j Bills payable
1,125.00
I Liabilities other than those abov
stated

13, 800.00

"25," 000." 66"

262,929.28

Total.

5,945.68
22, 500. 00
6, 284.40
4, 994. 50
51.00
134, 353. 70

262, 929. 28

Hurlbut National Bank, Winsted.
HENRY G-AY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents .
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from TreasurerU.S
Total.




C. B. HOLMES, Cashier.
No. 1494.
$511,230.64 I Capital stock paid in
I
j $205,000. 00
4,554.37
100,000.00 I Surplusfund
j 102, 500. 00
Undivided profits, less current
400.00
expenses and taxes paid
23,461. 21
National-bank notes outstanding.! ]
90, 000. 00
State-bank notes outstanding
'36, 000. 00
697.19 Due to other national banks
i
24,202.22
11,674.45 Due to State banks and bankers.. !
5, 703. 69
7, 300. 08
l
151, 845.28 Dividends unpaid
4, 026. 26
Individual deposits
j 437, 366. D9
204. 00 United States deposits
j
2,159. 34 Deposits of U.S.disbursingofficers.!
30, 797. 50
22, 845. 00 Notes and bills rediscounted
Bills payable
4, 500. 00
Liabilities other than those above
stated

8, 234.11

Total.

888,234.11

68

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNE C T I C U T .
Windham National Bank, Willimantic.

GUILFORD SMITH, President.

No. 1614.

H. C. LATHROP, Cashier.

Resources.
Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total.




Liabilities.
$397, 641. 88 Capital stock paid in.
107.70
35, 000. 00 Surplusfund
50, 000. 00 Undivided profits, less current
2, 800. 00
expenses and taxes paid
6, 732. 50 National-bank notes outstanding.
168, 844. 75 State-bank notes outstanding
14, 000. 00
Due to other national banks
10, 665.71 Due to State banks and bankers..
897.19
99, 289. 21 Dividends unpaid.
8, 856. 02
Individual deposits.
2,170. 00 United States deposits
254.87 Deposits of U.S.disbursingofncers.
52, 848. 90
Notes and bills rediscounted.
Bills payable
1, 575. 00
Liabilities other than those above
stated
851,683. 73

Total .

$100,000.00
50, 000. 00
22,414.84
31, 500.00
10, 544.17
4,810.19
1, 608. 00
581, 806.53
49,000. 00

851, 683. 73

69

REPORT OF THE COMPTROLLER OP THE CURRENCY.
DELAWARE.
Delaware City National Bank, Delaware City.
H E N R Y CLEAVER,

No. 1332,

President.

F. MCINTIRE,

Resources.

Cashier.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate a n d m o r t g ' s owned
Due from other national banks
Due from State b a n k s and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S

$129, 796. 38
52.66
46, 000. 00
2, 000. 00
5,125. 00
8, 500. 00
3, 677. 63
429. 61
12, 525. 23
458. 22
50.00
260. 44
6, 430. 00
3.260. 00

Capital stock paid i n . . .

2, 698. 78
39,100. 00

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

4,100.81
1, 955. 38

20, 000. 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

92, 780. 20

Notes and bills rediscounted.
Bills payable

2, 070. 00
Liabilities other than those above
stated
220, 635.17

Total .

$60, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid.
National-bank notes outstanding.
State-bank notes outstanding

Total.

220, 635.17

First National Bank, Dover.
H . A . RICHARDSON,

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate andmortg's owned
Due from other national banks
Due from State b a n k s and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund w i t h Treas. U. S.
Due from Treasurer U. S

1, 000. 00
3, 500. 00
153, 200. 00
12, 000. 00
350. 00
7,162. 46
1, 285. 46
65,264.98
5, 478. 05
1,215.00
683.66
16, 850. 00
13, 620. 00

President.

Cashier.

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes o u t s t a n d i n g . . . . .

25, 000. 00
13, 903.40
45, 000. 00

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

9, 992. 47
1,985.09

Dividends unpaid
324, 375. 70

Individual deposits
United States deposits
Deposits of U.S.disbursing officers.
Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total

First National Bank, Harrington.
No. 3883.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents Checks and other cash items.
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.



J O H N S. COLLINS,

Capital stock paid in.

2,250.00

470,256.66 I

Total.

WILLIAM THARP,

No. 1567.
$136, 275. 92
121.13
50, 000. 00

$106,809. 89
198. 61
12, 500. 00
1,300. 00
5, 000. 00
5, 274.47

|

W. T. SHARP, Cashier.

Capital stock paid i n .

550, 000. 00

Surplus fund
Undivided profits, less c u r r e n t
expenses and taxes paid
National-bank notes o u t s t a n d i n g .
State-bank notes outstanding
Due to other national b a n k s

"""799.' 94"
515.83
28, 007. 42
207. 02

470,256. 66

>

Due to State banks and bankers..!
Dividends unpaid
\

; Individual deposits
""I,"255." OO' I United States deposits
j.
62.81 j DepositsofU.S.disbursingofficers- .
3,110. 50
3, 000. 00 Notes and bills rediscounted.
I Bills payable
562.50
Liabilities other than those above

1, 505. 00
1, 958. 52
11, 250.00
3, 580.06
537.40
75.00
98. 01

stated

168, 603. 9

Total .

168, 603. £

70

REPORT OF THE COMPTROLLER OF THE CURRENCY.
DI^LAMAHE.
Lewes National Bank, Lewes.
No. 5148.

JOHN F. SIPPEL, President.

WALTER SPARKLIN, Cashier.

Kesourcea.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash item s
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S
Total.

Liabilities.
$69,346.33
120. 01
12,500.00
1,125.00
700. 00
2,121. 85

3, 771. 69
382. 93
60.00
174.94
1,552.80
2, 735. 00
562. 50

Capital stock paid in.

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding..
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..

483.62
11,250.00
2,168. 66
628. 47

Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

30, 622. 30

Notes and bills rediscounted...
Bills payable
Liabilities other than those above

stated

95,153.05

Total.

95,153.05

Citizens' National Bank, Middletown.
JOSEPH BIGGS, President.

No. 1181.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$159,812. 97
230. 25
80, 000. 00
5, 000. 00
6, 835.00
13.000.00
3, 000. 00
11,790. 22
2, 424.16
21,830. 65
2, 525. 00
435. 29
11, 900. 00
6, 000. 00
3, 550. 00
1, 430.00

JOHN S. CROUCH, Cashier.

Capital stock paid in.

$80, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

14, 500. 00

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

9,120.62
6, 764.50

Individual deposits
j
United States deposits
DepositsofU. S. disbursingofncers. .

2, 236. 76
72, 000. 00

145,141. 66

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

329, 763.54

329,763.54

People's National Bank, Middletown.
G. W. " * NAUDAIN, President.
W.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits

U. S. bonds on hand
Premiums on U. S. bonds

Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie»
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 3019.
$125,564.56
139. 74
51, 000. 00
2,800.00
7, 910.00
11,500.00
5,858. 48
14,196.97
408. 05
3, 530. 00
159. 45
5,479.60
3,300. 00

G. D. KELLEY Cashier.

Capital stock paid in.

$80,000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding..
State-bank notes outstanding

11,500.00

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

2, 348. 21
4., 158.61

Individual deposits
United States deposits
Depositsof U .S.disbursing officers.

18, 341.05

1, 893. 98
45,900. 00

Notes and bills rediscounted.
Bills payable

2, 295. 00

Liabilities other than those above
stated
234,141.85

Total .

234,141.85

REPORT OP THE COMPTROLLER OF THE CURRENCY.

71

DELAWARE,
First National Bank, Milford.
No. 2340.

JAMES M. HALL, President.

J. B. SMITH, Cashier.

Kesources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
j
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank 'g house, furniture, and lixturei
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

$219, 300. 52 I Capital stock paid in
j
6.87
60, 000. 00 ! Surplus fund
I
| Undivided profits, less current
" "35,"060." 00' [ expenses and taxes paid
6, 566. 00 i| National-bank notes outstanding, j
140,534.50
State-bank notes outstanding-....'•
4, 000. 00
Due to other national banks
2, 415. 23 Due to State banks and bankers
3, 838. 63
55,037. 92 j; Dividends unpaid
420. 00
I Individual deposits
!
""""715*66" \ United States deposits
|.
112. 00 |! Deposits of U.S.disbursingofficers.
18, 026. 70
12,115. 00 Notes and bills rediscounted.
Bills payable
2,700.00
Liabilities other than those above j
stated
;
560, 848. 37

bal.

Total

;

$60,800.00
60,800.00
42,005.05
51,940.00
7, 889. 38

337, 413. 94

560, 848. 37

National Bank, Newark.
JOHN PI

No. 1536.

•LING, President.

.Loans ai d discounts
Overdra "ts
TJ. S. bo: ds to secure circulation-..
TJ. S. bo: ds to secure deposits
TJ. S. boi ds on hand
Premiui is on TJ. S. bonds
Stocks, ecurities, etc
Bank'g ouse,furniture,and fixtures
Other r<ejal estate and mortg's owned
Due fro other national banks
\
Due froi State banks and bankers.
Due froi approved reserve agents.
Checks jid other cash items
Exchan ;es for clearing house
Bills of >ther national banks
Fractioi alcurrency, nickels, cents.
Specie .
Legal-t€ net notes
l-t€ ider
U.S. cer iticates of deposit
Redemp bion fund with Treas. U. S.
Due fro ti Treasurer IT. S
T<

tal.

GEOKGE "W. LINDSAY, Cashier.

$131,822.32 ;[ Capital stock paid ir

$50, 000.

32, 500. 00 ; Surplus fund
;
Undivided profits, less current i
I expenses and taxes paid
j
! National-bank notes outstanding.'
25, 477.74 J State-bank note.s outstanding
16, 400. 00
12, 200. 00 I Due to other national banks
6,166. 24 j! Due to State banks and b a n k e r s . .
1
:
24,768.63 I Dividends unpaid
1,621.42
Individual deposits
2, 850. 00
United States deposits
198. 97
Deposits of U.S.disbursingofticers
14, 800. 00
3, 500.00
Notes and bills rediscounted.
Bills payable
1, 462. 50
Liabilities other than those above
stated
I
273, 767. 82

Total .

30, 000.
786.
29, 250.
4. 685.
3, 049.
110.
155,043.

843.12
273, 767. 82

Newport National Bank, Newport.
J.W.H

"WATSON, President.

No. 997.

DANIEL GREEN, Cashier.

Loans and discounts
|
$140,141. 34 Capital stock paid in.,
Overdrafts
I
2.30
!
75, 000. 00
U. S. bonds to secure circulation... j
Surplus fund
U. S. bonds to secure deposits
j[ ..
.
Undivided profits, less current i
TJ. S. bonds on hand
...
expenses and taxes paid
j
Premiums on U. S. bonds
|
1,500.00 ! National-bank notes outstanding J
Stocks, securities, etc
State-bank notes outstanding
L
6, 000. 00 I
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned!...
Due to other national banks
Due from other national banks
j
4,189. 73 Due to State banks and bankers.
Due from State banks and bankers.
3, 438. 70
Due from approved reserve agents.
7, 426. 47 Dividends unpaid
1,748.87
Checks and other cash items
|
Exchanges for clearing house
j...
Individual deposits
Bills of other national banks
!...
United States deposit;
86.33
Fractional currency, nickels, cents. J
Depositsof U.S.disbursing officers
6,468.10 '
Specie
'
|
1,822.00
Notes and bills rediscounted
Legal-tender notes
!
U. S. certificates of deposit
Bills payable
3, 370. 00
Redemption fund with Treas. TJ. S-i
Liabilities other than those above ;
Due from Treasurer TJ. S

$75,000.00
30, 000. 00
1, 635.10
66, 645. 00
6, 396. 04
64. 00
71, 453. 70

s tated

Total.




251,193.84

Total .

251,193. 84

72

REPORT OF THE COMPTROLLER OF THE CURRENCY.
DELAWARE.
New Castle County National Bank, Odessa.

JOHN C. CORBIT, President.

No. 1281.

J. L. GIBSON, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U.S.bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$131,199. 27
124.25
75, 000. 00
3, 200.00
6, 369. 82
9, 500. 00
8, 568. 83
2,277.18
5,577' 77"
303.95
2,642." 00
182. 08
6, 327. 70
3,942. 00
3,375.00

Capital stock paid in

25, 000. 00

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

4, 054. 90
319.16

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.

84, 666. 39

2,049.40
67, 500. 00

Notes and bills rediscounted
Bills payable
Liabilities other than those above

stated

258,589.85

Total.

$75,000.00

fund
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total.

258,589. 85

First National Bank, Seaford.
No. 795.

P H I L I P L. CANNON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total.

$249,052.88
150. 07
38, 000. 00
2, 000.00
1,650.00
60, 725.00
6, 000. 00
14,884.31
4, 482. 68
47, 765. 39
274.25

"5,235.66
160.51
17,168. 00
3, 500.00
1,710.00
452, 758.09

H. W. BAKER, Cashier.

Capital stock paid in .

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

50, 000.00

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

8,135. 52
6, 401. 44

Individual deposits
United States deposits
Depositsof U.S. disbursing officers.

285, 731. 50

21,779.63
30, 710. 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

452, 758.09

Sussex National Bank, Seaford.
J. J. Ross, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U.S. bonds to secure deposits

U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estateand mortg's owned
Due from other national banks
Due from State banks and bankers Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total.



CLARENCE DONOHO, Cashier.
No. 3693.
Capital stock paid in.
$50, 000.00

$64, 308.99
156.12
12, 500. 00

5, 637. 00
6,134.13
753.18
3,455.60
13,462.77
37.82
45.00
500.54
11, 094.20
11,410.00
562.50
130,057.85

Surplus fund
Undivided profits, less current j
expenses and taxes paid
j
National-bank notes outstanding. I
State-bank notes outstanding
|

5,171.17
10, 750. 00

Due to other national banks
Due to State banks and bankers .. |
Dividends unpaid

2,135.17
106. 02

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

61, 895. 49

Notes and bills rediscounted
Bills payable

j.
j.

Liabilities other than those above
stated
Total.

130, 057. 85

REPORT OF THE COMPTROLLER OF THE CURRENCY.

73

1>E LAWABE.
Fruit Growers' National Bank, Smyrna.
JOHN H. HOFFECKER, President.

No. 2336.

N. F. WILDS, Cashier.
Liabilities.

Resources.
Loans and discounts.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
!
J3ank'ghouse,furniture,and fixtures!
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels,cents.
Specie
'.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$160, 284. 29
20, 000. 00

26, 500. 00
10,000. 00
18.25
31, 243.05

617. 00
141.62
2, 638. 46
10, 074. 00
900. 00

Capital stock paid i n . .

Due to other national banks
Due to State banks and b a n k e r s . .

2, 700. 00
1,154.81
18,000.00
5, 274. 25

Dividends unpaid

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

155, 957. 61

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

Total.

263, 086. 67

Total.

$80, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

263, 086.67

National Bank, Smyrna.
No. 2381.

W. H. JANNEY, President.

Loans and discounts
Overdrafts
|
U. S. bonds to secure circulation... i
U. S. bonds to secure deposits
|
U. S. bonds on hand
\
Premiums on U. S. bonds
Stocks, securities, etc
j
Bank'ghouse,furniture, and fixtures j
Other real estate and mortg's owned!
Due from other national banks
|
Due from State banks and bankers. j
Due from approved reserve agents. j
Checks and other cash items
!
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

96, 738. 55
69.67
75, 000.00
3, 750.00
47, 501.08
14, 623. 68
45, 284. 66
3,153. 94
13, 026.89
162. 75
200. 00
216. 23
12, 238. 50
8,510. 00
3, 375.00

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

45,000. 00

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

10, 581.52
1,856.60

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

196, 582. 39

3, 282. 94
66, 547. 50

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated

423, 850. 95

Total.

EUGENE DAVIS, Cashier.

Capital stock paid in.

Total .

423, 850. 95

First National Bank, Wilmington.
JAMES P. WINCHESTER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers .
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.



HENRY BUSH, Cashier.

No. 473.
5802, 511. 03
43.01
50,000. 00
50,000.00
7, 500. 00
280,074. 00
8,000. 00
8,750. 00
5, 894. 44
9, 547. 64
247, 281. 53
2, 903. 57
4, 881.10
4, 574. 00
822. 24
49. 869. 45
6, 000. 00
2, 250. 00
1, 000. 00
1,541, 902. oT

Capital stock paid in.

$500,000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100, 000. 00

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

42, 512.40

Dividends unpaid
Individual deposits.. „ „
United States deposits
Deposits of U.S.disbursing officers.

20, 787.40
45, 000. 00

157. 50
783,520.51
38,102.35
11,821.85

Notes and bills rediscounted .
Bills payable
Liabilities other than those above
stated
Total.

1, 541, 902. 01

74

REPORT OF THE COMPTROLLER OF THE CURRENCY.
DELAWARE.
Central National Bank, Wilmington.

PHILLIP PLUNKETT, President.

No. 3395.

H. P. KUMPORD, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
*
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Liabilities.
$418, 631.12
36. 82
50, 000.00

Capital stock paid in

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

3, 500. 00
19,997.50
71,554.56
10, 745. 70
21,893.33
83, 265. 54
3, 302. 28
4,123.14
2, 090. 00
165. 71
13, 993.15
22,427.00

50,000. 00

25, 066. 87

5, 917. 80
43, 750.00

Dividends unpaid

60.00

Individual deposits
United States deposits
DepositsofU.S.disbursingofiicers.

393,181.18

Notes and bills rediscounted
Bills payable .

2, 250.00
i

Liabilities other than those above
stated

727, 975: 85

Total

$210, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding .
State-bank notes outstanding

Total

727, 975.85

National Bank of Delaware, Wilmington.
HENRY G-. BANNING, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
I.
U. S. bonds on hand
I.
Premiums on U. S. bonds
Stocks, securities, etc
|
Bank'g house, furniture, andfixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

H. BAIRD, Cashier.

No. 1420.

$479,731.45
84.32
27, 500. 00

20, 506. 93
40, 000. 00
13,127.19
6,848. 89
44, 536. 82
17, 835. 05
2,856. 93
6, 960. 00
1, 439. 76
62,121. 50
3, 739. 00
1, 237. 50

Capital stock paid in

$110, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

130, 000.00
9,376.06
24, 750. 00
543. 50

Due to other national banks
i
Due to State banks and bankers.. i.
Dividends unpaid.

27,174. 37

Individual deposits
\
United States deposits
j
Deposits of U.S.disbursing officers.'.

425, 971.41

710. 00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

728,525.34

Total.

728, 525.34

National Bank of "Wilmington and Brandywine, Wilmington.
GEORGE S. CAPELLE, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
IT. S. certificates of depositRedemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 1190.
;986, 375.11
1, 219.45
50, 000.00
4, 000. 00
39,412. 50
46, 000. 00
7, 824.32
2, 346. 60
126, 994.93
593. 47
5,092.80
1, 060. 00
708. 89
36,021. 25
11,130.00
2, 250.00
1, 321,029. 32

CALEB M. SHE WARD, Cashier.

Capital stock paid in.

$200, 010.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding

150, 000. 00

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

34,061.36
10, 969. 83

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

841, 268.07

39, 748. 96
43, 640. 00

1,331.10

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total

1, 321, 029. 32

REPORT OF THE COMPTROLLER OF THE CURRENCY

75

DELAWARE .
Union National Bank, Wilmington.
PRESTON LEA, President.

No. 1390.

JOHN H. DANBY, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




Liabilities.
$1,121,569.13
469. 30
50, 000. 00
6,000. 00
166, 305.37
50,000.00
19, 557.01
47,810. 59
26, 005. 61
275, 065. 05
12,938.43
18, 039. 73
22, 515.00
864. 75
102,130. 63
23, 721. 00

Capital stock paid in.

$203,175. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

210, 000.00

Due to other national banks
{
Due to State banks and b a n k e r s . . |

22,194.11
729.71

Dividends unpaid

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

112,232.23
41, 250.00

58.12
1, 355, 602.43

Notes and bills rediscounted.
Bills payable

2, 250.00

Liabilities other than those above
stated
1,945,241.60

Total.

1, 945,241. 60

76

REPORT OF THE COMPTROLLER OF THE CURRENCY.
DISTRICT

OF

COLUMBIA.

Second National Bank, "Washington.
No. 2038.

M. Gr. EMERY, President.

JOHN C. ECKLOFF, Cashier.

Resources.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
'.
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. SDue from Treasurer TJ. S

Liabilities.
$807, 515. 08
469. 74
50, 000. 00
1, 797. 51

Capital stock paid in

$225, 000. 00

4, 338.16
44, 300. 00

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

21, 870. 59
3,241.83

90, 000. 00

115,850.00
41,361.13
188.00
177, 335. 78
93, 196. 63
19, 567. 65
980. 00
516. 94
287, 034. 00
50, 000. 00
2, 250. 00

404. 50

Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits of U.S.disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

1, 648, 062.46

x Total .

j

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-batik notes outstanding

1, 255, 929. 42
2,977.1)6

1, 648, 062. 46

Central National Bank, "Washington.
C. F. NORMENT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other »eal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
\
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

No. 2382.
$814, 363. 05
232. 83
200, 000. 00
210,000.00
'"" 35, 800"6o"
2, 966. 00
199, 000. 00
711.30
85, 834. 64
3,253.10

A. B. R U F F , Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..

210,146.18 Dividends unpaid
22, 788. 83
21, 495. 04 Individual deposits
1, 280. 00 Certified checks
332. 31 United States deposits
178,124. 00 Deposits of U.S.disbursing officers.
157,127. 00 Notes and bills rediscounted
9, 000.00 Bills payable
Liabilities other than those above
stated
Total .

2,152,454. 28

$200,000.00
60, 000. 00
10, 604.59
180, 000. 00
27, 679. 29
23, 348.49

1,444,907. 48
2, 984. 66
169, 745.36
33,184.41

2,152,454. 28

Citizens' National Bank, Washington.
E. S. JOHNSON, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankersDue from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 1893.
$976,196. 55
243. 00
50, 000. 00
2, 600. 00
209.75

THOS. C. PEARSALL, Cashier.

Capital stock paid in

$300, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

120,000.00

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

22, 033.14
6, 757.13

Individual deposits
Certified checks
United States deposits
Deposits of U.S.disbursing officers.

1,238,280.68
7,275.15

24, 505. 39
42, 980. 00

99, 583. 94
" 5 8 , 880." 73'
3, 237.80
364,125.43
10, 236. 71
15, 990. 78
1, 680. 00
802. 80
122, 713. 00
53, 675. 00
2, 250. 00

1, 762,431.49

600. 00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

1, 762, 431.49

77

REPORT OF THE COMPTROLLER OF THE CURRENCY.
D I S T R I C T OF
COLUMBIA,
Columbia National Bank, Washington.
ALBERT F . F O X , President.

No. 3625.

CLARENCE CORSON, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premi urns on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

Liabilities.
$1,010,611.07
924. 88
80, 000. 00
81, 000. 00
3,450. 00
25, 000. 00
72, 079. 21
4,500. 00
187, 481.10
248, 094. 42
21, 560. 03
19,804.16
2, 525. 00
543. 58
132,378.50
50,175. 00
3, 600. 00

Capital stock paid in

100, 000. 00

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

40, 665. 29

36, 829. 26
70, 900. 00

187. 50
1, 427, 694. 90
23, 450. 00

Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits of U.S. disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

1, 949, 726.95

Total.

$250,000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

I 1, 949, 72G. 95

Farmers and Mechanics' National Bank, Washington.
S. THOMAS BROWN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
!
Premiums on U. S. bonds
j
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractionalcurrency, nickels, centsSpecie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.

Due from Treasurer U. S

No. 1928.
$926,292. 05
939.12
250, 000. 00

E. P. BERRY, Cashier.

Capital stock paid in

$252, 000. 00

S u r p l u s fund..
]
U n d i v i d e d profits, less c u r r e n t
1,200.00 i
e x p e n s e s a n d t a x e s paid
National-bank notes outstanding. j
"239," 380." 66" State-bank n o t e s o u t s t a n d i n g
23, 000. 00
3,135. 60
Due to other national banks
j
16, 608. 97
D u e t o State b a n k s a n d b a n k e r s . . j
87.79
I
349, 977. 57
Dividends unpaid
15, 613.15
I n d i v i d u a l deposits
1,
" i , 2 9 5 . 00
U n i t e d States deposits
235. 81 Deposits of U.S.disbursingofficers.
234, 387. 60
50, 847. 00
N o t e s a n d bills r e d i s c o u n t e d .
Bills payable
11, 250. 00
Liabilities o t h e r t h a n those above

150,000.00
81, 726. 99
225, 000. 00
22,436. 30
518. 38
5, 700. 00
386, 867. 99

stated

Total.

2,124,249. 6

Total.

2,124, 249. 66

Lincoln National Bank, Washington.
J . B. WILSON, President.

Loans and discounts

Overdrafts
U. S. bonds to secure circulation...!
U. S. bonds to secure deposits
U. S. bonds on hand
!
Premiums on U. S. bonds
Stocks, securities, etc
|
Bank'ghouse,furniture,andfixtures|
Other real estate and mortg's owned
Due from other national banks
Due from State banks andbankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
!
Bills of other national banks.
Fractionalcurrency, nickels, cents. !
Specie
Legal-tender notes
'
U. S. certificates of deposit
Redemption fund with Treas. U . S .
Due from Treasurer U, S

Total.



No. 4247.
$469, 717.16
75. 25
50, 000. 00
5, 500. 00
17, 001. 25
102, 817. 31
3,276.21
24, 329. 62
4,130. 01
86, 845. 84
16,438.09
7, 906. 47
51. 93
27,485.00
115, 247. 00
2, 250. 00
933,071.14 I

F. A. STIER, Cashier.

Capital stock paid in

j

$200, 000.00

Surplus fund
1
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
!

30,000. 00
328.15
45, 000. 00

Due to other national banks
i
Due to State banks and bankers..!
j

631.00

Individual deposits
!
Certified checks
j
United States deposits
Deposits of U.S.disbursingofficers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

Dividends unpaid

654, 404. 84
2, 707.15

Total.

933,071,

78

REPORT OF THE COMPTROLLER OF THE CURRENCY.
DISTRICT

OF

COLUMBIA.

National Bank, Washington.
No. 3425.

C. A. JAMES, President.

CHAS. E. W H I T E , Cashier.

.Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oank s
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Liabilities.
$541,942.99
140. 26
50, 000.00
115,000. 00
194, 750. 00
15,000.00
1, 206. 41
509, 482.17
716.38
444, 819. 30
24,426.50
880.00
2,792.47
499,176. 65
30, 750. 00
250,000

$200, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

250, 000.00

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

49,749.91
4, 900.65

Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits of U.S.disbursing officers.
Notes and bills rediscounted
Bills payable

58, 087. 32

2,112, 766.29
5,578.96

Liabilities other than those above
2, 681, 083.13

Total

Capital stock paid in

stated
Total

2, 681, 083.13

National Capital Bank, Washington.
JOHN E. HERRELL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures I
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total

No. 4407.
$637, 572. 96
256.48
55, 400. 00
11, 000.00
4,601. 50
116,467.63
50,000'. 00
6, 235. 00
56,378.36
137.15
191,219.28
6, 985. 24
11,127. 45
40.88
141,192. 00
2, 492. 50
.50

H. H. M C K E E , Cashier.

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
Certified checks
United States deposits
Depositsof U.S.disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

1,291,106.93

Total

$200, 000.00
70,000.00
20, 719.06
28,100. 00
6, 643. 73
62,725. 89
159.00
900, 725. 89
2, 033.36

1,291,106.93

National Metropolitan Bank, Washington.
E. S. PARKER, President.

No. 1069.

Loans and discounts
I $1,527,451.52
Overdrafts
I
2,174.28
U. S. bonds to secure circulation...
300, 000.00
300, 000. 00
TJ. S. bonds to secure deposits
U. S. bonds on hand
2, 400. 00
20,420. 00
Premiums on TJ. S. bonds
362, 617. 55
Stocks, securities, etc
65, 000. 00
Bank'ghouse,furniture,andfixtures
2, 300. 00
Other real estate and mortg'p owned
332, 896.16
Due from other national banks
36,762. 56
Due from State banks and bankers.
465,491. 52
Due from approved reserve agents.
42,814. 89
Checks and other cash items
11,939.22
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
283.60
110,933.00
Specie
105, 250. 00
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
13,500.00
^)ue from Treasurer U.S
Total.



3, 702, 234. 30

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

-, Cashier.
$300,000.00
400, 000. 00
103, 914.39
262, 950. 00

81,587. 66
Due to other national banks
212, 901.83
Due to State banks and bankers..
1, 679. 00
Dividends unpaid
2, 037, 685. 32
Individual deposits
16, 516.10
Certified checks
285,000.00
United States deposits
Deposits of U. S.disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
3,702,234.30
Total .

REPORT OF THE COMPTROLLER OF THE CURRENCY.
DISTRICT

79

OF COLUMBIA.

Riggs National Bank, Washington.
CHARLES C. GLOVER,

No. 5046.

President.

A R T H U R T. BRICK, Cashier.

Liabilities.

Resources.
Loans and discounts
j $3, 076, 717. 69
10, 482. 82
Overdrafts
50, 000. 00
U. S. bonds t o secure c i r c u l a t i o n . . .
U. S. bonds to secure deposits
6, 210. 00
U. S. bonds on band
Premiums on U. S. bonds
142, 756.33
Stocks, securities, etc
j
140,000.00
Ban k' g house,furniture,an dfixtures!
Otber real estate and n i o r t g s owned
Due from other national banks
j ""462",' 468." 74"
304,156.34
Due from State b a n k s and bankers, j
1, 548, 912. 64
Due from approved reserve agents.
204, 586. 60
Checks and otber ca-sbitems.
|
31, 391.14
Exchanges for clearing bouse
Bills of otber national b a n k s
354. 23
Fractional currency, nickels, cents.
594,040. 00
Specie
j
52, 000. 00
Legal-tender notes
j
195, 000. 00
U. S. certificates of deposit
|
Redemption fund with T r e a s . U . S.
Due from Treasurer TJ, S

Total.

Capital stock paid in

$500, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

100, 000. 00
166, 295.04

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

31, 046. 32
12,349.85

S

Dividends unpaid
I
Individual deposits
! 5,891,115. 87
Certified checks
58, 269.45
United States deposits
Deposits of U.S. disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

6, 759, 076.53

6,759,076.53

Traders' National Bank, "Washington.
No. 4244.

GEORGE C. HENNING, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on band
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g bouse,furniture,and fixtures!
Other real estate and mortg's owned j
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$475,459. 33
17.43
50, 000. 00

JOHN C. ATHEY, Cashier.

Capital stock paid in

$200, 000. 00

Surplus fund
.
Undivided profits, less current
expenses and taxes paid
2, 000.00 National-bank notes outstanding.
1, 822. 67 State-bank notes outstanding
143, 461. 43
Due to other national banks
6.19 Due to State banks and bankers..
505.15
61,937.80 Dividends unpaid
9, 371. 01
9, 512. 83 Individual deposits
Certified checks
547.13 United States deposits
102.835. 75 Deposits of U.S.disbursingotficers.
13, 500. 00 Notes and bills rediscounted
2, 250.00 Bills payable
Liabilities other than those above
stated

932,106.72 !

Total

60,000.00
6, 215.59
45, 000. 00
44,482.45
1, 566.29
40.00

563,079.20
11, 723.19

932,106. 72

West End National Bank, Washington.
F. C. STEVENS, President.

No. 4195.

Loans and discounts
I
Overdrafts
|
U. S. bonds to secure circulation.. -!
U. S. bords to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, andfixtures
Other real estate and mortg's ownedDue from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
)
Fractional currency, nickels, cents. j
Specie
I
Legal-tender notes
|
U. S. certificates of deposit
'
Redemption fund with Treas. U. S. i
Due from Treasurer U, S
!

81,000. 00
38, 000. 00
63, 813. 96
113. 97
52, 324. 47
5, 914.73
28, 079. 41

561. 65
70,890.50
16,500. 00
2, 250. 00

I

Total.




CHAS. P. WILLIAMS, Cashier.

$465,492. 45 Capital stock paid in
1, 236. 69
50, 000. 00 Surplus fund
Undivided profits, less current
400. 00
expenses and taxes paid
3,625. 00 National-bank notes outstanding.
58, 685. 83
State-bank notes outstanding

938,888. 66

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
Certified checks
United States deposits
DepositsofU.S.disbursingoificersNotes and bills rediscounted
Bills payable
Liabilities other than thoseabove
stated
Total.

$200, 000.00
40, 000.00
4,268. 52
40, 375. 00
38,136.72
9, 846.36
32*0
600 ^60.36
o,169.70

938,888. 66

80

REPORT OF THE COMPTROLLER OF THE CURRENCY.
FLORIDA.
Polk County National Bank, Bartow.

CHARLES H. ROBINSON, President.

No. 4627.

"WARREN TAYLOR, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S
Total.

Liabilities.
$83, 347. 31
431.75
12, 500. 00

$50, 000. 00

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

34, 550. 93
3, 000. 00
12, 590. 26 Due to other national banks
2, 025.40 Due to State banks and bankers.
1,701.56
5, 618. 85 Dividends unpaid
245.34
Individual deposits
United States deposits
27.69 Deposits of U. S.disbursing officers.
7, 320.80
1, 000.00 Notes and bills rediscounted.
Bills payable
562. 50
Liabilities other than those above
stated
Total.

164, 922. 39

4, 000. 00
955. 30
11,250.00

3,132. 25

95, 584. 84

164,922.39

First National Bank, Fernandina.
No. 4558.

FRED W. HOYT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.

$55, 362.24
12, 500. 00
500.00
1, 000. 00
50, 924. 80
2, 716. 50
28, 996.83
2, 714. 32
99,297.70
1, 060.58
2, 829.00
253.28
5, 475.15
10, 910. 00
562.50

J. H. PRESCOTT, Acting Cashier.

Capital stock paid in.

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid .
Individual deposits.
United States deposits
Deposits of U.S.disbursing officers
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

4, 810.74
10,150.00

96.00
200,046.16

275,102. 90

Total

275,102.90

10, 000.00

First National Bank, Gainesville.
J . M. GRAHAM, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
^>ue from State banks and bankers.
Duoi from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund -with Treas. U. S.
Due from Treasurer U. S
Total.




No. 3894.
$124,595.07
238.46
12, 500.00
7, 200.00
12, 699.50
10, 297. 50
4, 000. 00
13, 493. 84
7,223.46
47, 977. 96
1,197. 55
65.54
5,164. 05
7,107. 00

H. E. TAYLOR, Cashier.

Capital stock paid in.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000. 00

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

2, 626.13

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

173 607.15

6, 803.15
11, 250.00

36.00

Notes and bills rediscounted.
Bills payable

562.50

Liabilities other than those above
stated
254, 322. 43

Total.

254,322.43

REPORT OF THE COMPTROLLER OF THE CURRENCY.

81

FLORIDA.
First National Bank of Florida, Jacksonville.
No. 2174.

JAMES M. SCHUMACHER, President.

II. C. COOLEY, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
X . S. certificates of deposit
T
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$122, 036.94
3\ 818. 09
50, 000. 00
5, 500. 00
38,124. 86
25, 700. 00
11, 922. 26
5,565. 22
5,058. 92
12,273. 59
2, 283. 44
2, 323. 87
1, 655. 00
239. 66
22, 683. 65
21, 922. 00

* "i*666." bb"

Capital stock paid in.

10, 000. 00
1,196. 76
44, 550. 00

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

10, 316. 53
15, 952. 97

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.

200, 691.24

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

332, 707. 50

Total.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

332, 707. 50

Total.

National Bank, Jacksonville.
No. 3869.

W M . B. BARNETT, President.

W M . D. BARNETT, Cashier.

$781,593. 34 Capital stock paid in.
Loans and discounts
i
$150, 000. 00
Overdrafts
I
268. 36
100, 000.00
U. S. bonds to secure circulation...
62, 500. 00 Surplus fund
U. S. bonds to secure deposits
150, 000. 00 Undivided profits, less current
46,326. 99
U. S. bonds on hand
!
expenses and taxes paid
56, 250. 00
Premiums onU. S. bonds
j
National-bank notes outstanding.
Stocks, securities, etc
84, 075. 52 I State-bank notes outstanding
50, 000. 00
Bank'g house,furniture,and fixtures
19, 060. 50 Due to other national banks
64, 084. 38
Other real estate and mortg'sowned
,
96, 342. 25
387, 961. 43 Due to State banks and bankers.
Due from other national banks
48, 053.13
Due from State banks and bankers.
50.00
Due from approved reserve agents.
453, 238. 29 Dividends unpaid
6,180.12
Checks and other cash items
13,458.88 Individual deposits
1, 584, 664. 91
Exchanges for clearing house
130, 858. 84
7,500. 00 United States deposits
Bills of other national banks
490. 21 Deposits of U.S.disbursing officers. 11, 503. 31
Fractional currency, nickels, cents.
72, 888. 40
Specie
100,000. 00 Notes and bills rediscounted
Legal-tender notes
U. S. certificates of deposit
Bills payable
"2,812.56
Redemption fund with Treas. U. S.
Liabilities other than those above
Due from Treasurer U. S
stated
Total.

Total

2, 240, 080. 68

2, 240, 080. 68

National Bank of the State of Florida, Jacksonville.
HENRY B. TOMPKINS, President.

No. 3327.

$281,931.14
10, 404. 76
25, 000. 00

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,f urniture,and fixtures
Other realestate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

3,087. 00
149,132. 29
44, 417. 62
6, 700. 00
13, 551. 02
11, 212. 43
11,197. 53
1, 042. 39
3, 450.14
1, 015. 00
155. 49
12, 870. 00
20, 400. 00
" "i, 125.66"
596, 691.81

Total.


OUR 99, YOL 2


6

THOMAS P . DENHAM, Cashier.

Capital stock paid i n .

$100, 000. 00

Surplusfund
Undivided profits, less c u r r e n t
expenses and t a x e s paid
National-bank notes o u t s t a n d i n g .
State-bank notes o u t s t a n d i n g

25, 000. 00

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

30,191. 07
35,» 837. 05

Individual deposits
United States deposits
Deposits of U.S.disbursingofiiceis-

306, 826. 67

Notes and bills rediscounted
Bills payable

137.02
22, 500. 00

200. 00

70, 000.00

Liabilities other than those above
stated
Total.

596, 691. 81

82

REPORT OF THE COMPTROLLER OF THE CURRENCY.
FLORIDA.
First National Bank, Key West.

GEORGE W. ALLEN, President.

No. 4672.

GEORGE L. LOWE, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds

Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total

$182,353. 64
2, 948. 47
25, 000.00
2, 750. 00
26, 734.73
12,504.81
143. 90
19, 501. 50
6,463.59
2, 290. 00
214. 92
51, 742.10
5,000.00
1,125. 00
338, 772. 66

Capital stock paid in

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

11, 000. 00
4,143.98
22,000. 00

Due to*other national banks . . . . . .
Due to State banks and bankers..
Dividends unpaid

55. 00

Individual deposits
United States deposits
DepositsofU.S.disbursingoflicers.

201, 573. 68

Notes and bills rediscounted
Bills payable
Liabilities other than those above

stated
Total

338, 772. 66

Putnam National Bank, Palatka.
A. E. WILSON, President.

No. 4813.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
TJ. S. bondsonhand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing hous
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

$66, 929.12
2, 299. 08
12, 500. 00
1, 200. 00
16,405.87
1, 600. 00
6,121.41
11, 703. 69
7,116.65
614. 76
165.
264.
3, 390.
9, 240.

00
06
80
00

562. 50

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses andtaxes paid
National-bank notes outstanding.
State-bank notes outstanding

4, 000. 00
2, 708. 42
11, 250. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingoflicers-

72,154. 52

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

140,112. 94

Total .

P. A. SMITH, Cashier.

Capital stock paid in.

140,112.94

First National Bank, Pensacola.
F. C. BRENT, President.
Loans and discounts
I
Overdrafts
j
U. S. bonds to secure circulation... i
U. S. bonds to secure deposits
U. S. bonds on hand
!
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
1
.
Fractional currency, nickels, cents. j
Specie
Legal-tender notes
|
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total .



No. 2490.
$633, 344. 63
24,125. 65
30, 000.00
3,000.00
165,976.86
10,996. 00
4, 902. 57
3, 427. 27
56,470.13
285, 778. 55
659. 70

J. S. LEONARD, Cashier.

Capital stock paid in

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100, 000.00

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

4,211. 79
31,637.11

11,434.18
27, 000. 00

Individual deposits
I 1, 026,151.17
!
2,050. 00 United States deposits
342. 89 Deposits of U.S.disbursingofficers. j
48,010. 00
30, 000. 00 Notes and bills rediscounted
Bills payable
1, 350. 00
Liabilities other than those above
stated
1, 300,434.25
1,300,434.25 i
Total.

REPORT OF THE COMPTROLLER OF THE CURRENCY.

83

FLORIDA.
Citizens' National Bank, Pensacola.
L. HILTON GREEN, President.

No. 4837.

JOHN F . PFEIFFER, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U S bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds

Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearinghouse
Bills of other national banks
Fractional currency, nickels, cents.
Specie..
Legal-tender notes
U I certificates of deposit
S
Redemption fund with Treas. U. S.
DUG from Treasurer U. S

Liabilities.
$253,301.64
17, 643.93
25,000. 00
1, 000. 00
2, 500. 00
4, 607. 82
1,000.00
14, 558. 91
80,104. 57
141,034.60
1,310.36
2, 740. 00
1,167.18
18, 958. 70
18, 353. 00
1,125. 00

Capital stock paid in

25 000. 00

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

4, 248. 38
26, 219. 08

Dividends unpaid

16, 616. 78
22, 500. 00

1, 308. 00

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

388 513 47

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

Total

584, 405.71

Total

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

584,405. 71

First National Bank, Saint Augustine.
JOHN T. DISMUKES, President.

No. 3462.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,f urniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Duefrom State banks and bankers.
Due from approved reserve agent3.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
*.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U . S . certificates of deposit
Redemption fund with Treas. U. S.

Due from Treasurer U, S

$181, 602. 47
5, 478. 85
100, 000. 00

Surplus fund
I Undivided profits, less current
I expenses and taxes paid
2, 500. 00 National-bank notes outstanding.
41, 000. 00 State-bank notes outstanding
4, 000. 00
Due to other national banks
13, 320.44 Due to State banks and bankers
18,061. 49
68,924.14 Dividends unpaid
3,435. 86
Individual deposits
1, 000. 00 United States deposits
87.59 Deposits of U S.dis bursing officers, j
7, 927. 50
27,165. 00 Notes and bills rediscounted
Bills payable
4, 500. 00

479, 003.34

Total .

Gr. B. LAMAE, J R . , Cashier.

Capital stock paid in .

Liabilities other than those above
stated

Total.

100, 000. 00
20, 000. 00

13,105. 70
90, 000. 00

109. 50
240, 788. 14

15, 000. 00
479, 003. 34

First National Bank, Sanford.
FREDERIC H. RAND, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand.,,
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ, S. certificates of deposit
Redemption fund with Treas. U . S .
Due from Treasurer U. S

Total.



F. P. FORSTER, Cashier.
No. 3798.
$25, 984. 04 Capital stock paid in
!
$50,000.00
1, 427. 06
12, 500. 00 Surplus fund
5, 800.00
Undivided profits, less current
expenses and taxes paid
1, 614. 88
National-bank notes outstanding. |
11, 250. 00
56, 206. 26 State-bank notes outstanding-.
7, 900. 00
Due to other national banks.
16, 372. 90 Due to State banks and bankers..
7.65
443. 40
8, 457. 75 Dividends unpaid
287.72
Individual deposits
]
83, 699. 84
ii, 432.66 United States deposits
i
DepositsofU.S.disbursingofficers. .
306. 74
10, 492. 00
Notes and bills rediscounted
Billspayable
562.50
Liabilities other than those above
stated
152, 372. 37

Total

152, 372. 37

84

REPORT OF THE COMPTROLLER OF THE CURRENCY.
FLORIDA.
First National Bank, Tallahassee.
N o . 4132.

GEORGE LEWIS, President.

W. C. LEWIS, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on X S. bonds
L
Stocks, securities, etc
Bank' g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankersDue from approved reserve agentsChecks and other cash items
Exchanges for clearing house
Bills of other national Danks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

$141,021.77
7,939.25
12,500.00

Capital stock paid in.

10, 000.00

Due to other national banks
1, 687. 56 Due to State banks and bankers..
11, 569. 43
135,171.19 Dividends unpaid
1, 576. 65
i Individual deposits
3,319.00
United States deposits
139.17
Deposits of U.S.disbursingofficers.

5,159.42
49, 303. 75

68,894.34
5,523. 00

6,205.10
20,000. 00

8,124. 21
H , 250. 00

282, 271. 58

Notes and bills rediscounted .
Bills payable

562.50

Liabilities other than those above
stated
Total.

416,108.96

Total.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

416,108. 96

First National Bank, Tampa.
fl 0.3497.

JAMES P. TALIAFEEEO, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' g bouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Tbanks
Fractional currency,nickels, cents.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$386,802. 97
132. 50
12, 500. 00
125, 000.00
13,750. 00
11, 299.19
40, 000. 00
19, 308.65
42, 989.44
1, 499.12
242, 555.67
1,966. 97
8,860. 00
2,487.72
95,941.75
17, 794.00
562.50

T. C. TALIAFERRO, Cashier.

Capital stock paid in

$50,000.00

Surplus fund
~
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

160, 000.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits ofU.S.disbursing officers.

9,134. 65
11, 250.00

5, 202.53

663,118.12
50, 795.62
73, 949. 56

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

1,023,450.48

1, 023,450.48

Exchange National Bank, Tampa.
EDWARD MANEARA, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand..
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 4949.
$280, 607.06
1,947.42
25, 000.00
3, 429. 69
25,000. 00
8,190. 00
2, 544. 69
1,830. 33
30, 232. 99
7,110.11
17,
2,
24,
17,

986.00
465. 78
200.00
000. 00

1,125.00

JAMES B. ANDERSON, Cashier.

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Depositsof U. S.disbursingofficers.
Notes and bills rediscounted
Bills payable

$100, 000.00
30, 000.00
9, 813. 52
22, 500. 00
1,370. 68
926.47
66.00
253, 992. 40

30, 000.00

Liabilities other than those above
stated
448, 669. 07

Total.

448, 669.07

REPORT OF THE COMPTROLLER OF THE CURRENCY.

85

GEORGIA,
First National Bank, Albany.
No. 3872.

JOHN A. DAVIS, President.

JOSEPH A. DAVIS, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation.
U. S. bonds to secure deposits
U. S. bonds ou hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Otherreal estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels,cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$102,031.08
27, 252. 04
12,500. 00

2, 500.00
1,538.71
12, 944. 36
19,861.92
763. 60
2,500. 00
281. 75
24, 598. 50
10, 836. 00

Due to other national banks
Due to State banks and b a n k e r s . .

10, 000. 00
22, 240. 01
11, 250.00
597. 68
4, 096.31

Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

119, 986.46

Notes and bills rediscounted
Bills payable

562.50
Liabilities other than those above
stated

Total.

218,170.46

Total.

$50, 000. 00

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

218,170.46

National Bank, Athens.
No. 1639.

A. K. CHILDS, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Otherreal estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$361,701. 80
100, 631.51
80, 000. 00

6,000. 00
10, 000.00
29,000. 00
37, 684. 58
84, 551. 45
83, 937.12
11,479.23
30, 000. 00
500. 00
53,000. 00
30,000. 00
3, 596. 90

JAMES WHITE, Cashier.

Capital stock paid in.

$100,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100,000. 00

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

2, 219.82
5,856.92

178,113. 50
20,000. 00

Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursing officers.

515, 892. 35

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

922,082.59

Total.

922, 082. 59

Third National Bank, Atlanta.
FRANK HAWKINS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house, furniture,and fixtures
< i ther real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
IF. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total




No. 5030.
$735,117. 78
11, 261.29
80, 000. 00

J O S E P H A. MCCORD, Cashier.

Capital stock paid i n .

$200, 000. 00
50, 000. 00

Due to other national banks

70,830.00
7, 700. 47

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

26,735. 06
24, 269. 72

23,050.10
83, 434. 62 Due to State banks and bankers.
31, 934.17 Dividends unpaid
2, 843. 80
17, 059. 55 | Individual deposits
3, 230. 00 United States deposits
1,107.29 Deposits ofU.S.disbursing officers.
32, 697.40
31,910.00
Notes and bills rediscounted
Bills payable
3, 600. 00
Liabilities other than those above
stated
1,135,776.47 j|

Total

7, 325. 64
72, 000.00

534, 389. 27

151,056.78
70, 000.00

1,135,776.47

86

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OE O K O I A .
Fourth National Bank, Atlanta.
No. 5045.

J. W. ENGLISH, President.

JOHN K. OTTLBY, Cashier.

Eesources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
XJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtu res
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

$1, 059, 280. 52
7, 604. 70
150, 000. 00
100, 000. 00
5, 000. 00
10, 749. 82
64,949.80
3, 851. 50
108, 086. 39
60, 543. 09
99,104.14
2,562. 42
20, 432. 82
10, 000. 00
229. 58
34, 862. 00
84, 416. 00
6,750. 00

Capital stock paid in.

$400, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

54,000. 00
35, 950. 95
135, 000. 00

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

75,548.29
52,176.95

Individual deposits
"United States deposits
Deposits of U.S. disbursing officers

829, 838. 39
94, 970. 00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

50,338. 20
100, 000.00

1,828,422. 78

Total .

1,828,422.78

600. 00

Atlanta National Bank, Atlanta.
JAMES SWANN, President.

C. E. CURRIER, Cashier.

No. 1559.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g h ouse, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationallbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

, 589, 767.10
37, 579.16
150, 000. 00
150,000.00
15,000.00
9, 268. 75
244, 775. 65
75, 000. 00
11,146. 78
216, 781. 46
61, 666. 25
339, 862.16
4,983.12
32,132.29
39, 985. 00
1, 761. 70
144,309. 00
98,430. 00
6, 750. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding..

200,000. 00

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

58, 507. 27
40, 483. 44

Individual deposits
United States deposits
Deposits of U.S.disbursing officers J

2, 221, 634.39
14, 547. 72
133,310.01

275, 655. 59
135, 000. 00

60.00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

3, 229,198. 42

Total .

$150,000.00

Capital stock paid in.

3,229,198.42

National Bank, Augusta.
L. C. HAYNE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'g house, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 1613.
$530, 777. 77
4,017.03
50, 000.00
3, 609. 00
36,970. 51
36,672.20
15, 645. 24
13,538. 39
28, 769. 99
930. 52
33, 610. 44
18, 750. 00
770. 72
79, 839. 00
13, 799. 00

FRANK G.FORD, Cashier.

Capital stock paid in. ~
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers ..

$250, OOOTOO
50, 000. 00
63, 649. 70
44, 997. 50
3.10
10,169. 83

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers -

448,472.97

Notes and bills rediscounted.
Bills payable

2, 250. 00

Liabilities other than those above
stated
869, 949. 81

Total .

2, 656. 71
869, 949. 81

REPORT OF THE COMPTROLLER OP THE CURRENCY.

87

GEOROIA,
National Exchange Bank, Augusta.
No. 1860.

W. B. YOUNG, President.

P. E. MAY, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures

Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TT. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.

$364, 845. 43
25, 463. 55
50, 000. 00

72, 300. 00
3, 340. 00

Capital stock paid in

$200,000.00

Surplus fund
fund.
Undivided profits, less current
expenses and taxes paid

11, 000. 00

National-bank notes outstanding.
State-bank notes outstanding

43,771. 60
36, 007. 45

Due to other national banks

24, 621. 59
13,136. 33
91,199. 43
118.13
48, 540. 31
1, 550. 00
121.25
4, 981. 00
30,435.00 j
"'2,250.00'

14,806. 61
45, 000. C
O

D u e to State b a n k s and b a n k e r s . .
Dividends u n p a i d

1
301, 067. 21

I n d i v i d u a l deposits
United States deposits
Deposits of U.S.disbursrngomcersNotes and bills rediscounted
Bills payable

77, 952.50

Liabilities other t h a n those above
stated

2, 862. 60

Total .

732,902.02

732,902.02

National Bank, Brunswick.
No. 4944.

C. DOWNING, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds

Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items.

Exchanges for clearing house
I.
Bills of other national banks
L
Fractional currency, nickels, cents. j
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.

Due from Treasurer U. S
Total.

E. 3). WALTER, Cashier.

$164,160.35 1 Capital stock paid in.
311.69
37, 500. 00 ; Surplus fund
Undivided profits, less current
expenses and taxes paid
67,151. 00
20, 000. 00
42, 214. 30
30, 044. 01
32,026.30
29, 760. 00
932. 33

$150, 000.00
6, 000. 00

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

8,180.03
5, 750. 22

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

15.00

Dividends unpaid.

Individual deposits.
United States deposits
110.15 Deposits of IT. S.disbursing officers.
21, 077.43
13, 759. 00 Notes and bills rediscounted.
Bills payable
1, 687. 50
} Liabilities other than those above j
stated
!
Total .

440,734.06

6,273. 43
33,750. 00

230, 765. 38

440, 734. 06

First National Bank, Cartersville.
J. R. WIKLE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furnituretand fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearinghouse
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TT, S
Total.



No. 4012.
$99,589. 42
318.48
12, 500. 00
1,400. 00
2,190. 50
5, 862.00
6, 010. 08
4,409.57
5, 568. 89
1, 424. 91
460.00
75. 23
3, 004. 50
3, 360. 00
""562." 5(Y

J. H. VIVION, Cashier.

$50, 000. 00

Capital stock paid in
Surplus fund
Undivided profits, less current |
expenses and taxes paid
'
National-banknotes outstanding.'
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.diabursingofficers.
Notes and bills rediscounted
Bills payable

57, 885. 43

6, 044. 99
!

Liabilities other than those above }
stated
146,736.08 !

2, 000. 00
3, 055. 66
11,250.00

Total.

16, 500. 00
146, 736. 08

88

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OEOROIA.
Third National Bank, Columbus.
No. 3937.

G. GUNBY JORDAN, President.

J. "W. MURPHEY, GasMer.

Resources.

Liabilities.

Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nation;
~
nal banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

$351,384.14 Capital stock paid in
40,188. 52
100, 000. 00 Surplus fund
50, 000. 00 Undivided profits, less current

50,000.00

expenses and taxes paid
5, 000. 00 National bank notes outstanding.
State-bank notes outstanding

13,169. 85
90, 000. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

11, 294.49
5,333.24

23, 290. 78
7, 387. 50
30, 503. 94
1, 247. 95
1, 666. 22
4,875. 00
133. 29
27, 678. 00
25, 000. 00

Notes and bills rediscounted

245.00
341, 612.76
47, 500. 00
13, 700. 00

4, 500. 00 Bills payable

Liabilities other than those above
stated

672,855.34

Total.

$100,000.00

,

Total.

672, 855.34

Fourth National Bank, Columbus.
T. E. BLANCHARD, President.

Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg'a owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

E. P. OWSLEY, Cashier.
No. 4691.
$100, 000. 00
Capital stock paid in.
Surplusfund
30, 000.00
Undivided profits, less current
12, 000. 00
expenses and taxes paid
20,579.15
4, 025. 00 National-banknotes outstanding.
33, 750. 00
325. 00 State-bank notes outstanding

$300, 004. 92
15, 764. 88
37, 500. 00

5, 225. 00
1, 532. 25
5, 310. 71
793.30
12, 069. 60
1,908.88
2,456.11
1, 630. 00
88.60
35, 900. 00
25, 000. 00
1, 687. 50
463,221.75

Total.

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

5, 681. 95
3, 802.17
9.00

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

211, 604.15

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

57, 795.33

Total.

463, 221. 75

National Bank, Columbus.
J. RHODES BROWNE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, centsSpecie
".
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




WM. B. SLADE, Cashier.
No. 2338.
$100, 000. 00
Capital stock paid in.
Surplusfund
100,000.00
Undivided profits, less current
5, 248. 89
expenses and taxes paid
22, 500. 00
National-bank notes outstanding .
32,292.50 State-bank notes outstanding

$218,449.68
25, 644.60
25,000. 00

12,459.82
34, 258.22
- 1,291.34
14,637.36
3, 988. 00
100. 05
38, 267. 50
20, 000. 00
1,125.00
40.00
427, 554. 07

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

7, 228. 12

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

192, 577. 06

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

Total.

427, 554. 07

REPORT OF THE COMPTROLLER OF THE CURRENCY.

89

First National Bank, Dalton.
P A U L B. TRAMMELL, President.

No.

3907.

11.1. PEAK, Cashier.

Kesources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks securities etc
Bank' g house, furniture, and fixtures
Other real estate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
U. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer IT. S

Liabilities.
$33, 072. 62
2, 000. 37
15,000. 00

Capital stock paid in

9, 643. 27
76.00 Due to other national banks
Due to State banks and bankers..
507.07
245.00
55.55
7,005. 00
115.00

670. 00
2, 041. 34
13, 500. 00
3,999.29
596. 39

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S .disbursing officers.
Notes and bills rediscounted
Bills payable

41, 912.86

5, 000.00

Liabilities other than those above
stated

117, 719. 88

Total

$50, OCO. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total

117, 719. 88

Dawson National Bank, Dawson.
No. 4115.

A. J . CARVER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$113,139. 51
20,598. 27
12, 500. 00
1, 625.00

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10,000.00
15,305. 55
11,250.00

3,656.04 |

Due to other national banks
9,491.35 Due to State banks and bankers..
6, 945.17
5, 013. 31 Dividends unpaid
859. 76
Individual deposits
2, 300. 00 United States deposits
96.29 Deposits of U.S.disbursingofiicers.
ll i 975. 00
500.00 Notes and bills rediscounted.
Bills payable
562.50 j
J Liabilities other than those above
stated
Total .

189, 262.20

Total.

M. M. LOWREY, Cashier.

Capital stock paid in.

4, 384.55
60.00
83, 262.10

15, 000.00

189, 262. 20

First National Bank, Gainesville.
Z. T. CASTLEBERRY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 3983.
$124,459. 25
2, 463. 30
12, 500. 00
1, 625. 00
92.40
2, 500. 00
2, 500. 00
4, 010. 78
2,152. 66
4, 863. 74
1, 222. 30
339. 00
1. 086.20
14, 794. 90
2, 000. 00
562. 50

JAMES W. SMITH, Cashier.

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50,000. 00
25, 000.00
7, 554.03
11,250.00

Due to other national banks
Due to State banks and bankers.
Dnddends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.
Notes and bills rediscounted
Bills payable

78, 368.00

5, 000.00

Liabilities other than those above
stated
177,172.03

Total .

177,172.03

90

REPORT OF THE COMPTROLLER OF THE CURRENCY.
GEORGIA,
City National Bank, Griffin.
No. 2075.

HENRY C. BURR, President,

J . G. RHEA, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nation albanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U . S . certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

9.78
7, 299.15
14, 000.00

Capital stock paid i n .

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

6, 894. 85

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

7, 826. 00
6, 700. 00
7, 496. 71
2, 047. 63
556.17
4,908. 68
647. 01

21, 000. 00

41, 391.61

Notes and bills rediscounted.
Bills payable
630. 00

269. 86
12, 600. 00

666.00

10, 000. 00

Liabilities other than those above
stated
Total .

148, 822.32

Total.

$56,000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

148,822.32

First National Bank, Macon.
R. H. PLANT, President.

Loans and discounts
\
Overdrafts
I
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
•
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers .
Due from approved reserve agents
Checks and other cash items
Exchanges for clearing house
!.
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U . S . certificates of deposit
Redemption fund witli Treas. U . S .
Due from Treasurer U. S

"W. W. WRIGLEY, Cashier.
No. 1617.
$537, 082. 09 Capital stock paid in$200, 000.00
497.25
50, 000. 00 Surplus fund
:
60,000. 00
Undivided profits, less current
7,439. 00
expenses and taxes paid
5, 000. 00 National-bank notes outstanding.
45, 000. 00
38, 250. 00 State-bank notes outstanding
27,000. 00
1, 016. 53
Due to other national banks
1,553.78
10,011. 53
18, 338. 87 Due to State banks and bankers..
34, 817. 77 Dividends unpaid
60.00
9,158.73
Individual deposits
449,901.93
" 2, 666. 66 United States deposits
100. 00
Deposits of U. S.disbursing officers.
37, 707.50
9, 673. 00

2,250.00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

773, 428.99

Total.

773,428.99

Total .

American National Bank, Macon.
J . M. JOHNSTON, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S
Total.




No. 4547.
$528, 612. 24
28,199. 02
50, 000. 00
111,000.00

"*" 9,350.66
""36," 900 .'66

L. P. HILLYER, Cashier.

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Due to other national banks
52, 569. 45 Due to State banks and bankers..
26, 926. 58
32, 839. 40 Dividends unpaid
2, 895. 70
Individual deposits
1, 000. 00 United States deposits
4.34 Deposits of U. S.disbursing officers.
14, 977. 50
4, 000. 00 Notes and bills rediscounted
Bills payable
2, 250. 00
Liabilities other than those above
stated

901,524.23

Total.

$250, 000. 00
50, 000. 00
12, 055. 87
45, 000.00
8, 449. 61
23, 408. 87
1,617.00
325,440. 53
105,450. 00
80,102. 35

901, 524. 23

REPORT OF THE COMPTROLLER OP THE CURRENCY.

91

OEORGIA.
First National Bank, Marietta.
No. 3830.

E. W. BOONE, President.

C. S. MCCANDLISH, Cashier.

Resources.
Loans and discounts
Overdrafts
|
U. S. bonds to secure circulation...|
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
|
Stocks, securities, etc
!
Bank'ghouse,furniture,and fixtures;
Other real estate and mortg's owned
Due from other national banks
j
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes

U. S. certificates of deposit...
Redemption fund with Treas. U.S.
npti

Due from Treasurer U. S. .

Liabilities.
$124,630. 50
1, 007. 44
12, 500. 00
25,500.00
5, 375.00
2, 964. 95
4,019.66
1,160.86
9, 260. 29
1, 073.45
317. 00
811.32
7, 700. 00
9, 637. 00

562. 50
559.80

Capital stock paid in

Due to other national banks
Due to State banks and bankers.. I
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingoflicers.
Notes and bills rediscounted
Bills payable

15, 000. 00
896. 21
11,250.00
2,469.17
334.79

111, 858. 22

271.38
15, 000.00

Liabilities other than those above

stated

207, 079. 77

Total.

$50,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total.

207,079.77

First National Bank, Newnan.
CHARLES C. PARROTT, President.

Loans and discounts
|
Overdrafts
i
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on hand
|
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, andfixtun
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S. I
Due from Treasurer U. S

No.
$97,173.12
4, 397. 33
50, 000. 00
4,250. 00
485. 00
1, 000. 00
4, 320.37
1,450.03
7, 286.57
826.19

i,"665." 66
119.12
10, 507. 00
4, 000. 00

1,550. 00

1861.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits ofU.S.disbursingofficers.
Notes and bills rediscounted.
Bills payable

16, 500. 00
5,141.82
45, 000.00

188. 50
61, 534. 41

10,000.00

Liabilities other than those above
stated

188, 364.73

Total.

H. H. NORTH, Cashier.

Capital stock paid in

Total.

188, 364.73

Newnan National Bank, Newnan.
CHARLES C. PARROTT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on IJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg' s owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S
Due from Treasurer U. S

Total.



No. 3382.
$94,366. 80
5, 690. 79
50, 000. 00

J . S. HOLLINSHEAD, Cashier.

Capital stock paid in.
Surplus fund

3, 000. 00

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
S+- te-bank notes outstanding

4.220.37
14; 948. 81
34.28
641.45
2,183. 26

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

17.10
7,329. 25
3, 280. 00

"2,"256"66"
187, 962.11

$50, 000.00
30,000. 00
2,088.92
45, 000. 00

94.21
333.00

Individual deposits
United States deposits
Deposits of U. S.disbursingofficers.

50,284. 33

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

10,161. 65

Total.

187,962.11

92

REPORT OF THE COMPTROLLER OF THE CURRENCY.
GEORGIA.
First National Bank, Rome.
No. 2368.

JOHN H. REYNOLDS, President.

B. I. HUGHES, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and niortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S.

$432, 743.95
7,081.17
37, 500.00

Capital stock paid in.

3,500.00
35,671.83
19, 475. 00
8, 479. 71 Due to other national banks
26, 210. 33 Due to State banks and bankers..
5, 785.97
69,985. 85 Dividends unpaid
7, 522. 93
Individual deposits
"3*6*67*66' United States deposits
1,151. 00 Deposits of U.S.disbursingofficers.
38,981.50
7, 000. 00 Notes and bills rediscounted
Bills payable
1,687.50
1,150.00 Liabilities other than those above
stated
Total .

707, 533.74

Total.

$150, 000.00

Surplus fund
Undivided profits, less^current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

150,000.00
23, 786.26
33, 750. 00
7, 545. 50
3, 993. 62

282,155.18

56, 303.18

707, 533. 74

Merchants' National Bank, Savannah.
S. GUCKENHEIMER, President.

No. 1640.

Loans and discounts
Overdrafts
.
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'gbouse,furniture,andfixtures
Other real estate and mortg's owned .
Due from other national banks
I
Due from State banks and bankers.!
Due from approved reserve agents -!
Checks and other cash items
Exchanges for clearing house
Bills of other nationafbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$750, 312. 57
293. 54
52, 000.00
125,000.00
9,793.75
24,138.50
57,000. 00
24,181.36
20,982.89
174,831.19
83. 75
5,000.00
281. 68
55,500.00
35,000.00
2,340.00
2. 50

W. M. DAVANT, Cashier.

Capital stockfpaid in.

$500, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

100, 000.00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits of U.S.disbursingofficers
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

43,083.69
2, 279. 96
264. 50
510,725.17
28.44
98, 601. 90
29, 781.10

8, 787. 89
1, 336, 741. 73

Total.

1, 336, 741.73

9, 909.08
33,280. 00

National Bank, Savannah.
H. MYERS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas.U. S.
Due from Treasurer U. S
Total.




No. 3406.
$735,902. 48
822. 32
50, 000. 00
2, 750. 00
2, 000. 00
2, 756.50
20, 700. 00
31, 598.18
8,395.99
69, 525. 72
251.00
12, 567. 81
15,000.00
1, 057.89
30,600.00
6, 610.00
2, 250.00

F . D. BLOOD WORTH, Cashier.

Capital stock paid in.

$250,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

125,000.00

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

79,020.44
90,829.81

Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits of U.S.disbursing officers
Notes and bills rediscounted
Bills payable
Liabilities other than those above

55, 872. 58
44, 395. 00

215.50
347,429. 56
25.00

stated

992, 787.89

Total.

992, 787.89

KEPOKT OF THE COMFTKOLLEK OF THE CUKKENCY.

93

O£ ORGIA.
Thomasville National Bank, Thomasville.
S. L. HAYES, President.

No. 3767.

W. H. EOCKWELL, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
IT. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

Liabilities.
$132, 714. 28 Capital stock paid in
16,864.64
25, 000. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
1,491.70 State-bank notes outstanding
1, 862. 63
18, 615. 60 Due to other national banks
4, 593. 70 Due to State banks and bankers..
433. 03
28, 003. 85 Dividends unpaid
2, 468. 88
Individual deposits
3, 000.00 United States deposits
176. 80 Deposits of U.S.disbursingofficers.
2, 776. 45
5, 600. 00 Notes and bills rediscounted
Bills payable
1,125. 00

Total

$100, 000. 00
20,000.00
2,001. 62
21, 750. 00

102. 50
100,872.44

Liabilities other than those above

stated
Total

244, 726. 56

244, 726. 56

First National Bank, Valdosta.
No. 4429.

D. C. ASHLEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$148,118. 57
10, 710.72
12,500. 00

JAS. Y. BLITCH, Cashier.

Capital stock paid in.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding

10, 000. 00
5, 573. 91
11, 250.00

2, 252. 48
702. 06
6, 654.16
5, 755. 91
555. 71
315. 00
24.30
4, 086. 55
5, 090. 00
562. 50

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers .
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total .

197, 327. 96

115, 334.17

5,169.88

197, 327.96

First National Bank, "Way Cross.
C. C. GRACE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.




No. 4963.
$77,139.12
6.85
12, 500. 00
1,200.00

J. E. WADLEY, Cashier.

Capital stock paid in.
Surplus f and
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50, 000.00
3, 500. 00
2,192. 39
11,250.00

9, 000.00
2, 974. 63
2,661.40
12,780. 66
773.11
330. 00
81.17
8, 929. 00
2, 530. 00
562. 50

131, 468.44

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

64, 526. 05

Notes and bills rediscounted.
Bills x>ayable
Liabilities other than those above
stated
Total.

131, 468.44

94

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IDAHO.
First National Bank of Idaho, Boise.
No. 1668.

C. W. MOORE, President.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total.

H. N. COFFIN, Cashier.

Liabilities.
$144, 364. 81 Capital stock paid in.
3, 637.63
25, 000.00 Surplus fund
"Undivided profits, less current
12,100.00
expenses and taxes paid
2, 500.00 National-bank notes outstanding.
102, 743. 67 State-bank notes outstanding
13, 000.00

$100, 000. 00

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

6, 213. 06
31,217.46

Individual deposits
United States deposits
Deposits of TJ. S.disbursingofficers.

541, 753. 95

139, 082. 50
22,157.31
199,171.83
813. 72
9,180.00
186.80
39,185. 00
20, 000. 00
1,125.00
734, 248.27

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

20, 000. 00
12, 563. 80
22', 500. 00

734, 248.27

Boise City National Bank, Boise.
No. 3471.

H. "WADSWORTH, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total.

ALFRED EOFF, Cashier.

$127, 242.16 Capital stock paid in.
17,887. 78
25, 000. 00 Surplus fund
78, 000.00 Undivided profits, less current
1, 000. 00
expenses and taxes paid
74,167. 62
15,000.00
24,485.19
125, 526. 36
11,174.46
310, 742.57
889.13
13, 825. 00
33.04
43, 660. 00
13, 675. 00
1,125. 00
883, 433.31

National-bank notes outstanding.
State-bank notes outstanding

$100,000.00
20,000.00
3, 813. 96
22, 500.00

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

3, 821.17

Individual deposits
United States deposits
Deposits of U. S.disbursingofficers.

657, 685.89
55, 045.16
20, 567.13

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated
Total.

883, 433.31

First National Bank, Caldwell.
HOWARD SEBREE, President.

Loans and discounts

Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.



No. 4690.
$188,440.49
7, 293.76
12, 500. 00
812.50
83,547. 30
1,000. 00
9,427. 70
266, 902. 67
9, 657. 32
228, 586. 85
847. 53
7, 259. 00
175. 80
35,163.70
8, 000. 00
562. 50

0,177.12

W A L T E R R. SEBREE, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding.

$50,000.00
10,000.00
28, 629. 57
11, 250.00

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

28, 222. 05
5, 499. 01

Individual deposits
United States deposits
Deposits of U.S.disbursingofncers.

726, 576. 49

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
,
Total.

10,177.12

REPORT OF THE COMPTROLLER OF THE CURRENCY.

95

IDAHO.
First National Bank, Hailey.
No. 3895.

R. F. BULLER, President.

F. H. PARSONS, Cashier
Liabilities.

>urces.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
II. S. bond s to secure deposits
U. S. bonds on band
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from. State banks and bankers. j
Due from approved reserve agents.
Checks and other cash items
!
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. II. S.
Due from Treasurer II. S
Total.

$64,169.86 Capital stock paid in.
2,420.14 ;
12,500.00 i Surplusfund
Undivided profits, less current
expenses and taxes paid
500. 00 National-bank notes outstanding.
6, 611. 06 State-bank notes outstanding
'
4, 000. 00
12, 975. 00 Due to other national banks
5, 609. 79 Due to State banks and bankers.
5, 063. 06
50, 645. 82 Dividends unpaid
260. 42
Individual deposits
105. 00 United States deposits
|
48.20 Deposits ofU.S-disbursing officers J
9, 917. 30
12, 010. 00 Notes and bills rediscounted.
Bills payable
562. 50
Liabilities other than those above
stated
187,398.15

Total .

$50, 000. 00
10, 000. 00
716.14
8, 750. 00

80.00
117, 852. 01

187,398.15

First National Bank, Lewiston.
JOHN P. VOLLMER, President.

Loans and discounts
Overdrafts
II. S. bonds to secure circulation...
U. S. bonds to secure deposit
II. S. bonds on hand
Premiums on II. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of othernationaljbanks
Fractional currency, nickels, cents.
Specie.Legal-tender notes
II. S. certificates of deposit
Redemption fund with Treas. II. S.
Due from Treasurer U. S
Total.

No. 2972.

E. W. EAVES, Cashier.

Capital stock paid in.

|

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding

$50,000.00
50, 000. 00
69, 782. 80
11, 250. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
j
United States deposits
Deposits of U.S.disbursing officers, j.
13,588.00
562.50 I

346, 042. 73

Notes and bills rediscounted.
Bills payable
Liabilities other than those above \
stated
'.
Total .

528,038.35 i

528, 038. 35

Lewiston National Bank, Lewiston.
"W. F. KETTENBACH, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits...
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U.S.)
Due from Treasurer II. S
!
Total .




No. 3023.
$126, 601. 60
51, 491. i'8
12, 500. 00

27, 852. 02
42,800. 34
8,019.60
46, 800. 87
14,631.55
36,018.14 !iI
70.55
i

GEO. H. KESTER, Cashier.

Capital stock paid in.

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

50, 000. 00

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

2,115. 93
574.40

Individual deposits
United States deposits
64.10 | Deposits of U.S.disbursingofficers. .
21, 780. 00
. | Notes and bills rediscounted.
. I Bills payable

6,159. 47
11, 250. 00

268, 593. 45

Liabilities other than those above j
stated
;
388,693.25

Total .

388, 693.25

96

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IDAHO.
First National Bank, Moscow.
No. 3408.

A. T. GILBERT, President.

F . N. GILBERT, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank 'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other nationalbanks.....
Due from State banks and bankers.
Due from approved reserve agents.
Checks and!"other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer IT. S
Total.

Liabilities.
$101,102. 35
24, 081. 72
12,500. 00
1, 000. 00
76, 297. 84
4, 500. 00
43,751.96
2, 995. 26
1,485.31
256. 01
1,612.89

13,188.15
10, 220. 00
562. 50

Capital stock paid i n .

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

20, 000. 00
5, 977. 37
11, 250. 00

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

6, 648. 29
246. 78

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

199,431.55

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

293, 553.99

293, 553.99

Total.

First National Bank, Pocatello.
J . A. MURRAY, President.

¥ M . A. ANTHES, Cashier.

No. 4023.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$78,197.63
1, 726. 60
12, 500. 00
1, 000. 00
14, 690. 37
1, 500. 00
48, 303.83
54,394. 98
58, 206. 76
1, 096.42
371. 45
20, 505. 00
1,415. 00
562. 50
294, 470. 54

Total.

Capital stock paid in.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000.00

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

1, 614. 69
3.94

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

2,333. 68
5, 450.00

225, 068.23

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

294,470. 54

First National Bank, Wallace.
F. F. JOHNSON, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents .
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




M. J . FLOHR, Cashier.
No. 4773.
$63,180. 48 Capital stock paid i n .
$5O7OOO. 00
17, 581. 57
6, 000. 00
50, 000. 00 Surplus fund
Undivided profits, less current
693. 49
18, 000. 00
expenses and taxes paid
33,140.00
7, 361. 00 National-bank notes outstanding .
84, 700. 50 State-bank notes outstanding
10, 342. 61
842. 25
2, 000. 00 Due to other national banks
7,919. 51
120, 720. 64 Due to State banks and bankers..
22,130. 74
91, 553. 61 Dividends unpaid
1, 905. 25
Individual deposits
429, 257.50
2,135. 00 United States deposits
93.55 Deposits ofU.S. disbursing officers.
23, 505. 80
10, 392. 00 Notes and bills rediscounted .
Bills payable.
2, 250. 00
Liabilities other than those above )
stated

527,852.75 i

Total.

527, 852.75

REPORT OF THE COMPTROLLER OF THE CURRENCY.

97

ILLINOIS.
First National Bank, Abingdon.
No. 3377.

THOMAS NEWELL, President.

ORION LATIMER, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on X S. bonds
L
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortgs owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

$167,187. 87
7,667. 52
12,500.00

3, 835. 00
5,000.00
24,021.24
3,295. 06
52, 787. 07
1,274.11
220. 00
94.07
10, 076. 00
3, 000. 00
562.50

Total .

Capital stock paid in.

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10,000.00
21,414.24
11,250.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingoflicers.

198, 856. 20

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

291, 520.44

291, 520.44

Total .

First National Bank, Alexis.
No. 4967.

HENRY TUBBS, President.

$82,189.86
3, 042.49
12, 500. 00

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixturesj
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

1, 000. 00
400.00
3, 937.42
1,075.47
29, 896. 24
47.06
123. 00
49.30
2, 997.15
1, 500.00
562. 50

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

9,500.00
1, 457. 66
11,250. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
I
United States deposits
DepositsofU.S.disbursingofficers. 1

67,112.83

Notes and bills rediscounted.
Billspayable
Liabilities other than those above
stated

139,320.49

Total.

C. A. TUBBS, Cashier.

Capital stock paid in.

139, 320.49

Total.

Alton National Bank, Alton.
E. P. WADE, President.

No. 1428.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$441,045.83
1, 250.92
52, 000.00
50,000.00
164,522 30
14, 000.00
49,952.17
26,811.15
19, 947. 86
3,448. 30
3, 487.00
70.00
97, 528. 32
5, 385.00
2, 340.00
837.20

932,626.05

Total.


CUR
http://fraser.stlouisfed.org/99, YOL 2
Federal Reserve Bank of St. Louis

7

C. A. CALDWELL, Cashier.

Capital stock paid in.

$100, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100, 000. 00

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

7,567. 28
17,506.21

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

614, 862.10

46,890.46
45,800.00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
,
Total.

932, 626.05

98

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Citizens' National Bank, Alton.
No. 5188.

A. SCHLAFLY, President.

C. F. STELZEL, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationafbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$201,495.23
106.37
25,000.00
400.00
2, 039.37
2, 764.75
4, 601.36
8, 429.28
14, 550. 93
791. 62
500.00
123.01
6, 915.00
4,460. 00
1,125.00

Capital stock paid in

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

22, 500. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingoflicers.

150, 801.92

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
,
Total .

273, 301.92

273, 301. 92

First National Bank, Anna.
No. 4449.

R. JOHNSON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Danks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
|
Redemption fund with Treaa. U. S.i
Due from Treasurer U. S
;
Total.

$117,466.55
1, 560. 27
12, 500. 00

H. P. TUTHILL, Cashier.

Capital stock paid i n .

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
4, 000. 00
615.48 National-bank notes outstanding.
1,400.00 State-bank notes outstanding

31, 893.54
61, 379. 63
1,154. 61

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

Individual deposits
,
1, 800. 00 United States deposits
142. 29 Deposits of U.S.disbursing officers.
9, 966. 40
2, 600. 00 Notes and bills rediscounted
Bills payable
562.50
Liabilities other than those above
stated

247, 041.27

Total .

10,000.00
7,720. 29
11, 250. 00

400. 00
167, 670.98

247,041.27

First National Bank, Arcola.
J. R. BEGGS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
j
U. S. bonds on hand
\
Premiums on U. S. bonds
|
Stocks, securities, etc
•
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned.
Due from other national banks
'
.Due from State banks and bankers .
^ue from approved reserve agents, i
Checks and other cash items
Exchanges for clearing house
:
" ills of other national banks
"actional currency, nickels, cents.
Specie
«egal-tender notes
U. S. certificates of deposit
j
Redemption fund with Treas. U. S.j
Due from Treasurer U. S
Total.




No. 2204.
$110, 871.19
7,119.86
12, 500.00

H. O. SNYDER, Cashier,

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding .
State-bank notes outstanding

$50, oooTob
10,000.00
799. 98
11, 250. 00

6, 400.00

Due to other national banks
Due to State banks and bankers -.
Dividends unpaid

1, 732. 84

Individual deposits
995. 00 United States deposits
153.16 Depositsof U.S.disbursingoflicers.
12, 067. 95
2,000.00 Notes and bill* radiscounted.
Bills payable
562. 50
Liabilities other than those above
stated

93, 688. 39

4,643. 88
3, 865. 06
5, 735.89
556.72

167, 471. 21

Total.

167,471. 21

REPOET OF THE COMPTROLLER OF THE CURRENCY.

99

ILLINOIS.
Atlanta National Bank, Atlanta.
No. 3711.

W. S. DUNHAM, President.

J . P. HIERONYMUS, Cashier.

Liabilities.

Resources.
Loans and discount
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank ghouse,furniture, and fixtures
Other real estate and inortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house.
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Capital stock paid in.

200. 00

."666.'66"
42, 249.14
595, 00
25,016.81
148.19

4, 000.00
1,731. 47
11, 250.00

Due to other national banks
.
Due to State banks and bankers.. j .
i
Dividends unpaid
\.
\

"" 2," 072* 66'

108. 59
2, 255. 35
5, 000. 00
562. 50

Individual deposits
I
United States deposits
Deposits of U.S.disbursing officers- .
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

187, 608. 79

Total .

$50, 000.00

Surplus fund.
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
t.

Total.

120, 627. 32

187, 608. 79

First National Bank, Aurora.
Loans and discounts
I
Overdrafts
j
U. S. bonds to secure circulation.. J
U. S. bonds to secure deposits
!
U.S. bonds on hand
j
Premiums on IT. S. bonds
j
Stocks, securities, etc
I
Bank'ghousefurniture,andfixtures;
Other real estate and mortg's owned j
Due from other national banks
j
Due from State banks and bankers. j
Due from approved reserve agents.
Checks and other cash items
'
Exchanges for clearing house
;
Bills of other national banks
!
Fractional currency, nickels, cents.
Specie
1
Legal-tender notes
U. S. certificates of deposit
\
Redemption fund with Treas. IT. S. |
Due from Treasurer U. S
I
Total

E. B. Mix, Cashier.

No. 38.

E. A. BRADLEY, President.

j

$280, 481. 26
597. 60
25, 000. 00
50,000.00
5, 700. 00
61,100. 00
1, 500. 00
2, 072.13
54, 861. 29
2, 568.88
4, 741. 00
098. 04
30,000.00
2, 500.00
1,125. 00
-

Capital stock paid in

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100,000. 00
6, 250. 00
22, 500.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
[
United States deposits
|.
Deposits of U. S.disbursing officers. •

294,195. 20

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

522,945.20 i

Total .

522, 945. 20

Aurora National Bank, Aurora.
O. D. POWELL, President.

No. 2945.

C. E. POWELL, Cashier.

$305,777. 86 Capital stock paid in.
Loans and discounts
j
Overdrafts
2,477. 71
U. S. bonds to secure circulation...
50, 000. 00 Surplus fund
Undivided profits, less current
U. S. bonds to secure deposits
expenses and taxes paid
U. S. bonds on hand
44, 200. 00
National-bank notes outstanding.
Premiums onU. S. bonds
Stocks, securities, etc
\
55, 200.00 State-bank notes outstanding
Bank'ghouse, furniture, and fixtures!
1,000.00
Other real estate and mortg's owned
1, 250. 00 Due to other national banks
Due from other national banks
2, 246. 02 Due to State banks and bankers ..
Due from State banks and bankers. . . .
Due from approved reserve agents.
255, 269. 21 Dividends unpaid
1,312.46
Checks and other cash items
Individual deposits
Exchanges for clearing house
.',...
21, 025. 66 United States deposits
Bills of other national jbanks
j
150. 00 Deposits of U.S.disbursing officers Fractional currency, nickels, cents. |
25, 993.25
Specie
;
17, 500. 00 Notes and bills rediscounted.
Legal-tender notes
j
Bills payable
U. S. certificates of deposit
'.. Redemption fund with Treas. TJ. S.j
2,250.00
Liabilities other than those above
Due from Treasurer U, S
I...
stated
Total.




785,651. 51

Total .

$100, 000. 00
50,000.00
28, 830.79
45, 000. 00

1, 775. 31

560, 045. 41

785, 651. 51

100

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
German-American National Bank, Aurora.
No.; 1469.

JOHN PLAIN, President.

J. H. PLAIN,

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits

$300, 266. 54
2,417. 47
50,000.00

Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtnres
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractionalcurrency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Duo from Treasurer TJ. S

8,000.00
9,715.15
5,470. 50
10, 685. 74
475. 53
1,872.10
21,571. 69
4, 785. 92

Total

Cashier.

Liabilities.

Resources.

1, 610. 00
60.60
17, 367.95
4, 000. 00
2, 250. 00

Capital stock paid in

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

18, 500. 00
5,226. 38
45, 000. 00

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

542. 64

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

271, 280.17

Notes and bills rediscounted
Bills payable

Liabilities other than those above
Total

440,549.19

440,549.19

Merchants' National Bank, Aurora.
NATHAN C. SIMMONS, President.

Loans and discounts
I
Overdrafts
!
U. S. bonds to secure circulation... j
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Otherreal estate and mortg'sowned
Due from other national banks
Due from State banks and bankersDue from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractionalcurrency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

No. 3854.
$249, 532. 70
1,726.08
25, 000. 00
25,000. 00
4, 750. 00
6,778. 28
4, 875. 00
1, 650. 80
449.74
176, 492.58
3, 037.29
14,359.00
149.55
29, 645. 00
10, 000. 00
1,125.00

W. C. ESTEE, Cashier.

Capital stock paid in.
Surplusfund

$100,000. 00
17, 000.00

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursing officers.

11, 2»9. 01
22, 500. 00

168. 00
403, 604.01

Notes and bills rediscounted
,
Bills payable
Liabilities other than those above
stated

Total .

554, 571.02

554. 571. 02

Old Second National Bank, Aurora.
"WILLIAM GEORGE, President.

Loans and discounts.
Overdrafts
TJ. S. bonds t o secure circulation...
U. S. bonds to secure deposits

U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund "with Treas. U. S.
Due from Treasurer U. S
Total.



No. 4596.
$488, 971.87
3,931. 33
50, 000. 00
9, 000.00
4, 595. 00
21, 437. 68
24, 000. 00
3,512. 86
51, 934.42
5,173,. 42
4,100. 00
238.05
58, 986. 00
10, 000. 00
2, 250. 00

738,131. 23

L E E N. GOODWIN, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

$200,000.00
22, 500. 00
3. 833. 69
45, 000. 00

375.00
466, 422.54

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

738,131. 23

KEPOET OF THE COMPTROLLER OF THE CURRENCY.

101

ILLINOIS.
First National Bank, Batavia.
No. 4646.

C. W. SHUMWAY, President.

D. B. ANDRUS, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...

$85, 933. 65
764. 71
20, 000. 00

TJ. S. bonds to secure deposits
XJ. S. bonds on hand
Premiums onU.S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Otherreal estate andmortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
[Redemption fund with Treas. TJ. S.
Due from Treasurer U. S

1, 600. 00
88,076.18
2, 250. 00
750.00
1,434.69
51.10
16,480. 64
914.44
5, 385.
209.
8, 900.
1, 500,

00
55
35
00

900. 00

Total

$50, 000.00
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

5, 000. 00
5,129. 69
18,000.00

Due to other national banks
Due to State banks and bankers..
169.98

Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursingoflicers.

156, 850. 64

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

Total

235,150.31

235,150. 31

First National Bank, Beardstown.
No. 3640.

JNO. H. HARRIS, President.

$286. 920. 48
6,137.42
80, 000. 00

Loans and discounts
Overdrafts
U. S.bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks.
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

2,100.00
12, 000. 00
800. 00
782.59
1,144. 58
25,130. 27
1, 519.11
915. 00
75.45
26,100. 00
5, 000. 00
3, 600. 00

Total .

THOMAS K. CONDIT, Cashier.

Capital stock paid in.

$80, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

50, 000.00
11,265. 28
72, 000. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

238,959.62

Notes and bills 'ediscounted.
Bills payable
Liabilities other than those above
stated

452, 224. 90

Total .

452,224.90

First National Bank, Belleville.
No. 2154.

JOSEPH FUESS, President.

Loans and discounts
I
Overdrafts
I
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
'
U. S. bonds on hand
Premiums on TJ. S. bonds

!
|

Stocks, securities, etc.
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .



$459,176. 33
305. 92
90, 000. 00
100.00
336,254,52
55, 000.00
947.79
105,162. 99
1,741.12

10,000.00
150.17
48,760. 35
34,000.00
4,050. 00

1,145, 649.19

C. ANDEL, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursingoflicers.

$100, 000.00
100, 000. 00
31, 278. 61
80, 550. 00

8.00
833, 812.58

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total

1,145,649.19

102

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Belvidere.
No. 1097.

MARK RAMSEY, President.

ALBERT E. LOOP, Cashier.

Resources.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation..
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures!
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks ana other cash items.
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

Liabilities.
$145,175.71 Capital stock paid i n .
373. 33
50, 000. 00 Surplusfund
50C.00
89, 395. 64
3 550.00
3, 065. 00
1, 851. 63
211.31
50, 822. 37
2, 512. 82
5,500. 00
328. 32
18, 726. 55
3, 000. 00
2, 250. 00

377, 262.68

Total .

Undivided profits, less current
expenses and taxes paid
National bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits ofU.S.disbursing officers.

$75,000. 00
25, 000. 00
1,111.47
45, 000. 00

231,151.21

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

377, 262. 68

Second National Bank, Belvidere.
No. 3190.

ALLEN C. PULLER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U.S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
I
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

3, 539. 45
50, 000. 00
6, 000. 00

115, 185.50
7,031.49
179. 99
60,066 92
4, 532. 46
2,608.00
144. 60
19, 990. 60
7, 000. 00
2, 250. 00

496, 694.24

Total .

IRVING TERWILLIGER, Cashier.

$218,165.23 |; Capital stock paid in.

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.
Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

$100, 000. 00
15,000.00
31,367.05
44,500.00
1,850.18

303, 977. 01

496, 694. 24

First National Bank, Bement.
WILLIAM M. CAMP, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...I
TJ. S. bonds to secure deposits
|
U. S. bonds on hand
!
Premiums on TJ. S. bonds
|
Stocks, securities, etc
!
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.



No. 4829.
W. A. STEEL, Cashier.
Capital stock paid in .
550, 000. 00
Surplus fund
2, 955.00
Undivided profits, less current
expenses and taxes paid
207. 84
45, 000. 00
National bank notes outstanding.
State-bank notes outstanding

$110, 345. 51
9, 276. 30
50, 000. 00

9, 391. 80
6, 359. 79
12, 292, 53
3,122. 02
26,175. 58
961. 54
390. 90
7, 084. 25
6, 000. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

145,487. 38

Notes and bills rediscounted.
Bills payable

2, 250. 00

Liabilities other than those above
stated
243, 650. 22

Total .

243, 650. 22

REPORT OF THE COMPTROLLER OF THE CURRENCY.

103

ILLINOIS.
First National Bank, Biggsville.
H. M. WHITEMAN, President

No. 3003.

JT. T. WHITEMAN, Cashier.

Resources.
Loans and discounts
Overdrafts*
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

Liabilities.
$180,186.15
1, 932. 71
12, 500. 00

5, 000. 00
9, 332. 64

Capital stock paid in

I

$50,000. 00

Surplus fund
I
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
j

21,828. 21
11,250.00

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

662. 68
18, 924.72

41, 299.15 Dividends unpaid
1, 004. 94
Individual deposits
|
United States deposits
I
18.63 Depositsof U.S.disbursing officers. I
4, 670.50
1, 050. 00 Notes and bills rediscounted
j
Billspayable
j
562.50
Liabilities other than those above
stated
257, 877. 22 j

Total .

10, 000. 00

1,155. 00
144,056. 61

257, 877. 22

First National Bank, Bloomington.
D. M. FUNK, President.

Loans and discounts
I
Overdrafts
{
U. S. bonds to secure circulation... \
U. S. bonds to secure deposits
I
U. S. bonds on hand
I
Premiums on U. S. bonds
I
Stocks, securities, etc
;
Bank'ghouse,furniture,and fixtures]
Other real estate and mortg's owned;
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

C. "W. ROBINSON, Cashier.
No. 819.
$334,233.24 | Capital stock paid in
J $225, 000. 00
2,249.48 |
50,000.00 | Surplus fund
150,000.00
Undivided profits, less current
expenses and taxes paid
15, 643. 66
National-bank notes outstanding.
34,-800.00
251,550.00 State-bank notes outstanding
93, 000. 00 !
1, 685. 52
Due to other national banks
6, 502.34 Due to State banks and bankers.. \
26, 774.04
2,218. 02
290,090. 95 Dividends unpaid
!
150. 38
2, 054. 85 Individual deposits
708, 396.88
8,939. 00 United States deposits
81.99 Deposits of U. S. disbursing officers.
72, 479. 85
45, 500. 00 Notes and bills rediscounted.
Bills payable
2, 250.00
1, 000.00 Liabilities other than those above
stated

Total

1,162, 300.10

1,162, 300.10

Third National Bank, Bloomington.
J. J . COWDEN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S- bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U.S
Total.




N o . 2676.
$312,565.23
2, 675. 04
31, 250. 00
70, 000. 00
8, 500. 00
474. 90
1, 000. 00
573.27
1, 932. 52
176, 984. 36
2, 020. 33
2,700. 00
323. 54
29, 648. 30
5, 000. 00

S. W. WADDLE, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

$125,000.00
100, 000.00
5, 295. 57
28,125. 00

2, 388. 81
152. 00
386, 092. 36

Notes and bills rediscounted.
Billspayable

1,406. 25

Liabilities other than those above
stated
647, 053. 74

Total.

647, 053. 74

104

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLI NOIS.
State National Bank, Bloomington.
No. 5119.

JACOB FUNK, President.

A. B. HOBLIT, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation ...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks . . . .
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

Liabilities.
$473, 620.41
2, 032. 38
50, 000. 00
3, 000.00
56, 000. 00
2, 000.00

15, 233.30
13,606.46
172, 297. 74
7,540.25
17,880.00
280.41
36, 873.15
35, 000.00
2, 250.00

Total

Capital stock paid in.

$150, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.

State-bank notes outstanding

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

75, 000. 00
10,059.12
45, 000. 00

4, 829. 00
2, 048.00
600, 677. 98

Notes and bills rediscounted.
Bills payable

Liabilities other than those above
stated
Total.

887,614.10

First National Bank, Bushnell.
No. 4709.

JAMES COLE, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,farniture,and fixtures
Other real estate and mortg's owned
Due from other national banks . . . .
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

$168,158.97
3, 299. 65
12, 500.00
1, 250. 00
433.10
1, 600. 00
8,379. 31
705.92
32, 869. 71
4, 223. 60
10.00
67.83
7,011.35
1, 292.00
562. 50

$50, 000. 00

Surplus fund
"Undivided profits, less current
expenses and taxes paid

National-bank notes outstanding.
State-bank notes outstanding

7, 000. 00
1,393.84
11, 250.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

172, 720.10

Notes and bills rediscounted.
Bills payable

Liabilities other than those above
stated

242,363.94

Total.

J. M. GALE, Cashier.

Capital stock paid in .

Total.

242, 363. 94

Alexander County National Bank, Cairo.
F. BROSS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractionalcurrency,nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.



No. 3735.
$261, 752. 36
1, 946. 83
25, 000. 00
2, 000. 00

J . H. GALLIGAN, Cashier.

Capital stock paid in .
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100,000.00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits ofU.S.disbursing officers.

12,489.03
142,831.06

20, 000.00
2, 938.15
22, 500. 00

20,143. 51
2,159. 70
3, 078.44
104,536. 91
15, 668.14
9.500.00
' 539. 70
62,509. 20
25, 000. 00
1,125.00

534,959.79

45.00
234,156. 55

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

534,959. 79

REPORT OF THE COMPTROLLER OF THE CURRENCY.

105

ILLINOIS.
City National Bank, Cairo.
WILLIAM P . HALLIDAY, President.

No. 785.

J . S. AISTHOEPE, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...

U. S. bonds to secure deposits
IT. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,f urniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie

Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

$340, 859. 94 Capital stock paid in.
8, 502. 85
25, 000. 0.0 Surplus fund
Undivided profits, less current
35, 000.00
expenses and taxes paid
2,525. 00 National-bank notes outstanding.
120, 562. 09
State-bank notes outstanding

175,000.00
3, 737.50
22, 050. 00-

35, 750. 00
20, 551. 65
7, 652.43
145,110.90
4, 251. 08
6, 680. 66

815.47
182, 261. 00
12, 747. 00
1,125. 00
50.00
949,444.41

Total.

$100, 000. 00

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

24,114. 65
154, 674. 69

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

469, 867. 57

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated
Total.

949, 444.41

First National Bank, Cambridge.
No. 2540.

N. B. GOULD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U S bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U . S . certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total

$171, 636. 26
1, 798. 91
50,000. 00

HENRY WHITE, Cashier.

Capital stock paid in

$50,000.00

Undivided profits, less current
expenses and taxes paid
3, 000. 00 National-bank notes outstanding.
1, 450. 00 State-bank notes outstanding
1,000.00
Due to other national banks
3, 322.28 Due to State banks and bankers..

4, 822. 52
190.12
495. 00
35.64
6, 497. 90
500.00
2, 250. 00
246, 998. 63

18, 000.00
2, 796. 98
45, 000. 00

20.00

Dividends unpaid
Individual deposits
United States deposits
Deposits ofU. S.disbursing officers.

131,181.65

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

246,998. 63

Farmers' National Bank, Cambridge.
L. H. PATTEN, President.

Loans and discounts.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S
Total .



No. 2572.
$151, 691. 62
2,160. 92
20, 000. 00
1, 000. 00
3,000.00
1, 950. 00
244. 66
9, 740. 74
536. 74
2, 347. 00
110.83
5,810.25
6,470. 00
900.00

205, 962. 76

C. B. TAYLOR, Cashier.

Capital stock paid in .
Surplus fund
Undivided profits, less current
expenses and taxes paid
•National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursingofficers.

$50, 000.00
10, 500. 00
2, 366. 01
18, 000.00

75.00
125, 021. 75

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

205, 962.76

106

REPORT OF THE COMPTROLLER OP THE CURRENCY.

First National Bank, Canton.
W. O. DEAN, President.

No. 415.

W. D. PLATTENBUEG, Cashier.

Resources.
Loans and discounts
Overdrafts
II. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bouds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers. I
Due from approved reserve agents. I
Checks and other cash items
j
Exchanges for clearing house
Bills of other national ]>anks
j
Fractional currency, nickels, cents. \
Specie
•
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.j
!
Due from Treasurer TJ. S

Total.

Liabilities.
$262, 390. 90
2, 972.84
18,750. 00

Capital stock paid in.

$75, 000. 00

Surplus fund
Undivided profits, less current

15, 000. 00

expenses and taxes paid
National-bank notes outstanding.
38, 363. 32 State-bank notes outstanding
100. 00

8, 525. 37
16, 875. 00

12, 000.00

"4," 945.' 48'
1, 917. 03
53, 383. 37
3, 682. 41
1,427. 76
4, 586. 00
200. 66
27, 471. 50
9, 000. 00
843. 75

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

111.00
326, 523. 65

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

442, 035. 02

442, 035. 02

Canton National Bank, Canton.
B. F. EYEELY, President.

No. 3593.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
\
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, centsSpecie
Legal-tender notes
.
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$276, 224. 71
906. 50
15, 000. 00
4, 200. 00
15,063. 57
12, 000. 00

$50, 000. 00
20, 000. 00
4,188. 60
13,500.00

Due to other national banks
and bankers.

550.30
1,108. 78 ' Due to State banks
39, 014.13 1
2,408. 83 l Dividends unpaid

711. 00
400. 03
17,173.15
19,558.00
675. 00
1,000. 00

60.00

Individual deposits
United States deposits
Deposits of U.S.disbursingofficen

318, 245.40

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated

405,994.00

Total.

E. A. HEALD, Cashier.

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total .

405,994. 00

First National Bank, Carbondale.
F. A. PRICKETT, President.

Loans and discounts
OverdraftsU. S. bonds to secure circulation...
U. S-bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 4904.
$88,412.17
830.16
50, 000. 00
3, 000. 00
1,755.00
12, 079. 05
20,000 00
1,061. 20
32,820.11
77.12
135. 00
163. 97
3, 227.80
13,545. 00
2, 250. 00

229, 356. 58

E. E. MITCHELL, Cashier.

f

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000. 00

Capital stock paid in

2, 515. 31
45, 000. 00

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

208.13
•, 888. 92

Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

115, 494. 22

250. 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

229,356.58

REPORT OF THE COMPTROLLER OF THE CURRENCY.

107

ILLINOIS.
Carlinville National Bank, Carlinville.
W. E. BUEGDORPF, President.

No. 4299.

A. L. HOBLIT, Cashier.

Resources.

Liabilities.

Loans and discounts
!
Overdrafts
I
IT. S. bonds to secure circulation... j
U. S. bonds to secure deposits
!
IT. S. bonds on hand
j
Premiums on IT. S. bonds
|
Stocks, securities, etc
j
Bank'ghouse,furniture,and fixtures'
Otherreal estate and mortg's owned!
Due from other national banks
'
Due from State banks and bankers. j
Due from approved reserve agents. \
Checks and? other cash items
j
Exchanges for clearing house
I
Bills of other national banks
I
Fractionalcurrency, nickels, cents. |
Specie
I
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer IT. S

$147, 756. 24
1, 618. 93
12, 500. 00
3,000.00
1,565.00
100.00
1, 500. 00
32,145. 07
13,998. 25
445. 80
512.00
47.65
11,116. 85
6, 000. 00

Capital stock paid i n .

15,000.00
7,197. 01
11, 250. 00

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

24.00

Individual deposits
United States deposits
p
Deposits of U.S.disbursing officers.
Deposits of USdisbursi
Notes and bills rediscounted.
Bills payable

149, 397. 28

562.50 j

Liabilities other than those above
stated
Total.

232, 868.29

Total.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

232, 868.29

First National Bank, Carmi.
JAMES A. MILLER, President.

No. 4934.

T. W. HALL, Cashier.

$114,388.13 Capital stock paid in.
Loans and discounts
47.56
Overdrafts
j
12,500. 00 Surplusfund
U. S. bonds to secure circulation...!
U. S. bonds to secure deposits
'..
Undivided profits, less current
U. S. bonds on hand
expenses and taxes paid
Premiums on U. S. bonds
National-bank notes outstanding.
7, 801. 39 State-bank notes outstanding
Stocks, securities, etc
j
14, 504.15
Bank'ghouse,furniture, and fixtures
Otherreal estate and mortg's owned . .
Due to other national banks
19, 966. 36 Due to State banks and bankers .
Due from other national banks
\
1,877.25
Due from State banks and bankers. j
29,980. 93 j Dividends unpaid
Due from approved reserve agents.
885.55
Checks and other cash items

Exchanges for clearinghouse.
Bills of other national banks
!
Fractional currency, nickels, cents. i
Specie
!
Legal-tender notes
j
!
U. S. certificates of deposit
Redemption fund with Treas. TJ. S - j
Due from Treasurer TJ, S
Total

3,000. 00
149. 65
20,882.40
4, 000. 00
562. 50
44.27

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

$507000. 00
4, 560. 00
1, 554.29
11, 250. 00

163,225. 85

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated

Total .

230, 590.14

230, 590.14

Greene County National Bank, Carrollton.
DAVID D. PlERSON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reser\ e agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks.......
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total .




No. 2390.
$268,194. 30
9, 909.94
50, 000. 00

34, 847. 20
3, 824. 00
3, 275. 59
97, 705. 68
663.00
10, 000. 00
63. 61
20, 917. 35
15, 000. 00
2, 250.00
2.50
516, 653.17

ORNAN PIERSON, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
exx>enses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofncers.

$100,000.00
25, 000.00
30,443.45
45, 000.00

2, 862. 74
160. 00
313,186.98

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

516, 653.17

108

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Hancock County National Bank, Carthage.
No. 1167.

J\ C. FERRIS, President.

Resources.

Loans and discounts
'
Overdrafts
I
U. S. bonds to secure circulation... j
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estateand mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items . . .
Exchanges for clearing house
Bills of other nationallbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S. certificates of deposit
Redemption fund with Treas.TJ. S.
Due from Treasurer U. S

Liabilities
$142, 524.66
2, 657.57
50,000. 00

4,800. 00
12, 500. 00
3, 332. 00
615. 41
4, 983. 00
47,197. 59
808. 93
30.00
114. 29
13, 934. 30
3, 585. 00

Capital stock paid in .

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits ofU.S.disbursingofficers.

10, 000. 00
10.166.07
45,000.00

2, 933.17
171, 233.51

Notes and bills rediscounted.
Bills payable

2, 250. 00

Liabilities other than those above
289, 332.75

Total.

CHARLES S. D E HART, Cashier.

stated
Total.

289, 332. 75

Old National Bank, Centralia.
No. 3303.

H. M. WARNER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total.

$105, 446.90
2, 603.17
80, 000.00

F . KOHL, Cashier.

Capital stock paid in.

$80, 000.00

Surplus fund
Undivided profits, less current
81, 200.00
expenses and taxes paid
9, 394.44 National-bank notes outstanding.
102, 257.50 State-bank notes outstanding.

20, 000.00
4,149.19
72,000. 00

19, 559.96

25,770.58
69,885.63
1, 233.13
1, 590.00
214.51
14, 018.10
15,158.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid.
Individual deposits
United States deposits
Depositsof U.S.disbursing officers.

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
531, 931. 92
Total.

355, 782.73

3, 600.00

531, 931.92

First National Bank, Champaign.
B. F . HARRIS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency, nickels, cents. I
Specie
Legal-tender notes
I
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

Total.



No. 913.
$291,446.96
10, 904.10
50,000.00
800.00
77,794.31
20,000. 00
6,105.08
34,135. 21
1, 475. 62
204,178.62
705.50
40,453. 00
565.18
45,556.10
10, 000. 00
2, 250. 00

796,369.68

H. H. HARRIS, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$65, 000.00

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

1,184. 02
1, 334. 46

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

602, 321. 50

77, 000.00
4, 529. 70
45, 000. 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

796, 369. 68

REPOKT OF THE COMPTEOLLER OF THE CURRENCY.

109

ILLINOIS,
Champaign National Bank, Champaign.
EDWARD BAILEY, President.

No. 2829.

W. A. HEATH, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas.U. S.
Due from Treasurer TJ. S

$208,879. 58
5,121. 09
12, 500. 00
17, 400. 00
750.00
49, 971. 40
1, 250. 00
11,784. 21
25. 939.14
2; 155. 34
134,424.17
824. 31

Capital stock paid in

I

$50,000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
1
National-bank notes outstanding. |
State-bank notes outstanding
i

50, 000. 00

Due to other national banks
Due to State banks and bankers ..I
Dividends unpaid
!.

61.87

Individual deposits
!
*"i3,"52O."o6' United States deposits
151. 42 Deposits of U.S.disbursing officers. .
39,168. 35
13,000. 00 Notes and bills redisconnted
Bills payable
562.50
Liabilities other than those above

391,587.55

stated

Total.

537,401. 51

Total.

34,502.09
11, 250.00

537,401.51

First National Bank, Charleston.
N o . 763.

W. E. MCCRORY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, andfixtures1
Other real estate and mortg's ownedj
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
3,250.00 i National-bank notes outstanding.
6,411.08 ! State-bank notes outstanding

1,365.00 !
16,461.00 Due to other national banks
329.51 I

$100,000.00
40,000. 00
24,539.32
90, 000.00
1,033. 25

Due to State banks and bankers.

26, 643. 24
9, 660.08

371. 00
125. 41
9, 567. 80
5,403.00
4, 500. 00
1.60

Dividends unnaid.
Individual deposits
United States deposits
Deposits of U.S.disbursing officers

187, 558.02

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

443,130.59 I

Total.

W I L L J . KENNY, Cashier.

$253,826.34
5, 215.53
100, 000.00

Total.

443,130.59

Second National Bank, Charleston.
I. H. JOHNSTON, President.

Loans and discounts
!
Overdrafts
-- - j
U. S. bonds to secure circulation...!
U. S. bonds to secure deposits
I.
U. S. bonds on hand
j.
Premiums on TJ. S. bonds
|.
Stocks, securities, etc
Bank'g house,furniture, and fixtures;
Other real estate and mortg's owned .
Due from other national banks
j.
Due from State banks and bankers. l .
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
,-.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Tre^s. U. S.
Due from Treasurer U, S

Total.



No. 1851.
$286,834. 99
2, 532.12
70, 000. 00

5,153. 66
1, 400. 00

39, 000.29
3, 975. 31
8. 477.
'140.
11, 584.
5, 500.

00
90
70
00

3,150. 00
1, 500. 00
439,248.97 j

F E L I X JOHNSTON, Cashier.

Capital stock paid in
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100, 000.00

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

830. 92
2,308.93

50, 000.00
30,788.89
63, 000.00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

192,320. 23

Notes and bills rediscounted.
Bills payable
Liabilities other than those above j
stated

Total.

439,248.97

110

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Chicago.

SAMUEL M. NICKERSON, President.

R. J . STREET, Cashier.

No. 2670.

Liabilities.

Resources.
$24, 824, 919. 48
Loans and discounts
1, 645. 59
Overdrafts
50, 000. 00
IT. S. bonds to secure c i r c u l a t i o n . . .
U. S. bonds t o secure deposits
65, 270. 00
U. S. bonds on hand
Premiums on TJ. S. bonds
" 5," 163^ 149.60
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and m o r t g s owned
7, 920, 589. 04
D u e from other national b a n k s
3, 597, 563. 91
D u e from State b a n k s and b a n k e r s .
Due from approved reserve a g e n t s .
47, 284. 40
Checks and other cash items
1, 599, 089. 03
Exchanges for clearing house
33, 295.00
Bills of other national b a n k s
3,802. 74
Fractional currency, nickels, cents.
5, 214, 500. 00
Specie
1, 680, 000. 00
Legal-tender notes
1, 500, 000.00
TJ. S. certificates of deposit
2, 250. 00
Redemption fund w i t h Treas. TJ. S.
18, 000. 00
Due from Treasurer TJ. S

Total..

Capital stock paid in

$3, 000, 000. 00

Surplus fund
Undivided profits, less c u r r e n t
expenses and t a x e s paid
National-bank notes o u t s t a n d i n g .
State-bank notes o u t s t a n d i n g
Due to other national b a n k s
Due to State b a n k s and b a n k e r s . .

2, 000, 000. 00
444, 889.52

16, 562, 840.12
8, 800, 832. 35

Dividends unpaid
I n d i v i d u a l deposits
Certified checks
United States deposits
Deposits ofU. S.disbursing officers.
Notes and bills rediscounted
Bills payable

20, 637, 230.42
275,566.38

Liabilities other t h a n those above
stated
,

51,721,358.79

Total.

51, 721, 358. 79

First National Bank of Englewood, Chicago.
J . R. EMBBEE, President.

No. 4073.

Loans and discounts
j
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
'
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
j
Fractional currency, nickels,cents.
Specie
'
Legal-tender notes
U. S. certificates of deposit
I
Redemption fund with Treas. U. S.
Due from Treasurer U. S

696, 587. 27

Total.

V. E. NICHOLS, Cashier.

$499,027. 43 Capital stock jrnid in.
1, 022. 76
45, 000. 00 Surplusfund
Undivided profits, less current
expenses and taxes paid
3,500. 00 National-bank notes outstanding.
4, 634. 93 State-bank notes outstanding
3, 500. 00
16, 500. 00 Due to other national banks
2, 486.16 Due to State banks and bankers.
0, 828.07 Dividends unpaid
428. 54
Individual deposits
5, 000. 00 United States deposits
890. 38 DepositsofU.S.disbursing officers.
10, 480. 00
21, 264. 00 Notes and bills rediscounted.
Bills payable
2, 025.00
Liabilities other than those above
stated
Total.

$100,000.00
3,812. 24
19,071. 57
40,500.00

533, 203.46

696,587. 27

America National Bank, Chicago.
ISAAC G. LOMBARD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation..
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse.furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
,
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total




No. 5111.
$6, 228, 007.08
2,182.19
150, 000. 00
10, 000. 00
270, 865.80
2, 002, 284. 78
177, 482.78
15, 295. 43
329, 295. 34
53, 000. 00
809.10
, 324, 242. 80
350, 200. 00
6, 750. 00
3, 900.00
| 10,924,315.30

EDWARD B. LATHROP, Cashier.

$1, 000, 000. 00
Capital stock paid in.
Surplus fund
500, 000.00
Undivided profits, less current
expenses and taxes paid
140, 981.40
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
2, 849, 478. 90
Due to State banks and bankers.. | 1,995,900.11
Dividends unpaid
Individual deposits
Certified checks

4, 381, 344. 22
46, 040. 67

Total.

10, 924,315. 30

United States deposits
Deposits of U.S.disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

10,000.00

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Ill

I L L I N O I S .
Bankers' National Bank, Chicago.
No. 4787.

EDWARD S. LACEY, President.

JOHN C. CRAFT, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, centsSpecie

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

$5. 303,152. 37
416. 70
250,000.00

Capital stock paid in

24, 375. 00
245, 966.80
16, 000. 00
7, 637. 71
2, 542,443.84
140,199. 65

85, 000. 00
73, 899. 74
225, 000. 00

Due to other national banks
| 3, 627. 071. 98
Due to State banks and bankers.. j 1, 743. 915. 01
Dividends unpaid
!
1,600.00

"

8, 363.19
204, 948. 83
14,131. 00
306. 30
1, 111, 289.50
134, 000. 00

Individual deposits
3, 205, 848.48
Certified checks
52,145. 68
united States deposits
i
DepositsofU.S.disbursingofficers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above

11, 250. 00

Total.

I $1, 000, 000. 00

Surplusfund
|
Undivided profits, less current j
expenses and taxes paid
I
National-bank notes outstanding. I
State-bank notes outstanding

stated
Total .

10, 014,480. 89

10, 014,480. 89

Calumet National Bank of South Chicago, Chicago.
JOHN CUNNEA, President.

No. 3102.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
]
Redemption fund with Treas. II. S.I
Due from Treasurer U, S
'

Total.

$344,424. 08
24. 00
12, 500. 00

2, 250. 00
1, 300. 00
5,171. 79
4, 872. 27

A. G. INGRAHAM, Cashier.

$50,000.00

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Due to other national banks
Due to State banks and bankers
153,203.88 i I Dividends unpaid
4,375.40 1
1
Ij Individual deposits
6,068. 00 1 United States deposits
1
117.57 j Deposits of U.S.disbursingofficers.
51,286.00 Ij
7, 985. 00 i| Notes and bills rediscounted
| Bills payable
562. 50
Liabilities other than those above

27,500. 00
5, 766. 30
11, 250. 00

1

499, 624.19

stated

594,140.49 !

Total.

594,140.49

Chicago National Bank, Chicago.
JOHN R. WALSH, President

No. 2601.

F. M. BLOUNT, Cashier.

Loans and discounts
j $4, 625,296.83 Capital stock paid in.
$500, 000.00
Overdrafts
j
5,168.51
U. S.bonds to secure circulation... j
50,000.00 ! Surplus fund
500. 000. 00
U. S. bonds to secure deposits
;
50, 000.00 j Undivided profits, less current
• expenses and taxes paid
U. S. bonds on hand
163, 767. 66
! National-bank notes outstanding.
10, 000. CO
Premiums onU. S.bonds
Stocks, securities, etc
; 2,604, 745.83 State-bank notes outstanding
Bank'g house,furniture and fixtures
Due to other national banks... •... 1, 568,097. 76
Other real estate and mortg's owned
372,443.02
Due from other national banks
i 3,116, 714.95 Due to State banks and bankers..
Due from State banks and bankers. j
364, 844.12
Dividends unpaid
Due from approved reserve agents. j
Checks and other cash items
|
Individual deposits
10, 393, 937.48
Exchanges for clearing house
175, 580.60
102,168, 58
Bills of other national banks
85,000.00 Certified checks
45, 000.00
United States deposits
Fractional currency, nickels, cents.
1,813.66
DepositsofU.S.disbursingofficers.
Specie
| 2,069,000.00
Legal-tender notes
345,000.00 Notes and bills rediscounted
U. S. certificates of deposit
j
160,000. 00 Bills payable
Redemption fund with Treas. U . S J
2,250.00

Liabilities other than those above \
stated

Due from Treasurer U. S
Total




! 13, 655, 414. 50 I

Total

13, 655, 414. 50

112

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLIVO1S.
Commercial National Bank, Chicago.

JAMES H. ECKELS, President.

No. 713.

JOSEPH T. TALBERT, Cashier.

Resources.

Liabilities.

Loans and discounts
$12, 218, 911.71 Capital stock paid in
$1, 000, 000.00
Overdrafts
2,522.90 1
1
TJ. S. bonds to secure circulation...
50,000.00 |! Surplusfund
1, 000, 000. 00
U. S. bonds to secure deposits
I Undivided profits, less current
U. S. bonds on hand
j expenses and taxes paid
215,177. 04
Premiums onTJ. S. bonds
I! National-bank notes outstanding.
45, 000. 00
Stocks, securities, etc
984,316.78 | State-bank notes outstanding
Bank'ghouse,furniture,andfixtures
80, 477. 38 Due to other national banks
Other real estate and mortg's owned
7,201, 752. 65
3, 553, 053.45 Due to State banks and bankers.. 3,199,656.81
Due from other national banks
1, 224, 660. 20
Due from State banks and bankers.
Dividends unpaid
100.00
Due from approved reserve agents.
Checks and other cash items
7, 058. 32
9, 705,183. 76
Exchanges for clearing house
725, 603. 59 Individual deposits
Certified checks
96, 021. 54
340,500.00 United States deposits
Bills of other national Danks
i
Fractional currency, nickels, cents.
1, 408. 47 Deposits of U.S.disbursing officers.
Specie
1, 405, 082.00
Legal-tender notes
1, 863, 547. 00 Notes and bills rediscounted
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
2,250.00 Bills payable
3,500.00 Liabilities other than those above
Due from Treasurer TJ. S
stated
Total

Total

22, 462, 891.

22,462, 891.

Continental National Bank, Chicago.
JOHN C. BLACK, President.

No. 2894.

.$16, 510, 845.49
Loans and discounts
Overdrafts
21, 046. 27
U. S. bonds to secure circulation...
50, 000. 00
50, 000. 00
TJ. S. bonds to secure deposits
U. S, bonds on hand
Premiums on TJ. S. bonds
!
Stocks, securities, etc
!
496, 508. 59
Bank'ghouse, furniture, and fixtures:
Other real estate and mortg's owned •
46,190. 63
Due from other national banks
! 3, 346, 034. 55
Due from State banks and bankers.!
912,985.72
Due from approved reserve agents.
Checks and other cash items
,
14,834.22
Exchanges for clearing house
793, 215.11
Bills of other national banks
115, 255.00
Fractional currency, nickels, cents.
1, 721. 23
3, 795, 776.83
Specie
Legal-tender notes
1, 351, 496. 00
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
2, 250. 00
Due from Treasurer TJ. S
Total

GEORGE M. REYNOLDS, Cashier.

Capital stock paid in

$2, 000, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

400, 000. 00
180, 698. 05
45, 000.00

10, 062, 331 74
Due to other national banks
5, 595,127.43
Due to State banks and bankers..
393 00
Dividends unpaid
9, 038, 047. 95
Individual deposits
141, 561.47
Certified checks
45, 000. 00
United States deposits
Deposits of U.S.disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

I 27, 508,159.64

Total

27,508,159.64

Corn Exchange National Bank, Chicago.
EARNEST A. HAMILL, President.

No. 5106.

$9,588,561.61
Loans and discounts
16,244.48
Overdrafts
50, 000.00
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
152,711. 84
Bank'ghouse,furniture,andfixtures
Other real estate and mortg'sownedl
Due from other national banks
1, 501, 085.14
Due from State banks and bankers.
729,450. 09
Duefrom approved reserve agents.
Checks and other cash items
3,197. 86
Exchanges for clearing house
579, 331. 03
Bills of other national banks
38,000. 00
Fractional currency, nickels, cents.
230. 00
Specie
1, 989, 418. 04
377, 000. 00
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total




' 15, 025, 230. 09

FRANK W. SMITH, Cashier.

Capital stock paid in.

$1, 000, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1, 000, 000. 00

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

1, 008, 841. 30
1, 822, 437. 07

304,269.30

Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits ofU.S. disbursing officers
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

9, 551, 822.17
337, 860. 25

15, 025, 230. 09

REPORT OF THE COMPTROLLER OF THE CURRENCY.

113

Drovers' National Bank of Union Stock Yard, Chicago.
S. BRINTNALL, President.

No. 2858.

\YM. H. BRINTNALL, Cashier.

Resources.

Liabilities.

Loans and discounts
j $2, 239, 353.39
1,166. 36
Overdrafts
U. S. bonds to secure circulation...
50, 000.00
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
6,000. 00
Due from other national banks
396,418. 71
30, 060.13
Due from State banks and bankers.
Due from approved reserve agents.
37,411. 36
Checks and other cash items
367, 594. 65
Exchanges for clearing house
4, 500. 00
Bills of other national banks
582. 85
Fractional currency, nickels, cents.
186, 432.10
Specie
271, 929. 00
Legal-tender notes
150,000. 00
TJ. S. certificates of deposit
2, 250. 00
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

84, 284. 27
45, 000. 00

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

457, 502.18
1, 370,157. 79

Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits of U.S.disbursingofncers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

I 3,743, 698. 55

Total .

1, 436, 696. 81
57.50

3, 743, 698. 55

Fort Dearborn National Bank, Chicago.
JOHN A. KING, President.

No. 3698.

Loans and discounts
j $2, 231, 023. 37
Overdrafts
j
52.41
U. S. bonds to secure circulation... j
50, 000. 00
U. S. bonds to secure deposits
I
250, 000.00

U. S. bonds on hand
Premiums on TJ. S. bonds

I

Stocks, securities, etc
Bank'gbouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickel's, cents.
Specie
Legal-tender notes
U.S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

27, 000. 00
125, 531. 24
9,704.81
5, 662. 56
506, 367.44
77,253. 50
2, 385. 25
04,101. 87
16,430. 00
925. 44
286, 743. 06
403, 750.00
30, 000. 00
2, 250. 00

L. A. GODDARD, Cashier.

Capital stock paid in.

$500,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100, 000. 00

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

547, 956.19
588, 439. 88
82.50

Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits of U.S.disbursing officers Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

Total.

12,173.10
45, 000. 00

Total.

1, 964, 711.97
] 1, 561. 28
319, 256. 03

4, 089,180.95

Lincoln National Bank, Chicago.
Y. C. PRICE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,f urniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.


CUR
http://fraser.stlouisfed.org/99, VOL 2
Federal Reserve Bank of St. Louis

No. 3647.
$589, 281. 98
523.18
50, 000. 00
5,000. 00
15, 281.38
7,990. 00
27, 035.78
120, 203.55
107, 775. 54
1, 537. 42
24,192.51
1, 205. 00
39. 95
85, 485. 60
72, 296. 00
2, 250. 00

1,110,097.89

EDW. HAMMETT, Cashier.

Capital stock paid in

$200,000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
j
Due to State banks and bankers .. [
Dividends unpaid

164, 612. 24
47,765.17

j

!
Individual deposits
Certified checks
,
United States deposits
j
Depositsof U.S.disbursingofficers. j
Notes and bills rediscounted
i
!
Bills payable
Liabilities other than those above
stated
|

Total.

7,400.00
13,016.43
45, 000. 00

630,771.11
3,532.94

1,110,097.89

114

REPORT OF THE COMPTROLLER OF THE CURRENCY.
I L L I N O I S .
Merchants' National Bank, Chicago.
No. 642.

C. J . BLAIR, President.

Resources.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
TL S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ, S

i8, 573, 804.14
183. 01
50, 000. 00

864, 685. 00
235, 000. 00
10, 6L4.35
2, 737, 733. 98
133,327.66
3, 005. 08
741, 954. 91
186, 321. 00
314.87
1,713,831.53
780, 000. 00
140,000 00
2, 250. 00

Due to other national banks
Due to State banks and bankers
Dividends unpaid
Individual deposits
United States deposits
Certified checks
Deposits of U. S.disbursing officers.
Notes and bills rediscounted
Bills payable

$1, 000, 000. 00
1, 000,000. 00
706, 402. 95

5, 077, 945.17
3, 371, 101. 35

4, 984, 517.14
33, 058. 92

Liabilities other than those above
stated

Total .

16,173, 025.53

Total .

JOHN C. NEELY, Cashier.

Liabilities.
Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

16,173, 025.53

Metropolitan National Bank, Chicago.
No. 3179.

E. Gr. K E I T H , President.

$11, 914, 888. 49
Loans and discounts
25, 680. 88
Overdrafts
60, 000. 00
U. S. bonds to secure circulation...
100, 000. 00
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
453, 674. 97
Bank'ghouse,furniture,andfixtures
91, 000.00
Other real estate and mortg's owned
2, 786, 696. 61
Due from other national banks
492, 127. 18
Due from State banks and bankers.
Due from approved reserve agents.
17, 575. 53
Checks and other cash items
631,173. 91
Exchanges for clearing house
103, 503. 00
Bills of other national banks
4,069. 51
Fractional currency, nickels, cents.
1, 571, 440.40
Specie
1, 572,118. 00
Legal-tender notes
U. S. certificates of deposit
2, 700. 00
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total

19,826,648.48

H. H. HITCHCOCK, Cashier.

Capital stock paid in

j $2, 000, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1, 000, 000.00
226, 375.01
9, 875. 00

Due to other national banks
4, 024, 971. 56
Due to State banks and bankers.. 3, 964, 988.05
Dividends unpaid
\
288.00
Individual deposits
8, 352, 791. 52
Certified checks
152, 359. 34
United States deposits
j
95, 000. 00
Deposits ofU.S. disbursing officers. |
Notes and bills rediscounted
j
Bills payable
|
Liabilities other than those above

stated
Total.

19,826, 648.48

National Bank of the Republic, Chicago.
JOHN A. LYNCH, President.

No. 4605.

Loans and discounts
j $5, 707, 289.91
Overdrafts
j
7,155.49
TJ. S. bonds to secure circulation...!
50, 000. 00
U. S. bonds to secure deposits
150, 000.00
U. S. bonds on hand
|
Premiums on TJ. S. bonds
:
13,125. 00
Stocks, securities, etc
[
130,336. 54
12, 689. 50
Bank'ghouse, furniture,andfixturesJ
43, 028. 23
Other real estate and mortg's owned!
3, 618, 649. 78
Due from other national banks
181, 541. 64
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
5, 256.03
297, 059. 30
Exchanges for clearing house
20, 420. 00
Bills of other national banks
i
Fractional currency, nickels, cents, i
3, 662. 67
Specie
1, 347, 280. 65
331,140. 00
Legal-tender notes
60, 000. 00
U. S. certificates of deposit
2, 250. 00
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total




! 11, 980, 884. 74

W. T. FENTON, Cashier.

Capital stock paid in

j $1, 000, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

115,000.00

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

5, 464, 020. 33
1, 627, 481. 04

53,110. 52
45, 000. 00

57.50

Individual deposits
I 3,443,016.33
Certified checks
!
90,699.02
United States deposits
I 142,500.00
Deposits of U.S.disbursing officers. |
Notes and bills rediscounted
Bills payable
Liabilities other than those above
• stated
Total .

11, 980, 884. 74

RBPORT OF .THE COMPTROLLER OF THE CURRENCY.

115

National Live Stock Bank, Chicago.
No. 3847.

L E V I B. DOUD, President.

R. Z. HERRICK, Cashier.

Resources.

Liabilities.

$5, 434,157. 88 Capital stock paid in
Loans and discounts
$1,000,000.00
142, 795.46
Overdrafts
50, 000. 00
U. S. bonds to secure circulation...
Surplusfund
750, 000. 00
U. S. bonds to secure deposits
Undivided profits, less current
IT. S. bonds on hand
expenses and taxes paid
337, 888. 76
Premiums on IT. S. bonds
National-bank notes outstanding.
39,650. 00
72, 690. 83 State-bank notes outstanding
Stocks, securities, etc
10, 000. 00
Bank'g house, furniture.and fixtures
21, 659. 45 Due to other national banks
Other real estate and mortg's owned
2,705,178.10
1,263, 838. 93
Due from other national banks
999,302.78
142, 794. 59 Due to State banks and bankers..
Due from State banks and bankers.
4, 314. 00
Due from approved reserve agents.
Dividends unpaid
8, 224. 58
Checks and other cash items
2,508, 556.17
19, 442, 54 Individual deposits
Exchanges for clearing house
35,854. 29
26, 293. 00 Certified checks
Bills of other national banks
760. 84 United States tleposits
Fractional currency, nickels, cents.
683, 334. 00 Deposits of U.S. disbursing officers.
Specie
502, 500. 00
Legal-tender notes
Notes and bills rediscounted
U. S. certificates of deposit
2, 250.00 Bills payable
Redemption fund with Treas. U. S.
Liabilities other than those above
Due from Treasurer U. S
stated
,

Total.

TPotal .

8, 380, 742.10

i, 380, 742.10

Northwestern National Bank, Chicago.
No. 508.

E. BUCKINGHAM, President.

F . W. GOOKIN, Cashier.

Loans and discounts
$4,182,173.48
Capital stock paid in
664. 00
Overdrafts
200, 000. 00
Surplus fund
U. S. bonds to secure circulation...
300, 000. 00
Undivided profits, less current j
IT. S. bonds to secure deposits
expenses and taxes paid
!
IT. S. bonds on hand
National-bank notes outstanding!
Premiums on U. S. bonds
State-bank notes outstanding
!
Stocks, securities, etc
621, 995. 35
Bank'g house, furniture, andfixture.s
Other real estate and mortg's owned
Due to other national b a n k s
I
147, 442. 89
799, 344. ,39
Due from other national banks
Due to State banks and b a n k e r s . .
121, 718 06
Due from State banks and bankers.
Due from approved reserve agents.
Dividends unpaid
;
5, 487. 24
Checks and other cash items
320,313.62
Exchanges for clearing house
I n d i v i d u a l deposits
\
67, 505. 00
Bills of other national banks
Certified checks
•
994. 46
Fractional currency, nickels, cents J
United States d eposits
j
941, 773. 75
Specie
Deposits of U.S.disbursingofficers.
664, 700.00 ( Notes and bills rediscounted
Legal-tender notes
U. S. certificates of deposit
9, 000. 00 S Bills payable
Redemption fund with Treas. U. S.
12, 000. 00 | Liabilities other than those above
Due from Treasurer U. S
; stated
Total

8, 395,112. 24

Total

$1, 000, 000.00
500,000.00
58,040.99
87,960.00
1, 700, 798. 94
1, 541, 540.33

3,191, 947.64
48,862. 01
99, 716.69
166,245.64

8, 395,112. 24

Oakland National Bank of Hyde Park, Chicago.
H. P . TAYLOR, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S.bonds on hand
Premiums on U. S. bonds.
Stocks, securities, etc
j
Bank'g house, furniture, and fixtures'.
Other real estate and mortg's owned .
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.!
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total




No. 3916.

H. W. MAHAN, Cashier.

$407,137.54 }| Capital stock paid in
539.54 '
12, 500. 00
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes o u t s t a n d i n g .
State-bank notes outstanding
32,174.63

$50,000.00
25, 000.00
9,246.00
11,250.00

! D u e to other national b a n k s
I Due to State banks and b a n k e r s .
10,000.00
00, 909. 03
320. 35
2, 850.
62.
25, 460.
3, 600.

00
74
00
00

Dhddends u n p a i d .
I n d i v i d u a l deposits
United States deposits
\
Deposits of U.S.disbursing officers. j

16, 620. 33

Notes and bills rediscounted .
Bills payable

562.50 |
Liabilities other than those above
stated
502,110.33 S

Total.

562,116.33

116

REPORT OF THE COMPTROLLER OF THE CURRENCY,
ILLINOIS.
Union National Bank, Chicago.

DAVID R. FOEGAN, President.

No. 3278.

AUGUST BLUM, Cashier.

Resources.

Liabilities.

Loans and discounts
$9, 981,176. 09
Overdrafts
5, 740. 51
50, 000. 00
U. S. bonds to secure circulation
TJ. S. bonds to secure deposits
TJ. S. bonds on hand
i
6, 500.- 00
Premiums on TJ. S. bonds
|
540. 37
Stocks, securities, etc
|
204,498. 66
Bank'g house,furniture,and fixtures,
5, 000.00
Other real estate andmortg's owned
326, 789. 88
Due from other national banks
1,825,488.31
956, 880. 88
Due from State banks and bankers.
Due from approAred reserve agents.
6, 942. 82
Checks and other cash items
j
Exchanges for clearing house
j
362, 214. 68
19, 000. 00
Bills of other national banks
1, 737. 21
Fractional currency, nickels, cents.
2, 202, 290. 00
Specie
499, 670. 00
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
2, 250. 00
Due from Treasurer U. S
Total

Capital stock paid in

$2,000,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

312,500.00

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

4, 774, 073. 89
2, 545, 622. 58

79,093.41
32, 000.00

321.00

Dividends unpaid

6, 614,840.58
98,262.95

Individual deposits
Certified checks
United States deposits
Deposits of U.S. disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

16,456,719.41

Total.

16, 456,719. 41

De Witt County National Bank, Clinton.
RICHARD SNELL, President.

No. 1926.

Loans and discounts
;
Overdrafts
U. S. bonds to secure circulation... ]
TJ. S. bonds to secure deposits
|.
U. S. bonds on hand
Premiums on U. S. bonds
!
Stocks, securities, etc
i
Bank'ghouse,furniture,and fixtures
Other real estateand mortg's owned .
Due from other national banks
Due from State banks and bankers. \
Due from approved reserve agents. [
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
!
Fractionalcurrency,nickels, cents.|
Specie
j
Legal-tender notes
}
U. S. certificates of deposit
j.
Redemption fund with Treas. U. S. j
Due from Treasurer U. S
Total.

$133,118. 46
5, 757.36
22, 500. 00
1,100. 00
876. 92
20, 000. 00
18.50
20, 909. 02
13, 453. 82
8,516. 88
4, 000. 00
87.85
3,452.00
1, 550.00
512. 50

J . F . D E LAND, Cashier.

Capital stock paid in.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
i
National-bank notes outstanding, j
State-bank notes outstanding
|
Due to other national banks
Due to State banks and bankers

10, 000. 00
20, 250. 00

i

!

Dividends unpaid

Individual deposits
j
United States deposits
j.
DepositsofU.S.disbursingomcers-!

155, 603. 31

Notes and bills rediscounted
I.
Bills payable
!.
Liabilities other than those above
stated

235, 853.31

Total.

235, 853. 31

First National Bank, Danville.
C. L. ENGLISH, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.




No. 113.
$517, 481. 32
6, 956. 53
37,500.00

L. D. G-ASS. Cashier.

Capital stock paid m .

$150, 000. 00

Surplus fund
Undivided profits, less current
300.00
expenses and taxes paid
National-bank notes outstanding.
120, 357. 00 State-bank notes outstanding
37,000. 00
9, 013. 74 Due to other national banks
10, 854. 82 Due to State banks and bankers..
6.12
243, 357. 09 Dividends unpaid
5, 836.49
Individual deposits
16, 201. 00 United States deposits
333. 68 Deposits of U.S. disbursing officers.
57,285. 00
37, 000.00 Notes and bills rediscounted.
Bills payable
1, 687.50
Liabilities other than those above
stated

150,000.00

1,101,170.29 1
1

Total

10, 920.17
33, 750.00

3,930. 82

752, 569. 30

1,101,170.29

REPORT OF THE COMPTROLLER OF THE CURRENCY.

117

Second National Bank, Danville.
WILLIAM P . CANNON, President.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer XJ. S
Total.

A. R. SAMUEL, Cashier.

No. 2584.
[I
$361, 572.53
9, 001. 25
75, 000. 00
100,000. 00
500.00
6, 750. 00
183,569. 47
2, 500. 00
0, 449. 50
1, 780. 75
78,132.19
4. 967. 28
14, 472. 00
740 30
14,860. 00
30,500. 00
3,375.00

Liabilities.

Capital stock paid in.

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100, 000.00

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

8, 502.43
17,770.19

4, 599. 92
67, 500.00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

500, 797. 73
95, 000. 00-

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

894,170.27

Total .

894,170. 27

Palmer National Bank, Danville.
CHARLES J. PALMER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Ban k g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

No. 4731.
$228, 796. 98
1,567. 61
100,000.00
1, 000. 00
70,701.97
16,000. 00
20, 590. 33
2, 002. 88
75.107.11
1, 463. 68
12, 864. 00
118.49
24, 912. 50
12, 000. 00
4, 500.00
571, 625. 55

M. J. WOLFOKD, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid.
Individual deposits.
United States deposits
Deposits of U.S.disbursing officers.
Notes and bills rediscounted.
Bills payable

$100,000.00
12,000.00
4, 613. 02
90, 000. 00

13, 689.43

351, 323.10

Liabilities other than those above
stated
Total .

571,625. 55

Citizens' National Bank, Decatur.
H. SHLANDEMAN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




MILTON JOHNSON, Cashier.
No. 4576.
$157,941.46 Capital stock paid in
$100,000.00
9, 815. 01
50, 000. 00 Surplus fund
30, 000. 00
Undivided profits, less current
1,997.41
expenses and taxes paid
5, 000. 00 National-bank notes outstanding.
45, 000.00
25, 611. 35 State-bank notes outstanding
22, 000. 00
9, 822.48 Due to other national banks
8,182.10
6, 602.13 Due to State banks and bankers..
24, 718.00
10, 079. 60
44, 457.97 Dividends unpaid
30.00
2,158. 42
Individual deposits
164,183.05
7, 050. 00 United States deposits
134.14 Depositsof U. S. disbursing officers.
9,188. 00
12, 000. 00 Notes and bills rediscounted.
Bills payable
2, 250. 00
Liabilities other than those above
stated

374,110.56

Total.

374,110. 56

118

UEPOKT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Millikin National Bank, Decatur.
No. 5089.

J. MILLIKIN, President.

J . M. BROWNBACK, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TL S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.

$1,185, 998. 93
30, 824. 61
100, 000. 00
220,500. 00
16,432. 63
49,432.13
1,124. 50
8, 629. 83
27,735. 53
45,193. 04
204,677. 56
8, 666.92
3,619. 54
6,900. 00

499.91
54,983. 65
35, 000. 00
4,500.00

Due from Treasurer U, S

Capital stock paid in.

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

20,000. 00
47, 072.69
90, 000.00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid.,

43,609. 86
358,688.29

Individual deposits
United States deposits
Deposits of U.S. disbursing officers.
Notes and bills rediscounted.
s
Bills payable
.

1, 245, 347. 94

Liabilities other than those above
stated.

2, 004, 718. 78

Total.

$200, 000. 00

Surplus fund

Total

2, 004.718.71

National Bank, Decatur.
KiLBURN H . ROBY,

President.

Loans and discounts
Overdrafts
U. S.bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on XJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national hanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

No. 4920.
$465,728.48
45,421. 65
50, 000. 00
11, 200. 00
2, 000.00
8,100. 00
4, 000.00
1,759.60
7,840. 67
9, 947. 88
65, 275. 49
1, 269. 36
1,892. 33
3,500. 00
155.21
19, 615. 00
25, 000. 00
2,250. 00
724, 955. 67

Total.

B. O. MCREYNOLDS, Cashier.

Capital stock paid in.

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers

100,000.00
7,473. 20
45, 000. 00

28,753.06

443, 729.41

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated
Total.

724,955. 67

De Kalb National Bank, De Kalb.
JNO. H. LEWIS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
«
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.



No. 2702.
$237,761.10
10.58
12, 500. 00
5, 500.00
42, 028.06
14, 775.48
13,546.30
257, 855.94
369.30
430. 00
298.20
21,605.00
7,000.00
562.50
614, 242.46

T. A. LUNEY, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50,000.00
10,000.00
22, 437. 45
11, 250. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
U nited States deposits
DepositsofU.S.disbursingofficers

312. 00
520, 243. 01

Notes and bills rediscounted.
Bills payable
Liabilities other than those abor©
stated
Total .

614,242.46

REPORT OF THE COMPTROLLER OF THE CURRENCY.

119

I LLINOI8.
Tazewell County National Bank, Delavan.
J. "W. CRABB, President.

No. 3781.

Resources.
Loans and discounts
Overdrafts
j
U. S. bonds to secure circulation...!
IT. S. bonds to secure deposits
U. S. bonds on. hand
Premiums on U. S. bonds
Stocks, securities, etc
!
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned!
Duo from other national banks
!
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
I
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.

DANIEL CRABB, Cashier.

Liabilities.
$113,998.3D
362. 20
12, 500. 00

$50, 000.00

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000. 00
247.41
11, 250. 00

8, 700. 00
10, 810. 84
1,964.32
19, 655. 75
1, 008. 67
183.00
310.46
2,945.00
6,800. 00

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

Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofficers

923.22
107,380.50

Notes and bills rediscounted.
Bills payable

562.50

Liabilities other than those above i
stated
Total.
179, 801.13

179, 801.13

City National Bank, Dixon.
No. 3294.

SAM'L C. EELLS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S bonds on hand
....
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$233, 033. 78
288.40
25, 000. 00
2,250. 00
66, 465.00
1, QOO. 00
2, 448. 42
718. 57
5.35
123, 228. 91
510. Co
455. 00
126.10
26, 321.45
10,742. 00

1,125.66"
493, 718. GS

Total

LEONARD ANDRUS, Cashier.

Capital stock paid in

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

9,300.00
13, 538. 23
21,400. 00

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

75.00

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

349,405.40

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

,

493, 718. 63

Dixon National Bank, Dixon.
J". C. AYRES, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.



CHAS. H. HUGHES, Cashier.
No. 1881.
$100, 000.00
Capital stock paid in
Surplus fund
18,100.00
Undivided profits, less current
6,162.42
expenses and taxes paid
21, 500.00
2, 500. 00 National-bank notes outstanding.
21, 076. 00 State-bank notes outstanding

$242,334.15
557. 57
25, 000. 00

2, 500. 00

Due to other national banks
1, 039. 58 Due to State banks and bankers.
183,482.02 Dividends unpaid
710. 07
1,403.26

1,000.00
460.20
20, 736.10
8, 500. 00

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

51.00
366, 610. 53

Notes and bills rediscounted.
Bills payable

1,125. 00

Liabilities other than those above
stated
512,423.95

Total.

512,423.95

120

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Duquoin.
No. 4737.

P. N. POPE, President.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
TJ. S. bonds to secure deposits...
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.1
Due from Treasurer TJ. S
j

114,136. 39
1,795.54
12,500.00

Capital stock paid in.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
1, 250. 00 National-bank notes outstanding.
51, 936. 25 State-bank notes outstanding
3,000. 00
Due to other national banks
44.61
Due to State banks and bankers..
7, 827. 53
Dividends unpaid

17, 500.00

3, 000.00
106.14
3, 950. 75
2, 500. 00
562. 50
202,609.71

Total.

J. R. PERKINS, Cashier.

Liabilities.

15, 412.12
11, 250. 00

108, 447. 59

Individual deposits
United States deposits
Deposits ofbills rediscounted.
Notes and U .S.disbursing officers.

Bills payable

Liabilities other than those above
stated
Total.

202, 609. 71

First National Bank, Barlville.
WM. K/HAIGHT, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

No. 3323.
$78, 520.12
319.51
12, 500. 00
15, 000. 00
1, 000. 00
15, 500. 00
2, 032. 00

115, 645. 90
1,075.45
2, 085. 00
154. 65
14,919.15
1, 000. 00
562. 50
260, 314. 28

Total.

CHARLES HOSS, Cashier.

Capital stock paid in.

|

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50,000. 00
10,000.00
1, 671.19
9,187. 50

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers

189, 455.59

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated
Total.

260, 314. 28

First National Bank, East Saint Louis.
PAUL W. ABT, President.

Loans and discounts
j
Overdrafts
|
U. S. bonds to secure circulation...!
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds

Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Dpnks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




J. M. WOODS, Cashier.

No. 4328.
$395,119.41
6, 211. 97
50, 000. 00
3, 000. 00
26,400. 00
25, 000.00

Capital stock paid iu
Surplus fund

j

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100,000.00
20, 000.00
6, 895. 67
45, 000. 00

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

3, 368. 24
133, 285.72
1, 452. 03
1, 299. 00
478.89
19, 571. 00
39, 000. 00

Dividends unpaid

Individual deposits
United States deposits
DepositsofU.S.disbursingofiicers.

534, 540. 59

Notes and bills rediscounted.
Bills payable

2,250.00

Liabilities other than those above
stated
706, 436. 26

Total.

706,436.26

REPORT OF THK COMPTROLLER OF THE CURRENCY.

121

ILLINOIS.
Southern Illinois National Bank, East Saint Louis.
HENRY D. SEXTON, President.

No. 5070.

ANTHONY ISCH, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and inortg's owned
Due from other national ban ks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit.
Redemption fund with Treas. IT. S.
Due from Treasurer IT. S
Total .

Liabilities.
$366,655. 41
1,923.76
27, 000. 00
55, 940. 00

Capital stock paid in

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

20,000. 00

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

23, 291.47

Individual deposits
"""8," 500." 56" "United States deposits
374.15 Deposits of U.S.disbursingofficers.
47,720.00
8,600.00 Notes and bills rediscounted
Bills payable
1,215.66
Liabilities other than those above
stated

501,622.72
50, 000. 00
64.73

35, 700. 62
1, 000. 00
47, 028. 41
120, 867. 88
7,100. 00

10,346. 31
24, 300. 00

Total .

729,625.23

729,625.23

First National Bank, Edwardsville.
AUGUST SCHLAFLY, President.

No. 5062.

Loans and discounts
$149,102.29
Overdrafts
TJ. S. bonds to secure circulation...
50, 000. 00
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and
fixtures
1, 711. 80
Otherreal estate and mortg's owned!
Due from other national banks
i
Due from State banks and bankers. j
Due from approved reserve agents. j
11, 223. 65
Checks and other cash items
'
987. 03
Exchanges for clearing house
Bills of other nationalbanks
j
1, 045. 00
Fractional currency, nickels, cents. j
27. 94
Specie
1, 987. 80
Legal-tender notes
14,228. 00
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
2, 250. 00
Due from Treasurer TJ. S
Total.

232, 563. 51

E. P. KESHNER, Cashier.

Capital stock paid in

!

$50, 000.00

Surplus fund
|
Undivided profits, less current j
expenses and taxes paid
I
National-bank notes outstandingState-bank notes outstanding

8, 000. 00
2,939.23
45,000. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingom'cers.

126, 624. 28

Notes and bills rediscounted
!
Bills payable
j
Liabilities other than those above
stated
Total.

232,563.51

First National Bank, Effingham.
L. BUREELL, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Otherreal estate andmortg'sowned.
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractionalcurrency,nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S
Total . . .




H. B. WERNSING, Cashier.
No. 4233.
$89,383. 31 | Capital stock paid in.
$50, 000.00
362.05
25, 000. 00 Surplus fund
10,000. 00
2, 550. 00
3, 309. 50
10, 800.00

33, 267. 39
3, 939. 23
1, 000. 00
85.80
8,105.40
4, 000. 00
1,125.00
182, 927. 68

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

2,238.45
22,500.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

18,189.23

Notes and bills rediscounted.
Bills payable

Liabilities other than those above
stated
Total .

182,927.68

122

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Elgin.
No. 1365.

GEORGE P . LORD, President.

ALFRED BOSWORTH, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
TJ. S. bonds to secure deposits...
U. S. bonds on hand
Premiums on TJ. S.bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

$567, 836.18
11, 508.60
150,000.00
1,000.00
6, 239.63
5,205.00
22, 719.55
18, 037.85
5, 448. 52
132, 460.36
5,437.10
4,568.16
22,102.00
166.43
74, 303.25
20,000.00
6,750.00

Capital stock paid in

i

$200,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding-1
State-bank notes outstanding
!

31, 651.36
135, 000.00

Due to other national banks
j
Due to State banks and bankers..
Dividends unpaid
»
!

68,962.42

40,000.00

j

Individual deposits
j
United States deposits
|
Depositsof U.S.disbursingofficers.!

578,168.85

Notes and bills rediscounted
I
Bills payable
I
Liabilities other than those above
stated
Total

Total

1,053,782.63

Elgin National Bank, Elgin.
EDWARD C. LOVELL, President.

No. 4735.

Loans and discounts
i
Overdrafts
!
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$238, 363. 69
2,806. 09
75,000. 00
200. 00
2, 212. 50
6, 655.70
39, 750. 00
1,250.00
173. 00
31, 576.28
6, 313. 36
365. 80
12,720.65
11, 907. 00
3,375.00

:

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.

State-bank notes outstanding

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

10, 500. 00
1,492. 22
67, 50U. 00

30.00
253,146. 85

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

432, 669.07

Total.

L. N . SEAMAN, Cashier.

Capital stock paid in

Total.

432, 669.07

Home National Bank, Elgin.
J . W. RANSTEAD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankersDue from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S
Total.




No. 2016.
$490, 849.18
708. 98
100,000.00

W. H. DOE, Cashier.

Capital stock paid in.

Surplus fund
Undivided profits, less current
1,420. 00
expenses and taxes paid
5, 242. 50 National-bank notes outstanding.
58 002. 50 State-bank notes outstanding

73,150.00
8,376. 50 Due to other national banks
1, 007. 97 Due to State banks and bankers..
23, 996. 95 Dividends unpaid
23, 356.18
Individual deposits
6. 510. 00 United States deposits
2, 310.00 Deposits ol'U.S.disbursing officers.
30, 436. 58
17,905.00 Notes and bills rediscounted.

Bills payable

4, 500.00
847, 772. 34

$150,000.00
50, 000.00
27,120.70
90,000. 00
295. 24
72, 800.42

442,555. S

15,000.00

Liabilities other than those above
stated
Total.

847,772.34

REPORT OF THE COMPTROLLER

OF THE CURRENCY.

123

ULINO1S.
First National Bank, El Paso.
A. S. MCKINNEY, President.

No. 2997.

FRANK B. STITT, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estate and m ortg' s owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels, cents Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.

Due from Treasurer U. S
Total.

Liabilities.
$206,181. 70
1,131.45
25, 000. 00
1,500. 00
9, 000. 00
12, 000. 00
43,"377.*43
4,114.73
45,166. 43
307. 00

Capital stock paid i n .

$50, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

25, 000. 00
5,611.71
22, 500.00

50.00
264, 066.11

131.00
79.08
8, 464. 00
9, 650. 00 Notes and bills rediscounted.
Bills payable
1,125.00
Liabilities other than those above
stated
Total.

367,227.82

367, 227. 82

First National Bank, Fairbury.
No. 1987.

I. P. MCDOWELL, President.

Loans and discounts.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g bouse,furniture,and fixtures
Other real estate and.mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.

Due from Treasurer U, S
Total.

$116, 663. 45
12, 893.11
12, 500. 00

T. S. O. MCDOWELL, Cashier.

Capital stock paid i n .

$50,000.00

Surplus fund
Undivided profits, less

current

10, 000. 00

expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
1,135. 00
26,571. 22
38, 789. 25
753.19
1, 800.
138.
3. 620.
1, 000.

00
74
00
00

562.50

26,607.58
11,250. 00

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

1,562.17

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers .

117,006. 71

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

216, 426. 46

216,426.46

First National Bank, Fairfield.
THOS. W* SCOTT, President.

No. 5009.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
;
Premiums on U.S. bonds
!
Stocks, securities, etc
j
Bank'g house, furniture, andfixturesI
Other real estate and mortg's owned!
Due from other national banks [
Due from State banks and bankers.!
Due from approved reserve agents !
Checks and other cash items
|
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.

Due from Treasurer U, S
Total




_....!

$77, 300. 59
12,500.00

10 000. 00
5, 800.00
2, 097. 58
92, 062.35
2,230.00
43.15
3, 975. 00
3,025. 00

EDWIN E. CREBS, Cashier.

Capital stock paid i n .

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50,000.00
10,000.00
1, 866. 01
11, 250. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid.
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

136, 480.16

Notes and bills rediscounted.
Bills payable

562. 50

Liabilities other than those above
stated
209, 596.17

Total .

209, 596.17

124

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
John Weedman National Bank, Farmer City.

W. W. MURPHEY, President.

No. 3407.

G-. M. KINCAID, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Danks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S,
Total.

$130,133. 76
7, 244. 83
18, 750. 00
1, 500.00
6, 000. 00
15, 656. 64
47. 601.11
45, 657. 32
1,015.00
12.92
4,741.60
5, 500.00

843. 75

Capital stock paid in.

$75,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

25, 000.00
1,584.48
16, 875. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

166,197.45

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

284,656. 93

Total.

284,656.93

Old First National Bank, Farmer City.
No. 4958.

JACOB SWIGART, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation..
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.;
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U.S.!
Due from Treasurer U. S
•
Total.

$126, 033.43
1, 914. 82
16,250. 00
1, 500.00
5. 000.00
8, 89.6.42
5,115.86
21, 920.02
2', 450.00
22.63
4, 000. 00
2,000.00

D. L. FULLER, Cashier.

Capital stock paid in.

$65,000.00

Surplus fund
Undivided profits, less -current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

5,500.00
1, 990.16
14, 620. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

308,723.02

Notes and bills rediscounted.
Bills payable

730. 00

Liabilities other than those above
stated
Total .

195, 833.18

195,833.18

First National Bank, Flora.
OSMAN PlXLEY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 1961.
$120,700.15
619.80
50, 000. 00
4,250. 00
977.39
10,200.00
1,190. 00
12, 746.89
68, 443.40
35.14
3, 389.00
122.73
11,849.20
2, 000. 00
2, 250. 00
288,773.70

R. SMITH, Cashier.

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers. .
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

$50,000~V
10,000.00
1, 555. 02
45 000. 00

18, 409.48
1, 005.00
162,804.20

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

288, 773 70

REPORT OF THE COMPTROLLER OF THE CURRENCY.

125

ILLINOIS.
First National Bank, Freeport.
No. 2875.

0. B. BIDWELL, President.

A. BIDWELL, Cashier.

Resources.
Loans and discounts
I
Overdrafts
i
U. S. bonds to secure circulation... |
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds

Stocks, securities, etc
Bank'ghouse,furniture,and fixture:
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer IT. S
Total.

Liabilities.
$361, 791. 86
2, 587. 93
40, 000. 00

107, 527.00
2, 750. 00
10, 960. 00
239, 327. 64
14,137. 37
5, 008. 00
269. 54
33, 654. 60
6,000.00

1,800.00
825,813.94

Capital stock paid in.

$150, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

30, 000. 00
8, 615. 93
36, 000. 00

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

3, 894. 23

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

597,303. 78

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

825,813.94

Second National Bank, Freeport.
No. 385.

JACOB KROHN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$142, 360. 47
427. 69
25, 000. 00

25,112. 50
1, 000. 00

H. S. WEBSTER, Cashier.

Capital stock paid in

\

$100,000.00

Surplus fund
Undivided profits, less current j
expenses and taxes paid
!
National-bank notes outstanding, j
State-bank notes outstanding

20, 000.00

Due to other national banks
Due to State banks and bankers..
69, 886. 73
734.37

Dividends unpaid

3, 970.35
22,500.00

2,065.89
373. 00
133,750. 73

282, 659.97

Total.

Individual deposits
"I," 485* 66' United States deposits
485. 59 Deposits of U.S.disbursingofficers.
10,998. 05
3,730.00 Notes and bills rediscounted.
Bills payable
1,125. 00
Liabilities other than those above

282, 659.97

stated
Total.

Galena National Bank, Galena.
JOHN ROSS, President.

Loans and discounts
|
Overdrafts
'
U. S. bonds to secure circulation.. J
U. S. bonds to secure deposits
|
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixture:
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalTbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

Total .



No. 3279.
$280, 446.87
8, 824. 02
25, 000. 00

827. 71
2, 025. 00
26,150. 24
23, 623. 45
166, 458. 84
2, 072.14
1, 320. 00
180. 00
45, 769. 00
7, 608. 00
1,125. 00 |

591, 430.27

"W. FORD, Cashier.

Capital stock paid i n .

Surplus fund..,.
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100, 000.00
50,000.00
23, 071. 72
22, 500.00

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

385. 60

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

395, 472.95

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

591,430.27

126

BBPORT GF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Merchants' National Bank, Galena.
No. 979.

THOMAS FOSTER, President.

C. S. MERRICK, Cashier.

Resources.
Loans and discounts
|
Overdrafts
j
U. S. bonds to secure circulation... |
U. S. bonds to secure deposits
I
TJ. S. bonds on hand
Premiums on U. S. bonds
.|
Stocks, securities, etc
|
Bank'g house, furniture,and fixtures j
Other real estate and mortg's owned |
Due from other national banks
J
Due from State banks and bankers.!
Due from approved reserve agents. I
Checks and other cash items
;
Exchanges for clearing house
j
Bills of other national banks
Fractional currency, nickels, cents.!
Specie
Legal-tender notes
i
TJ. S. certificates of deposit
|
Redemption fund with Treas. U. S. I
Due from Treasurer TJ. S
Total.

Liabilities.
$265, 328'. 96
5, 8:53.17
25,000.00
2,350.00
3,900.00
8,400.00
3,200.00
1, 030.46
68,660.75
2,501.74
1,380.00
117. ] 5
14,736.10
9, 000.00
1,125.00

$100, 000. 00

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

22, 710. 46
22, 500. 00

Due to other national banks
j
Due to State banks and bankers.. j
I
Dividends unpaid
|

2, 341.05

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

20, 000. 00

245, 011. 82

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

412,563.33

412, 563.33

Total .

First National Bank, Galesburg.
L. F. WERTMAN, President.

No. 241.

Loans and discounts
j
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits-..
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghousejfurniture^nd fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalTbanks
Fractional currency, nickels, cents.
Specie .•
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TT. S
!

$368,036.13
11,155.20
37,500.00

18,341.37
15, 500. 00
12, 614.13
287. 88
575. 77
105, 973. 86
3, 388. 92
5, 000. 00
126. 42
11, 370. 00
10,168. 00
1,687. 50

$150,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

30, 000. 00
45,122. 70
33, 750. 00

642. 00
342, 210.48

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

601, 725.18

Total.

LOREN STEVENS, Cashier.

Capital stock paid i n .

601, 725.18

Second National Bank, Galesburg.
ALBERT J . PERRY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures1
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges ibr clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U.S.
Due from Treasurer U, S
Total.




No. 491.
$247,953. 74
9,436.22
25, 000. 00
2,200. 00
58, 602. 88
19, 000. 00
8,679.68
31,685.39
3, 874. 22
864. 00
41.32
6, 713. 55
1, 500.00
1,125.00
416, 676. 00

J. G. VIVION, Cashier.

Capital stock paid in.

$100,000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

40, 000. 00

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

460. 01

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

239,263.01

14, 200.98
22,500.00

252. 00

Notes and bills rediscounted.
Billspayable
Liabilities other than those above
stated
Total .

416, 676.00

REPORT OF THE COMPTROLLER OF THE CURRENCY.

127

Galesburg National Bank, Galesburg.
No. 3138.

P. F. BROWN, President.

J . H. LOSEY, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from Stato banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
'.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$244, 513. 38
13,141. 08
32, 000. 00
20,
5,
48,
64,

000. 00
567. 50
844.19
779. 08
283.13

132, 367.16
1, 385. 22

Capital stock paid in

25, 000.00
83, 997.13
28, 800. 00
-

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

244. 00

Individual deposits
3," 653.' 66" United States deposits
265. 61 Deposits of U. S. disbursing officers.
17, 000. 00
10, 000. 00 Notes and bills rediscounted
Bills payable 1,440.00
Liabilities other than those above
stated
595, 239.35

Total

$125, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total

3J2,198. 22

595, 239. 35

Galva First National Bank, Galva.
Y. A. WiGEEN, Cashier.

No. 2793.

A. DEEM, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents. 1
Specie
'.
j
Legal-tender notes
U. S. certificates of deposit
I
Redemption fund with Treas. U. S. I
Due from Treasurer U. S
!
Total .

$307,103.81
5, 693. 89
12,500. 00

Capital stock paid in.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
18, 605. 61 State-bank notes outstanding
7, 000. 00
1, 615.51 Due to other national banks
Due to State banks and bankers..
274. 85
31,094.72 Dividends unpaid
252. 72
Individual deposits
2, 320.00 United States deposits
125. 95 Deposits of U.S.diabursingofficers.
16, 503. 50
2, 200. 00 Notes and bills rediscounted
Bills payable
562. 50
, Liabilities other than those above
stated

10,000.00

405, 853. 06

7, 023. 40
11, 250. 00

327,579. 66

405, 853.06

Total .

First National Bank, Geneseo.
S. T. HUME, President.

Loans and discounts
I
Overdrafts
!
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
i
U. S. bonds on hand
I
Premiums on U. S bonds
!
Stocks, securities, etc
!
Bank'ghouse,furniture,andfixtures!
Other real estate and mortg's owned !j
Due from other national banks
Due from State banks and bankers.'
Due from approved reserve agents. j
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
j
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 534.

HIRAM WILSON, Cashier.

$222,139.46 Capital stock paid in.
848. 55
25, 000. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
10, 000. 00
Due to other national banks
209.42 Due to State banks and bankers..
171,597.13 Dividends unpaid

$100, 000.00

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

158,153. 49

4,214.00
290.05
23, 375. 90
10, 000.00
1,125.00
468, 799. 51

50,000. 00
42,864.54
22, 500. 00

95, 281.48

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

468,799.51

128

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Farmers' National Bank, Geneseo.
LEVI WATERMAN, President.

No. 2332.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation... \
U. S. bonds to secure deposits
U S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State "banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
:
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
:
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total.

JNO. P. STEWART, Cashier.
Liabilities.

$364, 235. 64
4, 854. 83
40,000. 00

Capital stock paid in.

$50. 000. 00

Surplus fund
Undivided protits, less current
expenses and taxes paid
National-bank notes outstandingState-bank notes outstanding

9, 600. 00
8,000.00 I
1, 000. 00 Due to other national banks

25, 000.00
26, 467. 24
36, 000. 00

Due to Stale banks and bankers..
114,162. 62
572. 23
1, 520. 00
175.00
19, 327. 70
3, 000. 00
1, 800. 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. rediscounted.-.
Notes and bills disbursing officers.

430, 780. 78

IUlls payable
j
Liabilities other than those above
stated
o

Total.

568,248.02

568, 248. 02

Grant Park National Bank, Grant Park.
F. HOLZMAN, President.

No. 5124.

Loans and discounts
i
Overdrafts
TJ. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
!
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers. j
Due from approved reserve agents. I
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S
Total .

ED. C. CURTIS, Cashier.

$111,963.32 Capital stock paid in.
2,789.68
12, 500. 00 Surplus fund
,
Undivided profits, less current
expenses and taxes paid
1, 390. 63 National-bank notes outstanding.
State-bank notes outstanding
; Due to other national banks
5,180. 98
4, 924. 00 i Due to State banks and bankers
2,006.70
•
1,876.73 Dividends unpaid
160. 00
44. 90
5,981.25
706,00
562. 50

Indi vidual deposi ts
United States deposits
|
Deposits of U.S. disbursing officers.!
Notes and bills rediscounted
Bills payable
Liabilities other than those above j
stated

Total.

150,086.69 I

$50, 000.00
600.00
2,169. 09
11,250.00

6.00
6, 061. 60

150, 086. e

First National Bank, Grayville.
HARRY GRAY, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
!
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estateand mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalTbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




W. W. G-RAY, Cashier.

No. 4999.
$90, 392. 38
1,189. 55
12, 500. 00
21, 700. 00
2, 200. 00
102. 45
21, 588. 46
6, 232.17
24.99
8,061.51
93.28

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
j
National-bank notes outstanding.|
State-bank notes outstanding..

13, 674. 38
10, 250. 00

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

; Indi vidual deposits
1. 420. 00 ! | United States deposits
34.02 j Deposits of U.S.disbursingofiicers.
2, 038. 50
7, 500. 00 Notes and bills rediscounted.
Bills payable
62.50 ;
. Liabilities other than those above
stated
,
175, 639. 81

0, 000. 00

Total.

101, 715. 43

175, 639.81

REPORT OF THE COMPTROLLER OF THE CURRENCY.

129

ILLINOIS.
Griggsville National Bank, Griggsville.
No. 2116.

BENJAMIN NEWMAN, President.

<T. A. FARRAND, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
IT. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, andfixturei
Other real estate andniortg's owned!
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer IT, S

$133, 560. 99 j Capital stock paid in
(
6, 764. 06
12, 500. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
12, 500.00
National-banknotes outstanding.
12,453.59 State-bank notes outstanding
2, 750. 00
Due to other national banks
Due to State banks and bankers ..
904. 78
28, 730.12 Dividends unpaid
406. 06
Individual dex>osits
""770." 00 United States deposits
127. 80 Depositsof U. S.disbursingofficers.
10,924.40
3,110. 00 Notes and bills rediscounted.
Bills payable
562.50
Liabilities other than those above
stated
226, 064.30

Total.

Total .

$50, 000.00
10, 000. 00
29,188. 41
11,250.00

5, 467. €

120,158. 20

226,064.30

First National Bank, Harrisburg.
No. 4003.

W. F. SCOTT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalTbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

926.46
45, 559. 04
632. 28

$75,000.00
25,000.00
1, 849. 57
16, 870. 00

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

Individual deposits
959. 00 United States deposits
25.38 Depositsof U.S.disbursing officers.
6, 810. 40
4, 000. 00 Notes and bills rediscounted.
Bills payable
843. 50
Liabilities other than those above
stated
Total .

205, 700. 94

Total .

C. S. WILLS, Cashier.

$120, 006. 75 Capital stock paid in .
790.85
18,750. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
6, 397. 28 State-bank notes outstanding

86, 981. 37

205, 700. 94

City National Bank, Harrisburg.
No. 5153.

W. V. CHOISSER, President.

Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items.".
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

$83, 550. 90
545. 47
12, 500. 00
546. 88
559. 52
7, 060. 00
6, 970.12
31, 447.70
4, 661. 49
1, 670. 00
66.01
6, 743.10
2, 500. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

$50, 000. 00
728.02
1, 053.56
11, 240. 00

4,030.68

92, 330.93

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

159,383.19

2

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

562.00

Total.


OUR 99, VOL


WM. M. GREGG, Cashier.

Capital stock paid in.

9

Total.

159, 383.19

130

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Havana National Bank, Havana.
No. 2242.

FRANCIS LOW, President.

N. C. KING, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U.S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'gliouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total

$193.961. 35
3,736.51
50,000.00
2,000. 00
33, 960. 00
8, 200. 00

Capital stock paid in

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

19, 875. 26

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

81, 071. 60
5,328.74

Dividends unpaid

2, 500. 00
204. 38
19,829.60
1,000. 00
2,250.00

15,000. 00
8, 865.20
45, 000. 00

915. 65
775.00

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

303, 361. 59

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

Total

423,917.44

423,917.44

First National Bank, Henry.
W. T. LAW, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

No. 1482.
$145,117.69
64.70
15,000. 00

5,000.00
5, 000. 00
15, 373.78
869. 49
102,042.17
685. 55
1, 000. 00
143. 35
18, 508.90
675.00
309,480. 63

Total .

CHARLES R. JONES, Cashier.

Capital stock paid in

$50, 000.00

urp
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000. 00
735. 29
13, 500. 00

Due to other national banks
Due to State banks and bankers Dividends unpaid
Individual deposits
United States deposits
Deposits of U S. disbursing officers.

235,245.34

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated
Total .

309,480.63

Hillsboro National Bank, Hillsboro.
CHARLES A, RAMSEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' g b ouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
.'.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.



No. 2789.
$128,086.99
274.02
30, 000.00
1, 500. 00
10, 670. 00
11,291.83

L. M. BECK, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

11, 503.30

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

26, 333. 37
1, 610. 51

$60, 000.00
27, 000. 00
1, 085. 29
27, 000.00

Dividends unpaid

540.00
136. 99
11, 833.68
1, 772.00
1,350. 00

Individual deposits
United States deposits
Deposits of U.S.disbursing officers -

314.49

121, 502. 91

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

236, 902.69

Total .

236, 902.69

REPORT OF THE COMPTROLLER OF THE CURRENCY.

131

ILLINOIS.
First National Bank, Hoopestown.
No. 2808.

J. S. MCFERREN, President.

E. C. GRIFFITH, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U S bonds to secure deposits
TJ S bonds on hand
Premiums on U. S bonds
Stocks, securities, etc
Bank' g h ouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
-•
Legal-tender notes
TJ S certificates of deposit
Redemption fund with Treas. 0". S.
Total

$175, 631. 80
16, 942.10
12, 500. 00

i3, 873.03
60,192. 94

Capital stock paid in

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

80, 000.00
2 000.78
11,' 250.00

Due to other national banks
Due to State banks and bankers

29, 859. 75 Dividends unpaid
1, 559. 95
Individual deposits
2,485. 00 United States deposits
32.51 Deposits of U.S.disbursing officers.
2, 030. 00
9, 240. 00 Notes and bills rediscounted
Bills payable
562.50
Liabilities other than those above
stated
324,909.58

Total

.

.

181, 658.80

324, 909.58

Jacksonville National Bank, Jacksonville.
T. B. OEEAR, President.

No. 1719.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bauk'ghouse,furniture,andfixtuies
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

$580,187.34
61,968.44
100, 000. 00
10, 000. 00
43, 892. 62
19, 500. 00
50, 500. 00
1, 397.95
2,864.47
25, 214. 21
4,717.16
3,130.00
193.80
10, 500.00
29, 000. 00

J . R. ROBERTSON, Cashier.

Capital stock paid in.

$200, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding.....

29, 000.00

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

19,998.68

Dividends unpaid

2, 007. 05
90, 000. 00

5, 890. 72
6.00

Individual deposits
United States deposits
Deposits of'U.S.disbursing officers

600, 663.54

Notes and bills rediscounted.
Bills payable

45, 000. 00

Liabilities other than those above
stated
Total .

947, 565. 99

947, 565.99

National Bank, Jerseyville.
A. W. CROSS, President.

Loan and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' g house, furniture, andfi xtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 4952.

$127,413. 28
5, 470.44
12, 500. 00

D. J . MURPHY, Cashier.

Capital stock paid in.

Surplus fund
Undivided profits, less current
expenses and taxes paid
126. 50 National-bank notes outstanding.
14, 388. 46 State-bank notes outstanding
7, 700. 00
2, 000. 00 Due to other national banks
8, 303. 42 Due to State banks and bankers
572.71
64, 810. 03 Dividends unpaid
1, 462. 62
Individual deposits
"""560." oo United States deposits
Deposits of U. S.disbursing officers.
35.00
4, 889. 20
6, 004. 00

550, 000.00
3, 200. 00
5, 760.40
11, 250. 00

186, 527. 76

Notes and bills rediscounted.
Bills payable

562. 50

Liabilities other than those above

stated

256, 738.16

Total .

256, 738.16

132

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Joliet.
No. 512.

I \ W. WOODRUFF, President.

A. H. WAGNER, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
TJ. S. bonds to secure deposits. - IT. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other n'ational banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer IT, S
Total.

$413, 988. 74
1,078.95
80, 000. 00
10, 000. 00
1, 000. 00
105,132. 34
21,000.00
1,281.04
250, 521.17
6, 223. 59

Capital stock paid in.

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

125, 000. 00
2,125. 61
72, 000. 00

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

Individual deposits
865. 00 j United States deposits
313. 53 Deposits of U.S.disbursing officers
79, 740. 80
5, 000. 00 Notes and bills rediscounted
I Bills payable

680, 619. 55

3,600.00

Liabilities other than those above
stated
979, 745.16

Total.

979, 745.16

Joliet National Bank, Joliet.
No. 4520,

T. A. MASON, President.

Loans and discounts
Overdrafts
U. S.bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,ana fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

ROBERT T. KELLY, Cashier.

$542,304.21 Capital stock paid in.
6,165.77
25,000.00 j Surplus fund
Undivided profits, less current
12, 500.00
expenses and taxes paid
2, 500. 00 National-bank notes outstanding .
33, 341. 51 State-bank notes outstanding
10,181. 48
9, 585. 44 Due to other national banks
19, 648. 34 Due to State banks and bankers.
1, 799. 57
150,966.18 Dividends unpaid
6, 696. 67
Individual deposits
"""8," 957." 66' United States deposits
118.64 Deposits of U. S.disbursing officers.
38, 276. 30
20, 000. 00 Notes and bills rediscounted.
Bills payable
1,125.00
Liabilities other than those above
stated
889,166.11

Total .

$100,000.00
15,000.00
5, 588. 74
21, 900. 00

105. 00
746, 572. 37

19,166.11

"Will County National Bank, Joliet.
J . A. HENRY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 1882.
$549, 396. 74
3, 575. 75
50, 000. 00

C. H. TALCOTT, Cashier.

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding .
State-bank notes outstanding

1, 500. 00
5, 000. 00
185, 581. 68
14, 248. 88
12,154. 22 Due to other national banks
43, 665. 36 Due to State banks and bankers.
114,431. 76 Dividends unpaid
11, 427. 28
Individual deposits
15, 000. 00 United States deposits
681. 08 DepositsofU.S.disbursingofficers.
43, 475. 28
23, 676. 00 Notes and bills rediscounted
Bills payable
2 250.00
Liabilities other than those above
stated
1, 076, 064. 03

Total .

$200,000. 00
60, 000.00
8, 388.14
45, 000. 00

762, 675. 89

1,076,064.03

REPORT OF THE COMPTROLLER OF THE CURRENCY.

133

ILLINOIS.
First National Bank, Kankakee.
A Z A R I A H BUCK,

No. 1793.

President.

J . F B A N K LEONARD, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve a g e n t s .
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
"
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.

$130, 434. 86
194.33
12, 300. 00

"27," 183." 57
12. 82

Due to other national banks
Due to State banks and b a n k e r s . .

700.00

79,150. 83 ! Dividends unpaid
4, 982. 40
Individual deposits
95. 66" United States deposits
177.96
Deposits of U.S.disbursing officers.
25,404. 75
3,125. 00 Notes and bills rediscounted.
Bills payable
562.50

2, 000. 00
3,154.67
11,250.00
4,030.14

214, 089. 21

Liabilities other than those above j
stated
i

Due from Treasurer U, S

Total .

284, 524. 02

Total.

$50,000. 00

Capital stock paid i n .
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

284,524.02

City National Bank, Kankakee.
F . D. RADEKE,

No. 4342.

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S.- bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other n a t i o n a l b a n k s
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

1289, 222. 76
1, 705. 88
25, 000, 00

$100, 000.00

3, 046. 69
179, 704.11
1, 080. 61
770.18
41, 569. 95
4. 500. 00

20, 000. 00

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

30, 810.38
22, 074. 76

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank: notes outstanding.
State-bank notes outstanding.

1,151.02
99, 286.17

11,164.17
22, 500. 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing; officers

346, 508. S

Notes and bills rediscounted.
Bills payable

1,125. 00
Liabilities other than those above
stated

Total .

600,610.32

Total .

H. M. STONE, Cashier.

Capital stock paid in.

600, 610. 32

First National Bank, Kansas.
W. C. PINNELL,

President.

Loans and discounts
j
Overdrafts
j
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
I.
U. S. bonds on hand
!.
Premiums on U. S. bonds
i.
Stocks, securities, etc
j
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned!
Due from other national banks
Due from State b a n k s and bankers.
Due from approved reserve agents.
Checks and other cash, items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents Specie
j
Legal-tender notes
j
IT. S. certificates of deposit
|.
Redemption fund with Treas. U. S.!
Due from Treasurer U. S
I.
Total.




No. 2011.
$128,525.14
8, 055. 39
50, 000. 00

B. H. PINNELL, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes o u t s t a n d i n g . . . . .

14, 213. 72
500. 00
4,042. 23 Duo to other national banks
j
1,932.21 Due to State banks and bankers..!912.66 |
7, 793. 75 I Dividends unpaid
253.70 j
Individual deposits
|
1,340.00
United States deposits
i
142.37
Deposits of U.S. disbursing officers. .
5,175. 00
1, 000. 00 Notes and bills rediscounted...
Bills payable
1, 750. 00
Liabilities other than those above
stated

Total .

$50, 000.00
10,000.00
13, 762. 26
44, 500. 00
1, 881. 64

105,492. 27

225, 636.17

134

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Kewanee.
No. 1785.

JAMES K. BLISH, President.

H. C. DANA, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
...
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer XJ. S
Total

$194,835.42
1, 345. 96
35, 000. 00
2, 500.00
35,135.32
16, 788. 78
19,118. 50
7, 631.48
24, 704.50
1, 304. 93
2, 000. 00
199.15
11,376.20
6,000. 00
1,575.00

Capital stock paid in

$75, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

12, 000. 00
2, 699.84
31, 500. 00

D u e to other national banks
Due to State banks and bankers
Dividends unpaid

361.50

Individual deposits
United States deposits
Deposits of U. S.disbursingofficers-

237, 953. 90

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

359,515.24

Total

359,515.24

Kewanee National Bank, Kewanee.
No. 4854.
R. E. TAYLOR, Cashier.
Loans and discounts
$111,339.89 Capital stock paid in
$50, 000. 00
Overdrafts
557. 09
50, 000. 00 Surplusfund
U. S. bonds to secure circulation...
10, 000. 00
U. S. bonds to secure deposits
Undivided profits, less current
U. S. bonds on hand
expenses and taxes paid
5, 619. 97
Premiums on U. S. bonds
1, 000. 00 National-bank notes outstanding.
45, 000. 00
Stocks, securities etc
State-bank notes outstanding.....
Bank'ghouse, furniture, and fixtures
35,000.00
7, 500.00 Due to other national banks
Other real estate and mortg's owned
Due from other national banks
Due to State banks and bankers. .
Due from State banks and bankers.
26, 405. 51 Dividends unpaid
Due from approved reserve agents.
1,130. 00
Checks and other cash items
185.78
Exchanges for clearing house
Individual deposits
115, 933. 64
Bills of other national banks
3,000.00 United States deposits
Fractional currency, nickels, cents.
329. 59 Deposits of U. S.disbursing officers.
Specie
7, 290. 75
Legal-tender notes
2,825. 00 Notes and bills rediscounted
U. S. certificates of deposit
Bills pavable
Redemption fund with Treas. U. S. ' " " " " 2 , 250*00*
Due from Treasurer U. S
Liabilities other than those above
stated
GEO. A. ANTHONY, President.

Total

:

Total

227,683.61

227,683.61

Union National Bank, Kewanee.
T. P. PIEKCE, President.

N o . 2501.

Loans and discounts
!
Overdrafts
TJ. S. bonds to secure circulation.. .
U. S. bonds to secure deposits

$257,915.10
1,893. 08
30, 000. 00

Stocks, securities, etc
Bank'ghou8e,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
'.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer IT. S

18, 932. 76
11,549.50

U. S. bonds on hand
Premiums on U. S. bonds

Total .




248.77
1, 283.15
60,174.17
10, 297. 21
3,000. 00
126. 85
14, 440. 50
4,000. 00
1, 350. 00

415,211.09

H. L. KELLOGG, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.
Notes and bills rediscounted.
Bills payable

$75,000.00
50, 000.00
10, 328. 34
27, 000. 00

572.00
247, 310. 75

5, 000.00

Liabilities other than those above
stated
Total.

415, 211.09

REPORT OF THE COMPTROLLER OF THE CURRENCY.

135

ILLINOIS.
First National Bank, Kirkwood.
No. 2313.

W. C. TUBBS, President.

C. D. WATSON, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
..
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. XJ. S.
Due from Treasurer IT. S
Total.

$230, 263. 54
4, 582.16
12,500.00

Capital stock paid in.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
1, 000. 00 National-bank notes outstanding.
State-bank notes outstanding

50, 000. 00
36,855.42
11, 250.00

5, 666. 66

Due to other national banks
5,793.62 Due to State banks and bankers..
1, 546. 98
63, 507. 28 Dividends unpaid
465. 00
Individual deposits
620.00 United States deposits
206.90 Deposits ofU.S. disbursing officers.
9, 178. 25
9,500.00 Notes and bills rediscounted.
Bills payable
562.50
Liabilities other than those above
stated
344, 726. 23

98.00
196,522.81

344, 726.23

Total.

Farmers' National Bank, Knoxville.
No. 3287.

J. Z. CARNS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. 8. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

$102,107. 70
2, 701. 45
15, 000. 00

20,129. 33
5,800.00

H. J. BUTT, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Due to other national banks
49,067.20 Due to State banks and bankers.
2,241.40
69,832.51 i Dividends unpaid
375.81
Individual deposits
1, 000. 00 United States deposits
200. 00 Deposits of U.S. disbursing officers.
12,100. 00
2,000.00 Notes and bills rediscounted.
Bills payable
675. 00
Liabilities other than those above
stated
283,230.40

Total.

$60, 000.00
12, 000.00
5, 708.67
13,500.00

192, 021. 73

283,230.40

First National Bank, Lacon.
J . S. THOMPSON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bauk'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers .
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, centsSpecie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




W. H. FORD, Cashier.
No. 347.
$111, 892. 99 Capital stock paid in.
$50,000.00
1, 597. 43
50, 000. 00 Surplus fund
23,000.00
Undivided profits, less current
875. 35
expenses and taxes paid
45, 000.00
National-bank notes outstanding.
28,493. 68 State-bank notes outstanding
4, 070. 09
3, 255. 70 Due to other national banks
10, 509. 27
Due to State banks and b a n k e r s . . .
51, 328. 62
1, 345. 88 Dividends unpaid
j.
151,658.32
810. 00 Individual deposits
j
101. 06 United States deposits
j.
2, 878. 95
2, 000. 00 Deposits of U.S.disbursing officers.!
Notes and bills rediscounted
'
2,250. 66 Bills payable
I
Liabilities other than those above [
stated
270, 533. 67

Total .

270, 533. 67

136

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IL1INOIS.
First National Bank, Lanark.
No. 1755.

DAVID C. BUSELL, President

W. L. FRANCK, Cashier.
Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U . S .
Due from Treasurer U. S

$100,186. 21
2, 680. 21
50, 000. 00
6, 000. 00
9,000. 00
9, 500. 00

Capital stock paid in.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000.00
5, 660.14
43,100. 00

Due to other national banks
Due to State banks and bankers.
51, 095. 74
404. 22

Dividends unpaid
132, 695.26

241, 455.40

Total.

Individual deposits
" 1, 470.66" United States'deposits
101. 52 Depositsof U.S.disbursing officers.
6, 767. 50
2, 000. 00 Notes and bills rediscounted.
Bills payable
2, 250. 00
Liabilities other than those above

241, 455.40

stated

Total .

La Salle National Bank, La Salle.
Jos. F. KILDUFF, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

W. B. HUMMEE, Cashier.

No. 2503.
$218, 054. 35
4, 290. 00
25, 000. 00

Capital stock paid in

$100, 000.00

Surplus fund
Undivided profits, less current
! expenses and taxes paid
2, 000.00 i National-banknotes outstanding.
51, 323. 47 State-bauk notes outstanding
15, 009. 02
10, 012. 20 Due to other national banks
3, 025. 63 Due to State banks and bankers.
60, 300. 00
98, 391. 04 Dividends unpaid
1, 625. 36
| Individual deposits
500. 00 I i United States deposits
81.75 I Deposits of U.S.disbursing officers. |
9,150. 25
17, 930. 00 Notes and bills rediscounted.
Bills payable
1,125.00 |
Liabilities other than those above

517, 848. 07

stated
Total .

20, 000.00
2,293. 58
22, 500. 00
5, 099.02

367, 955. 47

517, 848. 07

Lewistown National Bank, Lewistown.
D. A. BUEGETT, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
'
Stocks, securities, etc
I
Bank'ghouse,furniture,and fixturesOther real estate and mortg's owned:
Due from other national banks
Due from State banks and bankers.,
Due from approved reserve agents.
Checks and other cash items
!
Exchanges for clearing house
Bills of other national Danks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S
Total .




No. 4941.
$99,648.42

1,200.00
22, 909. 72
12,092.00
99." 83"
4,63.3i
7, 804. 60

"W. H. RHODES, Cashier.

Capital stock paid in.
Surplus fund
\
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

562. 50
173, 254. 26

4, 000. 00
874.03
11,250.00

Due to other national banks
Due to State banks and bankers..'
Dividends unpaid

233.66" Individual deposits

88.63
10, 462. 25
1, 000. 00

$50, 000. 00

107,130. 23

United States deposits
Deposits of U.S. disbursing officers.
Notes and bills rediscounted
'
Bills payable
•
Liabilities other than those above ]
!
stated
.
Total .

173, 254. 26

137

REPORT OP THE COMPTROLLER OF THE CURRENCY.

First National Bank, Lincoln.
FRANK FRORER,

No. 2126.

President.

FRANK HOBLIT,

Resources.
Loans and discounts.
Overdrafts
U. S. bonds t o secure c i r c u l a t i o n . . .
U. S. bonds t o secure deposits
U. S. bonds on h a n d
Premiums on U. S. bonds
Stocks, securities, etc
Bank'gliouse,furniture, and fixtures
Other real estateand mortg's owned
Due from other national b a n k s
Due from State b a n k s and b a n k e r s .
Due from approved reserve a g e n t s .
Checks and other cash items
Exchanges for clearing house
Bills of other national b a n k s
Fractional currency, nickels, c e n t s .
Specie
•
Legal tender notes
•
U . S. certificates of deposit
j

Redemption fund with Treas. TJ. S.
Due from Treasurer U. S
Total.

Cashier.

Liabilities.
$325,685.81 | Capital stock paid in
5,440.14
25,000. 00
Surplus fund .
surplus ~

$100,000.00
25, 000. 00

!

25, 247.12
22,500.00

Due to other national banks

2, 500. 00
53, 553.40
2, 400. 00

Undivided profits, less current j
expenses and taxes paid
j
National-bank notes outstanding.!
State-bank notes outstanding

12,412.22

j

" "4,706." 38* Due to State banks and bankers.. j .
'28*491"83* j Dividends unpaid
2,697.11

707.00
61.12
11,158.15
13,000. 00
1,125.00

3,100.00

Individual deposits
United States deposits
Deposits of U.S.disbursingofticers.

288, 260. 60

Notes and bills rediscounted.
Bills payable
Liabilities other than those above '
stated
,
Total.

476,519.94

476, 519. 94

German-American National Bank, Lincoln.
F R . C. W . K O E H N L E , President.

No. 3613.

Loans a n d d i s c o u n t s
Overdrafts
U. S. bonds t o secure circulation . .
U, S. bonds t o secure deposits
U. S. bonds on hand
Premiurns on TJ. S. bonds
Stocks, securities, etc
Bank g house,furniture.andfixtures
Other real estate and mortg's owned
Due from other national b a n k s
Due from State b a n k s and b a n k e r s .
D u e from approved reserve a g e n t s .
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal tender notes
U . S. certificates of deposit
Redemption fund with Treas. U. S.
D u e from Treasurer U. S

Cashier.

$50, 000.00

Surplus fund
I
Undivided profits, less c u r r e n t j
II expenses and taxes paid
j
1, 250. 00 j National-bank notes o u t s t a n d i n g . '
5,408.81 j State-bank notes outstanding
1
14, 500. 00
'[ Due to other national b a n k s
'

10, 000. 00
1,849.14
11,250.00

!
163. 65 ! Due t o State banks and b a n k e r s . .
77, 562. 80
i
2, 838. 88 Dividends unpaid

230." 66*
237.79
14, 784. 30
2, 370. 00
""""562." 56"

!
[ Individual deposits
j United States deposits
L
! DepositsofU.S.disbursingonicers- 1 .
! Notes and bills rediscounted
'.
Bills payable
I.

214, 047. 81

Liabilities other t h a n those above '
stated
I.
Total .

287,146.95

Total .

L. C. SCHWERDTFEGER,

Capital stock paid i n .

I

$151, 388. 24
3, 349.98
12, 500. 00

287,146. 95

Lincoln National Bank, Lincoln.
STEPHEN A. FOLEY,

President.

Loans and discounts
I
Overdrafts
j
U. S. bonds t o secure c i r c u l a t i o n . . . ;
U. S. bonds to secure deposits
i
U. S. bonds on hand
j
P r e m i u m s on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and
fixtures
Other real estate and mortg sowned
Due from other r a t i o n a l b a n k s
!
Due from State b a n k s and b a n k e r s . !
Due from approved reserve a g e n t s , j
Checks and other cash items
'•
Exchanges for clearing house
!
Bills of other national b a n k s
!
Fractional currency, nickels, c e n t s .
Specie
'
Legal-tender notes
f
U. S. certificates of deposit
Redemption fund with Treas. U. S J
D u e from Treasurer U. S
I

Total .



No. 3369.

P. E. K U H L ,

$280, 626.85
!
Capital stock paid in.
9,124.82
54,000. 00 i Surplus fund
i
j Undivided profits, less c u r r e n t ;
i expenses and t a x e s paid
|
I National-bank notes o u t s t a n d i n g . '
200. 00 • State-bank notes o u t s t a n d i n g .
14, 000. 00
Due t o other national b a n k s
8, 745. 84 Due to State banks and b a n k e r s . .
1, 567.13
55,700. 89 Dividends unpaid
858.45
Individual deposits
,
United States deposits
'.
2,175.00
86. 99 Depositsof'U.S.disbursingofficers. 1 .
12,575.95 !
8,500. 00 ! ! Notes and bills rediscounted .
| Bills payable
2,430. 00 |
]
Liabilities other t h a n those above

Cashier.

$60, 000. 00
50,000.00
5, 706.90
48, 600. 00
2, 212. 67
10, 606. 28
50.00
273,416.07

stated

450,591.92

Total.

450, 591. 92

138

REPORT OP THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Litchfield.
No. 3962.

S. M. GRUBBS, President.

E L I MILLER, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Danks
Fractional currency, nickels, cents.
Legal-tender notes
U. !5 certificates of deposit
Redemption fund with Treas. U. S.
Total

Liabilities.
$156,682.67
3,371. 22
75, 000. 00

Capital stock paid in

$75, 000. 00

Surplus fund
...
Undivided profits, less current
3, 500.00
expenses and taxes paid
50.00 Nation al- ban k notes o utstand ing.
22,900. 00 State-bank notes outstanding

11 200 00
598. 80
67r 500. 00

16, 500. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
1, 058. 00
United States deposits
713. 02 DepositsofU.S.disbursingofiicers.

182. 04
3,957. 66
8, 846. 25
3,107. 76

15, 887. 55
2,500. 00
3, 375.00
317, 631.17

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

22.50
163 309 87

317,631.17

Union National Bank, Macomb.
No. 1872.

ALBERT EADS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total .

J . W. BAILEY, Cashier.

$227, 284.36
3,720.11
80, 000. 00

Capital stock paid in.
Surplus fund
Undivided profits, less current
30, 400.00
expenses and taxes paid
National-banknotes outstanding.
35, 660. 00 State-bank notes outstanding
3,500. 00
4, 000. 00
431. 06

92, 668.40
3,915.33
132.00
160. 64
23,047. 00
9,050.00
3, 600. 00

$100,000.00
20,000. 00
20, 489. 78
72, 000.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

305, 079.12

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
,

517,568.90 jj

517, 568.90

Total .

First National Bank, Marengo.
R. M. PATRICK, President.

Loans and discounts.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
J
Premiums on U. S. bonds
Stocks, securities, etc
I
Bank'ghouse, furniture,and fixtures
Other real estate and mortg's owned'
Due from other national banks
!
Duo from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
'
Redemption fund with Treas. U. S.i
Dae from Treasurer U. S
I
Total .




No. 1870.
$116,560.70
13,210.35
12, 500.00

E. D. PATRICK, Cashier.

Capital stock paid in.

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
109,200. 58 State-bank notes outstanding

$50, 000.00
25, 000. 00
2, 669. 97
11, 250. 00

1, 690. 00

39,126. 23
166.34
1,285.00
332.07
11,652.25
3,760. 00
562. 50

310,046.02

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits

United States deposits
Deposits ofU. S. disbursing officers.

75.00
221, 051. 05

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

310,046.02

REPORT OP' THE COMPTROLLER OP THE CURRENCY.

139

ILLINOIS.
First National Bank, Marion.
SHANNON HOLLAND, President.

No. 4502.

J. C. MITCHELL, Cashier.

Resources.
Loans and discounts
,
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

Liabilities.
$113, 080.74
4, 326. 82
12,500.00
1,177. 50
2, 909. 77
1, 700. 00
5,198.02
182.22
35,142.48
456. 21
500. 00
11.90
7, 347. 75
11, 540. 00
62.50

Capital stock paid in.

7, 500.00
688.20
11, 250.00

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

140. 00

Individual deposits
United States deposits
Deposits of U. S.disbursingofficers.

126,557. 71

Notes and bills rediscounted
Bills payable
Liabilities other than thosi above
stated

196,135.91 )

Total .

$50, 000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding .
State.bank notes outstanding

Total .

196,135.91

First National Bank, Marseilles.
F. T. NEFP, Cashier.

No. 1852.

W. A. MOREY, President.

Loans and discounts.
Overdrafts

U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$103,817.38 |i Capital stock paid in.
91.26 I
12,500.00 ! Surplusfund
Undivided profits, less current
expenses and taxes paid
500. 00 National-bank notes outstanding.
16, 800. 00 State-bank notes outstanding
4, 000. 00
2, 000. 00 Due to other national banks
Due to State banks and bankers.
76, 565. 27 Dividends unpaid
3,191.49
Individual deposits
1, 700. 00 United States deposits
50. 16 Deposits of U. S.disbursingofficers.
7, 941. 00
5,158. 00 Notes and bills rediscounted.
Bills payable
562.50
Liabilities other than those above
stated
,
234, 877. 06

Total .

Total .

$50, 000. 00
10,000.00
7,128. 86
11,250. 00

156, 498. 20

234, 877. 06

Dulaney National Bank, Marshall,
ROBERT L. DULANEY, President.

Loans and discounts
!
Overdrafts
j
U. S. bonds to secure circulation...!
U. S. bonds to secure deposits
'
U. S. bonds on hand
\
Premiums on TJ. S. bonds
!
Stocks, securities, etc
j
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
|
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash jtems
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas.U.S.
Due from TreasurerU. S
Total.




No. 4759.

HARRY B. DULANEY, Cashier.

$144,131.63 j Capital stock paid in
i
2, 360.40 I
12,500. 00 j Surplusfund
Undivided profits, less current
expenses and taxes paid
I
National-bank notes outstanding.
State-bank notes outstanding
I
6,250.00 i
3, 659. 34 | Due to other national banks
Due to State banks and bankers.
"3,"i8i."ii"i
71,629.00 i Dividends unpaid
2,069.09 I
Individual deposits
!
1, 000. 00 United States deposits
!.
162. 60 Deposits of U.S.disbursingofficers.
6, 922. 65
2,928. 00 Notes and bills rediscounted.
Billspayable
562.50
Liabilities other than those above j
stated
I.
257,659.35

Total .

$50, 000. 00
15,000.00
5, 312. 86
11,250.00

30.00
176, 066.49

257, 659. 35

140

REPORT OP THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Mattoon.
No. 1024.

LEWIS L. LEHMAN, President.

H. P. MCNAIR, Cashier.

Resources.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and inortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with. Treas. TJ. S.
Due from Treasurer U. S
Total .

Liabilities.
$348,180. 22
7, 995. 82
12, 500. 00
2, 000. 00
51, 746. 82
16, 750. 00
14,444. 31
1, 482. 28
74, 962. 34
2,988. 70
6, 057. 00
137.95
17,141. 55
5, 000. 00
562. 50

Capital stock paid in.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100,000.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursingofficers.

4, 462. 24
11, 250. 00
867. 38
9, 901.97
75.00
385, 392. 90

Notes and bills rediscoiinted
Bills payable
Liabilities other than those above
stated

561,949.49

561, 949.49

Total .

Mattoon National Bank, Mattoon.
C. E. WILSON, President.

No. 2147.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers .
Due from approved reserve agents.
Checks and other cash items
Exchangesfor clearing house
Bills of other nationalbanks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$258, 822. 30
4, 577. 20
15, 000. 00
1, 280. 00
1, 800. 00
12, 200. 00
1, 300. 00
1, 533. 71
1, 633. 26
57, 795. 21
3, 780.12
2, 244. 00
145. 38
17, 089.10
8, 000. 00

ml. oo"
387, 875. 28

Total.

THOS. W. GAW, Cashier.

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding.
Due to other national banks
Due to State banks and bankers.. j
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursingofficers.

$60, 000. 00
12, 000. 00
45,327.10
13,500.00
1,841.13
4,188. 76

251, 018. 29

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

387, 875. 28

First National Bank, Mendota.
JOHN R. WOODS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
I
Stocks, securities, etc
!
Bank'ghouse,furniture,andfixturesj
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Duo from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
I
Fractional currency, nickels, cents. \
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S
Due from Treasurer U. S
Total .




F. H. HASKELL, JR., Cashier.
No. 1177.
$258,489.15 Capital stock paid in
I $100, 000.00
68.10
25, 000. 00 Surplusfund
|
20. 000.00
Undivided profits, less current i
expenses and taxes paid
I
6, 695. 44
National-bank notes outstanding.'
22,500.00
15,143. 57 State-bank notes outstanding
i
13, 081. 00
6, 376. 82 Duo to other national ban ks
'.
Due to State banks and bankers..'.
108. 30
i
136, 374. 91
15, 768. 88 Dividends unpaid
Individual deposits
359, 248.50
8, 240. 00 United States deposits
I
198. 21 Deposits of U. S.disbursin g officers. \
18,470. 00
10,000. 00 Notes and bills rediscounted.
Bills payable
1,125. 00
Liabilities other than those above
stated
508, 443. 94

Total .

508,443.94

REPORT OF THE COMPTROLLER OF THE CURRENCY.,

141

ILLOOIS,
Mendota National Bank, Mendota.
ROBERT N. CRAWFORD, President.

No. 5086.

GEORGE D. TOWER, Cashier.

Resources.
Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, centsSpecie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

Liabilities.
$141, 801. 44
2,184. 35
12, 500. 00

Capital stock paid in.

253, 660. 03

Total.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
1, 300. 00 National-bank notes outstanding.
3, 484. 65 State-bank notes outstanding
2, 271. 53
Due to other national banks
Due to State banks and bankers.
210.00
65, 675. 06 Dividends unpaid
2,266. 97
Individual deposits
1, 680. 00 United States deposits
106.98 Deposits of U.S. disbursing officers.
11,111.55
8, 505. 00 Notes and bills rediscounted.
Bills payable
562. 50
Liabilities other than those above i
stated
j
Total.

1,300.00
238. 34
11,250.00

21. 00
190, 850. 69

253, 660. 03

First National Bank, Metropolis.
H . QtTANTE,

No. 3156.

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing hou
Bills of other national bank
Fractional currency, nickels, cents.
Specie
Legal tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$131,401.57
66.18
12, 500. 00

27,450.00
1,500.00
10,737. 04
5, 868. 66
19.95
500.00
209.11
9, 296. 75
8, 850. 00
" ' 5 6 2 * 50"

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding..

$50, 000. 00
50, 000.00
2,907.36
11,250. 00

Due to other national b a n k s . . .
Due to State banks and bankers..
Dividends unpaid

60.00

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

94, 744. 40

Notes and bills rediscounted...
Bills payable
Liabilities other than those above
stated

208, 961. 76

Total.

J. M. CHOAT, Cashier.

Capital stock paid in.

Total.

208, 961. 76

First National Bank, Milford.
JNO. L. DONOVAN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
'.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.




No. 5149.
$117, 687. 97
946. 31
12,500.00
640. 62

8*666.66
665. 35
103, 932. 07
2,367. 64
#

"* 2,"566."66"
57. 28
3, 300. 00
3, 000. 00

562." 56"
256,159. 74

HORACE RUSSELL, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes "paid
National-bank notes outstanding.
State-bank notes outstanding

$50, 000. 00

6,936.13
11, 250.00

Due to other national banks
Due to State banks and bankers Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursingofficers.

187, 973. 61

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

256,159. 74

142

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Moline.
No. 160.

J. M. GOULD, President.

J. S. GILLMORE, Cashier.

Resources.
Loans and discounts.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. 1$. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total .

Liabilities.
$395, 448. 40
1,124.41
37, 500, 00

3, 656. 78
84.87

Capital stock paid in.

$150, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

30, 000. 00
5, 736.37
32, 200.00

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

4, 507.92
24, 398. 26

Individual deposits
1, 525. 00 United States deposits
61.50 Depositsof U.S.disbursingofficers.
26, 956. 00
8,150. 00 Notes and bills rediscounted.
Bills payable
1, 687. 50
Liabilities other than those above
stated
,

283, 281.96

49, 098. 29
4, 831. 76

Total.

530,124. 51

530,124. 51

Moline National Bank, Moline.
H. A. AINSWORTH, President.

Loans and discounts
Overdrafts.
TJ. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankersDue from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S.
Total.

No. 1941.
$206,372.81
1, 490.44
25, 000.00

14, 247. 00
5,115. 75
21, 378. 62
81, 333. 34
10,108. 47
3, 833. 00
588. 02
17,558. 63
4,490.00
1,125. 00

C. F . HEMENWAY, Cashier.

Capital stock paid i n .

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding

20,000.00

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

144. 59
461. 72

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers

1,582.72
22, 500.00

247, 952.05

Notes and bills rediscounted.
Bills payable
Liabilities other t h a n those above
stated
Total.

392, 641. C

392, 641.08

Second National Bank, Monmouth.
FRED E. HARDING, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.




No. 2205.
$344, 887. 70
17,635. 04
20, 000. 00
500. 00
7,581.33
22, 600. 00
14,166. 09
4,511.51
61,609.18
11,990. 32

F. W. HARDING, Cashier.

Capital stock paid i n .

20, 000.00

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

3,890.51
16, 880.15

Dividends unpaid
Individual di

2,514.00
120. 25
27,240.10
4, 000. 00
900.00

540,255.52 I

$75, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

United States deposits
Depositsof U. S.disbursingofficers.

89, 209. 61
18, 000.00

154. 00
317,121. 25

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

540,255. 52

REPORT OF THE COMPTROLLER OF THE CURRENCY.

143

National Bank, Monmouth.
No. 4400

HENRY TUBBS, President.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
".
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer IT. S
Total.

W. 0. TUBBS, Cashier.
Liabilities.

$420, 901.63
3, 242.10
25, 000. 00

12, 581. 63
32, 236.41
10, 512. 95
139.05
69,131. 55
3, 903. 90
4, 580. 00
216.11
37,874. 00
2, 012. 00

1,125.66

Capital stock paid in.

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100,000.00

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

2, 825.10

Dividends unpaid

115,409. 87
22,500.00

336. 00

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

282, 5'.85. 36

Notes and bills rediscounted
Bills payable
Liabilities other than those above

623, 456. 33

stated
Total

623,456. 33

People's National Bank, Monmouth.
W. S. WEIR, President.

No. 4313.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

$213, 239. 76
1, 011.86
18, 750. 00
2, 000. 00
1,850. 00
8, 768. 31
22, 500. 00
689.59
346. 21
147, 042. 70
2, 967. 05
7,880.00
161. 42
23, 730. 00
5, 000.00
"""843.'75*
456, 780. 65

H. B. SMITH, Cashier.

Capital stock paid in.
Surplus fund

$75, 000.00

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers
Dividends unpaid
Individual deposits
United States deposits
!
Deposits of U.S.disbursing officers.'

20, 000. 00
25, 572.71
16, 875.00

17,141. 21

302,191.73

Notes and bills rediscounted
Bills payable
Liabilities other than those above

stated
Total .

456,780. 65

First National Bank, Monticello.
JOHN N. DIGHTON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 4826.
$247,849. 50
21, 856. 67
25,000. 00
4,126.10
12,312.12
8, 300. 00
6,160. 00
19, 723. 63
14,197. 08
65,460. 88
994.45
75.78
20, 592. 85
9, 000. 00
1,125.00

456, 774. 06

O. "W. MOORE, Cashier.

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits ofU. S.disbursing officers.

$100,000.00
22, 000. 00
3,496.10
22,500.00

79,537.08

229, 240.88

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

456, 774. 06

144

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Morris.
No. 1773.

JOHN CUNNEA, President.

G. A. CUNNEA, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer TJ. S

$254, 213. 01 Capital stock paid in
12, 563. 67
12, 500. 00 }, Surplus fund
j
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.!
'
767.78 State-bank notes outstanding
7, 500. 00
2, 321.13
200.00
99, 391. 54
1, 303. 00

$50, 000. 00
120,000.00
5, 987. 00
11, 250.00

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

Individual deposits
! I United States deposits
j| DepositsofU.S.disbursingofficers.

231, 222. 70

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

Total

Total .

418, 459. 70

Grundy County National Bank, Morris.
No. 531.

J. R. COLLINS, President.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...!
IT. S. bonds to secure deposits
'
U. S. bonds on hand
!
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$328,342. 30
427. 05
30, 000. 00

$75, 000. 00

Surplus fund
Undivided profits, less current
200.00 1 expenses and taxes paid
National-bank notes outstanding.
27, 000. 00 State-bank notes outstanding
7, 500. 00
Due to other national banks
17, 624. 26 Due to State banks and bankers.
127.13
124, 991.14 Dividends unpaid
1,506. 35
I
Individual deposits
5,169. 00 United States deposits
70.90 Deposits of U.S. disbursingofficers.
32, 925. 00
3, 000. 00 Notes and bills rediscounted
Bills payable
1, 350. 00
Liabilities other than those above
stated

25, 000. 00

580, 233.13

Total.

J. C. CARR, Cashier.

Capital stock paid in.

Total .

17, 698.90
27, 000. 00

2, 870. 00
432, 664. 23

580, 233.13

First National Bank, Morrison.
E. A. SMITH, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house...
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




A . J . J A C K S O N , Cashier.

No. 1033.
$198,137.46
25, 000.00
43, 300.00
2, 500. 00
13, 304. 06
9, 950.15
13,138.70
29, 251. 39
2, 513.10
3,720. 00
304. 29
34, 386. 00
16, 400. 00
1,125. 00
393,030.15

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
....
National-bank notes outstanding.
State-bank notes outstanding.

$100, 000.00
25, 000.00
1, 622.16
13, 300.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.

253,107. S

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

0.15

REPORT OF THE COMPTROLLER OF THE CURRENCY.

145

ILLINOIS.
First National Bank, Mount Carmel.
JAS. R. PARKINSON, President.

No. 4480.

EL T. GTODDARD, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaibanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$160, 959. 93
874.87
12, 500. 00
800.00
6, 202. 78
12, 000. 00

Capital stock paid in.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding..."..

Due to other national banks
""i," 293."66" Due to State banks and bankers.
45,615. 3i Dividends unpaid
895 !
89.57
Individual deposits
285. 00 United States deposits
119.59 i Deposits ofU.S.disbursing officers .
9,074.60 !
10,500.00 j Notes and bills rediscounted
'' Bills payable
62.50 I!
Liabilities other than those above
i | stated
Total.

260,377.15 I

10, 000. 00
2,681.38
11, 250. 00

186, 445. 77

260,377.15

First National Bank, Mount Carroll.
No. 409.

ROBERT MOORE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S,bondso^ hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other nationaibanks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

1

$233,348. 63
217. 50
100, 000.00
4,
34,
5,
1,

500.
500.
000.
600.

00
00
00
00

604.34
87, 369. 59
1, 000. 95

J. S. MILES, Cashier.

Capital stock paid in
Surplus fund
\
Undivided profits, less current |
expenses and taxes paid
!
National-bank notes outstanding, j
State-bank notes outstanding
j

50, 000.00
4, 211. 72
90, 000. 00

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

Individual deposits
j
"i," 196.'66" United States deposits
52.26 Deposits of U.S.disbursing officers.;
8, 873. 45
4, 219. 00 Notes and bills rediscounted.
Bills payable
4, 500. 00
Liabilities other than those above
stated
486, 975.72

$100, 000. 00

Total.

242, 764.00

486, 975. 72

First National Bank, Mount Pulaski.
DAVID VANHISE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank 'g house, furniture,and fi xtures
Other real estate and mortg's owned
Due from other nationaibanks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.


CUR
http://fraser.stlouisfed.org/99, VOL 2
Federal Reserve Bank of St. Louis

W M . RUPP, JR., Cashier.
No. 3839.
$164,296. 41 Capital stock paid in.
$50, 000. 00
10, 777. 53
12, 500. 00 |l Surplus fund
1, 500. 00
| Undivided profits, less current
242. 80
I expenses and taxes paid
11, 250.00
1, 000. 00 I1 National-bank notes outstanding .
3, 274. 00 I State-bank notes outstanding
4, 400. 00
Due to other national banks
2, 098. 81 Due to State banks and bankers..
1,554.71
48.50
2,444.15 Dividends unpaid
9, 492. 01
I Individual deposits
154,152.30
I United States deposits
52.30 Deposits ofU.S.disbursing oflicers.
4, 753. 60
3, 000. 00 Notes and bills rediscounted
Bills payable
562.50
Liabilities other than those above
stated
218, 699. 81

10

Total „

218, 699. 81

146

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Mount Sterling.

F. D. CRANE, President

C. H. TURNER, Cashier.

No. 2402.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposit»
IT. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total.

Liabilities.
$169, 630.61
15, 861. 91
12, 500. 00

5, 000. 00
3, 000. 00
15, 716. 57
13,154. 74
19, 721. 44
131. 44

Capital stock paid in.

$50, 000.00

Surplus fund
Undivided profits, less current
oxpenses and taxes paid
National-bank notes outstanding.
Stato-bank notes outstanding

25,000. 00
9,189. 41
11, 250. 00

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

i Individual deposits
128. 00 ; United States deposits
,
272. 05 I DepositsofU.S.disbursingofncers.
4, 798. 35
6,100. 00 Notes and bills rediscounted
Bills payable
562. 50
Liabilities other than those above
stated
Total .

266,577.61

171,133. 20

2G6, 577. 61

Ham National Bank, Mount Vernon.
ALBERT WATSON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g bouse,furniture, and fixtures
Other real estate ami mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
BilLs of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

No. 5057.
$104, 341.66
1, 107. 33
15, 000. 00

RUFUS GRANT, Cashier.

Capital stock paid in.

Surplus fund
Undivided profits, less current
2,000 00
expenses and taxes paid
National-bank notes outstanding.
8, 575. 91 State-bank notes outstanding
1, 832. 92
6, 392. 00 Due to other national banks
11, 506. 94 Due to State banks and bankers.
59,447. 54 Dividends unpaid
1, 316.14
Individual deposits
2,800.00 United States deposits
165. 42 Deposits of U.S.disbursingofficers.
14,113. 00
4,500.00 Notes and bills rediscounted
Bills payable
675.00
Liabilities other than those above

233, 773. 86

stated
Total .

$50,000! 00
2, 467. 36
177. 75
13, 000.00

167, 973. 75

155. 00

233, 773786

First National Bank, Murphysboro.
"W. K. MURPHY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g bouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing hou:
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S. |
Due from Treasurer U. S

Total .



WILLARD WALL, Cashier.
No. 4019.
$106, 089.14 Capital stock paid in.
$50,000.00
1, 963. 20
50,000. 00 Surplus fund
16,500.00
Undivided profits, less current
expenses and taxes paid
2, 229. 74
2, 500.00 National-bank notes outstanding.
45,000.00
93,190. 99 State-bank notes outstanding
7,153.00
Due to other national banks
Due to State banks and bankers.
158. 29
10,235.47 Dividends unpaid
1, 640. 55
Individual deposits
142, 928. 45
"i.'moo" United States deposits
Depositsof U.S.disbursingofficers.
131.00
9, 776. 55
5, 400.00

Notes and bills rediscounted.
Bills payable

35, 000. 00

2, 250. 00

Liabilities other than those above
291, 658.19

stated
Total .

291, 658.19

EEPOKT OF THE COMPTROLLER OF THE CURRENCY.

147

ILLINOIS.
City National Bank, Murphysboro.
No. 4804.

JOHN G. HARDY, President.

E. A. WELLS, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ- S. bonds
Stocks, securities etc
Bank g house,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ, S

Liabilities.
$147,131.42
1,960.65
12, 500. 00

22, 230. 71
7,000. 00
345. 00
5, 000. 00
5,112. 50
51, 537. 53
1, 327. 66
905. 00
81.88
8,903.35
5,000. 00
562. 50

Capital stock paid in.

15,000. 00
3, 425. 00
11,247.50

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

189, 925. 70

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

269,598. 20

Total.

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

269,598.20

Total .

First National Bank, Naperville.
THOS. P. PHILLIPS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers Due from approved reserve agents.
Checks and other cash items
Exchanges for clearinghouse
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
--• --U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

No. 4551.

$137, 496. 55
188.15
12, 500. 00
950. 00
39, 563.24
7, 869. 95
9, 001. 80
11, 508.75
397. 30
360.00
185. 44
7, 743. 40
3, 995. 00
"""562."56"

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

15, 000. 00
2, 571. 00
10, 750. 00

Due to other uational banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

154, 001. 08

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
.•

232,322. 08

Total.

FRANCIS GRANGER, Cashier.

Capital stock paid in.

Total .

232, 322.08

Nokomis National Bank, Nokomis.
GEORGE SIPPELL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.




No. 1934.
$129,751.26
1,127. 94
65, 000. 00

30, 450. 00
6, 500. 00
384.97
3, 777. 02
59, 870. 76
513.49

A. J. WILLIFORD, Cashier.

Capital stock paid in.

$65, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1,832. 70
58,500. 00

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

1,025.74

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers -!

20, 000. 00

150.00
168,607. 07

230.42
9, 634. 65
4, 950. 00 Notes and bills rediscounted
Bills payable
I
2, 925.00
Liabilities other than those above
stated
315,115.51

Total.

315,115. 51

148

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Normal.

J. W. ALDRICH, President.

No. 4930.

M. H. HAMILTON, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
TJ S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S

$103, 271. 73
2, 422.22
12, 500. 00
800.00
7, 000.00
6,146. 90
1, 651. 64
24, 367. 55
127.08
1, 234.00
91.87
5, 926. 20
1, 000. 00
562.50

Capital stock paid in

3, 000. 00
8,174. 82
11,250.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

94, 676. 87

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

167,101.69

Total

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

167,101.69

Total.

Oakland National Bank, Oakland.
JOHN RUTHERFORD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
j
Premiums on U. S. bonds
Stocks, securities, etc
\
Bank'ghouse,furniture,andfixtures|
Other real estate and mortg's owned;
Due from other national banks
I
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U . S . certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U.S
Total .

JOHN F. MENAUGH, Cashier.
No. 2212.
$109, 748.69 Capital stock paid in.
$53,000.00
178.49
13, 250.00 Surplus fund
30, 000.00
Undivided profits, less current
expenses and taxes x>aid
16, 321.39
National-bank notes outstanding.
11, 925. 00
51.39 State-bank notes outstanding
6, 650. 00
Due to other national banks
7, 620.01 Due to State banks and bankers.
359.64
48,763. 06 Dividends unpaid
395. 00
Individual deposits
108, 073.94
1,465.00 United States deposits
170. 55 Deposits of U.S.disbursing officers
27, 572. 25
2,500. 00 Notes and bills rediscounted.
Bills payable
596. 25
Liabilities other than those above
stated

219, 320. 33

Total.

219, 320. 33

First National Bank, Olney.
A D E N KNOPH, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums onU.S.bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalpanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




R. N. STOTLER, Cashier.

No. 1641.

$141, 242.91 Capital stock paid in.
5,988. 52
50, 000. 00 Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
6,353. 70 State-bank notes outstanding
15, 382. 90
4,612.82 Due to other national banks
2, 013. 65 Due to State banks and bankers.
56, 322. 71 Dividends unpaid
104.00
Individual deposits
"{,255.00 United States deposits
53.40 Deposits of U.S.disbursingofficers.
5, 554. 50
5, 708. 00 Notes and bills rediscounted.
Bills payable
160. 00
Liabilities other than those above
stated
294, 752.11

Total .

$50, 000. 00
17, 354. 00
327. 81
45,000.00

786. 00
181, 284. 50

294, 752.11

REPORT OP THE COMPTROLLER OF THE CURRENCY.

149

ILLINOIS.
First National Bank, Oregon.
No. 1969.

GEORGE A. Mix, President.

CHARLES SCHNEIDER, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$114, 643.91
169. 85
25, 000.00

5, 047.56
11, 350. 00
23, 838. 58
67. 804.10
839. 38
6,128.00
49.26
6, 396. 60
8, 000. 00
"i, 125.66

Capital stock paid in.

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
U nited States deposits
Deposits of U.S.disbursing officers.

11, 370,00
1, 462.58
22, 500. 00

167. 00
184, 892.66

Notes and bills rediscounted
Bills payable
Liabilities otherthan those above
stated

270, 392. 24

Total.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

270, 392.24

Total.

First National Bank, Ottawa.
No. 1154.

LORENZO LELAND, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Otherreal estate and mortg's owned
Due from other national banks
!
Due from State banks and bankers Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$418,097. 76
571.32
100, 000. 00
10,000.00
54, 262. 00
15, 000. 00
28, 000.00
141,128. 44
4,500. 83

J. F. NASH, Cashier.

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100,000. 00
60,000. 00
19, 328. 00
90, 000. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

120. 00
570, 466.25

8,565.00
213.90
37,944.00 !
17,131.00 ! Notes and bills rediscounted
Bills payable
4, 500. 00
Liabilities other than those above
stated
839,914.25

Total

839, 914. 25

National City Bank, Ottawa.
THOMAS D. CATLIN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S
Total.




PHILIP G. SCHOCH, Cashier.
No. 1465.
$715, 010. 60 Capital stock paid in
j $100, 000. 00
6, 643. 03
125, 000. 00
25,000. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
63,177. 67
6, 000. 00
National-bank notes outstanding.
22, 500.00
27, 376. 64 State-bank notes outstanding.
14,300.00
13, 661. 50 Due to other national banks
1,570.59
Due to State banks and bankers. .
2,511.74
272,133. 55 Dividends unpaid
5,221.36
855,158. 95
Individual deposits
2,682. 00 United States deposits
1, 089. 59 DepositsofU.S.disbursingofficers.
57, 209. 20
16,550. 00
1,125. 00
893.00
1,167,407. 21

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total

1,167, 407.21

150

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Paris.
No. 3376.

A. J . BABER, President.

R. Gr. SUTHERLAND, CasMer.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture,and fixtures
Otherreal estate and mortg'sowned
Due from other national banks
Duefrom State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U . S .
Due from Treasurer U. S

$608, 648. 36 ! Capital stock paid in
i $108, 000. 00
18, 921. 00
52, 000. 00 Surplus fund
!
75,000.00
Undivided profits, less current
expenses and taxes paid
34,140.08
National-bank notes outstanding.!
46, 800.00
8, 680.00 State-bank notes outstanding
. '<
10,000. 00
11, 210. 00 Due to other national banks
3,046.86
22, 763.46 Due to State banks and bankers..
19, 548.36
488.78
228, 700. 21 Dividends unpaid.
2, 441.34
730, 038.62
Individual deposits
i
4, 040. 00 United States deposits
321.67 Deposits of U.S.disbursing officers J .
41,018.50
5, 000. 00 Notes and bills rediscounted.
Bills payable
2, 340. 00

Liabilities other than those above
stated
1, 016, 573. 92

Total .

1,016,573.92

Total.

Edgar County National Bank, Paris.
J. E. PARRISH, President.

No. 2100.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Duo from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. Tj; S.
Due from Treasurer U. S

$425, 968. 50
16, 698.92
100, 000. 00

8, 484. 25
12, 000. 00
4, 750. 00
3,931.80
1,359.06
154, 843. 90
3, 458.12
3,882. 00
140. 62

37, 697.80
3, 500. 00
4, 500. 00
781, 214. 97

Total.

R. H. KILE, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100, 000. 00
85, 000. 00
4,963.96
90, 000. 00

Due to other national banks
Duo, to State banks and bankers..
Dividends unpaid

4, 770. 88
3, 526. 86

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers .

492, 953. 27

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

781, 214. 97

First National Bank, Paxton.
J . B. SHAW, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Duefrom approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




A. S. BUSHNELL, Cashier.
No. 2926.
$151,974.10 | Capital stock paid in.
$50, 000. 00
7,935.16
14,000.00 I Surplus fund
10, 000. 00
Undivided profits, less current
1, 239.16
expenses and taxes paid
12, 600. 00
National-bank notes outstanding.
7,000.00 State-bank notes outstanding
8,000.00 I

12, 727.15
547. 68
169. 99
3,177.05
4, 000. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
,
United States deposits
Deposits of U.S. disbursing officers.

136, 321.97

Notes and bills rediscounted.
Bills payable

630. 00

Liabilities other than those above
stated
210,161.13

Total .

210,161.13

REPORT OF THE COMPTROLLER OF THE CURRENCY.

151

ILLINOIS.
Farmers7 National Bank, Pekin.
F. E. R U P E R T ,

No. 2287.

President.

C. H . TURNER, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U.S. bonds t o secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$312, 664.08
4, 024. 70
25, 000. 00
27, 000. 00
33, 600. 00
2,000. 00
3, 075. 31
1,486.91
40, 552. 01
7, 688. 04

Capital stock paid in

25, 000. 00
36, 893. 56
22, 500. 00

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

42.00

Individual deposits
2,502. 66" United States deposits
170.81 Deposits of U.S. disbursing officers.
21, 981. 00
Notes and bills rediscounted
Bills payable

297, 434. 30

1,125.66
Liabilities other than those above
stated

482, 869. 86 ]

Total

$100, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1, 000. 00

Total

482, 869. 86

German-American National Bank, Pekin.
E. W. WILSON, President.

No. 3770.

Loan s and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U . S. bonds
Stocks, securities, etc
Ban k'g house, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie .
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$167,951. 29
278. 46
25, 000. 00
!
25,000. 00 I
I
•
1, 500. 00

A. H. PURDIE, Cashier.

Capital stock paid i n .

$100, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding-1
State-bank notes outstanding
|
Due to other national banks

14, 500.00
7,595.74
22, 500.00

!

""io*I64.'29" Due to State banks and bankers..!
1, 067. 72
162, 357. 43
547. 35
3, 743. 00
148. 39
20, 257. 75
1,125. 00

Dividends unpaid..

588. 00

Individual deposits
United States deposits
_
Deposits of U.S.disbursing officers. I
Notes and bills rediscounted
Bills payable

273, 896.94

j

Liabilities other than those .above
stated

Total.

419, 080. 68 !

Total.

419, 080. 68

First National Bank, Peoria.
J O H N C. PROCTOR,

No. 176.

President.

, 038, 804. 99
14,458.00
50, 000. 00

Loans and discounts
Overdrafts
U. S. bonds to secure circulation. -.
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U . S .
Due from Treasurer U. S
Total




11,100. 00
il4, 350.00
96,077. 70
26, 754.97

WILLIAM E. STONE, Cashier.

Capital stock paid in.

$150,000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding..

300, 000. 00

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

105, 032. 80
73, 88Q. 02

10, 980.08
44,100. 00

I
920. 00
25, 938. 42
3, 929. 00
21.45
44, 647. 00
35,000. 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingotricers.

9G1, 693. 84

Notes and bills rediscounted.
Bills payable

2, 250. 00
Liabilities other than those above j
stated
!.
I

1, 645,692. 74

Total

1,645,692.74

152

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Central National Bank, Peoria.

OLIVER J . BAILEY, President.

No. 3214.

B. F . BLOSSOM, Cashier.

Resources.
Loans and discounts
'
Overdrafts
i
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
I
PremiumsonU. S. bonds
I
Stocks, securities, etc
i
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
'
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
!
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
i
Legal-tender notes
i
TJ. S. certificates of deposit
!
Redemption fund with Treas. TJ. S. !
Due from Treasurer TJ. S
Total .

Liabilities.
$870,109.03 I Capital stock paid in.
3,825.84 I
50, 000. 00 ! Surplus fund
Undivided profits, less current
expenses and taxes paid
4,000.00 . National-bank notes outstanding.
101,982.88 ; State-bank notes outstanding
4,500.00 !
6,000. 00 ! Due to other national banks
! Due to State banks and barkers..
1,470.40 j I
88, 395. 06 i Dividends unpaid
j
1,001.61 \
37,830. 84 ; Individual deposits
3,025.00 United States deposits
13. 02 J Depositsof U.S.disbursingoflicers.
53,222.16 '
10,141.00 Notes and bills rediscounted
I Bills payable
2, 250. 00 '
'• Liabilities other than those above
stated
1,237,766.84 I

Total

$200, 000.00
40, 000. 00
1,896. 09
45, 000. 00
67, 224. 61
100, 304. 82
612.50
782, 728. 82

| 1,237,766.84

Commercial National Bank, Peoria.
WALTER BARKER, President.

Loans and discounts
\
Overdrafts
j
U. S. bonds to secure circulation...!
U. S. bonds to secure deposits
i
U. S. bonds on hand
j
PremiumsonU. S.bonds
j
Stocks, securities, etc
|
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
i
Due from State banks and bankers. |
Due from approved reserve agents. ;
Checks and other cash i t e m s
Exchanges for clearing house
!
Bills of other nationalbanks
j
Fractional currency, nickels, cents.'
Specie
|
Legal-tender notes
j
U. S. certificates of deposit
Redemption fund with Treas. U. S. !
Due from Treasurer U. S
!

No. 3296.

1, 358,135. 05 !

Total .

H. B. Dox, Cashier.

$659,903. 04 ! Capital stock paid in
I $200, 000. 00
17, 612. 00
l
100, 000. 00 Surplus fund
45, 000. 00
125, 000. 00 Undivided profits, less current ;
expenses and taxes paid
i
25, 012.59
1
16,000. 00 National-bank notes outstanding90,000.00
42,882.19 State-bank notes outstanding..-'-.'
17,500.00
]
14,900. 27 Due to other national banks
13, 528. 86
17, 467. 25 Due to State banks and bankers.. j
58, 053.85
771. 54
i
240,073.67 Dividends unpaid
23, 492. 57
I
712, 073. 95
14, 492. 04 Individual deposits
10, 802.00 United States deposits
j
214,465.80
676.13 Depositsof U.S.disbursingomcers J
42,062.35
10, 000. 00 Notes and bills rediscounted
Bills payable
4, 500. 00
Liabilities other than those above
i stated
,
Total

! 1,358,135.05

German-American National Bank, Peoria.
BERNARD CREMER, President.

No. 3070.

WESTEN ARNOLD, Cashier.

Loans and discounts
I $1,281,090.19 Capital stock paid in
j $300,000.00
36,917.89
Overdrafts
!
I
50,000.00 Surplus fund
TJ. S. bonds to secure circulation... j
60, 000. 00
200,000.00 Undivided profits, less current \
TJ. S. bonds to secure deposits
U. S. bonds on hand
expenses and taxes paid
I
6, 833.47
17,000.00 National bank notes outstanding.!
44, 500. 00
Premiums on TJ. S. bonds
42,961. 21 State-bank notes outstanding
j.
Stocks, securities, etc
4, 375. 00
Bank'ghouse,furniture,and fixtures
55, 629. 40 Due to other national banks
Other real estate and mortg's owned
i
1, 788.83
4,140. 68
22, 386. 05
Due from other national banks
4,002.90 Due to State banks and bankers..!
Due from State banks and bankers.
213,548.89 \
Due from approved reserve agents.
Dividends unpaid
|
1, 689. 34 |
Checks and other cash items
3,130.63 !
Exchanges for clearing house
! 1,375, 254. 77
1,120. 00 Individual deposits
Bills of other national banks
80.79 United States deposits
Fractional currency, nickels, cents.
|
170,000.00
49, 826. 20
Specie
10,000.00 DepositsofU.S.disbursingofficersJ
Legal-tender notes
Notes and bills rediscounted
|
U. S. certificates of deposit
2,250.00 !i Bills payable
Redemption fund with Treas. U. S.
!
3,000.00 Liabilities other than those above
Due from Treasurer U. S
stated
Total




1,980,703.12

Total

1,980, 763.12

REPORT OF THE COMPTROLLER OF THE CURRENCY.

153

ILLINOIS.
Merchants' National Bank, Peoria.
•

FERD LUTHY, President.

No. <
*254.

GEO. H. LITTLEWOOD, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation. .
U. S. bonds to secure deposits
U. S bonds on hand
Premiums on U S bonds
Stoc"k s, securities, etc
Bank' g house,furniture. and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
.
Legal-tender notes
U S certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S

$921, 014. 71
23,067 72
50, 000. 00
205,000. 00
38, 990. 65
13, 000. 00
40,100. 44
234,
1,
92,
2,

878. 40
812. 60
646. 04
500. 00
323. 88
49,935. 00
11, 500. 00

2, 250. 66

Capital stock paid in

100 000 00

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

66, 447. 67
183,207.97

12 277 34
45 000 00

250.00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

840, 979.48
238,777. 48
29.50

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

1,687,019.44

Total

$900, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total

50.00
1, 687, 019. 44

Peoria National Bank, Peoria.
PHILIP ZELL, President.

No. 2878.

Loans and discounts
Overdrafts
U.S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
'.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$648, 208. 61
10, 855. 03
50, 000. 00
170, 000. 00
19, 000. 00
28, 983. 44
27, 000. 00
3, 600. 00
4,164.19
2, 839. 44
90, 662. 65
671.71
19,407. 38
4, 425. 00
51.65
33,109. 20
26, 500. 00
2, 250. 00
1,141, 728. 30

L. F . HOUGHTON, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$200, 000. 00
55, 000. 00
3, 673. 89
45, 000. 00

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

60, 468. 26
84, 701. 39

Individual deposits
United States deposits
j
Deposits of U.S.disbursingofiicers |

546, 660. 57
145,781. 37
442.82

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total

1,141, 728.

Peru National Bank, Peru.
JOEL "W. HOPKINS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks..
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional cnrrency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 2951.
HENRY REAM, Cashier.
$135,627. 06 Capital stock paid in.
;
$50, 000. 00
7, 824.10
12, 500. 00 Surplus fund
8, 500. 00
Undivided profits, less current
11, 000. 00
expenses and taxes paid
8, 622.14
1, 250. 00 National-bank notes outstanding.
6, 550. 00
21, 000. 00 State-bank notes outstanding.
7,175. 00
Due to other national banks
"*9," 284.27' Due to State banks and bankers.. I
3, 946. 60
71, 376. 72 Dividends unpaid
j
50.00
2, 310. 70
Individual deposits
!
234, 239.96
930.00 United States deposits
|.
456. 00 Deposits of U.S.disbursingofiicers.!.
11, 715.15
11,004.00 Notes and bills rediscounted.
Bills payable
562. 50
Liabilities other than those above
stated
307,962.10

Total.

307, 962.10

154

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Petersburg.
No. 3043.

C. B. LANING, President.

J. M. ROBBINS, Cashier.
Liabilities.

Resources.
Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
IT. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house......
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S
Total.

$222, 725. 70
3, 760. 35
50, 000. 00

Capital stock paid i n .

$50, 000. 00

Surplusfund
Undivided profits, less c u r r e n t
expenses and taxes paid
National-bank notes o u t s t a n d i n g .
State-bank notes outstanding

3, 000. 00
10, 001). 00
1, 667. 79
3,415.24
51, 824. 99
718. 22

25, 000. 00

Due to other national b a n k s
Due to State b a n k s and b a n k e r s . .

2, 000. 00

305. 42
6, 207. 49

30,102. 39
45, 000. 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

3, 376. 00
181. 84
12, 821. 60
4, 500. 00

215, 626. 43

Notes and bills rediscounted.
Bills payable

2, 250. 00
Liabilities other t h a n those above

stated

Total.

372, 241. 73

372, 241. 73

First National Bank, Pittsfield.
HARRY HIGBEE,

No. 1042.

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premi urns on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankersDue from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

R. T. HICKS, Cashier.

Capital stock paid in.

$331, 860. 94
1, 898. 41
50, 000. 00

$100,000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

41,071.00
5,100. 00
150. 00

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

150,103. 71
130. 08
150. 00
46.22
16,841.65
5,827. 00
1,125. 00
180. 00

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

25,000.00
26,192.82
22, 500. 00

3, 860. 63

426, 930. 56

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

604,484.01

Total.

604, 484.01

Exchange National Bank, Polo.
J O H N BINGAMAN,

President.

Loans and discounts
|
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits...
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortgsowned:
Due from other national banks
Due from State banks and bankers. |
Due from approved reserve agents. j
Checks and other cash items
Exchanges for clearing house
!
Bills of other national banks
Fractionalcurrency, nickels, cent
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S. j
Due from Treasurer U. S
!
Total.




Ho. 1806.

$178, 399. 94
3,914.64
35, 000. 00
820. 00
1, 700. 00
10, 780. 00
21, 350. 00
649. 28
97, 988. 76
1, 074.81
165. 00
312. 34
10,199. 50
4, 300. 00
1,575. 00

"W. T. SCHELL, Cashier.

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding.....
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

$65, 000. 00
13, 000. 00
18,881.45
31, 500. 00

128. 00
239, 719. 82

Notes and bills rediscounted.
Bills payable

! Liabilities other than those above
stated

368, 229. 27

Total.

368, 229. 27

REPORT OF THE COMPTROLLER OF THE CURRENCY.

155

ILLINOIS
Livingston County National Bank, Pontiac.
D. C, EYLAR, President.

No. 1837.

Resources.

J\ M. LYON, Cashier.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

Total

$147, 788. 77
4,035.10
18, 750. 00

13, 223. 00
8, 000. 00
728. 00
105, 894. 95 !
4, 680. 06

Capital stock paid in

$50,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

20, 000. 00
7, 625. 80
16, 870. 00

Due to other national banks
Dividends unpaid

12.00

Individual deposits
7,248.66 United States deposits
317.46 I Deposits of U.S.disbnrsmgofficers.
12, 005. 00
5, 000. 00 Notes and bills rediscounted
Bills payable
843.50
.25 Liabilities other than those above
328, 514. 69

234, 006. 89

stated
Total

328,514.60

National Bank, Pontiac.
O. P . BOURLAND,

No. 2141.

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total .

$191, 033. 56
10, 441. 44
12, 500. 00

7, 057. 60
10,109.17
3, 767. 34
15, 000. 00

J O S E P H SPIRO, Cashier.

|

$50,000.00

Surplus fund
Undivided profits, less current |
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

20, 000. 00

Capital stock paid in .

1,919.91
11, 250. 00

Duo to other national banks

Due to State banks and bankers..
40,404.14
i
5, C90. 97 Dividends unpaid.
6, 000. 00
1, 500. 00 Individual deposits
110. 51 United States deposits
9, 414. 00
8, 000. 00 Depositsol"U.S.disbursing officers.
Notes and bills rediscounted
I
562. 50 Bills payable
'
Liabilities oth<ir than tho IQ, above
stated
Total
321, 591. 23

600. 00
237, 821. 32

321, 591 23

First National Bank, Princeton,
D. H. SMITH,

President.

Loans and discounts.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
V. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 903.
$206, 660. 03
300.12
26, 250. 00

14, 500. 00
95,184. 21
8, 000. 00
1, 569. 26
536. 76
160,070. 51
2, 785.76
3, 200. 00
127. 36
24, 253. 25
10, 214. 00
1,181. 25
554, 832. 51

H. C. ROBERTS, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other nation al banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
|
United States deposits
j
Deposits of U.S.disbursing officers, j

$105, 000. 00
60, 000. 00
15,895.92
23, 625. 00

1, 695. 00
348, 616.59

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated
Total.

554, 832.51

156

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Citizens' National Bank, Princeton.

H. H. FERRIS, President.

No. 2413.

DOUGLAS MOSELEY, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation.,.
U. S. bonds to secure deposits
TJ. S. bonds on band
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.

Due from Treasurer TJ. S
Total.

Liabilities.
$195. 618. 57 Capital stock paid in.
2, 935. 54
25, 000. 00 Surplus fund
Undivided profits, less current
25, 000.00
expenses and taxes paid
2, 500. 00 National-bank notes outstanding.
39, 789. 24 State-bank notes outstanding
8,200. 00
Due to other national banks
j
1, 731. 53 Due to State banks and bankers. .|
526. 82
103, 239. 68 Dividends unpaid
1, 639. 22
Individual deposits
4,750.00 j United States deposits
225.02 Deposits of U.S.disbursingofficers.
21, 287.10
4, 763. 00 Notes and bills rediscounted.
Bills payable
1,125. 00
Liabilities other than those above
438, 330. 72

stated
Total .

$100,000. 00
35, 000.00
837.10
22, 500. 00

330.39
4, 308. 00
275, 355. 23

438, 330. 72

Farmers' National Bank, Princeton.
No. 2165.

E. A. WASHBURN, President.

Loans and discounts
$260,510.26
Overdrafts
7,368.29
U. S. bonds to secure circulation...!
27, 500. 00
U. S. bonds to secure deposits
J
U. S. bonds on hand
]
5, 200. 00
Premiums on U. S. bonds
j
Stocks, securities, etc
!
3, 924.95
Bank'ghouse,furniture, and
fixtures!
11, 000. 00
Other real estate and mortg's ownedl
11, 925. 69
Due from other national banks
1, 066.46
Due from State banks and bankers.
66, 866. 00
Due from approved reserve agents.
1, 649.18
Checks and other cash items
Exchanges for clearing house
Bills of other nation alljanks
965. 00
Fractional currency, nickels,cents.
226. 35
Specie
!
25, 093. 25
Legal-tender notes
3,200.00
U. S. certificates of deposit
Redemption fund with Treas. U. S.
1, 237. 50
Due from Treasurer U. S

$110, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Drvidends unpaid
Individual deposits
United States deposits
Depositsof U.S. disbursing officers

60,000 00
2,170. 22
24, 750. 00
11.77
1, 630. 00
229,170. 94

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

427,732. 93

Total.

H. B. PETERSON, Cashier.

Capital stock paid in.

427, 732. 93

Total.

Quincy National Bank, Quincy.
J. H. DUKER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghonse, furniture, and fixtures
Otherreal estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




GrEO. F . JASPER, Cashier.

No. 3752.
$265, 746. 56
203.16
25,000.00

2, 952. 50
2, 500. 00
26, 392. 53

Capital stock paid in.

5, 971. 85
18, 857. 50

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

5, 851. 46
8,131. 25

2.08
16, 481. 03 Dividends unpaid
4, 020. 22
12,169. 62 Individual deposits
1, 425. 00 ! United States deposits
49.41 j Deposits of U.S. disbursing officers.
4, 818. 05
7, 090. 00 Notes and bills rediscounted
Bills payable
1,125. 00
Liabilities other than those above
stated
369, 975.16

$100, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total .

10, 000.00

221,163.10

369,975.16

REPORT OF THE COMPTROLLER OF THE CURRENCY.

157

ILLINOIS.
Ricker National Bank, Quincy.
No. 2519.

HENRY F . J . KICKER, President.

GEO. E. RICKER, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand

Premiums on U S bonds
Stocks, securities, etc
Bank ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Total

$2, 508, 602. 78
1 235.87
200,000.00
50, 000.00
69, 300. 00
124, 500. 00
14, 597.18
2, 968. 23
189,669. 35
3,319.17
8, 881. 83
11,140. 00
214. 50
193,140. 61
25, 645.00
9, 000.00

Capital stock paid in

$200, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid

40, 000. 00
181, 973. 36
128 740. 0
C
40, 607. 60
406, 892. 53
150.00

Individual deposits
United States deposits
Deposits of U.S.disbursing officers.
Notes and bills rediscounted
Bills pay able

2, 366, 351.03
47,500. 00

Liabilities other than those above
stated

3,412, 214.52

3, 412, 214. 52

Total

First National Bank, Rantoul.
No. 5193.

HERBERT WEST, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total -

$41, 636. 88
688. 46
12, 500. 00
1, 578.12

E. B. ROGERS, Cashier.

Capital stock paid in
Capital stock paid in, not certified.
S u r p l u s fund
Undivided profits, less c u r r e n t
expenses a n d t a x e s paid
National-bank notes o u t s t a n d i n g .
State-bank notes o u t s t a n d i n g

$40, 000.00
4, 600. 00
226. 46
11, 240. 00

"2," 350 "83
1, 204. 02
15, 774. 83
41.30
435. 00
40.83
3,172. 50
3, 000. 00

D u e to other national b a n k s
D u e to State b a n k s and b a n k e r s .
D i v i d e n d s unpaid
I n d i v i d u a l deposits
U n i t e d States deposits
Deposits ofU.S.disbursing officers.
N o t e s and bills rediscounted
Bills payable

21, 229.85

5, 000.00

562. 00

Liabilities other than those above
82, 984.77

stated
Total.

8.46
82, 984. 77

First National Bank, Robinson.
A. P . WOODWORTH, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S
Due from Treasurer U, S
Total.



No. 5049.
$172, 960.49
3, 898. 87
12, 500. 00

3,100. 00
3, 300. 00
442.00
489. 00
4, 798. 62
64, 909.17
705.00
95.05
3,487. 75
3, 725. 00
562. 50

284, 973. 45

CHARLES H. STEEL, Cashier.

Capital stock paid i n .

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50, 000. 00
8, 700.00
1,330.19
11, 250. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers

213, 693. 26

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
.
Total.

284, 973. 45

158

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Rochelle National Bank, Rochelle.
No. 1907.

EMANUEL HILB, President.

A. B. SHEADLE, Cashier.

Kesources.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U.S.bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and rnortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer TJ. S
Total.

Liabilities.
$137, 266. 44
1, 911. 08
20, 000. 00
20, 000. 00
5,822. 82
6, 000. 00
50, 000. 00
95,071. 73
277. 51

Capital stock paid in.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Individual deposits

900. 00

1, 222.10
18, 000. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
258,340.82

"i'ioo.'oo" United States deposits
131.34
9, 082.00
5, 000. 00

25, 000. 00

Deposits of U.S.disbursing officers.

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

352, 562. 92

Total .

352,562.92

Third National Bank, Rockford.
J O H N H. SHERRATT, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
.
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total .

No. 479.
$476, 970. ] 6
868. 38
100,000. 00

G. C. SPAFFORD, Cashier.

Capital stock paid in.

Surplusfund
Undivided profits, less current,
5, 300. 00
expenses and taxes paid
1, 500. 00 National-bank notes outstanding.
183,814. 20 State-bank notes outstanding
34, 000. 00
Due to other national banks
11, 485. 29 Due to State banks and bankers.
6, 874. 26
114,570. 96 Dividends unpaid
051.00
3, 092. 96 Individual deposits
2, 212. 00 United States deposits
147. 54 Deposits of U.S. disbursing officers.
26, 504.95
11, 000. 00 Notes and bills rediscounted.
10, 000. 00 Bills pa3'able
4, 500. 00
Liabilities other than those above
stated
993,491. 70

Total.

$100,000.00
20, 000. 00
56, 902. 40
90, 000. 00

726, 589. 30

993, 491. 70

Forest City National Bank, Rockford.
JNO. D.WATERMAN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation....
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks..
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 4325.

PAUL F. SCHUSTER, Cashier.

$441,441.27 I Capital stock paid in.
47.63 I
25, 000. 00
2, 000. 00

4, 000. 00
9, 000. 00
257. 62
90,168.15
2,730.08 j
3,895.00 !
456.88
20,734.40
32,500.00
i, 125. 00
633, 356. 03

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total .

$100,000.00
20, 000. 00
11, 374.10
22, 500. 00

93.00
479, 388. 93

REPORT OF THE COMPTROLLER OF THE CURRENCY.

159

ILLINOIS.
Manufacturers' National Bank, Rockford.
W. F. BARNES, President.

No. 3952.

Loans and discounts
Overdrafts
U. S bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on band
Premiums on U. S. bonds
Stocks, securities, etc
Bank g house, furniture,and fixtures
Other real estate and niortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U. S
Total.

AUGUST P. FLOBERG, Cashier.

1
1

Resources.
$437, 353. 09
1, 909. 36
50,000. 00

Liabilities.
Capital stock paid in.

$125,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

25, 000.00

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

1, 460. 89

Individual deposits
1,473.00
United States deposits
525.05 | Depositsof U.S. disbursing officers.

382, 579. 91

2,
16,
5,
10,

000. 00
267. 92
200. 00
280. 00
146. 86
1, 341. 39
15, 608. 96
7,163. 79

23,376.60 |
8,015.00 j

"2, 250.' 66 'i
2,212.00 I

6, 022.22
45,000. 00

60.00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

585,123.02

585,123. 02

Rockford National Bank, Rockford.
GILBERT WOODRUFF, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture.and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agentsChecks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
I
Total.

No. 1816.
$327, 698. 60
1,866.19
75, 000. 00
2, 700. 00
3,811.75
119,356.07
29, 787. 80
29, 369. 21
4, 245.18
63, 832.11
13,973. 23
3,160. 00
762. 92
15, 266. 38
12,876. 00
3, 375. 00

707,080.44

W. F. WOODRUFF, Cashier.

Capital stock paid in .
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100, 000. 00
100,000.00
3, 654. 75
67, 500. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.

435,925. 69

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

707, 080. 44

Winnebago National Bank, Rockford.
THOS. D. ROBERTSON, President.

Loans and discounts
Overdrafts
C S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total .




CHANDLER STARR, Cashier.

$831, 653. 93
2, 929. 38
100, 000. 00
1, 000. 00
289, 800. 00
16, 375. 00
33, 648. 73

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding.
Due to other national banks
Due to State banks and bankers..
Dividends unpaid -

204, 951. 41
1, 403. 98
20, 688. 63 Individual deposits
1, 972. 00 United States deposits
169. 01 Deposits of U.S.disbursingofficers.
59,185. 60
20, 000. 00 Notes and bills rediscounted
Bills payable
4, 500. 00
Liabilities other than those above
stated
1, 588, 277.67

Total .

$100, 000.00
30, 000. 00
102,651.68
89, 300. 00

9, 280. 37

1, 257, 045. 62

1, 588, 277.67

160

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
People's National Bank, Rock Island.

Jos. ROSENFIELD, President.

No. 2155.

C. HELLPENSTELL, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits

Liabilities.
$315, 554. 34
2,627. 92
30, 000. 00

XJ. S. bonds on hand
Premiums on TJ. S. bonds

Stocks, securities, etc
Bank'g house, furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U, S
Total.

17,145.00
1,500.00
5, 225.08
2, 488. 52
131,441. 50
835. 36
5, 370. 00
138.43
15, 324. 65
6, 822. 00
1, 350. 00

Capital stock paid in .

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid

60,000. 00
15, 284.18
27, 000. 00

670.90
6.00

Individual deposits
United States deposits
Depositsof U.S. disbursing officers.

332, 861. 72

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
I

535,822.80

Total.

535,822.80

Rock Island National Bank, Rock Island.
-, President.

No. 1889.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
.Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

$248, 237.34
5,837. 55
30, 000.00
50, 000.00
26,007. 70
2, 000. 00
3,953.23
4,806. 22
105, 639.29
3, 672. 27
999. 00
211.00
19, 780.85
9, 000. 00
1, 350. 00

J . F. ROBINSON, Cashier.

Capital stock paid in.

$100, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

75, 000. 00

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

9,185. 40
443.32

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

2, 959. 88
27, 000. 00

269, 914. 93
3,963.80
23,027.12

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

511,494.45 I

Total.

511,494.45

Salem National Bank, Salem.
JAS. S. MARTIN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 1715.

$193,204. 25
1,400. 94
25, 000. 00
2, 640. 62
4,920.67
11, 891. 37
25, 531. 61
14, 531. 74
2,811. 92
2,359. 00
209.31
9, 956. 60
5,036. 00
1,125.00 i

THOMAS S. MARSHALL, Cashier.

Capital stock paid i n .
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50,000.00
42, 000. 00
869. 56
22, 500.00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursing officers.

185, 249.47

Notes and bills rediscounted.
Billspayable
Liabilities other than those above
stated

300,619.03

Total.

300,619.03

REPORT OF THE COMPTROLLER OF THE CURRENCY.

161

ILLINOIS.
First National Bank, Shawneetown.
No. 915.

W M . A. PEEPLES, President.

WM. D. PHILE, Cashier,

Resources.

Liabilities.

Loans and discounts
Overdrafts
U.S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S. bonds on hand
Premiums on U. S. bonds

$105, 375.94
3, 244. 25
12, 500. 00

Capital stock paidin

800. 00
8,194. 03
1, 300. 00
11,298.30
6, 742. 55
76.82
46, 581). 75
120.93

Stocks, securities, etc
Bank'g house,furniture,and fixtures
Otherrealestate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

20, 000.00
2, 779.01
11, 250. 00

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

j

Dividends unpaid

I
-

Individual deposits
j
United States deposits
DepositsofU.S.disbursingofficers.!.

2, 090. 00
94.92
25, 703. 00
9, 000. 00

149, 663. 98

Notes and bills rediscounted.
Bills payable

562.50

Liabilities other than those above

stated

Total.

Total.

233,692.99

233, 692.99

First National Bank, Shelbyville.
No. 2128.

A. MIDDLESWORTH, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
:
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

J. W. POWERS, Cashier.

Capital stock paid in.

$149,406. 36
4,151.98
25, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

33, 700. 00
6, 863. 40
17,000.00

Due to other national banks
and bankers..

* 30," 965.'80" j Due to State banks
2, 219. 30
102,375. 45 Dividends unpaid
5, 211. 70

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

4,351.00
88. 33
35,104. 40
4, 000. 00

21, 000. 00
11,964. 73
16, 875.00

2,860. 09

293, 581. 65

Notes and bills rediscounted.
Bills payable

843.75 I

Total.

$75, 000.00

Liabilities other than those above
stated
Total.

421, 281. 47

421, 281.47

First National Bank, Springfield.
FRANK "W. TRACY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house,
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S.
Total.


CUR 99, YOL 2

No. 205.
$1, 005, 094.15
13,138.15
75, 000. 00
75, 000. 00
9, 000. 00
29, 960. 06
30, 000. 00
24,520. 06
28, 541. 58
4, 086. 05
99, 040.10
4, 595. 67
5, 576. 00
94.35
35,807. 00
39, 500. 00

HOWARD K. WEBER, Cashier.

Capital stock paid in.

$250, 000. 00

Surplus fund
-.
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

140, 078. 60
67, 500.00

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

80, 747.51
36,921. 39

Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

50, 000. 00

359.00
789, 221. 67
27, 327. 79
40,172. 21

Notes and bills rediscounted.
Bills payable

3,375.00 !

| Liabilities other than thosi >above
stated
1, 482,328.17

11

Total

1, 482, 328.17

162

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Farmers' National Bank, Springfield.
S. MENDENHALL, President.

No. 2688.

Resources.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U. S

$622, 372.82
18, 758. 25
50, 000. 00
3, 540. 00
25,460. 26
2,000.00
21,821.81
6,569. 85
26, 965. 95
194,875. 21
15, 868. 32

$200,000.00
75, 000.00
36,243. 80
44,500. 00

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

32,531.39
95, 901.84

Dividends unpaid

200.00

Individual deposits
ii, 440. 66 United States deposits
173. 80
Deposits of TJ.S.disbursing officers.
26,466. 55
15, 000. 00
Notes and bills rediscounted
Bills payable
1, 750. 00

1,043,062.82

Total

EDWARD D. KEYS, Cashier.

Liabilities.
Capital stock paid in
Surplus fund
"Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

578,685. 79

Liabilities other than those above
stated .
Total

1, 043,062. 82

Illinois National Bank, Springfield.
No. 3548.

A. FARE, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furnituie,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.

$514,019.88
30, 024. 09
60, 000. 00
75, 000. 00
12,200. 00
22, 568. 56
135, 000. 00
31, 000. 00
16,437. 21
894. 96
119,787.14
10, 926. 83

$300, 000. 00
25, 000. 00
3, 013. 39
54, 000.00

Due to other national banks

75,190. 86
127, 847. 99

Due to State banks and bankers.
Dividends unpaid

114. 00

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

428, 933. 31
61, 604.48
7, 380.37

5, 363. 00
517.13
21, 645. 60
25, 000. 00 Notes and bills rediscounted.
Bills payable
2, 700. 00

Liabilities other than those above

Due from Treasurer TJ. S
Total.

B. R. HIERONYMUS, Cashier.

I Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1, 083, 084.40

stated
Total

1, 083,084. 40

Ridgely National Bank, Springfield.
¥ M . RIDGELY, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 1662.
$832, 673. 07
11,585.19
50, 000. 00

EDWARD RIDGELY, Cashier.

Capital stock paid in
Surplus fund
Undivided profits, less current

j

$100,000.00
100,000.00

expenses and taxes paid
2, 375. 00 National-banknotes outstanding.
State-bank notes outstanding

3, 458. 29
44, 250. 00

11,058! 39 ! Due to other national banks
3, 841. 03
5, 292. 32 Due to State banks and bankers..
233, 699. 39 Dividends unpaid
6, 096. 76
Individual deposits
United States deposits
13, 000. 00
Deposits of U.S.disbursing officers.

26, 286. 84
27,015.40

22, 958.18
18, 662. 00
2, 250. 00

1, 213, 491. 33

912,480.80

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

1, 213, 491.33

REPORT OF THE COMPTROLLER OP THE CURRENCY.

163

ILLINOIS.
State National Bank, Springfield.
No. 1733.

K. D. LAWEENCE, President.

J . F . BUNN, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Eedemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

Liabilities.
$571,130. 64
31,568.13
50, 000. 00
85, 000. 00

Capital stock paid in.

$200, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
]STational-bank notes outstanding.
State-bank notes outstanding

11, 500. 00
7,654.12
45, 000.00

9,190. 00
30, 000. 00
38, 900. 00 Due to other national banks
2,042.01 j Due to State banks and bankers..
7,856.92 i
78, 621.11 Dividends unpaid
14,441. 88
Individual deposits
9, 708. 00 United States deposits
Deposits of U.S.disbursingomcers.
21, 505. 25
20, 000. 00 Notes and bills rediscounted.
Bills payable
2, 250. 00
2.50 Liabilities other than those above
stated

4,216. 06
30, 652. 30

604, 854.83
66, 526. 65
1,812.48

Total .

972, 216.44

972, 216.44

Spring Valley National Bank, Spring Valley.
CHAS. J. DEVLIN, President.

No. 3465.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

$187,900.65
19.52
12, 500. 00

9, 676. 79
16, 582.84
10, 707. 81
3, 916. 00
64.70
6, 758. 42
3, 933. 00
562. 50
252,622.23 I

M. BARTON, Cashier.

Capital stock paid in

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

33, 000. 00
9, 874. 44
11, 250. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

143, 997. 79

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

4, 500.00

Total .

252, 622. 23

First National Bank, Sterling.
JOHN S. MILLER, President.
Loans and discounts
Overdrafts

U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Eedemption fund with Treas. U. S.
Due from Treasurer TJ. S

Total .



W. A. SANBORN, Cashier.
No. 1717.
;308,025.24
Capital stock paid in.
$100,000. 00
5,167.17
50, 000.00 Surplus fund
50, 000. 00
Undivided profits, less current
12, 781. 05
expenses and taxes paid
14, 440. 00
45, 000. 00
National-bank notes outstanding.
114, 728. 00 State-bank notes outstanding
17, 700. 00
1,279.43 Due to other national banks
Due to State banks and bankers.

311, 522. 07
566. 71
19, 691. 00
265.38
43, 536. 42
6,100.00

"2*250*66"
500. 00
895,771.42

Dividends unpaid
Individual deposits
|
United States deposits
j
Deposits of U.S.disbursing officers, i
Notes and bills rediscounted

687, 990. 37

\

Bills payable
'
Liabilities other than those above
stated
Total .

895,771.42

164

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Sterling National Bank, Sterling.
No. 2709.

JAMES R. BELL, President.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Danks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer TJ. S

$335,233.15
1,486.96
18,750.00

23,603.05
10, 000.00
1, 500. 00
283.10
92, 267. 78
475.91
5, 000. 00
110.63
27, 371. 25
843. 75

Capital stock paid in.

$75,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

25,000.00
7,775.94
16, 875. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits...'.
Depositsof U.S.disbursingofficers.

392, 274. 64

Notes and bills rediscounted.
Bills payable

Liabilities other than those above
stated

516, 925.58

Total.

J. H. LAWRENCE, Cashier.
Liabilities.

516,925.58

Total.

Streator National Bank, Streator.
F. PLUMB, President.

No. 2681.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$71,905.54
26.08
25, 000. 00
1,250.00
60,409.43
1, 779. 00

78, 301. 92
3,884. 57
""MOO." bo'

137. 73
3,913. 40
16, 214. 00
562. 50
264,384.17

Total.

HARRY W. LUKINS, Cashier.

Capital stock paid in.

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000. 00
20, 643. 03
8, 700. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits ofU.S.disbursing officers.

175, 041.14

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated
Total.

264,384.17

Union National Bank, Streator.
L. H. PLUMB, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents .
Checks and other cash items.......
Exchanges for clearing house...
Bills of other national Danks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. IS. certificates of deposit
Redemption fund with Trefts. U. S.
Due from Treasurer U. S
Total.



No. 2176.
$570,565.52
4,128. 38
25, 000. 00

E. H. BAILEY, Cashier.

Capital stock paid i n .

Surplusfund
Undivided and taxes paidcurrent
expenses profits, less
National-bank notes outstanding.
25, 042. 58 State-bank notes outstanding.

$100,000.00
50, 000.00
32, 642. 27
22, 050.00

10, 000. 00
1,688.00

Due to other national banks
Due to State banks and bankers.
239, 884. 71 Dividends unpaid
1, 547. 73
Individual deposits
10,000.00 United States deposits
985.41 Depositsof U.S.disburslng officers.
27, 431. 80
25,153.00
1,125.00

942,552.13

737, 859.86

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

942,552.13

REPORT OF THE COMPTROLLER OF THE CURRENCY.

165

ILLINOIS.
Sycamore National Bank, Sycamore.
E. F. DUTTON, President.

No. 1896.

CHAS. E. WALKER, Cashier,

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
IT. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$204,571.93
2, 937. 81
12, 500. 00

10,000.00
6, 000. 00

11,944.25
678.
115.
3, 277.
1, 500.

00
49
00
00

562.50

Capital stock paid in.

10, 000. 00
15, 578.92
11, 250. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.
Notes and bills rediscounted.
Bills payable

161, 718.06

5,000.00

Liabilities other than those above
stated

253,546.98

Total.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total.

253,546.98

First National Bank, Taylorville.
F. W. ANDERSON, President.

E. R. WRIGHT, Cashier.

No. 3579.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits.
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractionalcurrency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$241, 934.42
5, 462.18
18, 750.00
1, 800. 00
34, 500.00
2,963. 50
19,156. 67
18,273.28
85.50
98, 711. 34
2, 986. 50
2, 200.00
252.29
22, 006. 75
5, 000. 00
843.50
474,925.93

Capital stock paid in.

$75, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

43,484.35
16,870.00

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

1, 376. 45

Individual deposits . . . %
United States deposits
DepositsofU.S.disbursingoflicers.

25, 000. 00

313,195.13

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

474, 925.93

First National Bank, Toluca.
CHAS. J . DEVLIN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture.andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house...
Bills of other nationaljbanks
Fractionalcurrency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 4871.
D. M. WOOD, Cashier.
$172, 050. 08 Capital stock paid i n .
$100, 000.00
1, 071.87
25,000. 00 Surplus fund
5, 500.00
Undivided profits, less current
3, 694.11
expenses and taxes paid
22, 500.00
National-bank notes outstanding.
State-bank notes outstanding
8, 747.80
Due to other national banks
Due to State banks and bankers.
1,868.85
3,241.44 Dividends unpaid
1, 335. 00
2, 464.49
Individual deposits
70, 367. 65
175.00 United States deposits
276. 28 DepositsofU.S.disbursingoflicers.
11,743. 30
30, 372.35
6,005.00 Notes and bills rediscounted
Bills payable
1,125. 00
Liabilities other than those above
stated
233,769.11

Total.

166

REPORT OF THE COMPTROLLER OF THE CURRENCY.

First National Bank, Tuscola.
A. W. WALLACE, President.

No. 1723.

Resources.

F. W. HAMMBIT, Cashier.
Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U. S
Total .

$226,475. 02
6,481.87
40, 000. 00

26,046.47
7,000. 00
750. 00
806. 52
735. 03
82,670.03
3,296.17
7,141. 00
203. 35
15, 548. 50
10,000.00
1, 800.00

Capital stock paid in.

$60,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

60, 000. 00
6, 209.79
36,000.00

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

407.13
1,231.49

Individual deposits
United States deposits
Deposits of U. S.disbursingofficers

265,105.55

Notes and bills rediscounted.,
Bills payable
Liabilities other than those above
stated
Total .

428,953.96

428,953.96

First National Bank, Urbana.
FRANCIS M. WRIGHT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiumson TJ. S. bonds
Stocks, securities, etc
Bank'gbouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing-house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

No. 2915.

MINNIE WEBER, Cashier.

$187, 514. 39 Capital stock paid in
10, 630. 85
12, 500. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
1,275. 45 National-bank notes outstanding.
9,151. 53 State-bank notes outstanding
1, 500. 00
4, 200. 00 Due to other national banks
1, 837. 30 Due to State banks and bankers
100. 00
34, 646. 57 Dividends unpaid
92. 50
Individual deposits
4,160.00 United States deposits
181.48 Deposits of U. S.disbursingofficers
8,940.00
2, 000.00 Notes and bills rediscounted
Bills payable
562.50
Liabilities other than those above
stated
Total.

279, 292. 57

$50, 000.00
50,000.00
14,471. 26
11, 250. 00

324.65

153,246.66

279,292. 57

First National Bank, Vandalia.
W. M. FOGLER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g bouse,furniture, and fixtures
Other real estate and mortg' s owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U.S
Total.




J. A. GORDON, Cashier.

No. 4994.
$110, 475.97
729. 29
50, 000. 00
2,500.00
4, 000. 00
1,432.00
1, 900. 00
7, 733. 40
46,185. 20
2,257.41
200. 00
203. 87
4,155. 00
3,235. 00
2, 250.00
237,257.14 I

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

$5oTooo7oo
3, 000.00

575.78
45, 000.00

66.00
138, 615.36

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

237,257.14

REPORT OF THE COMPTROLLER OF THE CURRENCY.

167

First National Bank, Vienna.
P. T. CHAPMAN, President.

D. W. WHITTENBERG, Cashier.

No. 4433.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationall)anks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
XJ. S. certificates of deposit
Redemption fund with Treas. IJ. S.
Due from Treasurer U. S
Total.

Liabilities.
$101,660.44
5,871. 85
12,500.00

16,505.45
6,000.00
614.19
12,882. 02
225. 08

Capital stock paid i n .

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1, 065.19
11,250.00

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

3, 243.25

12, 000.00

Dividends unpaid

! Individual deposits
| United States deposits
66.88 Deposits of U. S. disbursing officers.
4,622. 25
1, 500. 00 Notes and bills rediscounted.
Bills payable
562. 50
Liabilities other than those above
stated

"566.66

Total.

163, 510.66 I

85, 952. 22

163, 510. 66

Centennial National Bank, Virginia.
No. 2330.

WM. EPLER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. Londs to secure deposits
U.S. bonds on hand
Premiums on IT. S. bonds...*.
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate andmortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items

Exchanges for clearing housi
Bills of other nationalpanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
V. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$83, 065. 40
3, 884.19
12, 500. 00
1,500.00
1,493. 85
5,500.00
4, 214. 95
1,181.19
550.00
16,179.60
930. 50
895. 00
51.30
, 107. 00
840.00
562. 50

JOHN J . BERGEN, Cashier.

Capital stock paid in.

$50,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

322.42
11,250. 00

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

727.79
899.19

6,900.00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

67,356. 08

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated

137, 455. 48

Total.

137,455.48

Farmers' National Bank, Virginia.
GEORGE VIRGIN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S bonds on hand.
Premiums on U. S. bonds
Stocks securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers .
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
II. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

No. 1471.
J. T. ROBERTSON, Cashier.
$132, 867. 90 Capital stock paid in .
$50, 000. 00
9, 727. 66
30,000. 00 Surplus fund
10, 000. 00
Undivided profits, less current
expenses and taxes paid
2, 095.70
National-bank notes outstanding.
27,000.00
6, 000. 00
5, 300. 00
20, 957. 32

850. 00

Total




State-bank notes outstanding

Due to other national banks
Due to State banks and bankers.
6, 255.16 Dividends unpaid
805. 74
Individual deposits..
United States deposits.
168. 32 Deposits of U.S.disbursingofficers.
3, 562.45
1,300. 00 Notes and bills rediscounted.
Bills payable

~217, 794.55

Liabilities other than those above
stated
Total.

128,698. 85

217, 794.55

168

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Watseka.
No. 1721.

DAVID MCGILL, President.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Jbanks
Fraetionalcurrency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S
Total.

GEO. C. HARRINGTON, Cashier.

Liabilities.
$158,166.39
1, 876. 21
50, Q00. 00

Capital stock paid in.

$50,000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
2, 000. 00 National-bank notes outstanding.
248. 92 State-bank notes outstanding

10,000.00
3, 006. 25
45, 000. 00

6,800.00

Due to other national banks
Due to State banks and bankers..
115,693. 43 Dividends unpaid
2,934. 53
Individual deposits
1, 780. 00 United States deposits
150.45 Deposits of U.S. disbursing officers.
8,500. 00
4, 000. 00

665.35

245, 728.33

Notes and bills* rediscounted.
Bills payable

2, 250.00

Liabilities other than those above
stated
354,399. 93
Total .

354,399.93

First National Bank, Waukegan.
NELSON A. STEELE, President.

Loans and discounts
|
Overdrafts
U. S.bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

No. 945.

$626,027.69
116.62
25, 000. 00

CHARLES F . WIARD, Cashier.

Capital stock paid in.

$50,000.00

Surplunfund

Undivided profits, less current
expenses and taxes paid
National-bank notes, outstanding.
51, 750. 00 State-bank notes outstanding

10, 000. 00
92, 840. 36
20, 780. 00

900. 00

160, 236.77
1,071.03
""3,*249."oo"
123. 75
35, 333. 00
20, 000. 00
1,125.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingoflicersNotes and bills rediscounted.
Bills payable

125.00
751,187.50

Liabilities other than those above
stated

924, 932.86

924,932.86

Total.

First National Bank, Wilmington.
JOHN W. STEWART, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.



No. 177.
$82,512.22
138.51
25,000.00

9,000.00
1.59,866.99
107,033.03
153.40

JAMES WHITTEN, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes x>aid
National-bank notes outstanding.
State-bank notes outstanding

70,000.00

6,160.92
22, 500.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits

500.* 00' United States deposits
247.84 Deposits of U.S.disbursingofficers.
40, 770.20
500.00 Notes and bills rediscounted.

228,186.27

Bills payable

1,125.00
426,847.19

Liabilities other than those above
stated
Total.

426,847.19

REPORT OF THE COMPTROLLER OF THE CURRENCY.

169

ILLINOIS.
Commercial National Bank, Wilmington.
E. W. FELTON, President.

No. 1964.

W M . H. ODELL, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'gbouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agentsChecks and other cash items
Exchanges for clearing house
Bills of other nationafbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




Liabilities.
$133, 273.36
40.87
12,500.00
3,900.00
50,113.46
2,000.00
1,797.45
4,505.78
86,879. 05
241. 53
1,137.00
106. 70
15, 798. 60
1,000. 00
562.50
313, 856.30

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50, 000.00
50,000.00
3,002,10
11,250.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

199,604.20

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

318, 856.30

170

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
National Exchange Bank, Anderson.

T. J . MCMAHAN, President

No. 4685.

JOHN L. FORKNER, Cashier.

Resources.
Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TL S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks....
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Dan ks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total

Liabilities.
$215, 950.43
1,669.19
25, 000. 00

Capital stock paid in

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
2, 800. 00 National-bank notes outstanding.
10, 732.40 State-bank notes outstanding
1, 500. 00
500. 00 Due to other national banks
31, 545. 57 Due to State banks and bankers..
34, 263.17
183, 523.47 Dividends unpaid
1,321.64
Individual deposits
5, 000. 00 United States deposits
757.80 Depositsof U.S.disbursing officers.
30, 587. 50
15, 000. 00 Notes and bills rediscounted
Bills payable
1,125. 00
Liabilities other than those above

561, 276.17

stated
Total

12,000. 00
4,442.32
22, 500.00

60.00
422, 273. 85

561, 276.17

Citizens' National Bank, Attica.
No. 3755.

J . P . ISLEY, President.

Loans and discounts
Overdrafts
U. S. bonds t o secure circulation-..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'gbouse,furniture,andfixturesj
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$96, 888.56
14,167. 43
25, 000. 00

W. B. SCHERMERHORN, Cashier

Capital stock paid in.

$50, 000. 00

Surplus fund

Undivided profits, less current
expenses and taxes paid
1, 750. 00 National-bank notes outstanding.
State»bank notes outstanding
9, 384.05

11,229. 92
25, 446. 65
598. 65
"5,606.06
216. 07
12,400. 00
5, 000. 00
1,125. 00

1, 000. 00
I, 962. 32
22, 500. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
1
United States deposits
Deposits ofU.S.disbursing officers.

132, 744.01

Notes and bills rediscounted.
Billspayable
Liabilities other than those above
stated

Total.

208, 206. 33

208, 206.33

First National Bank, Auburn.
CHARLES MCCLELLAN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate andmortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




D. A. GrARWOOD, Cashier.

No. 2238.
$124,748.58
3, 683. 29
12,500. 00

4,108.52
6, 500. 00
27, 572. 73
905. 59
12,937. 77
4, 306. 95
1,355. 00
101. 47
9,980.10
5,800. 00
562. 50
215,062. 50

Capital stock paid in.
SurpluHfund

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-banknotes outstanding
.

$50,000.00
7, 000. 00
1,942.57
9, 7.50.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Depositsof C.S.disbursing officers.

146, 369. 93

Notes and bills rediscounted.
Billspayable
Liabilities other than those above
stated
Total.

215,062.50

REPORT OF THE COMPTROLLER OF THE CURRENCY.

171

INDIANA.
First National Bank, Aurora.
No. 699.

H. W. SMITH, President.

E. H. DAVIS, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits-..
XJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total .

Liabilities.
$237, 944.11
671. 76
200, 000.00
1, 000. 00
7, 848. 00
7,380.13
13, 000. 00
24,100. 00
6,485.36
1, 783.25
50, 758. 78
430.00
91.95
25, 087.00
7, 000. 00

"9,666.6o"

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$200,000. 00
40, 000.00
180, 000. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursing officers.

172,580. 34

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total .

592,580.34

592,580. 34

Aurora National Bank, Aurora.
No. 2963.

W I L L . F . STEVENS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks .
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$105,774.79
832.55
25,000. 00
100. 00
3, 000. 00
29,957.00
2,500. 00
533.81
20,074.69
525. 71
500.00
21.55
16, 716. 00
1, 500. 00
1,125.00
2.50
208,163. 60

Total.

ALEX. B. PATTISON, Cashier.

Capital stock paid i n .

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding..

$50, 000. 00
6, 200. 00
1, 237. 88
22, 500.00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers .

128, 225. 72

Notes and bills rediscounted.
Bills payable

Liabilities other than those above
stated
Total.

208,163. 60

Bedford National Bank, Bedford.
JOHN R. WALSH, President

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Ban k7 g house, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




THOMAS O. DAGGY, Cashier.
No. 5187.
j
$45, 730.00
Capital stock paid in.

$14, 674.41

20,000. 00

"* 2,'666.'66'
60,087. 89
5,000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

479.85
17,975.00

Due to other national banks
Due to State banks and bankers..
64, 637.57
2, 844.37

""2,"2l6."66"
95.79
11,634. 60
6, 435. 00
19.50

190, 519.13

Dividends unpaid
Individual deposits
United States deposits
Deposits ofU.S.disbursing officers. .
Notes and bills rediscounted
Bills payable
,
Liabilities other than those above
stated
Total .

126, 334.28

190,519.13

172

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
Citizens' National Bank, Bedford.

ARCHIBALD C. VORIS, President.

No. 5173.

J O S E P H R. VORIS, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on band
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Otber realestateand mortg'sowned
Due from otber national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and otber cash items
Exchanges for clearing house
Bills of otber national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.* S. certificates of deposit
Redemption fund with Treas. XT. S.
Due from Treasurer U. S
Total.

Liabilities.
$110, 078. 24
1, 764. 02
25, 000. 00
40,200.00
3,282. 62
29, 504. 00
3, 281. 89
5, 088. 65
8,006. 03
71,733. 67
1, 457.05
2, 500. 00
386. 75
16,710. 00
2,000.00
1,125. 00

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding

$75, 000.00

6, 978.40
21, 500.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

218,639.52

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

322,117.92

Total.

322,117.92

First National Bank, Bloomington.
NAT. U. HILL, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on XT. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. XT. S -1
Due from Treasurer U. S
Total.

W. E. WOODBURN, Cashier.
No. 1888.
$231, 573.01 Capital stock paid in.
$120,000.00
33, 383. 88
30, 000. 00 Surplusfund
33, 000.00
Undivided profits, less current
9, 493. 69
expenses and taxes paid
26,997.50
National-bank notes outstanding.
68, 357. 58 State-bank notes outstanding
7,378. 89
81, 934.48
61, 364. 69
8,000.00
213. 34
46, 000. 00
4, 000.00
1, 350.00

Due to otber national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

167.87
383, 896.81

Notes and bills rediscounted.
Billspayable
Liabilities other than those above
stated

573,555.87

Total.

573,555.87

Boonville National Bank, Boonville.
L. J. MILLER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 2207.
$145, 815.33
1, 566.29
50, 000. 00

14,800. 00
4,000. 00
25,103. 94
2,414. 24
65, 652. 02
667. 69
1, 500.00
74.07
19,492. 80
5,500. 00
2,250.00
338,836.38 !

J . P. WEYERBACHER, Cashier.

Capital stock paid i n .
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50,000. 00
20, 000.00
7, 729. 55
45, 000.00

Due to other national banks
Due to State banks and bankers Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingoflicers.

216,106. 83

Notes and bills rediscounted
Billspayable
Liabilities other than those above
stated
,
Total.

338,836.38

REPORT OF THE COMPTROLLER. OF THE CURRENCY.

173

INDIANA.
First National Bank, Brazil.
No. 3583.

C. S. ANDREWS, President.

H. STEVENSON, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and.fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer IT. S

Liabilities.
$155,455.45
526. 09
12,500. 00

Capital stock paid in.

10,000.00

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

4,194. 94

Individual deposits
15,170. 00 United States deposits
95.49 Deposits of U .S.disbursingofficers.
28, 800. 60
1, 500.00 Notes and bills rediscounted.
Bills payable
562.50
Liabilities other than those above
stated

343,161. 01

40, 000.00
4, 200. 00

10, 297.49
149,228.45
1, 666. 30

420,002.37

Total .

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1,396.42
11,250.00

420, 002. 37

Total .

First National Bank, Cambridge City.
JOHN JACKSON, President.

No. 2734.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
^Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

$315, 003.71
25, 000. 00

2, 500.00
28, 059. 01
263.20
1,130. 00
52.22
9, 665. 00
4, 500. 00
1,125. 00
387, 298.14

Total .

CHARLES W. D. JONES, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100,000.00
20,000.00
4,117.19
22, 500.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
!.
Deposits of U.S. disbursing officers.).

240, 680. 95

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

387,298.14

First National Bank, Columbus.
WM. J . LUCAS, President.

Loans and discounts
!
Overdrafts
j
U. S. bonds to secure circulation... I
U. S. bonds to secure deposits.. U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Kedemption fund with Treas. U.S.
Due from Treasurer TJ. S
Total.




L. K. ONG, Cashier.
No. 1066.
$278,158.41 Capital stock paid in.
$100,000. 00
2,971.11
50, 000.00 Surplus fund
20, 000. 00
Undivided profits, less current
3, 564. 94
60,000. 00
expenses and taxes paid
45, 000. 00
7,061. 20
National-bank notes outstanding.
9, 000. 00
State-bank notes outstanding
12, 000.00
5,433. 48
806. 00
1, 375. 25
161, 643. 84
848.00
1, 695. 00
538. 35
15,185.00
34,925.00

2, 250.00
643, 890. 64

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingoffioers.

475, 325.70

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

643, 890. 64

174

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
First National Bank, Connersville.

CHARLES MOUNT, President.

No. 1034.

Q. A. MOUNT, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premium s on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house...
Bills of other nationalpanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer IT. S

Liabilities.
$247, 627. 52
2,121.45
25, 000.00
4,000. 00
1,278. 59
28,489. 94
30,000.00
2, 286. 50
471.40
61, 599.81
2, 080.72
2, 200. 00
256. 65
8,700. 00
12, 000. 00
1, 120. 00

Capital stock paid i n .

30,000. 00

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

3, 850.23

3,156. 37
22, 500.00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

269, 725.98

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

429, 232.58

Total.

$100,000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

429, 232.58

Total.

First National Bank, Crawfordsville.
W. P . HEERON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and niortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U, S.
Due from Treasurer U. S

No. 571.
$327,129. 34
1, 269.49
25, 000. 00
200. 00

27,837.44
1, 000.00
6,585. 02
114, 916. 67
1, 466. 30
4,505. 00
277. 65
40, 955.00
4, 450. 00
1,125.00

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

50,000.00
21, 823. 70
22, 500.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers

362, 393.21

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

556, 716.91

Total.

J . E. EVANS, Cashier.

Capital stock paid in.

556,716. 91

Total .

Citizens' National Bank, Crawfordsville.
A. F . RAMSEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house.»
Bills of other nationaipanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 2533.
$281,291.59
4, 864.63
25,000.00
600. 00
37.85
93, 261. 07
10, 677. 85
7,213.43
91, 016.36
1,917.03
4,540.00
41.26
27,445.40
15,000.00
1,125.00
564,031.47

C. GOLTBA, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100,000.00
50, 000.00
11, 033.34
22, 500.00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S .disbursing officers.

380, 496.14

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

564, 031.47

REPORT OF THE COMPTROLLER OF THE CURRENCY. 175
INDIANA.
First National Bank, Crown Point.
No. 2183.

John BEOWN, President.

A. A. SAUERMAN, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,fnrniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

$188,657.13
1, 909. 34
20,000. 00

Capital stock paid in.

50,000.00
5,650.39
18,000.00

7,000. 00

8, 763. 88
364, 381.44
1,179. 97
3, 000. 00
92.87
23, 650. 00
4,500. 00
900. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S .disbursing officers.

500, 384. 24

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

624, 034.63

Total.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

624, 034.63

Total.

First National Bank, Danville.
No. 152.

MORD. CARTER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U . S

$227,170.02
8, 917.15
25,000. 00

32,094.10
13,717.79
7, 651. 67

|

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

922.13
22,500. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
1, 000. 00 United States deposits
42.87 DepositsofU.S.disbursingofficers.

14, 555. 75
2, 000. 00

i," 125." 66"

$100,000.00
4,010.00

5,479.15

10, 000.00
43,438. 41
2, 284. 27

85.50
256,000. 25

Notes and bills rediscounted
Billspayable
Liabilities other than those above
stated

Total

.03

Total

"W. C. OSBORN, Cashier.

Capital stock paid in

388, 997.03

Decatur National Bank, Decatur.
P. W. SMITH, President.
Loans and discounts
Overdrafts
U. S. bonds t o secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house...
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S
Due from Treasurer U. S

Total.



No. 3028.
$241,999.75
4,347.19
25, 000. 00
2, 000.00

1, 875. 00
6, 376. 64
37, 898. 52

C. A. DUGAN, Cashier.

Capital stock paid in.

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks

8, 500. 00
1,344.48
22,500. 00
I.

Due to State banks and bankers.. J
i

"61," 633." 75'i Dividends unpaid
L
490.35 I
Individual deposits
!
!.
61.00 United States deposits
297.10 DepositsofU.S.disbursingofliceisJ.
11, 890. 75
8, 410. 00 Notes and bills rediscounted.
Bills payable
1,125. 00
Liabilities other than those above
stated
403,405. 05

Total .

28, 263.96

242, 796.61

403,405.05

176

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
First National Bank, Dunkirk.
No. 4888.

EARL W. MERRY, President.

MYRON L. CASE, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

Total.

Liabilities.
$108,569. 60
39.04
12,500.00
11, 000.00
28,418.85
8, 000. 00
86,012. 59
620.76
71, 030.14
1,974. 98
1,975.00
191.05
16,987. 60
1,975. 00
562.50
2.50
349, 859.61

Capital stock paid i n .
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

$50,000.00
8,500. 00
644.64
11, 250. 00

11.25

279, 453. 72

Notes and bills rediscounted.
Bills payable

Liabilities other than those above
stated
Total.

349,859.61

First National Bank, Blkhart.
C. H. WINCHESTER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
PremiumsonU. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items.. Exchanges for clearing house.
Bills of other national banks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Duefrom Treasurer U. S

No. 206.
$224,419. 74
723. 41
57,500. 00

24, 111. 22
12,632. 44
4,595. 75
91,235.07
476. 20
3, 780. 00
22.47
20, 086. 85
10, 000.00
2, 577. 50

$100,000.00

Surplus fund
Undivided profits, less current

expenses and taxes paid
National-bank notes outstanding .
State-bank notes outstanding

40, 000. 00
7, 348.43
51, 740. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

253,072. 22

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

Total -

452,160.65

Total.

W. H. KNICKERBOCKER, Cashier,

Capital stock paid in.

452,160, 65

Elkhart National Bank, Elkhart.
ABRUM TJPP, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 2502.
$37,260.14
4,441.62
12,500. 00

9,132. 27
4,720. 00
8,609.08
1,383. 39
9,162. 39
386.00
3.01
525.00
8, 500. 00
562. 50

97,185.40

E. A. CARPENTER, Cashier.

Capital stock paid in.

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

$50,000.00

11,250. 00

440.97

35,494.43

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

97,185.40

REPORT OF THE COMPTROLLER OF THE CURRENCY.

177

INDIANA.
Indiana National Bank, Elkhart.
No. 4841.

J. L. BRODRICK, President.

W. L. COLLINS, Cashier.

Resources.

Liabilities.
$267, 437.27 Capital stock paid in
10, 400. 61
25, 000. 00 j Surplus fund
Undivided profits, less current
300. 00
expenses and taxes paid
National-bank notes outstanding.
1, 000. 00 State-bank notes outstanding
23, 802. 65
9, 940. 52 Due to other national banks
5, 662. 71 Due to State banks and bankers.
18, 609. 26 Dividends unpaid
13, 049. 29
Individual deposits
6,500. 00 United States deposits
566.12 Deposits of U. S.disbursing officers.
31, 443. 00
20, 000. 00 Notes and bills rediscounted
Bills payable
465.00
Liabilities other than those above
stated

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and inortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. XJ. SDuefrom Treasurer U. S

Total.

5, 400. 00
3,018. 91
22, 500.00

303,257. 52

434,176.43

Total .

434,176.43

$100, 000.00

First National Bank, Elwood.
No. 4675.

IT. J. LEISURE, President.

$136, 955. 0G
905. 82
25, 000.00

Loans anddiscounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g bouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

5,000. 00
2, 800. 00
43, 329. 98
1, 690. 00
20,164.67
50.00
5, 955. 08
294.16
17, 208. 00
395.87
23, 324. 25
6,500.00
1,125. 00

Total.

CHAS. C. DEHORITY, Cashier.

Capital stock paid i n .

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding

1, 381.17
22,500. 00

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

2, 354.01
188.96

8, 300.00

Dividends unpaid
Individual deposits
United States deposits
Deposits of'U.S.disbursing officers-

205, 826. 71

N otes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

290, 697. 83

First National Bank, Evansville.
FRANCIS J. REITZ, President.

No. 2692.
$875,154. 55
8,297.10
50,000. 00

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total.

CUR 99, VOL


5, 000. 00
161. 709. 85
38,000. 00
261, 305. 50
407, 558. 63
70, 538. 01
182, 661. 25
12, 096. 63
30,800. 00
431.15
142, 200. 00
100,000.00
2,250. 00
2,348,002. 67

2

12

H. L. COOK, Cashier.

Capital stock paid in.

$500,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100,000.00

Due to other national banks.

75, 760. 64
237,590.17

Due to State banks and bankers.. I

36, 244.82
43, 800.00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

1, 354, 607. 04

Notes and bills rediscounted

Bills payable
Liabilities other than those above
stated
Total.

2, 348,002.67

178

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
Citizens' National Bank, Evansville.

S. P. GILLETT, President.

No. 2188.

"W. L. SWORMSTEDT, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Dank s
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total

Liabilities.
$667, 518.71 Capitalstock paid in
6, 771.53
200, 000.00 Surplusfund
50, 000. 00 Undivided profits, less current
expenses and taxes paid
4, 089. 75 National-bank notes outstanding.
6, 000. 00 State-bank notes outstanding
2, 975. 81
26, 421. 00 Due to other national banks
1,013.45 Due to State banks and bankers..
4, 057. 75
140, 397.13 Dividends unpaid
1, 017.56
Individual deposits
3, 500. 00 United States deposits
445.00 Deposits ofU.S.disbursing officers.
28, 500.00
23,500.00 Notes and bills rediscounted.
Bills payable
9, 000. 00
Liabilities other than those above
stated

40, 000.00
3, 965.99
179,400. 00
21,406.93
106, 696.73

1, 274.00
574, 964.04
47, 500.00

1,175,207. 69

Total

1,175, 207.69

$200,000.00

Old National Bank, Evansville.
JOHN GILBERT, President.
HENRY REIS, Cashier.
No. 3281.
Loans and discounts
$500,000.00
$1,038,709.69 Capital stock paid in.
Overdrafts
2,338. 60
U. S. bonds to secure circulation...
350, 000. 00 Surplus fund
100, 000.00
U. S. bonds to secure deposits
50, 000. 00 Undivided profits, less current
U. S. bonds on hand
33,016.41
17, 800. 00
expenses and taxes paid
47,168.10 National-bank notes outstanding.
315, 000. 00
• Premiums on U. S. bonds
Stocks, securities, etc
278,800. 00 State-bank notes outstanding
Bank'g house, furniture, andfixtures
28,000. 00
89, 993. 63
Other real estate and mortg's owned
51, 200.00 Due to other national banks
383, 453.94
Due from other national banks
223,610. 20 Due to State banks and bankers.
Due from State banks andbankers.
47, 806. 30
Due from approved reserve agents.
236, 752. 96 Dividends unpaid.
21, 294. 91
Checks and other cash items
1, 219, 640. 21
Exchanges for clearing house
Individual deposits
49,448.42
200,100. 00 United States deposits
Bills of other national oanks
96.70
310. 55 Deposits of U.S. disbursing officers.
Fractional currency, nickels, cents.
31,008. 00
Specie
50, 000. 00 Notes and bills rediscounted.
Legal-tender notes
Bills payable
U. S. certificates of deposit
Redemption fund with Treas.U. S.
15, 750. 00
Liabilities other than those above
Due from Treasurer U. S
stated
2, 690, 649.31

Total.

2, 690, 649. 31

Total.

First National Bank, Fort "Wayne.
J. H. BASS, President.
Loans and discounts.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks andbankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationafbanks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




LEM R. HARTMAN, Cashier.

No. 2701.
$499, 616.71
28, 957. 66
50, 000.00

238, 771.19
10, 000. 00
35,933.75
135, 949. 37
6, 586. 94
10, 075. 00
1, 599.13
55, 959.97
50,000. 00
- 2, 250. 00
1,105, 699. 72

Capital stock paid in.

$300,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

150, 000.00

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

27,913.17
35, 679. 76

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

487, 325. 69

58, 902.10
45, 000. 00

879.00

Notes and bills rediscounted...
Bills payable
Liabilities other than those above
stated
Total

1,105,

'9.72

REPORT OF THE COMPTROLLER OP THE CURRENCY.

179

INDIANA.
Hamilton National Bank, Fort Wayne.
CHARLES MCCULLOCH, President.

Eesources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on X S. bonds
L
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
!
Redemption fund with Treas. U.S.!
Due from Treasurer U, S
j
Total .

No. 2439.

JOHN MOHR, J R . , Cashier.

Liabilities.
$840,321.31
25, 216. 32
200,000. 00
215, 060. 00
20, 689. 85
199,354. 24
75,502.58
211,318. 58
583. 32
59,823. 51
14,632.66

90, 072. 66
939. 73
230, 253.43
27,450. 00

Capital stock paid in.
Surplus fund
"Undivided profits, less

$200, 000.00
250,000.00

current

expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding.

9, 011. 76
180, 000.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofnceis.

87, 212.49
30, 808. 38
156. 00
1, 467, 578. 90

Notes and bills rediscoun+ed
Billspayable
Liabilities other than those above
4, 550. 00
stated
2, 224, 767. 53
Total.

9,666.66

2, 224,767. 53

Old National Bank, Fort Wayne.
S. B. BOND, President.

No. 3285.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$766, 961.80
7,356. 44
50, 000. 00
550. 00
105, 960. 58
60. 803. 83
9, 000.00
62, 300. 89
2, 982.02
251. 589.19
2,896. 66
50, 322. 00
403. 84
113. 620. 60
40,814. 00
2, 250. 00
3,065.00

J . D. BOND, Cashier.

Capital stock paid in.

$350, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

140, 000.00

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

10,885. 64
31,108.59

14, 030.12
43,045.00

Dividends unpaid

936. 00

Individual deposits
United States deposits
DepositsofTT.S.disbursingofficers.

940, 871. 50

Notes and bills rediscounted.
Billspayable
Liabilities other than those above
stated

1, 530,876.85

Total

1, 530, 876.85

White National Bank, Fort "Wayne.
J. W. WHITE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks anofother cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Dne from Treasurer U. S
Total.




No. 4725.

$803,920. 64
11,318.68
50, 000.00
1, 000. 00
4, 000. 00
1, 628. 44
56, 970.00
149, 688. 86
123,594.10
253, 733. 79
4, 541. 50
26,185. 00
95.58
87, 115. 00
40,000. 00

HARRY A. KEPLINGER, Cashier.

Capital stock paid in.

$200, 000.00

Surplus fund
Undivided profits, less current

65,000. 00

expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

4, 876. 74
45, 000.00

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

72,141.93
116,643. 39

Dividends unpaid

!

Individual deposits
United States deposits

! 1,112, 319.53
!

60.00

Depositsof U.S.disbursing officers. I
Notes and bills rediscounted
Bills payable
,
2, 250. 00
Liabilities other than those above
stated

1,616,041.59

Total

1,616,041.59

180

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
First National Bank, Frankfort.

JAMES W. COULTER, President.

No. 1854.

WILLIAM P . SIDWELL, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on band
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g bouse, furniture,and fixtures
Otberreal estate and mortg's owned
Due from otber national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and otber cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

Liabilities.
$348, 926.19
5, 259. 33
50, 000.00

Capital stock paid in.

787. 50
106,690. 45
18,977. 23

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

72, 078. 23
5,970.49

Dividends unpaid

16,155.00
367.14
16, 320. 00
10,000. 00
2,250.00

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

40,000.00
13,885. 67
45, 000. 00

5, 672.29

349,223. 60

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

653, 781. 56

Total.

$200,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

653,781.56

Total.

Citizens' National Bank, Franklin.
No. 3967.

J. W. RAGSDALE, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
IT. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$176, 367.00
4, 721. 04
18, 750. 00
700. 00
9, 666." 00'
5,416.45
45, 601. 54
4,936. 77
2, 000.00
86.89
16,331. 00
1,115.00
843.75

O. C. DUNN, Cashier.

Capital stock paid i n .

$75,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

6,000. 00
2,139.71
16,875. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

185, 854. 73

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
,

285, 869.44

285,869.44

Total .

Franklin National Bank, Franklin.
W. H. LAGRANGE, President.

Loans and discounts
Overdrafts
IT. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 3338.
$282, 500.91
' 8,186.80
100, 000. 00
2,700. 00
648.15
7,000. 00
4, 705.63
476. 72
67, 224. 82
1, 827.48
700. 00
185. 68
20,581.50
500.00
4, 500.00

501,737.19 I

E. C. MILLER, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National bank notes outstanding.
State-bank notes outstanding

$100,000.00
25, 000. 00
1,131. 63
90, 000. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

285,131. 82

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

501,737.19

REPORT OF THE COMPTROLLER OF THE CURRENCY.

181

INDIANA.
First National Bank, Gas City.
No. 4825.

J. M. MARING, President.

B. F. BARZE, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
IT. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank 'g house, furniture, an d fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.

Due from Treasurer TJ. S
Total.

$68, 933. 85
1,101.25
12, 500. 00
1,468. 75
2, 000. 00
18,983. 47
4, 873. 80
95, 789.41
63,006. 72
330. 65

Capital stock paid in.

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits

J
j.
Deposits of U.S. disbursing officers. \.

'"iloo.'oo" United States deposits
84.96
22,104.90
2, 620. 00
562.50

6, 500.00
4, 306. 39
10, 700. 00

224,153. 87

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total

295, 660.26

295, 660. 26

City National Bank, Goshen.
F. G-* HUBBELL, President.

C. J. GARVIN, Cashier.

No. 2067.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits...
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S. |
Due from Treasurer U. S
Total.

$184,537.04
1,659.14
45, 000.00
8,600.00
3, 487. 50
6,874. 39
4, 000. 00
11, 093.11
1, 820. 49
118, 743. 53
1, 219. 02
6, 088. 00
120. 26
13,283. 00
11, 000. 00
900. 00

Capital stock paid in.

$77, 000.00

Surplus fund
,
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

30, 000. 00
1,219.10
18, 000. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

292, 206. 38

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

418,425.48

418,425.48

First National Bank, Green Castle.
THOS. C. HAMMOND, President.

No. 219.

Loans and discounts
j
Overdrafts
;
U. S. bonds to secure circulation.. .|
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
j
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills' of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.;

Due from Treasurer TJ. S
Total.




j

$156, 858. 71
2, 726.95
31,500. 00
20,480.00
5, 874.00
25,783.17
26, 734.18
3, 500.00
39, 034.79
52, 972.78
9, 019.81
11, 000. 00
150. 00
32,100. 00
8,000. 00
1, 417. 50
.50
427,152. 39

JEROME ALLEN, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$125,000.00
30,000. 00
792.89
28,350.00

Due to other national banks
Dne to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

2,136. 00
240, 873.50

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

427,152.39

182

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA,
Central National Bank, Green Castle.
No. 2896.

R. L. O ' H A I E , President.

M. D. BRIDGES, Cashier.

Resources.
Loans and discounts
Overdrafts
XT. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash item

Exchanges for clearing house
Bills of other national banks cents.
Fractional currency, nickels,
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Liabilities.
$238, 699. 38
5, 461. 33
90,000. 00
50, 000. 00
1,000. 00
20, 631. 25
119, 351. 75
15,000. 00
5, 500. 00
19, 305. 71
112, 012. 56
1,513.83
"" 10," 400." 66'

87.64
33, 234. 00
8,000. 00
4,050.00

Capital stock paid in.

30, 000.00
5,177. 38
81, 000. 00

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

20, 439.31

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

450,130. 76
47, 500. 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

734,247.45

Total.

$100, 000.00

Surplusfuncl
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

734,247.45

Total .

Third National Bank, Greensburg.
CHARLES ZOLLEB, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.

Due from Treasurer U. S

o. 2844.
$241, 326. 73
2, 841. 98
45, 000. 00
23, 950. 00
5,145. 50
55,668.50
1, 250. 00
6, 347.15
2, 744. 72
5, 716.11
167, 560.16
693.31

" i , 466.66
220. 79
20, 224. 75
9, 000.00
2, 025.00

WALTER W. BONNER, Cashier,

$75,000. 00

Capital stock paid in.

15, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

4, 210. 96
40, 500.00

Due to other national banks
Due to State banks and bankers .
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursingofficers

456, 469.74

Notes and bills rediscounted.
Bills payable
Liabilities other than those above j

stated

Total.

591,180.70

Total.

591,180.70

Citizens' National Bank, Greensburg.
"WILLIAM CUMBACK, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 1890.
$189,162.80
4, 969. 99
100, 000. 00

L o u i s E . L A T H R O P , Cashier.

Capital stock paid i n .

$100,000.00

Surplus fund
I Undivided profits, less current
expenses and taxes paid
90,900.00
National-bank notes outstanding.
63,684.50
State-bank notes outstanding

4, 500. 00
3, 200. 00
667.75
10, 508.65
134,874. 28
3, 373. 20

" i i , " 660.66
183. 50
14,145. 00
18, 000. 00

4,500.66
654,669.67

20, 000.00

4, 075. 82
90, 000. 00

Due to other national banks
Due to State banks and bankers.. |.
Dividends unpaid

I.

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

440, 593. 85

654, 669.67

REPORT OF THE COMPTROLLER OF THE CURRENCY.

183

INDIANA.
First National Bank, Hammond.
No. 3478.

M. M. TOWLE, President.

EDWARD E. TOWLE, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
XT. S. bonds on hand
. . . .
Premiums on U. S. bonds

Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ, S
Total

Liabilities.
$48, 258.01
26.24
12, 500. 00

Capitai stock paid in.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
700.00 National-bank notes outstanding.
48, 500. 00 State-bank notes outstanding..
1,200. 00
6, 255.00 Due to other national banks
Due to State banks and bankers.
43, 231.46 Dividends unpaid
1,863. 68
Individual deposits
United States deposits
240. 57 Deposits of U.S. disbursing officers.
15, 614. 75
8, 500. 00 Notes and bills rediscounted...
Bills payable
562.50
Liabilities other than those above
stated

10,000.00

187, 452.21

12,033.23
11,250. 00

104,168.98

187,452. 21

Total .

First National Bank, Huntingdon.
No. 2508.

¥ M . M C G E E W , President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$201, 297.52
25,000. 00
500. 00
21,500. 00
11,500. 00
9, 853.66
3,861. 71
3,039.00
161.97
46, 400.00
21, 562. 00

1,125.00

!

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100,000.00
35, 000.00
6, 958.29
22,500.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

181, 342.57

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated

345, 800.86

Total.

SAEAH F . DICK, Cashier.

Capital stock paid in

Total.

345, 800.86

Capital National Bank, Indianapolis.
M. B. WILSON, President.

Loans and discountsOverdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andnxtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationallbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total.



No. 4158.
,379,311.37
2, 269. 34
80, 000. 00
150, 000. 00
9,070.00
39,942.40
99, 320. 34
1, 000. 00
23,126.87
362, 786. 34
30, 394.78
140,918.78
14, 277. 73
11, 934.40
25,498.00
450.23
138, 312. 85
55, 000. 00
3,600.00

2, 567, 213.43

W. F. CHURCHMAN, Cashier.

| Capital stock paid in

$300, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

70, 000. 00

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

728,854.63
346,670.70

13,927.42
72,000.00

Dividends unpaid.
Individual deposits
Certified checks
United States deposits
Deposits of U.S.disbursingofficers.
Notes and bills rediscounted
Bills payable

5, 005.82
146, 875.00

Liabilities other than those above
stated
Total

2,567,213.43

184

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
Fletcher National Bank, Indianapolis.

S. J. FLETCHER, President.

No. 5116.

CHARLES LATHAM, Cashier.

Resources.

Liabilities

Loans and discounts
| $2, 568, 872.17
23.17
Overdrafts
50, 000. 00
U. S. bonds to secure circulation...
500, 000. 00
U. S. bonds to secure deposits
156, 360.00
U. S. bonds on hand
30,000. 00
Premiums on U. S. bonds
345, 495. 98
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
1, 383, 317. 58
Due from other national banks
765, 584. 35
Due from State banks and bankers.
1,176, 848.40
Due from approved reserve agents.
2,273. 68
Checks and other cash items
30, 335. 77
Exchanges for clearing house
49, 500. 00
Bills of other nationallbanks
249. 36
Fractional currency, nickels, cents.
676,907.45
Specie
180,000/00
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.

Capital stock paid in .

500,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

50, 000. 00
88, 500.68

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

1, 622, 061. G
O
1, 356, 549.28

Individual deposits
Certified checks
United States deposits
Deposits of U.S.disbursingofficers.

3, 784, 876.46
13,780.49
500, 000. 00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total .

7, 915,767.91

7, 915.767.91

Indiana National Bank, Indianapolis.
V. T. MALOTT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit.
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

No.
$2,185, 901. 63
111. 82
100, 000. 00
330, 000. 00
336, 000. C
O
1, 300. 00
26], 713. 35
250, 000. 00
48, 200. 00
870, 768. 96
163,347.33
1, 516, 511. 79
3, 237. 95
102,884.11
310,000.00
1, 578. 68
790, 200. 00
170, 000.00
4,500. 00

984.
Capital stock paid i n .

E. B. PORTER, Cashier.

$300, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

700, 000.00

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

1,036, 429. 58
724, 565.75

98, 594. 78
90,000. 00

Dividends unpaid
Individual deposits
,
Certified checks
United States deposits
,
Deposits of U. S. disbursing officers
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

7, 446, 255. 62

4,174, 346.63
17,435.55
202,248.78
102,634.55

7,446,255.62

Merchants' National Bank, Indianapolis.
JNO. P. FRENZEL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank' g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 869.
, 721, 784. 92
248. 82
50, 000. 00
860, 000. 00
33, 900. 00
75, 000. 00
453, 581. 99
12, 500. 00

656, 833.10
259, 789. 71
691, 09D. 55
14, 048. 45
51, 356. 29
182,027. 00
481. 32
456, 870. 00
236, 000. 00
2, 250.00
5, 757, 762.15

OSCAR F. FRENZEL, Cashier.

Capital stock paid in.

$1,000,-000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

125,000.00

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

707, 539. 85
289, 862. 72

Individual deposits
,
Certified checks
United States deposits
Deposits of U. S.disbursing officers.

2, 699, 232. 97
5, 760. 07
860, 000.00

24, 829. 54
45, 000. 00

537. 00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

5,757,762.15

EEPOKT OP THE COMPTROLLER OF THE CURRENCY.

185

INDIANA.
A. A. SWARTZ, President.

First National Bank, Jeffersonville.
No. 956.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation. ..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$335, 004. 46
322. 50
52,300. 00

23,400.00
25, 000. 00
5, 000. 00
21, 010. 67
8, 294.33
52,494. 52
671. 03

2,039.66
215. 43
14,145. 00
4, 800. 00
2, 353. 50
547, 050. 44

Total

H. E. HEATON, Cashier.

Liabilities.
Capital stock paid in

$150, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National bank notes outstanding.
State-bank notes outstanding

33,100. 00

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

4, 542.04
3,148.59

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofncers.

16, 287.74
47,070.00

270. 00
292, 632.07

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

547, 050.44

Citizens' National Bank, Jeffersonville.
EDR. J . HOWARD, President.
No. 1466.
C. E. POINDEXTER, Cashier.
Loans and discounts
Overdrafts
TT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national batiks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

47,842. 23
13, 200. 00
1,825. 00
1, 544.54
7, 871.11
35, 520. 36
167. 25
860. 00
51.37
10, 200. 00
1, 800. 00
1,800.00
401, 554. 35

Total.
C. D. MORGAN, President.

;238, 611.19
261. 30
40, 000. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

$100, 000.00
20,000.00
22,800.18
36,000. 00

3,787.17
554.19
216,212. 61

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

2, 200.20

401, 554. 35

First National Bank, Knightstown.
No. 872.
N. W. WAGONER, Cashier.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U S bonds on hand
Premiums on U. S. bonds
Stocks securities, etc
Bank'g house, furniture.and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserv.e agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$113,390.88
663.34
12, 500. 00

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National bank notes outstanding.
State-bank notes outstanding

$50,000.00
50, 000.00
23,440. 57
11, 250. 00

5, 000, 00
Due to other national banks
101,021 12 Due to State banks and bankers
23, 960. 86
5, 000. 00
234.44
47,500.00
6, 852.00
562.50

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofncers.

316,685.14

25. 00
181, 969. 57

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

Total




Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

316,685.14

186

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
Citizens' National Bank, Kokomo.

RICHARD RUDDELL, President.

No. 4121.

G. E. BRUNER, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on XL S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Otherrealestateand mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ.Is. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total.

$305,562.31
3,971.61
25,000. 00

4,017.11
26, 937. 50
1,255.00
93,424. 03
2, 697. 58
13,611.00
655. 48
42, 721. 50
20, 000. 00
1,125. 00

Capital stock paid in.

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

25, 000. 00
9, 010. 34
22, 500. 00

3,148.50

381,319. 28

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total .

540,978.12

540, 978.12

Howard National Bank, Kokomo.
NATHAN PICKETT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

JOHN A. J A Y , Cashier.
No. 2375.
$360,451.52 Capital stock paid in.
$100,000. 00
905.93
25,000. 00 Surplus fund
40, 000.00
Undivided profits, less current
50,000.00
expenses and taxes paid
4, 640. 72
3, 500.00 National-bank notes outstanding.
22, 500. 00
26,740. 00 State-bank notes outstanding
25, 000. 00
Due to other national banks
43.31 Due to State banks and bankers.
213,617. 51 Dividends unpaid
3, 502. 08
Individual deposits
592, 996.52
6, 279. 00 United States deposits
173. 89 DepositsofU.S.disbursingoflicers.
26,389. 00
17,210. 00 Notes and bills rediscounted.
Bills payable
1,125.00
200.00 Liabilities other than those above
stated

Total .

760,137.24

760,137. 24

First National Bank, La Fayette.
R. W. SAMPLE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency, nickels, cents.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 2717.
$555,191.20
2,216.63
81, 250. 00
1,000. 00
6, 000. 00
22,615.15
30,000. 00
213,407. 24
8,728. 60
159, 789.71
1, 693.71
10, 300. 00
84.90
53, 362. 50
5,000.00
3,656.25
1,154,295.89

H. W. MOORE, Cashier.

Capital stock paid in.

$125, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100, 000. 00

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

2,136.29
160, 883.63

Individual deposits
United States deposits
Depositsof U.S.disbursingofl&cers.

680, 062.83

13,088.14
73, .25.00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

1,154,295.89

REPORT OF THE COMPTROLLER OF THE CURRENCY.

187

INDIANA.
Fowler National Bank, La Fayette.
J . M. FOWLER, President.

No. 3280.

B. BEOCKENBROUGH, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse.furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents Specie
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer XJ. S
Total .

Capital stock paid in.
35, 800. 00
7,860. 00
99, 357.56
30, 500.00
6,625. 70
108,063. 36
391, 207. 64
15,966.10
23, 055.00
.80
59, 328.52
1, 800. 00

$100, 000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100,000.00

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

17,854.65
115,133.03

Individual deposits
United States deposits
Depositsof U. S.disbursingofficers.

692,662. 45

78,793. 62
30,200.00

Notes and bills rediscounted.
Bills payable..'.
Liabilities other than those above
stated
Total.

1,134, 643.75

1,134, 643. 75

Merchants' National Bank, La Fayette.
JAMES MURDOCK, President.

No. 4468.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
^Due from Treasurer U. S
Total

-

$623,017. 88
1,526.47
60,000.00
50,000.00
2,420. 00
3,656. 25
18,729.45
8, 000. 00
7, 422.95
120, 877. 52
30, 386.99
354,578. 54
891.91
8, 000.00
80.33
75,348. 00
10, 000.00
2, 700.00
649. 60

C. MURDOCK, Cashier.

Capital stock paid in.

$100,000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100, 000.00

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

28, 624.13
108,751.17

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

936, 203.11
48,000.00

2, 707.48
54,000. 00

Notes and bills rediscounted..
Bills payable
Liabilities other than those above

stated

1,378,285. 89

Total

1,378,285.

Perrin National Bank, La Fayette.
J . J . PEBRIN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 4656.
$259,720. 92
2, 221. 77
25, 000. 00
67,760.00
1,600.00
1,918.60
1,758.32
26, 000. 00
45, 796. 72
23, 730.23
158,332.64
4, 785. 79
3, 250. 00
128.25
30,172. 50
5, 000. 00
1,125.00

658, 300.74

W. H. PERRIN, Cashier.

Capital stock paid in.

$100,000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

20, 000. 00

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

41, 708.90
36, 702.64

Individual deposits
United States deposits
Deposits of U.S.disbursingoflicers.

367,371.48
67,372. 00

2, 645. 72
22, 500.00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

658,300.74

188

REPORT OP THE COMPTROLLER OF THE CURRENCY.
INDIANA.
National Bank, Lagrange.
No. 4972.

SOLOMON ROSE, President.

J..I. NORRIS, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items.
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie

U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total

Liabilities.
$144, 853. 02
12, 500. 00
9, 200. 00
4, 000.00
15,452. 42
10,116.10
22, 278. 25
499. 00
15.77
8, 540. 25

Capital stock paid in

$50, 000. 00
4,000. 00

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

6, 347. 98
10,450.00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

157, 219.33

Notes and bills rediscounted
Bills payable

562.50

Liabilities other than those above
stated
Total
228, 017. 31

228, 017. 31

First National Bank, La Porte.
No. 377.

¥ M . NILES, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S

$100, 000.00
25, 000.00
937. 53
22, 497. 50
2, 400.04

244,692.42

stated

395, 527.49

Total.

FRANK J . PITNER, Cashier.

$289,743.85 I Capital stock paid in.
1,140.97 I
25,000. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
1,500. 00 |
National-bank notes outstanding.
State-bank notes outstanding
10,000. 00
Due to other national banks*
101. 30 Due to State banks and bankers..
1, 046. 69
44, 243.02 Dividends unpaid
511.76
Individual deposits
5, 800.00 United States deposits
35. 95 Deposits of U.S.disbursing officers.
13, 039.95
2,239. 00 Notes and bills rediscounted.
Bills payable
1,125. 00
Liabilities other than those above
Total.

395, 527.49

Citizens' National Bank, Lawrenceburg.
EDWARD D. MOORE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalpanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 4281.

$125, 713. 07
1,443. 53
12,500.00
600. 00
1, 696. 50
6, 000. 00
1, 977. 90
15, 352. 30
55.53
61,653.70
2, 584. 56
1, 000. 00
66.75
10,800.00
3, 000. 00
562.50
245, 006. 34

W M . H. O'BRIEN, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50, 000.00
10, 000.00
1,801.79
11, 250. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits ofU.S.disbursing officers.

171,954.55

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated
Total.

245, 006.34

REPORT OF THE COMPTROLLER OF THE CURRENCY.

189

ODIANA.
Peopxe's National Bank, Lawrenceburg.
No. 2612.

WM. PROBASCO, President.

P. BRAUN, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation.,.
U. S. bonds to secure deposits
II. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and rnortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents,
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S
Total.

Liabilities.
$59,832. 76
233. 66
37, 500. 00
800. 00
2, 824.63

4, 319. 05
66,975,11
6, 000. 00
31,133. 58
2, 650. 00
46.89
11,407. 75
2, 500. 00
1,687.50

Capital stock paid in.

$60, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

10,446.70
821.94
33,750.00

1, 330.00
122,451.18

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

228,799.82

Total .

228, 799. 82

First National Bank, Lebanon.
"W. J. DE VOL, President.

No. 2057.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$169,193. 34
8, 504. 78
50,000. 00

642. 77
3, 666. 29
9. 504. 86
2,136. 29
65,809.40
1, 625. 63
6,000. 00
57.22
33,491. 80
3,000.00
2, 250.00
355,882. 38

"WES. LANE, Cashier*

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$75, 000. 00
20,000. 00
3,390. 50
45,000.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursingofficers.

212,491.88

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

355,882.38,

Lebanon National Bank, Lebanon.
A. C. DAILY, President.

Loans and discounts.
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 2660.
E. T. LANE, Cashier.
$215, 427. 51 Capital stock paid in.
|
$75, 000.0ft
, 8,115.42
15, 000.00
30, 000. 00 Surplus fund
Undivided profits, less curient
4,811.36
50, 500. 00
expenses and taxes paid
27,000.00
National-bank notes outstanding.
"25"o'io*65" State-bank notes outstanding
17,100.00 Due to other national banks
683.79 Due to State banks and bankers..
8, 517. 34
54, 039. 62 Dividends unpaid
5, 387. 70
Individual deposits
1,988.00 United States deposits
180. 50 Deposits of U.S.disbursing officers.
25,635. 30
2, 000. 00 Notes and bills rediscounted.
Bills payable
1, 350. 00
Liabilities other than those above
stated
446, 435.83

Total .

324, 483. 02

446,435.83

190

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
Union County National Bank, Liberty.

J. E. MORRIS, President.

No. 2007.

"W. A. BRYSON, Cashier.

Resources.
Loans and discounts
|
Overdrafts
i
TJ. S. bonds t o secure circulation... |
U. S. bonds to secure deposits.. TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg'a owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
j
Fractional currency, nickels, cents -j
Specie
|
Legal-tender notes
TJ. S. certificates of deposit
j
Redemption fund with Treas. XJ. S. |
Due from Treasurer TJ. S.
I
Total.

Liabilities.
$152,216.21
135.04
45,000. 00
32,000. 00
7, 500. 00
4,967.20
6,500.00
5, 010. 00
77, 583. 28
160.00
2,500.00
62. 43
11,230.00
4,000.00
2, 025.00

Capital stock paid in.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000.00
3, 745.60
40, 500.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

224, 643.56

Notes and bills rediscounted.
Bills payable
United States bond account.
Total

350,889.16

22, 000.00
350,889.16

First National Bank, Logansport.
No. 3084.

A. J . MURDOCK, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estate and mortg's owned
Due from, other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
j
Bills of other national banks.
'
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$423,540.69
4,928. 27
50,000.00

WILLIAM W. ROSS, Cashier.

Capital stock paid in.

$250, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
19, 916. 92 State-bank notes outstanding
13, 000. 00
18,385.82 Due to other national banks
16,176. 31 Due to State banks and bankers.
182,149.18 Dividends unpaid
2, 587.12
Individual deposits
14,000.00 United States deposits
686.35 Deposits of U.S.disbursing officers45,116. 50
7,100. 00 Notes and bills rediscounted.
Bills payable
2, 250.00
Liabilities other than those above
stated
Total.

799, 837.16

23, 403.08
4, 752.94
45,000. 00

476, 681.14

799,837.16

City National Bank, Logansport.
JOHN GRAY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U.S. bondsonhand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total




No. 5076.
$311,748.88
1,206.67
50,000.00
5, 600 00
6,399.87
5, 650.00
52, 490. 00
28,514. 05
116, 952.54
3, 512. 48
16,24&. 00
283. 58
26, 766. 55
10, 881. 00
2,250.00
638,500.62

F . R. FOWLER, Cashier.

Capital stock paid in

$200,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National bank notes outstanding.
State-bank notes outstanding

8, 270.15
45, 000. 00

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

6,147. 28

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

3, 000.00

276.00
375,807.19

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total

638, 500.62

REPORT OF THE COMPTROLLER OF THE CURRENCY.

191

INDIANA.
First National Bank, Madison.
No. 111.

RICHARD JOHNSON, President.

THOS. A. POGUE, Cashier.
Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits...
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house...
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer IT. S

$267, 989. 86
2, 626.98
25, 000.00

Capital stock paid in.

52,800.00
8, 718.52
45, 456. 24
9, 500. 00
3, 780.51 Due to other national banks
41, 080. 06 Due to State banks and bankers..
746. 33
88,810. 72 Dividends unpaid
257.79
Individual deposits
4, 765. 00 United States deposits
93.56 Deposits ofU.S.disbursingoflicers. j
53, 460.98
13, 972. 00 Notes and bills rediscounted.
Bills payable
1,125.00
Liabilities other than those above
stated
620,183.55

Total.

$100,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

20,000. 00
7,236.53
22,500. 00
3, 522. 50

466, 924. 52

620,183. 55

Total.

National Branch Bank, Madison.
F. L. POWELL, President.

-, Cashier.

N o . 1457.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaibanks
Fractionalcurrency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S
Total.

$518,019. 29
251.64
75, 000.00
100, 000. 00
4, 200.00
87,447. 37
7, 000. 00
8,136. 81
2,140. 61
89, 759.52
25.00

2, 500. 00
152.16
40, 379.00
4,481. 00
3,375.00
1, 000.00

Capital stock paid in.

$150, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100, 000. 00

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

81.57
83.31

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.

518, 073.23
98, 500.00

9, 629. 29
67, 500. 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

943,867.40

943, 867.40

Total .

First National Bank, Marion.
H. D. REASONER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Ban k'g house, furn iture, an d fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U . S . certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




N o . 4189.

$330, 679. 39
6, 335. 69
50, 000.00
342.25
13, 588. 32
18,600. 00
6, 298.54
34, 513. 70
158,746. 31
64,011. 00
350. 71
35,000. 00

W. W. MCCLEERY, Cashier.

Capital stock paid in

j

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

35, 000. 00
16, 630.19
45,000.00

Due to other national banks
Due to State banks and bankers. J
Dividends unpaid

$100, 000.00

j

18,113.00

j

Individual deposits
i
United States deposits
!.
Depositsof U.S.disbursingofficers- j

505,972. 72

Notes and bills rediscounted.
Billspayable
2, 250. 00
720, 715. 91

Liabilities other than those above
stated
Total.

720, 715.91

192

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
First National Bank, Martinsville.
No.

M. H. PARKS, President.

794.

T. H. PARKS, Cashier.

Resources.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S
Total.

Liabilities.
$99,902. 26
693.28
30, 000.00

1,792.15
3,000.00
750.00
43, 804.37
33,664.56
152. 02
5,000.00
300.00
17, 000. 00
8, 000. 00
1,350.00

Capital stock paid in.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000. 00
1,400. 62
27,000. 00

Due to other national banks
Due to State banks aDd bankers.
Dividends unpaid
Individual deposits
United States deposits
Depositsof'U.S.disbursingofficers.

157, 008. 02

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

245, 408. 64

Total.

245,408.64

Citizens' National Bank, Martinsville.
J . T. CUNNINGHAM, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing hous
Bills of other nationaibanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

No. 4964.

C. A. MCCRACKEN, Cashier.

$122,766.31 Capital stock paid in.
1,724. 41
15, 000. 00 Surplusfund
Undivided profits, less current
expenses and taxes paid
7,500. 00
National-bank notes outstanding.
6,241.33 State-bank notes outstanding
1,741.39
Due to other national banks
34, 043. 68 Due to State banks and bankers..
56,089. 77 Dividends unpaid
703. 25
Individual deposits
623. 00 United States deposits
170.43 DepositsofU.S.disbursingofficers.
16,642. 40
11, 200. 00 Notes and bills rediscounted
Bills payable
675. 00
Liabilities other than those above
stated
,
275,120.97

481.

28

201, 896.46

275,120.97

Total .

First National Bank, Michigan City.
WALTER VAIL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents .
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Dae from Treasurer U. S
Total .




No. 2747.
$520,903. 47
704.91
50, 000. 00
6,000. 00
4, 500. 00
2,450. 28
2, 254.12
249,068.94
730.65

""'i,*6o6."o6'
178.13
24, 709. 00
12,000.00
2, 250.00
877, 349.50

J . F . KRBIDLER, Cashier,

Capital stock paid in

$250,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstandingState-bank notes outstanding

50,000.00
3,292.68
45, 000.00

Due to other national banks
Due to State banks and bankers.. J
Dividends unpaid

\

Individual deposits
I
United States deposits
Depositsof U.S.disbursingofficers
Notes and bills rediscounted
|
Bills payable
Liabilities other than those above
stated
Total.

529,056.82

877,349.50

REPORT OF THE COMPTROLLER OF THE CURRENCY.

193

INDIANA,
First National Bank, Mishawaka.
M. V. BEIGER, President.

No. 5167.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'gbouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

$99,238.78

"is'ioo.'oo
1,137. 50

'3," 630." 66
260.63
12,162.15
753. 65

""4*666.66
43.15
11, 479. 70
5, 500. 00679. 50

153, 985. 06

Total.

W I L L I S L. KIMBALL, Cashier.

Liabilities.
Capital stock paid i n .

$50,000.00

Surplus fund
Undivided profits, less current

5.91

expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1, 248.56
11, 340. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

91, 390.59

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

153,985.06

First National Bank, Mount Vernon.
O. L. MCCALLISTEE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents Checks and other cash items
Exchanges for clearing house
Bills of other national banks.

Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.

No. 366.

MANUEL CRONBACH, Cashier,

$173, 405. 65 I Capital stock paid i n .
245. 81
50, 000. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
1,000.00
National-bank notes outstanding.
164. 40 State-bank notes outstanding
6, 000. 00
780. 00 Due to other national banks
44, 684. 48 Due to State banks and bankers..
283. 69
34, 488. 08 Dividends unpaid
226. 73
Individual deposits
2, 455. 00 United States deposits
126. 93 Deposits of U.S.disbursing officers.
10, 169. 50
2,800. 00 Notes and bills rediscounted
Bills payable
2, 250.00
Liabilities other than those above
stated

$50, 000. 00
12, 000. 00
7,394.38
45,000.00

214,685.89

Total .

329,080. 27

329, 080. 27

Farmers' National Bank, Mulberry.
HENRY C. HARRIS, President
Loans and discounts
Overdrafts
U. S. bonds t o secure c i r c u l a t i o n . . .
U, S. bonds t o secure deposits
j
U. S. bonds on hand
P r e m i u m s on U. S. bonds
Stocks, securities, etc
B a n k ' g h o u s e , f u r u i t u r e , a n d fixtures
Other real estate and m o r t g ' s owned
D u e from other national b a n k s
D u e from S t a t e b a n k s and b a n k e r s .
D u e from approved reserve a g e n t s .
Checks a n d other cash items
E x c h a n g e s for clearing house
Bills of other national b a n k s
Fractional currency, nickels, c e n t s .
Specie
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with T r e a s . U. S.
D u e from T r e a s u r e r U. S
„
Total.


CUR 99, YOL 2 

No. 4801.

JAMES M. SIMS, Cashier.

$93, 333. 33 I Capital stock paid in.
1, 057. 96
12, 500. 00 I Surplus fund
II Undivided profits, less current
expenses and taxes paid
1, 250. 00 ji National-banknotes outstanding,
Nationalbak
di
' 6," 299." 90

$50, 000. 00
2, 640. 00
778. 96
11,250.00

I State-bank notes outstanding
Due to other national banks

21,453.80

Due to State banks and bankers
Dividends unpaid

j

Individual deposits
I
United States deposits
'.
Depositsof U.S.disbursingofucers. i
Notes and bills rediscounted
|
Bills payable
Liabilities other than those above
stated
Total .

92,980. 30

1, 057.96
158, 707.22

194

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
Delaware County National Bank, Mimcie.

J. C. JOHNSON, President.

No. 4809.

CHAS. H. CHURCH, Cashier.
Liabilities.

Resources.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand'.
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$442, 934. 92
11, 900. 20
68, 500. 00
8,740. 00
1.433.00
13, 929. 80
3, 800. 00
6,560. 92
12,180. 32
14, 279. 04
225, 813. 69
3, 530. 00
2, 709. 92
18, 330. 00
269.11
44, 074. 00
15, 000. 00
3, 082. 50
500.00

Capital stock paid in.

20, 000.00

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

2, 746. 98
64, 55G. 41

Individual deposits
United States deposits
Deposits of U.S.disbursing officers-

639, 617.75

8, 993.28
61, 650.00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

897, 567.42

Total .

$100,000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
Statebank notes outstanding

Total.

897,567.42

Merchants' National Bank, Muncie.
H A B D I N ROADS, President

No. 4852.

Loansand discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stock s, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
:..
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

$307, 552.86
644. 34
60, 000. 00

19,386. 62
2, Q00. 00
101, 414. 09
9, 237. 93
198,102. 96
184.68
2, 780. 79
8, 630. 00
223. 54
30, 844. 25
8, 000.00

$100, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

18,000.00
10, 330. 52
54, 000. 00

20, 336. 30

550, 035. 24

Notes and bills rediscounted.
Bills payable
2, 700. 00
1, 000. 00 Liabilities other than those above
stated

752, 702. 06

Total.

FRANK A. BROWN, Cashier.

Capita] stock paid in.

752, 702. 06

Total.

Union National Bank, Muncie.
CARL A. SPILKER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures!
Other real estate and mortg'sownedj
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U . S
Total.




No. 2234.

EDWARD OLCOTT, Cashier.

5609, 024. 57 Capital stock paid i n .
652. 69
56, 000. 00 Surplus fund
Undivided profits, less current
7, 000. 00
expenses and taxes paid
National bank notes outstanding.
State-bank notes outstanding
1,000. 00
2,137. 50 Due to other national banks
15, 659. 98 Due to State banks and b a n k e r s . .
249, 079.15 Dividends unpaid
1,053. 84
2, 845. 26 Individual deposits
17, 023. 00
United States deposits
674, 38 Deposits of U.S.disbursing officers.
56, 897. 65
5, 000. 00 Notes and bills rediscounted.
Billspayable
!, 520. 00
Liabilities other than those above
stated
1,026,568.02

Total.

$200, 000.00
40,000.00
15, 926. 95
50,400. 00

30.00
720,211.07

1,026, 568.02

REPORT OF THE COMPTROLLER OF THE CURRENCY.

195

INDIANA.
Second National Bank, N e w Albany.
J . M. ANDREW,

President.

No. 2166.

G-. W. HARRISON, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
IT. S. bonds to secure deposits
IT. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
,.
Redemption fund with Treas. U. S.

Due from Treasurer U, S

$169, 632. 39 Capital stock paid i n .
52.34
25, 000. 00 Surplus fund
31,100.00
4,440. 90
62,187. 99
10, 784. 25
1, 840. 00
39, 670. 45
89.67
193,177. 60
1, 394.86

20, 000. 00

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding .
State-bank notes outstanding

3,196.78
22, 500.00

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

909. 30
13,923.19
100. 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

413, 096.14

1,680.00
571.96
27, 680. 00
3, 318. 00 l| Notes and bills rediscounted.
; Bills payable
1, 125.00
.)! Liabilities other than those above
stated
573, 725. 41

Total .

$100, 000.00

573, 725.41

Total .

Merchants' National Bank, New Albany.
J . K. "WOODWAED, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'g house, furniture, andfixturesj
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

No. 965.
$153,802. 86
52.64
25, 000.00
8, 600. 00
71,768.75
10, 000. 00
5, 508. 50
10, 500. 28
154,92300
221.28
3, 060.00
1,054.57
15, 555. 00
6, 400. 00

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

25, 000.00
6,483. 20
22, 500.00

Due to other national banks
Due to State banks and bankers.
315. 00

Dividends unpaid
Individual deposits
j
United States deposits
L
Depositsof U.S.disbursing officers, j .

313,273. 68

Notes and bills rediscounted .
Bills payable

1, 125. 00
Liabilities other than those above
467, 571.88

Total .

J . H. FAWCETT, Cashier.

Capital stock paid in

stated
Total .

467, 571.88

New Albany National Bank, New Albany.
J . F . MCCULLOCH, President.

Loans and discounts
,.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .



No. 775.

$230, 684.84
2, 871. 71
50, 000.00
32,750. 00
1,185. 00
21,017.63
10, 000. 00
7, 236. 77
3,935.16
169,476.37
4,940.30
2,390. 00
381.35
12, 838. 85
14, 818. 00
2, 250.00

566, 775. 98

GEO. BORGERDING, Cashier.

Capital stock paid in .

$100, 000. 00
10, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

8, 963. 64
45, 000. 00

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

1, 318.09
736.39

Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

67.88
400, 689. 98

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

566,775.98

196

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
First National Bank, New Castle.
No. 804.

W. F. BOOR, President.

E. B. PHILLIPS, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U.S.
Due from Treasurer U. S

Liabilities.
$212,301.81 Capital stock paid in.
677.16
25, 000. 00 Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
22, 374. 96 State-bank notes outstanding
7, 500.00
Due to other national banks
42, 865. 66 Due to State banks and bankers.
73, 457. 56 Dividends unpaid
599. 79
Individual deposits
2, 055.00 United States deposits
391. 82 Deposits of D.S.disbursing officers.
8, 328.00
11, 000. 00 Notes and bills rediscoimted..
Bills payable
625.00
Liabilities other than those above
stated
Total .

407,174.76

Total .

$100, 000.00
40, 000.00
24, 444. 41
22,500. 00

220, 230. 35

407,174. 76

First National Bank, Noblesville.
MARION ALDRED, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g bouse, furn iture, and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalibanks
Fractional currency, nickels, cents.
Sp p e c i e '
L l
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

No. 4882.

$108, 259.55
1, 387. 79
12, 500. 00
834, 38
6,823.90
2,000. 00

69, 879. 53
450. 59
500.00
97.46
12,296.00
2, 750. 00
562. 50

GEORGE S. CHRISTIAN, Cashier.

Capital stock paid in

$50,000. 00

Surplus fund
j
Undivided profits, less current 1
expenses and taxes paid
j
National-bank notes outstanding.!
State-bank notes outstanding
!.
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposit s
United States deposits
Deposits of U.S.disbursingofficers.

2, 000. 00
1, 740. 00
11,250.00

15.00
153, 336. 70

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

218,341.70 j

218, 341. 70

Lawrence National Bank, North Manchester.
FRANCIS M. EAGLE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bondsonhand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S.- certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 3474.

$120,159. 45
265. 22
20,000. 00

12,867. 76
10, 000. 00
430. 00
1,024.36
15,977. 63
18,433. 47
1,396.79
840. (;0
87. 02
6,189. 25
3, 500. 00
900. 00
212,070.95

JOHN W. MILLS, Cashier.

Capital stock paid in.

$50, 000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1, 390.16
18, 000. 00

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

876. 97

Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

10, 000. 00

131, 803. 82

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
,
Total .

212, 070. 95

REPORT OP THE COMPTROLLER OF THE CURRENCY.

197

INDIANA.
First National Bank, North Vernon.
VOLNEY C. MELOY, President.

No. 4678.

WILLIAM R. FALL, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
'.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S
Total .

$95, 379. 09
427.62
15, 000. 00

Capital stock paid i n

$60, 000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding

3, 500. 00

1, 800.00
13, 617. 75
5, 000. 00
12, 232. 41 Due to other national banks
7, 362.79 Due to State banks and bankers.
71,156. 33 Dividends unpaid
197.73
Individual deposits
4, 000. 00 United States deposits
I
306. 26 Deposits of U.S.disbursingofficers-1
12, 213. 50
2, 000. 00 Notes and bills rediscounted
Bills payable
"675.00
Liabilities other than those above
stated

161, 083.40

241, 368.48

Total .

241,368. 48

2, 805.50
13,500.00

First National Bank, Peru.
No. 363.

MILTON SHIRK, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U.S. bonds.
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

$705, 362. 31
7, 590. 04
25, 000. 00
165, 200. 00
29,191.58
44, 754.35
49, 474. 67
438. 06
238, 557.18
9, 226. 80

R. A. EDWAKDS, Cashier.

Capital stock paid in

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding. (
State-bank notes outstanding
j
Due to other national banks
I.
Due to State banks and bankers. .|
I
Dividends unpaid
!

Individual deposits
"i6,Gi4.66' United States deposits
503.00 | Deposits of U.S.disbursingofficers.
39, 505. 00
29, 000. 00 Notes and bills rediscounted..
Billspayable
1,125. 00
1, 100. 00 Liabilities other than those above
stated
1,356,641. Q9

|
i
i

Total

$100, 000.00
100,000.00
8, 477.52
17, 910. 00

16, 746. 91

1,113,507.56

1,356,641.99

Citizens' National Bank, Peru.
C. H. BROWNELL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




M. S. ROBINSON, Cashier.
No. 1879.
$114,998.39 Capital stock paid in.
$100, 000. 00
156. 80
50, 000. 00 Surplus fund
20, 000. 00
Undivided profits, less current
3, 945. 02
expenses and taxes paid
2, 500. 00 National-bank notes outstanding.
42, 930.00
110, 000. 00 State-bank notes outstanding
13, 500. 00
10, 394. 50 Due to other national banks
9, 862. 58 Due to State banks and bankers.
4,781.57
15, 599. 49 Dividends unpaid
5,120.14
199, 926.12
Individual deposits
1, i58. 00
United States deposits
400. 67
Deposits of U.S.disbursingofficers.
20, 349. 00
6,000.00

1,980.66
366, 801.14

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

6,801.14

198

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA,
First National Bank of Marshall County, Plymouth.

M. A. 0. PACKARD, President.

No. 2119.

JAMES A. GILMORE, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furuiture,aud fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer TJ. S

Liabilities.
$151, 987. 67
2,355. 58
35, 000. 00
1, 447. 50
13,388.18
4, 752. 89
1.35
29,166. 33
2, 038. 28
4, 958. 00
170. 88
14,105.00
6, 000. 00
1, 575. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

15, 000. 00
13,189.07
31, 000.00

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

1, 719.09
550. 00

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

155, 488. 50

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
,

266, 946. 66

Total.

$50, 000. 00

Capital stock paid in.

266, 946. 66

Total .

People's National Bank, Princeton.
-, President.

No. 2180.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's ownb.
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Ches a d
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S
Total.

$178,673.56
275. 99
40, 000. 00
1, 500.00
22, 700. 00
12,500. 00
365. 00
13, 355. 77
7, 982. 21
36, 902. 40
322.69
2, 500. 00
121.48
19, 276. 05
2, 500. 00
1, 800. 00

THOMAS R. PAXTON, Cashier.

Capital stock paid in

j

$100, 000.00

Surplus fund
j
Undivided profits, less current i
p ,
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

25, 000. 00
5,330.93
36, 000. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

174, 444. 22

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

340, 775.15

Total .

340, 775.15

First National Bank, Richmond.
JAMES E. REEVES, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S, bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.




No. 2680.
$193, 989. 03
55.35
50,000. 00
15, 700. 00
7,816.97
20,122. 27
20, 000. 00
47, 207. 35
1, 651. 84
1,343.08
19, 596. 36
1,552.74
18, 000.
129.
47, 400.
26, 000.

00
41
00
00

Capital stock paid in.

J. F. ELDER, Cashier.
$150,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers

14, 098.46
2, 621.93
44,400. 00

175.99

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

261, 518.02

Notes and bills rediscounted.
Bills payable

2, 250. 00

Liabilities other than those above
stated
472, 814. 40

Total .

472,814.40

REPORT OF THE COMPTROLLER OF THE CURRENCY.

199

INDIANA.
Second National Bank, Richmond.
JNO. M. G-AAR, President.

No. 1988.

SAM'L W . GAAR, Cashier.

Liabilities.
Loans and discount:
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, andfixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Capital stock paid i n .

51, 000.
22,600.
14, 220.
185, 985.
356,112.
968.
34, 000.
188.
134,210,
43 000.
1, 687. 50

100, 000. 00
7, 615. 07
33, 750. 00

Due to other national banks
Due to State banks and bankers..\
Dividends unpaid

4,159. 59

'

Individual deposits
I 1,166, 616. 38
United States deposits
|
DepositsofU.S.disbursingofficers- .
Notes and bills rediscounted...
Bills payable
Liabilities other than those above
stated
Total

1, 462,141. 04

Total.

$150, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

1,462,141.04

Union National Bank, Richmond.
No. 3413.

J E S S E CATES, President.

Loans and discounts
Overdrafts
U.S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
!
Stocks, securities, etc
|
Bank'ghouse,furniture,and fixture-si
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currencv, nickels, cents.
Specie
I
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

596, 513. £

Total.

GEORGE L. GATES, Cashier.

$329, 992. 43 | Capital stock paid in
I $100, 000. 00
3, 429. 84
25, 000. 00 I Surplusfund
8, 000. 00
Undivided profits, less current
expenses and taxes paid
3, 705. JO
National-bank notes outstanding.
22, 500. 00
24, 500. 00 State-bank notes outstanding
i
4, 000, 00
!
3, 800. 00 Due to other national banks
11, 291.23 Due to State banks and bankers.. |
I
104, 571. 39 | Dividends unpaid
!
1,428. 33
Individual deposits
I
462, 308.58
United States deposits
6,800. 00
75. 46 DepositsofU.S.disbursingofticersJ
38,500.00
1
42, 000. 00 Notes and bills rediscounted
!
Bills payable.
1,125.00
Liabilities other than those above
stated
Total .

596, 513. 6

National Bank, Rising Sun.
S. BEYMEE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.

No. 1959.
$128,994. 06
100, 000. 00

"ieVooo.'oo"
105, 943. 79
5, 000. 00
10, 615.12
23, 233. 96
302. 27
1, 538. 00
14.77
6, 333. 50
6, 470. 00

$100, 000.00
20, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes o u t s t a n d i n g . . . . .

17, 542. 72
88, 898.00

Due toother national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.
N otes and bills rediscounted
Bills payable

173, 404. 75

!
|

3,"400. 00

Due from Treasurer U. S

Total.



J . N. PERKINS, Cashier.

Capital stock paid i n .

Liabilities other than those abovo

stated

407, 845.47

Total.

8, 000. 00
4077845747

200

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
Rockville National Bank, Rockville.
No. 5067.

S. T. CATLIN, President

F. H. NICHOLS, Cashier.

Resources.
Loans and discounts
Overdrafts
IT. S. bond a to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and niortg's owned
Due from other national banks
Due from State banks and bankers
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes.
U. S. certificates of deposit
Redemption fund with Treas.TL S.
Due from Treasurer IT, S
Total

Liabilities.
$94,827.01
2, 038. 09
12, 500. 00
1, 300. 00
22, 283. 20
10, 500. 00

$50, 000. 00

Capital stock paid i n .
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

43, 655. C

Due to other national banks
Due to State banks and b a n k e r s . .

88, 633. 35
410. 22

1, 400. 00
2, 641. 20
11, 250. 00
5, 661.13

Dividends unpaid

7, 700. 00
224.67
18,479. 75
9, 666. 00

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

241, 827.49

Notes and bills rediscounted.
Bills payable

562.50
Liabilities other than those above
stated
312, 779.82

312,779.82

Total .

Rush County National Bank, Rushville.
L. LINK, President.

Loans and discounts
|
Overdrafts
j
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
...
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

E. D. PUGH, Cashier.
No. 1869.
$251, 080. 55 Capital stock paid in.
$100,000. 00
7, 621. 54
25, 000.00 Surplusfund
30,000. 00
Undivided profits, less current
6, 783.18
expenses and taxes paid
22, 500. 00
National-bank notes outstanding.
State-bank notes outstanding
10, 000. 00
Due to other national banks
Due to State banks and bankers
109, 972. 68 Dividends unpaid
3,161. 92
284,250.67
Individual di
ndividual deposits
11, 550. 00 United States deposits
547.16 Deposits of U.S.disbursing officers
23, 475. 00
Notes and bills rediscounted..
Bills payable
1,125.00
Liabilities other than those above
stated

Total .

443, 533. 85

443, 533.85

Rushville National Bank, Rushville.
GEORGE C. CLARK, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Duo from approved reserve agents.
Checks and other cash items.
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 1456.
$225,161. 00
1, 800. 77
25, 000. 00
20, 000. 00
2, 520. 00
10, 000. 00
10, 000. 00
61, 634. 30
129,512.05
179. 73

JOHN B. REEVE, Cashier.

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

35, 000.00
5, 896.39
22, 500. 00

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

Individual deposits
2, 437. 00 United States deposits
194. 06 Deposits of U.S.disbursing officers.
26, 573. 00
1, 000. 00 Notes and bills rediscounted.
Bills payable
1,125.00
Liabilities other than those above
stated

517,136. 91

$100, 000.00

Total.

353, 740. 52

517,136.91

KEPOKT OF THE COMPTROLLER OP THE CURRENCY.

201

INDIANA,
First National Bank, Seymour.
No. 1032.

J. H. ANDREWS, President.

CYRUS E. MCCRADY, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

Liabilities.
$193, Oil. 42
2,177.73
25, 000. 00

83, 538. 93
9, 500.00
9, 728. 50
8,939. 39
136, 412. 76
2, 309. 29
2, 855.00
173.33
25, 401. 20
7,127. 00
1,125. 00

Capital stock paid in.

$100, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

40, 000. 00
8, 780. L4
22, 500. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

336, 019.41

Notes and bills rediscounted.
Bills payable
Liabilities other than those a
stated
Total.

507,299.55

507, 299.55

Seymour National Bank, Seymour.
B. F. PRICE, President.

No. 4652.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furnitiy:e,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S

$154, 900.49
811.26
25, 000. 00
2,189. 41
29, 778.15
3, 853.40
24,424. 08
59, 455. 57
926. 36
" 2,'205. 00
92.51
19, 014.10
5, 000. 00
1,125.00

$100, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

6, 000. 00
2, 442. 76
19, 700.00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers

200, 632.57

Notes and bills rediscounted.
Bills pavable
Liabilities other than those above
stated

328,775.33

Total.

E. D. BROWN, Cashier.

Capital stock paid in.

Total.

328, 775. 33

First National Bank, Shelbyville.
JOHN MESSICK, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estateand mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 1263.
$325,172.16
8, 344. 85
25, 000. 00
36, 500. 00
2, 500. 00
2,479. 00
1,100. 00
237,732.34
10, 565. 68
5, 000. 00
222.34
42, 550.00
5,800. 00
1,125. 00
704, 091. 37

JOHN A. YOUNG, Cashier.

Capital stock paid in.
Surplus fund

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..

$100, 000. 00
62,000.00
15, 824. 54
22, 000.00
273. 01

Dividends unpaid

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

503,993. 82

Notes and bills rediscounted..
Bills payable
Liabilities other than those above
stated
Total.

704, 091. 37

202

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
Farmers' National Bank, Shelbyville.
No. 4800.

S. P. MCCREA, President.

F . C. SHELDON, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S3. bonds to secure circulation...
U. S. bonds to secure deposits
U S bonds on hand .
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with. Treas. U. S.
Due from Treasurer TJ, S
Total

;

Liabilities.
$179, 734. 95
4,123. 92
50, 000. 00
2, 750. 00
3, 261. 50
2, 200. 00

Capital stock paid in

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-Bank notes outstanding.
State-bank notes outstanding

8, 000. 00
1,556. 48
43, 700.00

Due to other national banks
Due to State banks and bankers..
64,180. 33
446. 72
3, 760. 00
79.85
5, 600.00
7, 500.00

82; 50

Dividends impaid

172, 548. 29

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.
Notes and bills rediscounted
Bills payable

2, 250. 00
Liabilities other than those above
325, 887. 27

stated
Total

325,887.27

First National Bank, South Bend.
L u c i u s HUBBARD, President.

No. 126.

Loans and discounts
$319,990.83
Overdrafts
1,294.46
U. S. bonds to secure circulation
40, 000. 00
TJ. S. bonds to secure deposits...
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
43, 500. 00
Bank'g house, furniture, and
fixtures
16, 382.00
Other real estate and mortg's owned . . .
Due from other national banks
I
2, 842. 34
Due from State banks and bankers.
2, 271. 52
Due from approved reserve agents.
161,189. 90
Checks and other cash items
7,147. 44
Exchanges for clearing house
Bills of other national banks
10,015.00
Fractional currency, nickels, cents.
408.71
Specie
'
39, 383.35
Legal-tender notes
14, 000. 00
U. S. certificates of deposit
Redemption fund with Treas. U. S.
1, 800. 00
Due from Treasurer U. S
100.00

$105, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

32, 000. 00
20,108.59
35, 500. 00

Due to other national banks
Due to State banks and bankers..
Dividends unj)aid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

467, 716. 96

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

0, 325. 55

Total.

CALEB A. KIMBALL, Cashier.

Capital stock paid in.

Total .

660, 325. 55

Citizens' National Bank, South Bend.
GEO. "W. L E W I S ,

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 4764.
$298,990. 89
6, 328. 87
100, 000. 00

C. T. LINDSEY, Cashier.

Capital stock paid in
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

4, 000. 00
5,280. C
O
9, 750.00
. I Due to other national banks
. ! Due to State banks and bankers.
5, 303. 50
43, 111. 16 Dividends unpaid
2,107. 36
Individual deposits
14, 257. 00 United States deposits
361.00 Deposits of U.S.disbursingofficers.
37,417. 02
Notes and bills rediscounted
; Bills payable
4, 500. 00
Liabilities other than those above
stated
531,406. 80

Total .

j

$100, 000. 00
15, 600. 00
3, 953. 75
84, 500. 00

595.00
326, 758.05

531,406.80

REPORT OF THE COMPTROLLER OF THE CURRENCY.

203

INDIANA.
South Bend National Bank, South Bend.
WM. MILLER, President.

No. 1739.

MYRON CAMPBELL, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TL S. bonds
Stocks, securities, etc
Bank ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national b a n k s . . . . .
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

Liabilities.
$254, 604. 33
681. 69
100, 000. 00

7, 250. 00
32, 411.45
9, 494. 39
91. 85
56,154. 78
810.20
4, 396. 00
130. 62
25,412. 00
4, 500.00

Capital stock paid in.

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

25, 000. 00
22, 275.94
90, 000.00

22.50
258, 638. 87

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total .

495, 937.31

495,937. 31

First National Bank, Terre Haute.
No. 2742.

DEMAS DEMING, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and inortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve ageuts.
Checks and other cash items
Exchanges for clearinghouse
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes.,
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treastirer U. S
Total.

;699,123. 01
5, 653.99
50, 0C0. 00

B. MCCORMICK, Cashier.

Capital stock paid in.

$300, 000. 00

Surplusfund
200, 000. 00
Undivided profits, less current
expenses and taxes paid.
26, 364.20
50,000.00
45, 000. 00
National-bank notes outstanding.
"i7,'253."53* State-bank notes outstanding
26, 000. 00
11,501.57
Due to other national banks
2, 427. 81
197, 491. 89 Due to State banks and bankers..
38, 870. 80
464, 782. 69 Dividends unpaid
5, 049. 78
Individual deposits
1, 097,178.63
15, 850. 00 United States deposits
348. 84 Deposits of U.S.disbursing officers. j
117, 380. 00
10, 000. 00 Notes and bills rediscounted.
Bills payable
2, 250. 00
1,000.00 Liabilities other than those above
stated
18, 582.32

Total .

1, 701,054. 53

1,701,054753

National State Bank, Terre Haute.
PRESTON HUSSEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Otherrealestateand mortg'sowned
Dne from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total .



No. 1103.
$245, 727. 01
1.192. 28
100, 000. 00
3, 000. 00

-, Cashier.

Capital stock paid i n .

$200, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
Naiional-bank notes outstanding.
State-bank notes outstanding

40, 000. 00

Due to other national banks
Due to State banks and b a n k e r s . .

4, 628. 60

25,991.28
74, 450.00

10, 000. 00
157,' 325." 31
71, 356. 92
169,493.43
16, 724.18

Dividends unpaid
Individual deposits

8,6o6.Oo" United States deposits
270. 84
57, 979. 80
58, 000. 00

7, 588. 47
1,968.00
542,292.20

Depositsof U.S.disbursing officers.
Notes and bills rediscounted.
Bills payable

'3,053.'85"
Liabilities other t h a n those above
stated
902,123. 62

Total .

5, 205. 07
902,123.62

204

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Vigo County National Bank, Terre Haute.
BENJAMIN G. HUDNUT, President.

No. 3929.

Gr. A. CONZMAN, Cashier, <
Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund withTreas. U. S.
Due from Treasurer IT. S
Total.

$622, 244. 48
8, 294. 84
37,500. 00
200, 000. 00
18, 600. 00
30, 000. 00
3, 000. 00
7,960.35
81,180.16
8,717.52
134,347.45
9, 264. 35
22, 340. 00
537.33
75,100. 00
25,620. 00
1, 687.50

Capital stock paid in _

;

Surplus fund
I
Undivided profits, less current |
expenses and taxes paid
i
National-bank notes outstanding.]
State-bank notes outstanding
{
I
Due to other national banks
!
Due to State banks and bankers..
Dividends unpaid

$ L50,000.00
30, 000.00
20, 248. 00
33,100.00
5, 932.17
48, 332. 59
780.00

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

797,296. 24
199,187.87
1, 517.11

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

1, 286, 393. £

Total .

1, 286, 393. 98

Commercial National Bank, Union City.
"WILLIAM KERR, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S. bonds on hand
j
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund withTreas. U. S.
Due from Treasurer U. S
Total.

No. 5094.
$113,925.74
91.59
15, 000. 00
1960. oi)
3, 750. 00
41, 378. 72
8, 500. 00
4, 57L 30
4,343. 24
119,283.13
948. 61
7, 290. 00

148. 63
33, 504. 00
25, 090.00
675. 00

J. F. RUBEY, Cashier.

Capital stock paid in.

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

900.00
1, 525. 61
12,800.00

Due to other nationalbanks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingomcers,

315, 234. 35

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

Total.

380,459.96

380, 459.96

First National Bank of Porter County, Valparaiso.
D. F. SKINNER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U, S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture,and fixtures
Other real estate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Thanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total.



No. 2704.
$132,377. 04
2,773. 41
100, 000. 00
500. 00
3, 739. 00
77,815. 00
11, 000. 00
844.69
5, 796. 01
110,334.33
1, 285. 26
2, 422.
154.
9, 830.
23, 000.

00
22
50
00

4, 500. 00
5.00
486, 376. 46

E. BALL, Cashier.

Capital stock paid in

I

$100, 000.00

Surplus fund
(
Undivided profits, less current I
expenses and taxes paid
|
National-bank notes outstanding. I
State-bank notes outstanding

20, 000. 00

Due to other national banks
I
Due to State banks and bankers..|
Dividends unpaid

364. 93
206. 26

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

272, 468.07

3, 337.20
90, 000. 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

Total .

486, 376.46

REPORT OF THE COMPTROLLER OF THE CURRENCY.

205

INDIANA.
Farmers' National Bank, Valparaiso.
No. 2403.

JOSEPH GARDNER, President.

W. H. GARDNER, Cashier.

Resources.

Liabilities.

Loans and discounts
j
Overdrafts
XL S. bonds to secure circulation
IT. S. bonds to secure deposits
U. S. bonds on hand
Premiums on II. S. bonds
Stocks, securities, etc
Ban k'g house, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
*
Legal-tender notes
U . S . certificates of deposit
Redemption fund with Treas. IT. S.
Due from. Treasurer U. S
Total.

$111,216.28
441.42
12, 500.00

Capital stock paid in.

$50, 000.00

Surpl us frnd
Undivided profits, less current
expenses and taxes paid
1, 445. 00 National-bank notes outstanding.
160, 544.00 State-bank notes outstanding
2,823.00
1,200.00 Due to other national banks

20,000. 00

Duo to State banks and bankers..

45,1G9. 63

95,021.54
436. 55 ! Dividends unpaid

4, 843. 37
11, 250. 00
50. 24
i

449.00 ; Individual deposits
j
136. 93 I United States deposits
j
15,187.53
13,500.00 I Depositsof U.S.disbursing officers. |
| Notes and bills rediscounted
j
562.50 i I Bills payable
|
i Liabilities other than those above !
[
! stated
415,463.75
Total
!

284,150. 51

415, 463.75

First National Bank, Vernon.
S. "W. STOBEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Duo from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items..».
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
3i
Legal-tender notes.
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

JOHN S. MORRIS, Cashier.
No. 4688.
$125, 805. 20 Capital stock paid in.
$50, 000. 00
305.75
12, 500. 00 Surplus fund
4, 200. 00
Undivided profits, less current
expenses and taxes paid
4, 273. 07
1, 300. 00 National-bank notes outstanding
11, 250. 00
State-bank notes outstanding
7, 048. 90
4, 232.46 Due to other national banks
Due to State banks and bankers..
29, 224.12 Dividends unpaid
249. 00
593. 63
Individual deposits
121, 925. 87
United States deposits
68.28 Depositsof IX.S.disbursingofacers.
4, 526. 10
5,731.00 Notes and bills rediscounted
Billspayable
" 562." 50
Liabilities other than those above
stated

191, 897.94

Total.

191,897.94

First National Bank, Vevay.
C. S. TANDY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and raortg's owned
Due from other national banks -....]
Due from State banks and bankers.
Due from approved reserve agents .
Checks and other cash items
Exchanges for clearinghouse
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes..
U. S. certificates of deposit
'
Redemption fund with Treas. U. S..
Due from Treasurer U. S
Total .




No. 346.
A. Gr. CRAIG, Cashier.
$67,180.40 Capital stock paid in.
$50, 000. 00
3, 280. 84
50, 000. 00 Surplus fund
30, 000. 00
Undivided profits, less current
expenses and taxes paid
34, 500.00
1,928.07
National-bank notes outstanding.
45,000.00
49, 229. 00 State-bank notes outstanding
5, 000. 00
Due to other national banks
3, 309.44 Due to State banks and bankers.
2, 264. 58
23,181. 21 Dividends unpaid
247.00
Individual deposits
119,424.44
45.00 | United States deposits
99.04 I Depositsof U.S.disbursingofficers.
4,616.00 |
1,150.00 Notes and bills rediscounted.
Bills payable
2,250.00

j
246, 352. 51

Liabilities other than those above
stated
Total .

246, 352. 51

206

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
First National Bank, Vincennes.
No. 1873.

J . L. BAYARD, President.

P. M. O'DONNELL, Cashier.

Liabilities.

Resources.
Loans and discounts
I
Overdrafts
i
U. S. bonds to secure circulation... |
U. S. bonds to secure deposits
:
U. S. bonds on hand
!
Premiums on U. S. bonds
Stocks, securities, etc
|
Bank'ghouse,furniture,andfixtures] :
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency, nickels, cents.
Specie
I
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U. S

$401, 398.15
5,771.31
50, 000. 00
100,000.00
700.00
4,850. 00
3, 000. 00
10, 000. 00
102,171.09
8, 395. 03
143,572. 33
1, 591. 53
9,440.00
472. 36
29, 507. 50
50, 500.00
2, 250. 00 |

Capital stock paid in.

20, 000. 00
32, 553. 21
45, 000. 00

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

8, 508. 38
22, 766. 21

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

605, 837.11
94, 954, 39

Notes and bills rediscounted
Bills payable
| Liabilities other than those above
• stated

929,619.30 |

Total.

$100,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total.

929, 619. 30

Second National Bank, Vincennes.
N o . 4901.

G. W. DONALDSON, President.

Loans and discounts
j
Overdrafts
j
TJ. S. bonds to secure circulation...;J
U. S. bonds to secure deposits
.
U. S. bonds on hand
!.
Premiums on U. S. bonds
!
Stocks, securities, etc
•.
Bank'g house, furniture, andfixtures;
Other real estate and mortg's owned .
Due from other national banks
I
Due from State banks and bankers.!.
Due from approved reserve agents.!
Checks and other cash items
i
Exchanges for clearing house
L
Bills of other national banks
I
Fractional currency, nickels, cents. j
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$212, 647. 99
2, 856.16
75, 000.00
8, 000. 00

i5"4oo. 66
"2," 548." 8i"
36,036.86
4,150. 99
7, 297. 00
103. 05
14, 405. 30
17, 000. 00
3,375. 00

398, 821.19

Total.

W. J . FREEMAN, Cashier.

Capital stock paid in

$100, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

3, 000. 00

1, 853. 97
67, 500. 00

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

1,110.34
2, 726. 84

Individual deposits
United States deposits
Deposits of U, S.disbursing officers.

222, 352. 54

277. 50

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated
Total .

398, 821.19

German National Bank, Vincennes.
No. 3864.

W M . BAKER, President.

Loans and discounts

|

Overdrafts
I
TJ. S. bonds to secure circulation... |
U. S. bonds to secure deposits
j
U. S. bonds on hand
I
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items

Exchanges for clearing house...
Bills of other national banks
'
Fractional currency, nickels, cents.
Specie
j
Legal-tender notes
j
U. S. certificates of deposit
Redemption fund with Treas. U. S. j
Due from Treasurer U. S
'

Total.



GEORGE R. ALSOP, Cashier.

$453. 069. 82 Capital stock paid in.
4, 238. 33
80, 000. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
2, 000. 00 National bank notes outstanding.
5, 585. 61 State-bank notes outstanding.. A.
11, 000. 00
Due to other national banks
54, 076.67 Due to State banks and bankers.
304. 81
134, 607. 02 Dividends unpaid
2, 327. 02
Individual deposits
8,315.00 United States deposits
196. 64 Deposits of U.S. disbursing officers.
23, 379. 75
27,300. 00 Notes and bills rediscounted.
Bills payable

$100,000.00
20, 000. 00
5, 948. 51
72,000. 00
13,911.02
9,108. 80
2,368.50
586, 663. 84

3, 600. 00

Liabilities other than those above
810, 000. 67

stated
Total.

'

810, 000. 67

REPORT OF THE COMPTROLLER OF THE CURRENCY.

207

INDIANA.
First National Bank, Wabash.
No. 129.

J. S. DAUGHERTY, President.

F. W. MORSE, Cashier.
Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U, S
Total .

$219, 508.41
4, 523.11
75, 000.00
14, 000. 00
9, 000. 00
33, 939.00
18, 000. 00
15,000. 00
24, 575. 02
19, 547. 56
45,892.10
3,215. 21
289.05
25.889. 20
2, 775. 00

Capital stock paid in.

$75, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

37, 500.00
1, 402.40
67,497.50

Due to other national banks
I
Due to State banks and bankers.. i
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

191.60
9, 885.96
323, 051. 20

Notes and bills rediscounted.
Bills payable

3, 375. 00

Liabilities other than those above
stated
514, 528. 66

514,528.66

Total .

Wabash National Bank, Wabash.
THOS. MCNAMEE, President.

Loans and discounts
Overdrafts
U . S . bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on CJ. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total .

J. I. ROBERTSON, Cashier.

No. 3935.

$228,754.61 | Capital stock paid in.
20,725.20 I
50,000.00 I Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding. |
;
60,419.92 State-bank notes outstanding
8, 000. 00
2, 552. 72 Due to other national banks
Due to State banks and bankers.
13, 292. 76
27,092.12 Dividends unpaid
2,980.11
Individual deposits
1, 470. 00 United States deposits
370. 50 Deposits of U.S.disbursingofficers.
19, 785. 90
8, 030.00 Notes and bills rediscounted.
Billspayable
2, 250. 00
Liabilities other than those above
stated
445,723.84 j

Total .

$i2o7ooo7oo
25, 000.00
3, 660.46
45, 000. 00

180.00
251,883. 38

445, 723.84

People's National Bank, Washington.
M. F. BURKE, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on band
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estateand mortg's owned
Duefrom other national banks.
Due from State banks and bankers .
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.




R. C. DAVIS, Cashier.
No. 3842.
$177, 660. 92 Capital stock paid in.
$50, 000. 00
3,457. 25
12, 500. 00 Surplus fund
25, 000. 00
Undivided profits, less current
5, 005.10
expenses and taxes paid
I
500.00
11,250.00
1,195 00 National-bank notes outstanding.
8, 566.45 State-bank notes outstanding
370. 00
4,071.98 Due to other national hanks
!
1, 057.42
9,221.23
18, 334. 64
241.77 Due to State banks and bankers..
34, 817. 72
1,534.63 Dividends unpaid
I,~525.'6o'
254. 50
11,150. 00

10, 000. 00

362. 50

277,428.95

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total .

|

166,781.79

.,
:
j
277,428.95

208

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
Washington National Bank, Washington.

N. G. READ, President.

No. 2043.

W. M. HAYES, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house...
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer IT, S
Total .




Liabilities.
$149,717.32
136.18
30,000. 00
11, 200. 00
16.00
58,446. 91
4, 500. 00
19, 552. 44
118, 771.06
3,695. 72
6,140. 00
213.21
39,136. 00
7, 000.00
1, 350. 00
449, 874. 84

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

$50,000.00
35,000.00
11, 685.65
27, 000.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
,
United States deposits
Deposits of U. S.disbursing officers

326,189.19

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

449,874.84

REPORT OF THE COMPTROLLER OF THE CURRENCY. 209
INDIAN TERRITORY.
First National Bank, Ardmore.
L. P. ANDERSON, President.

No. 4393.

C. L. ANDERSON, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks securities etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
: -..
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$257, 987.46
38, 590. 08
15, 000. 00

8, 400. 00
18,747.22
2,460.44
18, 382. 94
185. 00
647. 00
1, 591. 50
27, 630. 00
3, 000. 00
675. 00

Capital stock paid in

70, 000. 00
12, 866. 52
13,500.00

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

2, 587. 32
1, 076. 78

Dividends unpaid

60.00

Individual deposits
United States deposits
Deposits ofU.S.disbursing officers.

233, 206. 02

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

393,296. 64

Total

$60,000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

393, 296. 64

Total

City National Bank, Ardmore.
No. 4723.

A. J . WOLVERTON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

$179, 435. 77
41,184. 56
12, 500. 00
750. 00
3,488. 00
6, 500. 00
2, 250. 00
2,844.12
1,100. 98
7, 005. 86
900.00
15.29
7, 500. 00
9, 500. 00
562.50

DON LACY, Cashier.

Capital stock paid in.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000. 00

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

6, 056. 83

11, 044. 90
11, 250. 00

Dividends unpaid
Individual deposits
United States deposits
Deposits ofU.S.disbursing officers.
Notes and bills rediscounted
Bills payable

167,185. 35

20, 000.00

Liabilities other than those above
stated
275, 537.08

275, 537. 08

Total .

First National Bank, Checotah.
J. S. TODD, President.

No. 5128.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

1,203.13

14

R. D. MARTIN, Cashier.

Capital stock paid in.

$50, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding .
State-bank notes outstanding

4,118.19
11,150.00

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

85.42

3, 000. 00

8,"5l7'l3
329. 81
746. 78
54, 663. 24
359. 93
115. 79
3,195. 85
4, 000. 00
562. 50
179,001.85

Total.


CUR 99, YOL 2


$88, 706. 76
4,100. 93
12, 500. 00

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

100, 648.24

10, 000.00

179,001. 85

210

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIAN

TERRITORY.

First National Bank, Claremore.
J. O. HALL, President.

No. 4987.

C. F. GODBEY, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, t'urniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Kedemption fund with Treas. U. S.
Due from Treasurer U. S

Total.

$88,112.30
1, 665. 28
13, 000. 00

70.00
1, 508. 00
3, 313.89
237.22
49, 750. 27
657.85
360. 00
93.04
1,982.00
1, 560.00
585. 00

Capital stock paid in.

$50,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

25, 000. 00
1, 590. 95
11, 700. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursing officers.
Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated

Total .

162,894.85

162, 894. 85

First National Bank, Durant.
L. B. SMITH, President.

No. 5129.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
' Stocks, securities, etc
Bank'ghouse,furniture,andfixturesj
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$74, 285.21
31,640.62
12, 500.00
1, 312.50
5, 000.00
1, 272.82
580.60
189.75
528. 08
1, 200. 00
521.43
4, 340. 65
1, 300. 00
562.50

Cashier.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.

State-bank notes outstanding

802.28
3,114.60
11,250.00

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

5, 850. 28

Individual deposits
United States deposits
Deposits of D. S.disbursingofficers.

51,217. 00

Notes and bills rediscounted.
Bills payable

15, 000.00

Liabilities other than those above
stated

135, 234.16

Total.

C. H. HAKDIN SMITH

Capital stock paid in .

Total.

135, 234.16

First National Bank, Muscogee.
ROBERT L. OWEN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank 'g bouse, furnitu re, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents .
Checks and other cash items
Exchanges for clearing house
Bills of other national banks

Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S .
Due from Treasurer U. S

Total .



No. 4385.
$237, 985,13
3, 328. 71
25, 000. 00
2, 500. 00

"i,"666.'6o"
1,060.08
950.19
15, 253. 29
13,277.16
179.87
5,127.45
8, 500. 00
1, 125.00
315, 286.88

B. A. RANDLE, Cashii

Capital stock paid in.

$100, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

20, 000. 00

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

1, 745. 79

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofncors.

13, 299. 85
22, 500. 00

1,685. 00
156, 056. 24

Notes and bills rediscounted
Bills payable
Liabilities other than those above

stated
Total .

315, 286.88

REPORT OF THE COMPTROLLER OF THE CURRENCY.

211

TERRITORY.
„ First National Bank, Pauls Valley.
No. 5091.

C. J . GRANT, President

E. C. GAGE, Cashier.
Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixture!
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$145, 329. 94
6, 292. 40
12, 500.00
625. 00

Capital stock paid in.

10, 000. 00
5, 519. 31
11, 250. 00

5,000.66
6, 705. 34
.30
39, 856. 48
307.16

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

339. 73
25.00

Individual deposits
925.66" United States deposits
55.60 Deposits of U.S.disbursing officers.
7, 791. 60
4, 000. 00 Notes and bills rediscounted.
Bills payable
562.50
Liabilities other than thoso above
stated

229,951. 32

Total.

$50,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

152,837.28

229, 951. 32

Total.

Chickasaw National Bank, Purcell.
No. 4756.

A. D. HAWK, President.

Loans and discounts.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
!
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures^
Other real estate and mortg's owned
Due from other national banks
j
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

$212,155. 25
242.13
12,500.00

J . "W. DOWNARD, Cashier.
$50,000.00

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

15, 000. 00

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

9, 549. 75
5, 536.47

Individual deposits
765. 00 United States deposits
104. 37 Deposits of lT. S.disbursing officers.
7, 304. 55
9, 000. 00 Notes and bills rediscounted.
Bills payable
562. 50
105.00 Liabilities other than those above
stated

191,868.06

10,170. 61
88.80
31, 200. 56
3, 060. 28

287, 259. 05

4,054. 77
11, 250.00

287,259.05

Total.

Purcell National Bank, Purcell.
S. L.WILLIAMS, President.

Loans and discounts
Overdrafts
U. S.bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S bonds
Stocks, securities, etc
Bank'g house, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
C hecks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from TreasurerU. S
Total.




No. 4636.

W. M. TOMLIN, Cashier.

$83, 058. 29 I Capital stock paid in
54.02
12, 500. 00 Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding3, 064.59
State-bank notes outstanding
7, 500. 00
1,000.00
7, 839. 52
4, 764. 51
739. 47

"i," sio." 66'
283. 65
5, 045. 90
5, 800. 00
562. 50
133, 752. 45

$50, 000.00
10,000.00
797.69
11,250.00
i

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

176.20

Dividends unpaid.
Individual deposits
United States deposits
I
Deposits of U.S.disbursingofficers. |
Notes and bills rediscounted
Bills payable

61, 528.56

j

Liabilities other than those above
stated
Total.

133, 752.45

212

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIAN TERRITORY.
First National Bank, South McAlester..

W. J. WADE, President.

No. 5052.

E. T. BRADLEY, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total

$152. 532.10
5, 239. 81
12, 500. 00
1,164.06
660.00
5, 936. 73

Capital stock paid in

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National bank notes outstanding.
State-bank notes outstanding

Due to other national banks
7, 594. 03 Due to State banks and bankers.
6, 337. 63
14, 425. 96 Dividends unpaid
37.19
Individual deposits
800. 00 United States deposits
115. 72 Deposits of U.S. disbursing officers
22, 624. 00
1, 200. 00 Notes and bills rediscounted
Bills payable
562. 50
50.00 Liabilities other than those above
stated
231,779.73

Total

10, 000. 00
592. 28
11, 250. 00

90.00
155, 847. 45

4,000.00

231, 779. 73

First National Bank, Tulsa.
No. 5171.

W. E. HALSELL, President.

Loans and discounts
!
Overdrafts
U. S. bonds to secure circulation... !
U. S. bonds to secure deposits
j
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers
Due from approved reserve agents. j
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total .

$58,924. 30
341. 61
12, 500. 00
,
900.00

31,835. 28
1, 684. 09
2, 000. 00
3.96
7,357.10
4, 500. 00
562. 50
,

B. F. COLLEY, Cashier.

Capital stock paid in.

0, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

2, 062.12
11,150.00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers

57, 396.72

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

Total.

120, 608.84

120, 608. 84

First National Bank, Vinita.
OLIVER BAGBY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total



No. 4704.
$269,424. 07
9, 551.16
25, 500. 00

249.40
1,307.43
1, 022. 68
587.31
71, 294. 80
1, 232. 88
1,160.00
165.52
11, 263. 50
3, 430. 00
1,147. 50

W. P. PHILLIPS, Cashier.

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding .
State-bank notes outstanding

$100,000.00
14, 500. 00
1,822.92
22, 950. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursing officers

258, 063. 33

Notes and bills rediscounted...
Bills payable
Liabilities other than those above

stated

397, 336. 25

Total

397, 336.25

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIAN

213

TERRITORY.

Vinita National Bank, Vinita.
DAVIS HILL, Cashier.

No. 5083.

WILLIAM LITTLE, President.

Resources.
Loans and discounts
!
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'gbouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, centsSpecie
1
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S. |
Due from Treasurer U. S
Total

Liabilities.
$101,176. 54
3, 463. 24
12, 500. 00
1,484.37
3, 020. 84
600.75

Capital stock paid in.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

11,180. 75
4,231.81
11, 250. 00

Due to other national banks

365.71
588.38 Due to State banks and bankers.
4, 712. 85 ! Dividends unpaid
823.05
Individual deposits
55.00 | United States deposits
8.43 DepositsofU.S.disbursingofficers.
2, 225. 90
1, 890. 00 Notes and bills rediscounted.
Bills payable
562.50

56, 875. 00

Liabilities other than those above
stated
Total.

133,537.56

133, 537.56

First National Bank, Wagoner.
No.

J. "W. GIBSON, President.

Loans and discounts.
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits.
U. S. bonds on hand
!
Premiums on U. S. bonds
'
Stocks, securities, etc
j
Bank'g house,furniture,and fixtures'
Other real estate and mortg's owned
Due from other national banks
{
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash item;
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U. S
Total .

$127,565.77
2, 213. 87
12, 500. 00

8,017.00
73. 50
22,591/09
209. 50
12.13
11, 872. 80
1, 500. 00
562. 50

5016.

JOSEPH W. WALLACE, Cashier.

Capital stock paid in

|

$50,000.00

Surplus fund
!
Undivided profits, less current
expenses and taxes paid
National-bank notes outstandingState-bank notes outstanding

20,223. 50

Due to other national banks
Due to State banks and bankers..
Dividends unpaid.
Individual deposits
United States deposits
Deposits of U.S. disbursingofficers.

8, 558. 30
11, 250. 00

943. 59

96,142. 77

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated . . . *

187,118.16

Total.

187,118.16

First National Bank, "Wynne-wood.
THOMAS P . HOWELL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g Louse,furniture,and fixtures}
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers-

Due from approved reserve agents.
Checks and other cash items '.
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U. S

Total.



No.
$129, 450.12
9,165. 32
12, 500. 00
1, 226. 68

5126.

GHARLES BOHNKE, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

$50, 000. 00
5,000.00
2,707.09
11, 250. 00

"5,*83L55"
1,514.
1, 619.
2, 597.
1, 705.

08
55
03
22

260. 00
171.00
5, 798. 50
1,050. 00

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

480. 30

Dividends unpaid
In dividual deposits
United States deposits
DepositsofU.S.disbursingofficers.
Notes and bills rediscounted.
Bills payable

79, 014.16

25, 000.00

562.50

Liabilities other than those above
stated
173, 451. 55

Total.

173,451.55

214

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.

J. H. DRAKE, President.

First National Bank, Albia.
No. 1799.

L. T. RICHMOND, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Duo from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas.U. S.
Due from Treasurer U. S
Total.

$104, 688. 03
1, 625.35
50, 000.00
50, 000. 00
5, 000. 00
24, 900.00
10, 000.00

$50, 000. 00

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

50, 690. 21

4, 207. 95
45, 000. 00

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

38,539.77
350. 00

25, 000. 00

Dividends unpaid

Individual deposits
2,403.00 I United States deposits
247.00 Deposits of U.S.disbursing officers
19,450. 00
5, 000. 00 Notes and bills rediscounted.
Bills payable
2, 250. 00
349. 40 Liabilities other than those above
stated
365, 492.76

241, 284. 81

365, 492.76

Total .

First National Bank, Algona.
No. 3197.

AMBROSE A. CALL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g h ouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers .
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$147, 439. 73
2, 990. 03
25, 000. 00
I, 700.00
7, 940.00
5, 923. 20
1,191.32
26, 779.32
293.12
6, 247. 00
86.85
5, 305. 20
3, 000. 00
1,125.00

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

9,400. 00
1, 354. 59
22, 500. 00

Due to other national banks
Due to State banks and bankers .
Dividends unpaid
Individual deposits
.
"
United States deposits
Deposits of U.S.disbursingofficers.

151, 766.18

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

235, 020.77

Total.

WILLIAMK. FERGUSON, Cashier.

Capital stock paid in .

Total.

235, 020. 77

Union National Bank, Ames.
WALLACE M. GREELEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on IT. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




HENRY WILSON, Cashier.

No. 3017.

$] 19, 546.76
1, 994.09
12, 500.00

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding

9, 000.00
Due to other national banks
"26* 143.'65' Due to State banks and bankers.
59, 610. 58 Dividends unpaid
62.74
Individual deposits
5,286. 00 United States deposits
175.60 Deposits of U.S.disbursingofficers.
8, 760. 00
Notes and bills rediscounted.
Bills payable
562.50
Liabilities other than those above
stated
243, 641.92

Total .

$50, 000. 00
10, 000. 00
31, 027. 42
11,250. 00

141,364.50

243, 641. 92

REPORT OF THE COMPTROLLER OF THE CURRENCY.

215

IOWA.
Anamosa National Bank, Anamosa.
No. 4696.

L. SCHOONOVER, President.

CHARLES S. MILLARD, Cashier.

Resources.
Loans and discounts
Overdrafts
«
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ S bonds on hand
Premiums on U. S. bonds
Stocks, securities etc
Bank'ghouse^urniture^nd fixtures
Other real estate and mortgs owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Danks
Fractional currency, nickels, cents.
Specie
".
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

Liabilities.
$270, 856.18
9, 850. 20
28,000. 00

54, 628. 98
366. 25
27, 380. 83
38.95
100. 00
21.27
17, 077. 25
4,100. 00
1, 260. 00

Capital stock paid in...

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofncers.

2, 500. 00
81.62
25, 200. 00

1,150. 00
334, 748. 30

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

413, 679. 92

Total

$50, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total .

413, 679.92

Atlantic National Bank, Atlantic.
T. G. TURNER, Cashier.

No. 2762.

J. A. MCWAID, President.
.1
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank *g house ,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

Total.

$193,118.58
5, 558. 56
12, 500. 00

$5o7ooo7oo

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1, 000. 00
10, 000. 00
5,158. 00 Due to other national banks
12, 518.13 | Due to State banks and bankers.
737.08
23, 786. 33 Dividends unpaid
1,848.23
Individual deposits
2,000.00 United States deposits
60.01 Deposits ofU.S.disbursingoflicers.
10, 527.10
5, 225. 00 Notes and bills rediscounted.
Bills payable
562.50
Liabilities other than those above
stated
Total.

284, 599.52

20, 000. 00

9, 552. 65
11, 250.00

193, 796. 87

284, 599. 52

First National Bank, Audubon.
CHAS. VAN G-ORDER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U.S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Ot her real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




• No. 4891.
$148, 461.18
2, 452. 01
12,500.00

FRANK S. WATTS, Cashier.

Capital stock paid in.

$50, 000. 00

18, 377.44

2,310.00
80.30
10, 320. 00
5, 000. 00
562. 50
274, 840. 22

1,379.96
11,247. 50

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

12, 500. 00
625.00
1,651.79
10, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

29, 923. 55

10, 000. 00

Dividends unpaid
Individual deposits
j
United States deposits
i.
DepositsofU.S.disbursingofficersJ.

172, 289. 21

Notes and bills rediscounted.
Bills payable
Liabilities other than those above i
stated
i.
Total .

274, 840. 22

216

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
Bedford National Bank, Bedford.

W. E. CRUM, President.

No. 5165.

-, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bauk'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U . S . certificates of deposit
Redemption fund with Treas. U.S.
Due from Treasurer U. S
Total.

Liahilities.
$100,574. 79
721.99
38, 500. 00
1, 945.00
2,400. 00
9,789.49
101,019.73
949. 00
275. 00
38.75
11, 944. 30
4, 615. 00
1, 728.00
800. 00

Capital stock paid in.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

2,115.82
34, 560.00

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

24.024. 55

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

164, 600/68

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

275, 301.05

Total.

275, 301.05

First National Bank, Belle Plaine.
S. S. SWEET, President

No. 2012.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie ,
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U. S
Total.

$196, 702.24
2,217.86
50, 250.00

1, 500. 00
10,500.00
30,403.10
56,115.13
449.03
535. 00
37.10

6, 298 50
5,790. 00

L. T. SWEET, Cashier.

Capital stock paid in ,

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursing officers.

25, 000. 00
20, 864. 65
45, 200. 00
21.70
75.00
221, 896. 61

Notes and bills rediscounted.
Bills payable

2, 260. 00

Liabilities other than those above

stated

363, 057.96

363, 057.96

Total.

Citizens' National Bank, Belle Plaine.
CHAS. A. BLOSSOM, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items..
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U.S.
Due from Treasurer U, S
Total.




S. P. VAN DIKE, Cashier.

No. 4754.
$121,569. 75
1,147.61
50, 000. 00
1,675.00
11,700.00
17,185. 43
20, 671. 65
15,969. 74
1, 655. 22

Capital stock paid in .
Surplus fund
Undivided profits, less current
expenses and taxes x^id
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid.

Individual deposits
100. 00 i United States deposits
5.49 Deposits of U.S.disbursingofficers
11,434.30 i
1,500.00 j Notes and bills rediscounted
Bills payable
"2," 250." 00'
Liabilities other than those above
stated
256, 864.19

Total .

$50, 000.00
5, 300.00
586. 62
45, 000.00

224.00
155,753.57

256, 864.19

REPORT OF THE COMPTROLLER OF THE CURRENCY.

217

IOWA,
First National Bank, Blanchard.
No. 4902.

CHAS. G ANDERSON, President.

FRANK HOOKER, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$109, 678. 72
5, 396. 77
12, 500.00
800. 00

624. 58
16,531.93
1, 679.78
49.00
10.17
4, 692. 55
500.00
562.50
153, 026. 03

Total.

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursing officers.

$50, 000. 00
5, 500.00
1, 070. 02
11, 250. 00

20.00
85,186. 01

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

153, 026. 03

First National Bank, Boone.
SAMUEL L. MOORE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

J. H. HERMAN, Cashier.
No. 3273.
$315,211.94 Capital stock paid in.
$50,000.00
385. 31
12, 500. 00 Surplusfund
50, 000. 00
Undivided profits, less current
500. 00
7, 699. 92
expenses and taxes paid
1, 360. 00 National-bank notes outstanding.
11, 250. 00
9,984.13 State-bank notes outstanding
2, 500. 00
8, 500. 00 Due to other national banks
3, 029.16
50,194. 98
31, 268. 03 Due to State banks and bankers..
21,628. 38
127,037. 89 Dividends unpaid
4,119. 30
Individual deposits
387, 649. 49
" 4, 000. 00 United States deposits
248. 57 Deposits of U.S.disbursing officers.
15, 017. 50
5, 000. 00 Notes and bills rediscounted.
Bills payable
562.50
Liabilities other than those above
stated
559, 823.55

Total.

Total .

559, 823. 55

First National Bank, Britt.
LEWIS LARSON, President.

Loans and discounts
,.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U . S .
Due from Treasurer U. S
Total.




E. F. LARSON, Cashier.
No. 5020.
$189, 533. 07 Capital stock paid in
$50, 000. 00
3, 592. 65
27, 500. 00 Surplus fund
6, 300. 00
Undivided profits, less current
1,007.07
expenses and taxes paid
24, 750. 00
1,500.67 National-bank notes outstanding.
782.20 State-bank notes outstanding
12, 000. 00
8,531.35 Due to other national banks
7, 476.19 Due to State banks and bankers.
7,183.00
2, 701. 87
90.09
2, 979. 00
2,165. 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

125. 00
185, 590. 52

Notes and bills rediscounted..
Bills payable
* 1,237.'50
500. 00 Liabilities other than those above
stated
267, 772.59

Total.

267, 772. 59

218

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
First National Bank, Brooklyn.
No. 3284.

W. T. HOLMES, President.

B. M. TALBOTT, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'gbouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents
Specie
Legal-tender notes
TJ. S. certificates of dei^osit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S
Total.

Liabilities.
$104, 667. 79
100. 00
14,500. 00

600. 00
5, 000. 00
19, 090.80
4,475. 54
72, 896. 85
939. 67
295.00
53.15
5,132. 30
500.00
" 652.' 50

Capital stock paid in.

$50, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000.00

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

1, 475.41

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.

153, 791.23

586. 96
13,050.00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total .

228, 903. 60

228, 903. 60

First National Bank, Buffalo Center.
No. 5154.

P. M. JOICE, President.
Loans and discounts
Overdrafts
j
U. S. bonds to secure circulation...!
U. S. bonds to secure deposits
'
U. S. bonds on hand
j
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'giiouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house.
Bills of other national bank s . .
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

$115, 340. 67
2, 300. 36
30, 000. 00
1,317.50
234. 70
9, 215.37
1, 544.10
3, 255. 32
7, 864. 40
2,470. 75
27. 28
5, 867. 05
1, 350. 00

A. W. WINDEN, Cashier.

Capital stock paid in.

$50, 000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-banknotes outstanding

700.00
630.45
27,000.00

Due to other national banks.
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

102, 457.05

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

180, 787. 50

180,787. 50

First National Bank, Burlington.
WILLIAM CARSON, President.

Loans and discounts.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




V M . P. FOSTER, Cashier.

No. 351.
$208,546. 37
152.05
50, 000. 00
50,000. 00
10, 600. 00
10, 864. 50
J2, 900. 00
3,352.38
7, 500.43
14,175. 42
124, 918. 26
8, 397. 67
3, 300. 00
107.71
44, 872. 00
4,500.00
2,250.00
556,436. 79

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$100, 000. 00
20, 000. 00
2, 204.48
43, 000. 00

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

4, 242. 84
57, 525. 07

Individual deposits
United States deposits
Depositsof U.S.disbursingofficers

279, 323. 74
48,972. 39
1,057. 27

111.00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

556,436.79

REPORT OF THE COMPTROLLER OF THE,CURRENCY.

219

IOWA.
Merchants' National Bank, Burlington.
T. W. BARHYDT, President.

No. 1744.

J. L. EDWARDS, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S

$301, 406.16
974. 06
100, 000. 00
80,000. 00
1, 000. 00
178,440.23
36, 414.12
21, 240. 00
23, 796. 76
1, 525. 92
65, 284. 88
11,477. 98

i,"33o."66"
193. 68
45, 308. 00
18, 000. 00

4,566. 00

Capital stock paid in.

35, 000. 00

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

86, 524. 47
225, 747. 96

5, 052. 89
90,000. 00

310. 65

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

272, 255. 82
76, 000.00

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

'0, 891. 79

Total.

$100,000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

890, 891. 79

Total .

National State Bank, Burlington.
JOHN T. REMEY, President.

No. 751.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
II. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banksFractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$529, 405. 97
1, 005. 20
37, 500. 00
60, 000. 00
400. 00
3, 750. 00
112, 850. 00
42, 000. 00
10, 228. 75
12, 803. 88
2, 746. 33
398, 205. 06
5, 004. 23
3, 404. 00
131.75
62,151, 70
5, 090. 00

$150, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100, 000. 00

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

146, 374.14
257, 980. 58

44, 010. 70
33,750.00

Dividends unpaid
Individual deposits
United States deposits
Deposits of IT. S.disbursingollicers.

499, 248. 95
57, 000. 00

Notes and bills rediscounted.
Bills payable

1, 687. 50
Liabilities other than those above
stated
Total.

1, 288, 364. 37

Total .

JOHN J . FLEMING, Cashier.

Capital stock paid in.

1, 288. 364 37

First National Bank, Carroll.
No. 3969.

W. L. CULBERTSON, President.
Loans and discounts
|
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
!

Total.




$319, 635. 24
19, 388.42
25, 000. 00
3,
8,
2,
43,

250.
221.
200.
015.

00
95
00
59

37, 359. 36
401.88
3, 200. 00
68.40
8, 000. 00
20, 000. 00

490, 865. 84

R. E. COBURN, Cashiei.

Capital stock paid i n .
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
|
Due to State banks and bankers.. i

$100,000. 00
12, 250. 00
1,107. 35
22, 500. 00
18, 659. 45
39, 358. 68

Dividends unpaid

Individual deposits
United States deposits
Deposits of U.S.disbursingofticers.

296, 990. 36

j Notes and bills rediscounted
i Bills payable
Liabilities other than those above
I stated
Total .

490, 865. 84

220

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
Cedar Falls National Bank, Cedar Falls.

JAMES MILLER, President.

No. 3871.

ROGER LEAVITT, Cashier*

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

Liabilities.
$282, 752. 67
2, 227. 05
75, 000. 00
3, 628.13

"i2,"()66.66
7, 810. 40
5, 610. 99
31,905.15
2, 640. 38
390. 00
142. 38
7, 367. 35
10, 448. 00
3, 375. 00
12.50

Capital stock paid in.

$75, 000. 00
35, 000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

2, 047.65
67, 500.00

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

1, 962. 88

Dividends unpaid
263, 799.47

Individual deposits
United States deposits
Deposits of U.S.disbursing officers.
Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

445, 310. 00

Total .

445, 310. 00

Cedar Rapids National Bank, Cedar Rapids.
ARTHUR T. AVERILL, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

No. 3640.
$634, 605. 96
2, 392. 52
100,000. 00
80, 000. 00
9, 508.13
75,155. 55
337, 208. 08
559,981.20
2,270.12

|

$100, 000. 00

Surplusfund
Undivided profits, less current j
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

40, 000. 00

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

216,741.61
947, 572.37

Individual deposits

"""8," 506."
348.
80, 513.
15, 000.

9, 044. 86
89, 097. 50

Dividends unpaid

66' United States deposits
96 Deposits of U .S.disbursing officers.!
00
00 Notes and bills rediscounted

431, 533.18
76, 000. 00

Billspayable

4, 500. 00

Liabilities other than those above
stated
Total

1, 909, 989. 52

Total .

R. VAN VECHTEN, Cashier.

Capital stock paid in

1, 909, 989. 52

Citizens' National Bank, Cedar Rapids.
JAS. L. BEVER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 5113.
$263, 992. 79
2, 644. 77
55, 000. 00

"""25,920.66
2, 586. 25
12, 000. 00
65, 983. 96
3, 112.63
150, 368. 74
6, 806. 45
8, 000. 00
239.38
52, 341. 25
10, 000. 00

J. W. BOWDISH, Cashier.

Capital stock paid inSurplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..

$100,000.00
2, 000.00
5,178.24
49, 500. 00
13,151.96
42, 495. 71

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

449,145. 31

Notes and bills rediscounted.
Bills payable

2, 475. 00
Liabilities other than those above

stated

661,471.22

Total.

661, 471. 22

REPORT OF THE COMPTROLLER OF THE CURRENCY.

221

IOWA,
Merchants' National Bank, Cedar Rapids.
JOHN T. HAMILTON, President.

No. 2511.

CHAS. E. PUTNAM, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes.
U. S. certificates of d eposit
Redemption fund with Treas. II. S.
Due from Treasurer U. S

Liabilities.
$314, 719. 66
369. 42
50,000. 00

5, 000. 00
305.41
3, 692.13
78, 694.17
'0. 33
14, 910. 53
9, 377.
310.
46, 674.
32, 500.

00
67
75
00

2. 250. 00
60. 00

Capital stock paid in

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
'
United States deposits
j
Deposits of U. S.disbursing officers. |

30, 000.00
2, 621. 36
45, 000. 00
30, 962. 74
51, 719.08

367, 250. 89

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

627, 554. 07

Total.

$100, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total.

627, 554. 07

First National Bank, Centerville.
A. T. BRADLEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse.furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
|
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S

No. 337.
$183,100. 56
1,499.97
12,500.00

11, 628. 30
12, 282. 99
13, 451. 48
92, 844. 90
1,152. 03

"sVi'io'oo"
66.05
24, 415. 00
20, 000. 00
562.50

$50,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1, 651.11
11, 250. 00

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

18, 0:i4.07

10,000.00

Individual deposits
United States deposits
Deposits ofU.S.disbursing officers Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

378, 623. 78

Total .

J . A. BRADLEY, Cashier.

Capital stock paid in.

Total .

378, 623.78

Centerville National Bank, Centerville.
F. M. DRAKE, President.

Loans and discounts
O verdraf ts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'gliouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers .
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S
Total.




No. 2841.

$123,018. 79
2,143. 98
12, 500. 00

1, 283. 62
10, 000.00
524.20
1, 583. 48
5, 783. 30
48, 833. 36
1,348.53
"4*889.'ob"

95.90
11,300.55
8. 000. 00
562. 50
231,867. 21

G. M. BARNETT, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50,000.00
10, 000. 00
5, 814. 98
11, 250.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursing officers -

155,432. 23

Notes and bills rediscounted..
Bills payable
Liabilities other than those above
stated
Total.

231, 867.21

222

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
First National Bank, Chariton.
No. 1724.

S. H. MAJLLORY, President.

F. R. CEOCKER, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and niortg's owned
Due from other national banks
Due from State bank s and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S

Liabilities.
$436, 390. 32
10,220.43
12,500. 00

Capital stock paid in.

1, 000. 00
50, 905. 68
3, 500. 00
8, 800. 00 Due to other national banks
j
8, 626.73
41, 849. 77 Due to State banks and bankers..
381, 065. 91 Dividends unpaid
j
3, 854. 02
Individual deposits
5, 000. 00
United States deposits
376. 60
DepositsofU.S.disbursingofficers.
34, 375. 25
20, 000. 00
562.50

30, 000. 00
13, 977.47
11,250. 00

68, (

845, 732.86

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

1,019,027.21

Total.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

1,019,027.21

First National Bank, Charles City.
ALMON G. CASE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
J
Premiums on U. S. bonds
|
Stocks, securities, etc
j
Bank'g house,furniture, and fixtures!
Other real estate and niortg's owned
Due from other national banks
Due from State banks and bankers.
Duo from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

No. 1810.
$352, 665. 22
1, 078.99
12,500.00

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1,000.00
851.21 ! Due to other national banks
64,054.71 Due to State banks and bankers
4,892.92
42,560.71 Dividends unpaid
307.37 i
Individual deposits
j
2, 725. 00 United States deposits
j.
38.40 Deposits of U.S.disbursingofncers. |.
10, 939. 00
7, 000. 00 Notes and bills rediscounted.
Bills payable
562.50 |
; Liabilities other than those above
! stated
501,176. C

Total.

S. B. HALL, Cashier.

Capital stock paid in.

10,000. 00
18, 618. 32
7, 640. 00

414, 917. 71

501,176. 03

Total.

Charles City National Bank, Charles City.
ROBT. G. REINIQEK, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
j
Redemption fund with Treas.U.S.!
Due from Treasurer U. S
\
Total.




No. 2579.

GEORGE E. MAY, Cashier.

$103,320.51 | Capital stock paid in.
4,044.56 1
404456 1
12,500.00 Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
12,623.23 State-bank notes outstanding.
9,500.00
9,213.23 Due to other national banks
3, 733. 59 Due to State banks and bankers.
5,216.70
.3,030.39
7, 002. 00
72.57
15, 365. 00
5, 000. 00
562. 50
191,184.28 I

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

$50, 000. 00
8, 750. 00
11, 250.00

391. 50
120, 792.78

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

191,184. 28

REPORT OF THE COMPTROLLER OF THE CURRENCY.

223

IOWA.
Citizens' National Bank, Charles City.
No. 4677.

H. C. BALDWIN, President.

F. B. MINER, Cashier.

Resources.
Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U.S.
Due from Treasurer U. S
Total.

Liabilities.
$302,136.13
3, 368.11
35,300. 00
1,800.00
2, 900. 00
1, 000. 00
36, 939. 74
65, 538.11
609.79
" 2 * 130.' 00
138. 65
28, 053. 00
5, 000.00

Capital s t o c k p a i d i n .

$50, 000. 00

Surplus fund
"Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

10, 000. 00
2, 827. 33
6, 650. 00

1, 625. 00
414, 373. 70

Notes and bills rediscounted.
Bills payable

562." 50"

Liabilities other than those
stated
Total.

485,476.03

485,476. 03

First National Bank, Charter Oak.
No. 4376.

G. N. SWEETSER, President.

Loan and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, centsSpecie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$88, 751. 01
382. 42
12,500.00

E. E. SPRINGER, Cashier.

Capital stock paid in.

Surplus fund
Undivided profits, less current
: expenses and taxes paid
2, 000. 00 I National-bank notes outstanding.
393.95 j State-bank notes outstanding
12, 035. 20
11, 272. 28 Due to other national banks
6.27 Due to State banks and bankers .
10,395.11
7,531.07 Dividends unpaid
126. 88
Individual deposits
75.00 United States deposits
100.16 Deposits of U.S. disbursingofficers 2,299.10
4,101.00 Notes and bills rediscounted
Bills payable
'"562." 56"
Liabilities other than those above
stated
-

152,531.95

Total.

'0, 000. 00

842. 09
11, 250. 00

90, 439. 86

152, 531. 95

First National Bank, Cherokee.
NELSON T. BURROUGH, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U . S .
Due from Treasurer U. S
Total.




No. 3049.
$210, 003. 01
7, 399.13
25,000.00
212.40
2,320. 00
13, 377. 00
17, 220. 07
44, 747. 28
104, 034.43
4,162. 80
480. 00
676.07
11,108. 25
4, 500.00
1,125.00

446, 365.44

RODERICK H. SCRIBNER, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-banknotes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

$50, 000. 00
25, 000. 50
11,398.38
22, 500. 00

64, 882. 68

272, 584. 38

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

446, 365. 44

224

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
Clarinda National Bank, Clarinda.
No. 3112.

FRANK W. PARISH, President.

H. R. SPRY, Cashier.

Kesources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on IX. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national jbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer IT. S
Total .

$179, 778. 00
6,297. 05
12,500.00
2,500. 00
10. 000. 00

85,301. 29
201. 96
3, 535. 00
73.37
15, 632. 20
5, 000. 00
562. 50

Capital stock paid in.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding .
State-bank notes outstanding

12, 500.00
1, 571. 79
11, 250.00

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

3, 447.73

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

240, 611.85

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated

321,381.37

2, 000. 00

Total .

~321, 381.37

First National Bank, Clarion.
G. S. RINGLAND, President.

U. B. TRACY, Cashier.

No. 3796.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

$105,578. 05
934. 72
12, 500. 00
500. 00
77.83
6, 350. 00
5, 700. 00
32,125. 57
(543. 82
3,091.73
4,213. 52
1, 868. 00
188. 49
9, 370. 00
562.50

Capital stock paid in.

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

10, 000.00
3, 337. 68
11, 250. 00

Due to other national banks
Due to State banks and bankers .
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers

109,116.55

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

183, 704.23

183, 704. 23

City National Bank, Clinton.
AUGUSTUS L. STONE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 2469.
$509,103.64
2,117.43
100, 000. 00
7,049. 30
13, 007. 76
15, 646. 65
5,230. 50
23, 851.20
4, 930.41
86,419. 66
9, 096. 35
7,444.00
1, 001. 44
16, 867.15
7, 000. 00
4, 500. 00
813, 265.49

ALFRED G. SMITH, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$150,000.00
30, 000. 00
2, 616. 94
90, 000. 00

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

50, 365. 85
108,035.69

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

382, 247.01

Notes and bills rediscounted...
Bills payable
Liabilities other than those above
stated
Total.

813, 265.49

REPORT OF THE COMPTROLLER OF THE CURRENCY.

225

IOWA.
Clinton National Bank, Clinton.
No. 994.

C. C. COAN, President.

W. F. COAN, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S.certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer II. S

$196, 743. 00
1, 037. 71
60, 000. 00

I Capital stock paid in.

12, 000. 00
7, 430. 59
54,000.00

19, 000. 00

4, 338.41
1, 717. 25
263,585. 65
4,983.17

j Due to other national banks
Due to State banks and bankers..
Dividends unpaid

7,19G. 84
122, 335.30

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

363,440. 89

5, 860. 00
328.39
38, 295. 00
5,500. 00

Notes and bills rediscounted.
Bills payable

2, 700. 00

Liabilities other than those above
stated
626,403. 6211

Total.

$60, 000. 00

| Surplusfund
Undivided profits, less current
expenses and taxes paid
2, 850. 00 National-bank notes outstanding.
19, 465. 04
State-bank notes outstanding

626, 403.62

Total .

Merchants' National Bank, Clinton.
C. D. MAY, Cashier.

No. 3736.

L. LAMB, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank g house, furniture,and fixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

!205, 347. 72
148.73
25, 000. 00

34, 619. 56

Capital stock paid in.

$100,000.00

Surplus fund
Undivided profits, leas current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

7. 500. 00 | Due to other national banks
13,872.26 ! Due to State banks and bankers..
1, 246. 08 i
58,662.47 | Dividends unpaid.
314.08 i
Individual deposits
1
\
2,040.00 jj United States deposits
189. 59 Deposits of U.S.disbursing officers.!
17, 801.45
7, 500. 00 Notes and bills rediscounted
Bills payable
|
"I," I25.OO'
Liabilities other than those above
stated
Total .

375,366.94

4, 525. 38
22,500.00
203.60

248,137. 96

375, 366. 94

Louisa County National Bank, Columbus Junction.
F . G-. COFFIN, President.

No. 2032.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and othei cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .


CUR 99, VOL


$90,773. 89
3, 696.14
12, 500. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
1, 250. 00 National-bank notes outstanding.
State-bank notes outstanding
7,000.00 !
850.00 Due to other national banks
6,225.07 I Due to State banks and bankers.. |
1, 620. 56
46,718.87 Dividends unpaid
:

$50, 000. 00
10. 000. 00
1, 756.41
11,250.00

404.20

180. 67 I
2, 475. 00
677. 08
8, 565. 00
1,900.00
562.50

184,994.78

-15

E. R. LACEY, Cashier.

Capital stock paid in

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

Ill, 584.17

Notes and bills rediscounted.
Bills payable
I Liabilities other than those above
i stated
Total .

184,994.78

226

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
First National Bank, Corning.
No. 2936.

F. M. "WIDNER, President.

CHARLES C. NORTON, Cashier.

Liabilities.

Resources.
Loans and discounts
I
Overdrafts
I
U. S. bonds to secure circulation... I
U. S. bonds to secure deposits
'
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers. |
Due from approved reserve agents, j
Checks and other cash items
i
Exchanges for clearing house
Bills of other national banks
!
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S

$178,031.16
3, 470. 49
12,500. 00

9, 342.46
10, 000. 00
10, 061. 37
6, 205. 63
3, 544.58
20, 610. 04
517. 37
381. 00
108. 55
6, 657.50
10,500.00
562. 50

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

6, 661.44
10,750. 00

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

202.10

10, 000. 00

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

194,879.11

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
,

272,492. 65

Total.

$50,000. 00

Capital stock paid in.

272,492.65

Total .

First National Bank, Council Bluffs.
J . D. EDMUNDSON, President.

No. 1479.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

, 459, 345. 29
3, 302. 98
25, 000. 00
100, 000.00
14, 200. 00
106,459.07
40, 000. 00
22, 995. 96
98, 304. 50
5, 607. 74
452,111. 53
5, 609. 48
2,480. 00
147. 83
48, 788. 25
48, 500.00
1,125. 00

!

$100,000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

25, 000. 00

Due to other national banks
Due to State b a r k s and bankers..
Dividends unpaid

490, 252.96
778,782.21

Individual deposits
United States deposits
DepositsofU.S.disbursingofiicers.

878, 476. 52
85, 237. 58

53, 728. 36
22,500.00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above j
stated

2, 433,977. 63

Total .

CHAS. R. HANNAN, Cashier.

Capital stock paid in

Total

2,433,977.63

First National Bank, Cresco.
S. A. CONVERSE, President.
Loans and discounts.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
j
Bank'ghouse,furniture,and fixtures}
Other real estate and mortg' s owned!
Due from other national banks
i
Due from State banks and bankers.
Due from approved reserve agents. j
Checks and other cash items
i
Exchanges for clearing house
Bills of other national Tbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No.4897.
$128, 586. 79
25, 000.00
1, 600. 00
298. 52
556.00
6,167.48
2, 955. 36
11,969. 30
2,495. 62
155. 00
108. 71
4, 222. 05
1, 278. 00
1,125.00
186,517.83

O. G. WANLESS, Cashier.

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50,000.00
2, 650. 00
2, 445.50
22, 500. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingoflicers.

108, 922. 33

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

186, 517.83

REPORT OP THE COMPTROLLER OP THE CURRENCY.

227

IOWA.
First National Bank, Creston.
No. 2586.

H. S. CLARKE, President.

F . W. CLARKE, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Ban k g house, furniture, andfixtures
Other real estate and mortg's owned I
Due from other national banks
!
Due from State banks and bankers. |
Due from approved reserve agents. I
Checks and other cash items
!
Exchanges for clearing house
j.
Bills of other national banks
!
Fractional currency, nickels, cents.
Specie
Legal-tender notes
i
U. S. certificates of deposit
j
Redemption fund with Treas. U. S. |
Due from Treasurer U. S
!

$142,754.81 I Capital stock paid in.
I
569.46
30, 000. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
1, 500. 00
National-bank notes outstanding.
12, 093. 66 State-bank notes outstanding
17, 300.00
950.00 Due to other national banks
\.
69, 055. 63 Due to State banks and bankers -.
4, 485. 44
82,114. 03 Dividends unpaid
.
1, 625. 59
Individual deposits
5, 049. 00 United States deposits
j.
161. 36 Depositsof U.S.disbursing officers. I
33, 524. 00
10, 000. 00 Notes and bills rediscounted.
Bills payable
1,350.00 |
Liabilities other than those above
stated

10, 000
11,178.12
27, 000. 00

10, 288.10

304, 066. 76

412,532. 98

Total .

412,532.98

Total .

$50, 000. 00

Creston National Bank, Creston.
J. B. HARSH, President.

Loans and discounts
j
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S- bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

R. E. BOYER, Cashier.
No. 2833.
$187,271.79 Capital stock paid iu.
$100, 000. 00
232.21
25, 000. 00 I Surplus fund
16, 500. 00
Undivided profits, less current
1 expenses and taxes paid
:
2, 273. 90
1,437.50 || National-bank notes outstanding.
22, 500. 00
1,475. 54 I State-bank notes outstanding
14, 000. 00
11, 678. 60 Due to other national banks
226. 22 Due to State banks and bankers..
860. 93
543. 66
65,879.14 Dividends unpaid
1, 623. 79
Individual deposits
!
200,435. 35
5, 500. 00 United States~deposits
!.
94.73 Deposits of U.S.disbursingofficers. .
10,713.00
15, 769. 00 Notes and bills rediscounted.
Bills payable
1,125.00
j Liabilities other than those above
stated

342,570.18 |

Total .

342,570.18

First National Bank, Davenport.
No. 2695.

ANTHONY BURDICK, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.j
Due from Treasurer U. S
j
Total.




C. A. MAST, Cashier.

Capital stock paid in.

55, 600.00
4, 000. 00
30,
19,
68,
2,
110,
1,

000. 00
600. 00
799. 61
771. 03
546. 47
290.13

|

$200,000.00

Surplus fund
j
Undivided profits, less current |
expenses and taxes paid
!
National-bank notes outstanding.I
State-bank notes outstanding
!

29, 425.96
45, 000.00

50, 000. 00

Due to other national banks
Due to State banks and bankers. .1
Dividends unpaid
I

134, 095. 66
153, 810. 52

i Individual deposits
1, 500.00 | i United States'deposits
161.29 I Deposits of U.S.disbursingofficers8, 000. 00
9, 251. 00 Notes and bills rediscounted.
Bills payable
2, 250. 00
!j Liabilities other than those above
stated

386, 590. 92

9,157.06 |

999,157.06

Total.

234. 00

228

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
Citizens' National Bank, Davenport.
No. 1671.

F. H. GRIGGS, President.

E. S. CARL, Cashier.

Resources.

Loans and discounts
Overdrafts
U. IS. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Dae from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
IT. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Liabilities.
$980,
2,
100,
50,
30,

037. 92
C95. 33
000.00
000. 00
040. 00

50, 000. 00
5, 000. 00
143, 882. 59
14,137.50
416, 236.45
8, 505. 30
24,511.42
5, 804. 00
576. 07
48, 260. 44
5, 000. 00

$300, 000. 00
100,000. 00

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

214, 915. 34
602,192. 54

13,414.87
90, 000. 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

533, 540. 83
9, 621. 45
24,901.99

Notes and bills rediscounted.
Bills payable

4, 500. 00

Liabilities other than those above
1, 888, 587. 02

Total.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

stated
Total .

1, 888, 587.02

Davenport National Bank, Davenport.
W. C. HAYWARD, President.

No. 848.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$384, 875.42
4,456. 91
50, 000. 00

!

Surplus fund
Undivided profits, less current
expenses and taxes paid
1, 000. 00 i National-bank notes outstanding.
3, 000. 00 State-bank notes outstanding

$100, 000.00
20, 000. 00
17, 636. 43
45, 000. 00

30, 000. 00

41, 536.10
161, 926. 35

Due to other national banks

49,268.18
3,129. 70 Due to State banks and bankers..
46, 749. 06 Dividends unpaid
3, 859. 36

451. 56

Individual deposits
9, 643. U0 United States deposits
157.25 Deposits of U.S.disbursing officers.
24, 006. 00
7, 000. 00 Notes and bills rediscounted.
Bills payable
2, 250.00

232, 844. 44

Liabilities other than those above
stated

619,394.88

Total.

S. D. BAWDEN, Cashier.

Capital stock paid in

619, 394. 88

Total .

Iowa National Bank, Davenport.
CHARLES BEIDERBECKE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
".
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total




CHARLES PASCHE, Cashier.

No. 4022.
$642, 216. 51
2, 628.80
50, 000. 00
13, 660. 00
1, 500. 00
32,899. 88
1, 500. 00
3, 000. 00
94,851.10
8, 545. 51
109, 025. 09
14, 263. 65
28,716.95
3, 271. 00
504. 42
28, 938. 45
6, 000. 00

1,125. 00
1, 042, 646. 36

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding

$ioo, ooo.'oo

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

81,003.59
510, 827. 59

Individual deposits
United States deposits
Depositsof U. S.disbursing officers.

303, 633.81

18,000.00
6,483.37
22,500.00

198 00

Notes and bills rediscounted.
Bills payable
Liabilities other than those above !
stated
!
Total

| 1,042,646.36

229

REPORT OF THE COMPTROLLER OP1 THE CURRENCY.
IOWA.
National Bank, Decorah.
No. 5081.

L. B. WHITNEY, President.

H. C. HJERLEID, Cashier.

Resources.
Loans and discounts
O verdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks securities, etc
Bank g house,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U. S
Total.

Liabilities.
$150, 518. 22
2,197. 41
22,500.00

15, 000. 00
64.48
4, 000. 20
14,250. 30
1, 449. 37
96.78
12, 509. 70
300. 00
1, 012. 50

Capital stock paid in.

$50, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

2, 000. 00
2,154. 49
20, 250. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
j
United States deposits
Deposits of U.S.disbursingoincers. I.

149, 494.47

Notes and bills rediscounted.
Bills payable
Liabilities other than those above |
stated
!.
Total.

223,898.96

223, 898. 96

First National Bank, Denison.
W. A. MCHENRY, President.

Loans and discounts
|
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
j
Premiums on TJ. S. bonds
L
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers
Due from approved reserve agents. |
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
!
Fractional currency, nickels, cents, j
Specie
Legal-tender notes
|
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.

No. 4784.

SEARS MCHENRY, Cashier.

1336,779.14 Capital stock paid in
|
4,350.12 |
50,000.00 ; Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
15, 000. 00
Due to other national banks
Due to State banks and bankers.
169, 993. 54 Dividends unpaid
2,844. 71
Individual deposits
1, 000. 00 United States deposits
28. 77 Deposits of U.S.disbursing officers.
7, 084. 20
15, 000. 00 Notes and bills rediscounted.
Bills payable
2, 250. 00
Liabilities other than those above
stated
Total .

604, 330. 48

$100,000.00
20, 000. 00
10,258. 87
44, 520. 00

429, 551. 61

604, 330. 48

Citizens' National Bank, Des Moines.
J. G. ROUNDS, President.

No. 1970.

$1,153,671.94
Loans and discounts
15, 357. 91
Overdrafts
!
102,000.00
U. S. bonds to secure circulation...
100, 000. 00
U. S. bonds to secure deposits
U. S. bonds on hand
13, 700. 00
Premiums on U. S. bonds
93,186. 03
Stocks, securities, etc
3, 000.00
Bank'ghouse, furniture,and fixtures
20, 967. 31
Other real estate and mortg's owned
299, 462. 62
Due from other national banks
Due from State banks and bankers.
J9,680.27
Due from approved reserve agents .
573,471.57
Checks and other cash items
5, 731. 56
Exchanges for clearing house
24,731.70
Bills of other nationaljbanks
20, 481. 00
200.90
Fractional currency, nickels, cents.
69, 334. 00
Specie
119,155.00
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
4. 590.00
Due from Treasurer U. S

Total .




2.(538.721.81

GEO. E. PEARSALL, Cashier.

Capital stock paid in.

$200, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

100, 000. 00

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

545 784. 92
1, 050, 308. 97

Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits of U.S.disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total .

9, 028.42
91, 795. 00

539,
6,
84,
12,

299.50
005. 00
257. 54
242. 46

721.81

230

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
Des Moines National Bank, Des Moines.

ARTHUR REYNOLDS, President.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Duo from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

., 858, 487. 04
6, 451. 06
50, 000.00
200, 000. 00
13, 000. 00
24, 817.09
63,541. 29
16, 380. 25
132,939.34
24, 327.16
349, 562.11
4,041.93
21,310.08
6, 845. 00
376. 44
27,484. 30
79, 000. 00
2, 250. 00

2, 880, 813. 09

Total.

-, Cashier.

No. 2583.

Liabilities.
Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

$300, 000. 00
10, 000. 00
25, 885. 57
45, 000. 00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits of U. S. disbursing officers
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

593, 871. 58
805,175.15

909, 012. 84
1, 867.95
190,000. 00

2, 880, 813.09

Iowa National Bank, Des Moines.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
TJ. S. bondson hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtureOther real estate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Check s and other cash items
Exchanges for clearing house
Bills of other national banks

Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total

GrEO. A. DISSMORE, Cashier.

No. 2307.

E. H. HUNTER, President.

«

$329,232.78
10,551.52
25, 000. 00
2, 500. 00
27, 763. 26
30, 000. 00
22, 957. 00
33,808. 90
19, 007. 74
53, 956. 50
802. 07
7, 725.19
1, 430. 00
430. 92
30, 728. 25
30, 960. 00
1,125. 00

Capital stock paid in

|

$100, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

5, 939. 98
20, 780. 00

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

101,428.05
115, 928. 42

Dividends unpaid
Individual deposits
Certified checks
United States deposits
Deposits of U. S.disbursing officers.
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total .

627,979.13

283, 482. 68
420. 00

627, 979.13

Valley National Bank, Des Moines.
N. W. JOHNSON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.



No. 2886.
, 202, 347. 26
518.40
200, 000. 00

R. A. CRAWFORD, Cashier.

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National- bank notes outstanding.
State-bank notes outstanding

29, 600. 00
6, 080.00
41,013. 54
45,017. 65
38, 498. 45 Due to other national banks
125,571.07
2, 384.66 Due to State banks and bankers..
149, 626. 65 Dividends unpaid
19, 883.19 Individual deposits
10,999. 00 Certified checks
306. 77 United States deposits
I
108,138. 25 [ Deposits ofU.S.disbursing officers.!
80, 605. 00 Notes and bills rediscounted...
Billspayable
9, 000. 00
Liabilities other than those above
stated
2, 069,589.89

Total.

$200, 000.00
100,000.00
6, 208.54
175,997.50
389, 236. 35
641,432.74
5,358. 50
550,806. 26
550.00

2,069, 589.89

REPORT OF THE COMPTROLLER OP THE CURRENCY.

231

IOWA.
First National Bank, De Witt.
No. 3182.

W. H. TALBOT, President.

A. M. PRICE, Cashier.
Liabilities.

Resources.
Loans and discounts
|
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other re'alestate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items...
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U.S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U. S
Total.

$107,179. 35
222. 57
12,500.00
8, 820. 00
1, 000. 00
20, 800. 00
2, 400. 00
44, 578. 03
100, 345. 65
579.21

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid

• Individual deposits
3, 879. 00 | United States deposits
50.07 Deposits of U.S.disbursingofficers.
6,145.10
7, 000. 00 Notes and bills rediscounted
Bills payable
562*50 !
. ! Liabilities other than those above
stated
316, 0G1.48

Total .

$50, 000. 00
10, 000. 00
11, 289. 98
11, 250. 00

54, 257. 39
77.00
179,187.11

316, 061.48

First National Bank, Dubuque.
C. H. EIGHMEY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on II. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

O. E. GUERNSEY, Cashier.
No. 317.
$718,708. 74 | Capital stock paid in.
$200,000. 00
752. 81
90, 000. 00 Surplus fund
23, 000. 00
Undivided profits, less current
expenses and taxes paid
6,983. 25
8, 080. 00
National-bank notes outstanding.
81, 000.00
48, 700. 00 State-bank notes outstanding
20, 000. 00
8, 090. 00 Due to other national banks
208,565.99
28, 038.49 Due to State banks and bankers.
315,850.57
15, 426.17
392, 570.16 Dividends unpaid
600. 00
2, 659. 77
9, 542. 91 Individual deposits
587, 639. 01
12, 045. 00 United States deposits
162.42 Deposits of U.S.disbursingofficers.
54,812.35
10, 000. 00 Notes and bills rediscounted.
Bills payable
4, 050. 00
Liabilities other than those above
stated
1,423, 638. i.

Total .

1,423, 638.82

Second National Bank, Dubuque.
GBO. B. BURCH, President.
Loans and discounts
|
Overdrafts
!
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
|
Premiums on U. S. bonds
Stocks, securities, etc
j
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers .
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




J. K. DEMING, Cashier.
No. 2327.
$725,932.40 i Capital stock paid in
i $400, 000. 00
67.49
50, 000. 00 j Surplus fund
56,000.00
100,000.00 j Undivided profits, less current
11,439.43
I expenses and taxes paid
45,000.00
National-bank notes outstanding.'
208,590.85 State-bank notes outstanding.....;
5, 000. 00
15, 023. 55 ; Due to other national banks
284, 248. 82
87, 537.11
516, 641. 82
40,931.09 Due to State banks and bankers..
592, 637. 71
938.13 Dividends unpaid
5, 295.71
552, 032. 21
9,011.00 Individual deposits
365. 24 United States deposits
90, 971. 24
101,782.00 Deposits of U.S.disbursing officers.
4, 028. 76
15, 000. 00
! Notes and bills rediscounted
2, 250. 00 Bills payable
Liabilities other than those above ;
stated
\
Total

1,960, 362. 28

232

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA,
Dubuque National Bank, Dubuque.

D. D. MYERS, President.

No. 3140.

J A S . HARRAGAN, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation ...
U. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank' g house, furniture, andfixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

$303,172. 85
333.09
25,000. 00
16, 500. 00
1, 000. 00
30, 562. 05
4,000.00
15, 877. 01
6, 094. 91
67,132. 25
33.27
1,439. 06
9, 810. 00
157. 06
10,392.85
10, 000. 00
1,125. 00

502,629.40

Total.

Capital stock paid in

!

$100,000.00

Surplusfund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.

20, 000. 00

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

16, 318. 75
48, 939. 05

Individual deposits
United States deposits
Deposits of U.S. disbursing officers.
Notes and bills rediscounted.
Bills payable

293, 040. 27

1,831.33
22,500.00

State-bank notes outstanding

Liabilities other than those above
stated
Total.

502, 629.40

First National Bank, Dunlap.
T. F. JORDAN, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation ...
U. S. bonds to secure deposits
i
U. S. bonds on hand
i
Premiums on U. S. bonds
I
Stocks, securities, etc
Bank'g house, furniture, andfixtures
Other real estate and mortg's owned!
Due from other national banks
Due from State banks and bankers .
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie..,
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

No. 4139.
$81, 773.14
1,172. 87
12, 500. 00

4,100. 00
3, 229. 22
22, 077. 64
52.17

340. 00
40. 0G
1, 680. 00
1, 000. 00
562. 50

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

4, 000. 00
1, 401. 23
11, 250. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

61, 876. 37

Notes and bills rediscounted .
Bills payable
Liabilities other than those above
stated

128, 527.60

Total.

H. A. MOORE, Cashier.

Capital stock paid in.

Total.

128,527.60

Merchants' National Bank, Eagle Grove.
J. FITZMAURICE, President.
Loans and discounts.
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'g house, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas.U. S.
Due from Treasurer U. S
Total.



No. 4694.
$101,823. 35
2, 479. 26
12,500. 00
1,500. 00
8, 000.00
5, 708. 09
7,185.15
612. 94

2, 585.00
20.26
1, 505.30
2, 000. 00
562.50
146,481.85

E. C. PLATT, Cashit

Capital stock paid in.

$50, 000.00

Surplusfund

2,150.00

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

527. 73
11, 250. 00

Due to other national banks
j
Due to State banks and bankers.. i
Dividends unpaid

732. 58

I

Individual deposits
|
United States deposits
j.
Deposits ofU.S.disbursing officers, j.

81, 821. 54

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

146,481.85

REPORT OF THE COMPTROLLER OF THE CURRENCY.

233

IOWA.
First National Bank, Eldora.
No. 5140.

J. H. BALES, President.

W. < . MURRAY, Cashier.
T

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U.S.bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures!
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S Due from Treasurer U. S
!
Total.

$170,985.63
2, 023. 96
12, 500. 00

3, 000. 00
> °- 0 0

9 20

Capital stock paid in.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Due to other national banks
12,571. 36 Due to State banks and bankers..
1,423. 23
60,495.93 I Dividends unpaid
577.42
Individual deposits
1,520. 00 United States deposits
60.44 Depositsof U.S.disbursingofficers. I
10,724.50
3,230. 00 Notes and bills rediscounted...
Bills payable
562.50
Liabilities other than those above
stated
Total.

;8, 874. 97

6, 000. 00
1, 210. 49
11,250.00

35, 093.48

185, 321. 00

288, 874.97

First National Bank, Elkader.
W M . LARRABEE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S

No. 1815.
A. J. CARPENTER, Cashier.
$63, 577. 71 Capital stock paid in.
$50, 000. 00
15. 21
12, 500. 00 Surplus fund
3, 800.00
Undivided profits, less current
20, 400. 00
2,182. 24
expenses and taxes paid
1,156.13 National-bank notes outstanding.
11, 247.50
5,700.00 State-bank notes outstanding
5, 800. 00
1, 627. 65 Due to other national banks
23, 215. 28 Due to State banks and bankers.
24, 230. 36 Dividends unpaid
204.00
258. 00
Individual deposits
111, 763. 04
1,448.00 United States deposits
52.44 Deposits of U.S.disbursingofficers.
13, 653. 50
5, 000. 00 Notes and bills rediscounted.
Bills payable
562.50
Liabilities other than those above
stated
179,196. 78

Total.

179,196. 78

Total .

First National Bank, Emmetsburg.
E. B. SOPER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andnxtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 3337.
»$155,057.19
2, 206. 62
20, 000. 00

37.50
11,000.00
24, 824.72
6, 101.34
2, 852. 00

A. H. KELLER, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

9,400.00
1, 741.33
18, 000.00

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

Individual deposits
United States deposits
53.15
8,793.21 Depositsof US.disbursing officers1, 500. 00 Notes and bills rediscounted...
900. 00 Bills payable
Liabilities other than those above
stated
233,325.73 !j

$80, 000. 00

Total .

124,184.40

233,325. 73

234

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
First National Bank, Estherville.
No. 4700.

E. B. SOPER, President.

JNO. P. KIBBY, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S.bonds on hand
Premiums on IJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture, and fixtures
Other real estate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit.
Kedemption fund with Treas. U. SDue from Treasurer U. S

Liabilities.
$187,058. 88
3, 551. 44
12, 500.00

Capital stock paid in.

10, 000. 00
1, 094. 39
73, 840. 01

10, 000. 00
10, 001. 22
11, 250.00
27.87
375.06

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

16,195.18 I Dividends unpaid
924.33
Individual deposits
United States deposits
Deposits of U. S .di sbursin g officers.

238, 208. 96

Notes and bills redisoounted.
Bills payable
562.50 I

Liabilities other than those above
stated

319, 863.11

Total .

$50,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total .

319, 863.11

First National Bank, Fairfield.
No. 1475.

B. S. MCELHINNY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Kedemption fund with Treas. U . S .
Due from Treasurer U. S

$131, 641. 25
6, 035.90
35, 000. 00
5,520. 00
3,875.00
60, 757. 72
10, 000. 00

|

$100, 000. 00

Surplusfund
j
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
State-bank notes outstanding

20, 000.00
7,454.39
27, 012.50

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

45,875. 34
20,444.48
1,004. 85

Individual deposits
j
United States deposits
j.
DepositsofU. S.disbursing officers. .

149. 49
13,150. 00
11, 815. 00

192, 377.14

Notes and bills rediscounted.
Bills payable

1, 575. 00

Liabilities other than those above
stated

346,844.03 |

Total.

FRANK LIGHT, Cashier.

Capital stock paid in

Total.

346, 844. 03

First National Bank, Forest City.
B. A. PLUMMER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers .
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

No. 4889.
$170. 708.90
880.78
12,500.00

Total.

|

Surplus fund
I
Undivided profits, less current I
expenses and taxes paid
National-bank notes outstanding. {
I State-bank notes outstanding
!

$50, 000.00
4, 000.00
409.84
11,250.00

8, 365. 00
-1; Due to other national banks
L
799. 64 i Due to State banks and bankers.. \.
7, 977. 44 ! Dividends unpaid
!.
303. 80
Individual deposits
j
'
650. 00 United States deposits
174. 34 Depositsof U.S.disbursingofficers.
8, 829. 00
45.00 Notes and bills rediscounted.
| Bills payable

146,136.56

562.50 i
ij




R. C. PLUMMER, Cashier.

Capital stock paid in.

211,796.40 1

Liabilities othe r than thos i above
stated
Total

211, 796.40

REPORT OF THE COMPTROLLER OF THE CURRENCY. 235
IOW A .
Forest City National Bank, Forest City.
C. J. THOMPSON, President.

No. 5011.

G S. GILBERTSON, Cashier.
L

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. IS. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures!
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U. S

$255,832.02
6, 986. 47
20, 000. 00
1, 000. 00
11 600.00
2, 000. 00
3,116. 28
978. 71
9, 394.16
7,473. 33

Capital stock paid in.

$50,

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

000.00

10, 000. 00
279.42
18,000.00

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
256,

334,990.83

Total.

Individual deposits
"l," 500." 66" United States deposits
64. 06 DepositsofU.S.disbursing officers.
10,145. 80
4,000. 00 Notes and bills rediscounted..
Bills payable
900.00
Liabilities other than those above
stated

334, 990. 83

Total .

311. 02

First National Bank, Fort Dodge.
S. T. MESERVEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, centsSpecie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with. Treas. U. S Due from Treasurer XJ. S
Total.

E. H. RICH, Cashier.
No. 1661.
524. 40 Capital stock paid in.
$200, 000. 00
4, 913. 44
50, 000. 00 Surplus fund
40, 000.00
Undivided profits, less current
5, 394.15
expenses and taxes paid
45, 000. 00
National-bank notes outstanding.
19, 095. 26
State-bank notes outstanding

$1, 060,

24,

000. 00

160, 953. 53
15, 946. 25
301,111.64
5, 474.31

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

Individual deposits
'" 2*579." 66' United States deposits
468.11 DepositsofU.S.disbursingoflicers.
37, 940.00
50, 000. 00 Notes and bills rediscounted
Bills payable
2, 250. 00
Liabilities other than those above
stated
1, 735,

255.94

387,505.07
512,539.11

544, 817.

61

1, 735, 255.94

Total.

Commercial National Bank, Fort Dodge.
S. J . BENNETT, President.

No. 4566.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
IT. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S
Total




!

$129,114. 87
535. 22
12,500. 00

4,
2,
21,
6,
5,
50,

994.
000.
400.
510.
377.
396.
421.

87
00
00
54
07
70
33

J. W. CAMPBELL, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Individual deposits

562.

50

000.

00

27, 000.00
477.62
11,250.00

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

" "i,"o95.66" United States deposits
52.28
13, 050. 00
3, 000. 00

$50,

4, 739. 93

157,

542. 83

DepositsofU.S.disbursingofficers.

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

251, 010.38

236

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
Fort Dodge National Bank, Fort Dodge.

J. C. CHENEY, President.

No. 2763.

Resources.
Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
I
TJ. S. certificates of deposit
j
Redemption fund with Treas. U. S.|
Due from Treasurer TJ. S

Liabilities.
$246, 603. 59
195. 2)
50,000.00

Capital stock paid i n .

$75, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
500. 00
National-bank notes outstanding.
3,358.14 State-bank notes outstanding

16, 000. 00
3, 226. 99
45, 000. 00

3,169. 00

94, 530.64
18,264.71
119,303. 90
530. 50
1, 579. 28
2, 305. 00
74.47
7, 835. 00
5, 500. 00
2,250.00 I
555, 999.44

Total.

JOHN T. CHENEY, Cashier.

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

29,701.14
132,120.98

Individual deposits
United States deposits
DepositsofU.S.disbursingofncers.

254, 950. 33

Notes and bills rediscounted.
Bills payable
I Liabilities other than those above

stated
Total.

555, 999. 44

First National Bank, Garner.
"WILLIAM SHATTUCK, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
"U. S. bonds to secure deposits...
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks.
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

No. 4810.
$116,407.44
583. 88
12,500.00
1. 375.00
8,160. 00
2, 348. 45
28,181. 25
256. 43
19,199. 88
1, 342. 53

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
1,000.00 -United States deposits
95.37 Deposits of U. S.disbur.sing officers.
6, 952. 30
562. 50

198,965.03

Total.

CHARLES "W. KNOOP, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

$50, 000. 00
1, 665. 00
1, 505. 47
11, 250. 00

20,471.71
80. 00
113, 992.85

198, 965. 03

Mills County National Bank, Glenwood.
D. L. HEINSHEIMER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.j
Due from Treasurer U. S
Total.



No. 1862.
$87,159. 84
190. 00
41, 250. 00

A. D. FRENCH, Cashier.

Capital stock paid in.

$65, 000. 00

Surplusfund
Undivided profits, less current
expenses and taxes paid
1, 500. 00 National-bank notes outstanding.
18,040. 20 State-bank notes outstanding

26, 000.00

2, 000. 00
2,823. 75
8, 074. 98
8,121. 34
65, 040. 68
887.09
1,125. 00
137. 16
6, 326.55
1, 600.00
1, 856.25
5.00
246,137. 84

1, 301. 24
37,125.00

Due to other national banks
Due to State banks and bankers
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursin g officers.

116,711.60

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

246,137.84

REPORT OF THE COMPTROLLER OF THE CURRENCY.

237

IOWA.
First National Bank, G-lidden.
No. 4814.

S. C. DUNKLE, President.

D. E. WALDKON, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture.and fixtures!
Other real estate andmortg'sowned
Due from other national banks
Due from State banks and bankers .
Due from approved reserve agents.
Checks and other cash items.
Exchanges for clearing house
-Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total .

$97,064.68
3, 853. 83
12,500. 00

Capital stock paid in .

$50,000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

5, 000. 00
836. 64
11, 250. 00

7,000. 00

17,567.27
1, 640. 01
570.00
42.99
2, 879. 80
5, 000. 00
562. 50
148,681.08

Due to other national banks
i
Due to State banks and bankers.. j .
|
Dividends unpaid

1,691. 33

Individual deposits
United States deposits
Deposits of U. S. disbursing officers. I.

79,824. 72

N otes and bills rediscounted
Bills payable

!.
j.

Liabilities other than those above j
stated
i

Total.

78.39
148, 681. 08

First National Bank, Grinnell.
J . P. LYMAN, President.

Loans and discounts
Overdrafts
U.S. bonds to secure ci rculation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.!
Due from approved reserve agents, j
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U . S . certificates of deposit
•Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

H. C. SPENCER, Cashier.
No. 1629.
$230, 638. 87 Capital stock paid in
$100, 000. 00
2, 512. 82
j
17, 600. 00
25, 000. 00 Surplusfund
Undivided profits, less current
expenses and taxes paid
1, 620.44
2,100. 00 I National-bank notes outstanding.
22, 500. 00
5,331.00 State-bank notes outstanding
1, 500. 00
j Due to other national hanks
j
10, 735. 22 I Due to State banks and bankers
j
23, 268. 91 Dividends unpaid
4,317. 20
Individual deposits
181, 625. 02
249.00 United States deposits
j
132.74 Depositsof U.S.disbursingomcers.j
12, 389. 70
4, 045. 00 Notes and bills rediscounted.
Bills payable

*i,"i25.66"

323, 345.46

Liabilities other than those above
stated
Total.

323, 345. 46

Merchants' National Bank, Grinnell.
C. R. MORSE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing h o u s e . . . . . .
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S Due from Treasurer U. S
Total .




GrEO. H. HAMLIN, Cashier.
No. 2953.
$262, 352.18 Capital stock paid in
j $100,000. 00
2, 394. 78
25,000.00 Surplus fund
14,100. 00
Undivided profits, less current
2, 903. 22
expenses and taxes paid
1, 000. 00
22, 500.00
2, 500. 00 National-bank notes outstanding.
State-bank notes outstanding
1, 980. 00
Due to other national banks
50.43
Due to State banks and bankers..
36, 382. 01 Dividends unpaid
6, 537. 80
Individual deposits
!
230, 900. 93
1,531. 00 United States deposits
j
137. 83 Deposits of U.S.disbursingofficers.!
6, 584.00
6. 000. 00 Notes and bills rediscounted.
Bills payable
1,125.00
Liabilities other than those above

stated

370,454. 58

Total.

370, 454. 58

238

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
First National Bank, Grundy Center.

GEORGE WELLS, President.

No. 3225.

R. M. FINLAYSON, Cashier.

Resources.

Liabilities.

Loans and discounts
i
Overdrafts
I
TJ. S. bonds to secure circulation... j
U. S. bonds to secure deposits
!.
U. S. bonds on hand
I.
Premiums on TJ. S. bonds
\
Stocks, securities, etc
Bank'g house,furniture,and fixtures;
Other real estate and mortg's owned .
Due from other national banks. ..
Due from State banks and bankers. .
Due from approved reserve agents. j
Checks and other cash items.
Exchanges for clearing house
Bills of other national banks
j
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TJ. S. !•
Due from Treasurer TJ. S

$143, 028. 88 Capital stock paid in.
363.77
12, 500. 00 Surplusfund
Undivided profits, less current
expenses and taxes paid
1, 200. 00 National-bank notes outstanding.
State-bank notes outstanding

7,000. 00
1, 498. 87
11,250. 00

8,666. 00

I Due to other national banks
4,077.26 i Due to State banks and bankers.
29, 908. 35 ! Dividends unpaid
5, 727. 39
Individual deposits
653. 00 j United States deposits
38. 27 ! Deposits of U. S. disbursing officers
7, 489. 00
4, 800. 00 Notes and bills rediscounted.
JMils payable
562. 50
Liabilities other than those above
stated
218, 348. 42

Total .

$50,000. 00

148, 599.55

218, 348.42

Total.

Grundy County National Bank, Grundy Center.
No. 3396.
H. S. BECKMAN, Cashier.

S. R. RAYMOND, President.

Loans and discounts
i
Overdrafts
U. S. bonds to secure circulation...\
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
j
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned!
Due from otber national banks
j
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.:
Specie
j
Legal-tender notes
!
U. S. certificates of deposit
•
Redemption fund with Treas. U. S.!
Due from Treasurer U. S

$263, 362. 53 I Capital stock paid in.
740. 49
37,500. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
1,800. 00
Due to other national banks
11,407.95 Due to State banks and bankers.
54, 819.12 Dividends unpaid..
535. 52
Individual deposits.
United States deposits
108. 37 Deposits of U.S. disbursing officers
10, 738.10
9, 210. 00 Notes and bills rediscounted.
Bills payable
1, 687. 50
Liabilities other than those above
stated
391, 909. 58

Total.

Total .

$50, 000. 00
25, 000. 00
4,144. 59
33, 750. 00

16, 999. 72
100. 00
261,915.27

391, 909. 58

First National Bank, Hartley.
OLIVER EVANS, President.

Loans and discounts
I
Overdrafts
TJ. S. bonds to secure circulation... j
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




No. 4881.
$99,821.12
7,447.00
12, 500. 00
...
...
1,150. 00
1,110. 00
6,308. 99
7,820. 17
675. 07

E. E. H A L L , Cashier.

| Capital stock paid in
! Surplus fund
j
Undivided profits, less current j
i expenses and taxes paid
J
; National-bank notes outstanding j
|! State-bank notes outstanding
!
||
j
i Due to other national banks
j
|! Due to State banks and bankers.

11, 022. 58 !! Dividends u n p a i d . . .
807.36 I
Individual deposits.
p
660. 00
United States deposits
22.82
Deposits of U.S. disbursing officers.
1, 700. 00
2, 000. 00 Notes and bills rediscounted
Bills payable
""562." 50
Liabilities other than those above
stated
153, 607.61

Total.

$50,000.00
10, 000. 00
969.15
11,250.00

81, 388. 46

153, 607. 61

23(J

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
First National Bank, Hawarden.
No. 4594.

F. E. WATKINS, President.

T. A. GBEINEE, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
(
U. S. bonds on hand
:
Premiums on TJ. S. bonds
J
Stocks, securities, etc
j
Bank'ghouse, furniture, andfixturesj
Other real estate and mortg's owned j
Due from other national banks
j
Due from State banks and bankers.!
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national bank s
Fractional currency,nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Liabilities.
$132, 432.10 Capital stock paid in
2,319.17
25,000.00 , Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
263.73 State-bank notes outstanding
6, 500. 00
23, 455. 00 Due to other national banks
Due to State banks and bankers..
3, 780. 99
24, 976. 79 Dividends unpaid
212. 73
Individual deposits
"""355.06 United States deposits
58.16 Depositsof U.S.disbursing officers.
1, 877.15
Notes and bills rediscouuted
Bills payable
1,125. 00
Liabilities other than those above
stated
222, 355. 82

Total.

$50,000.00
10, 500. 00
22, 500. 00

127,301.58

10, 000. 00

222, 355. 82

Total.

First National Bank, Independence.
EICHAED CAMPBELL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bond s to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc.
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national bank s
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ. S
Total.

No. 3263.

$385, 555.79
6, 743.14
25, 000. 00
26, 000. 00
37. 50
1, 358. 04
17, 500. 00
4, 000. 00
149, 209. 81
63,895.41
7, 775. 41
558. 00
535.19
10, 685. 00
16, 798. 00
" "1*125." 66"

WILLIAM W. DONNAN, Cashier.

Capital stock paid in

!

$100,000. 00

Surplus fund
|
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

46, 685. 90
22, 500. 00

20, 000. 00

Due to other national banks
Due to State banks and bankers..i
Dividends unpaid

541. 08
68, 012. 64

Individual deposits
United States deposits
Depositsof U.S.disbursing officers.!

459, 036. 67

Notes and bills rediscounted
!
!
Bills payable
Liabilities other than those above j
stated
!

716,776.29

716,776. 29

Total .

People's National Bank, Independence.
THOMAS EDWARDS, President.

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mort g's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents .
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
!
Fractional currency, nickels, cents.!|
Specie
Legal-tender notes
!
TJ. S. certificates of deposit
j
Redemption fund with Treas. V. S.j
Due from Treasurer U. S
Total.




J U S T U S F . COY,

No. 2187.
$158, 817.30
3, 524. 81
20, 000. 00
1, 500. 00
2,500. 00
1, 822. 00
22, 004. 40
"32," 672." 39
2,721. 75
1, 021.00
239. 09
14, 808. 08
366. 00

Capital stock paid i n .
S u r p l u s fund
U n d i v i d e d profits, less c u r r e n t
expenses a n d t a x e s paid
N a t i o n a l - b a n k notes o u t s t a n d i n g .
State-bank notes o u t s t a n d i n g

Cashier.

$75, 000. 00
15,000.00
7,436. 30
18,000. 00

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

Individual deposits
United States deposits
Depositsof U.S .disbursing officers.

147, 460. 52

Notes and bills rediscounted.
Bills payable

900.00

Liabilities other than those above
stated
262, 896. 82 j

Total .

262,896.82

240

REPORT OF THE COMPTROLLER OF THE CURRENCY
IOWA.
First National Bank, Indianola.
No. 1811.

J O H N A. SHULER, President.

J . F. SAMSON, Cashier.

Resources.

Liabilities.

Total.

$99,319.91 ; Capital stock paid in.
1,431.34 !
12,500.00 j Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
5, 800. 00
1, 379. 48 Due to other national banks
3, 541. 51 Due to State banks and bankers.
45,825.80 !! Dividends unpaid .
556.42 |
Individual deposits
2,180. 00 ; United States deposits
30. 00 ! Deposits of U.S. disbursing officers.
2,150. 00 i
2,500. 00 i Notes and bills rediscounted
! Bills payable
562.50
Liabilities other than those above
stated

$50,000.00

177, 776. 96

Loans and discounts
Overdrafts
TJ. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,±'urniture,andfixtures
Other real estate and mortg's owned!
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U. S

177, 776.96

Total .

20,000.00
5, 393. 79
11, 250.00

91,133.17

First National Bank, Iowa City.
PETER A. DEY, President.
Loans and discounts:
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank' g house, furniture, and fixtures
Otherrealestate andmortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items.
Exchanges for clearinghouse
Bills of other national bank:
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

LOVELL SWISHER, Cashier.
No. 2738.
$271, 636. 64 Capital stock paid in
| $100, 000. 00
24, 685. 82
36, 000.00 Surplus fund
30, 000. 00
Undivided profits, less current I
expenses and taxes paid
7, 946. 07
32, 400. 00
National-bank notes outstanding
23, 000. 00 State-bank notes outstanding
6, 000. 00
13, 433. 41 Due to other national banks
1, 868. 07
1, 286. 56
Due to State banks and bankers..
2, 678. 90
37, 269. 22 Dividends unpaid
392. 00
9, 893.12
Individual deposits
293, 209.24
"'3,775'bo* United States deposits
457. 75 Deposits of U.S.disbursing officers.
32,100. 75
5, 760. 00 Notes and bills rediscounted.
Bills payable
1,620.00
5.00 Liabilities other than those above
stated
1, 213.67

468, 315. 61

Total.

468,315.61

Total.

First National Bank, Iowa Falls.
E. S. ELLSWORTH, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bondsonhand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg' s owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
.
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 3252.

W. H. WOODS, Cashier.

$158,289.09 1 Capital stock paid in.
1
15,745. 19
12, 500. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding
5, 739. 45 State-bank notes outstanding
10,174.00
8,279. 01 Due to other national banks
|.
13, 548. 26 Due to State banks and bankers..
38,595. 34 Dividends unpaid
3,146.18
Individual deposits
3, 375. 00 United States deposits
120. 02 ! Deposits of U.S.disbursing officers .
7, 993. 90
1, 518.00 Notes and bills rediscounted.
Bills payable
562. 50 j
Liabilities other than those above
stated
279,585.94 [

Total.

$50, 000. 00
25, 000. 00
31, 387. 20
11,250. 00

34, 687.88

127, 260. 86

279,585.94

REPORT OF THE COMPTROLLER OF THE CURRENCY.

241

IOWA.
Keokuk National Bank, Keokuk.
No. 1992.

S. P. POND, President.

E. F. BROWNELL, Cashier.

Resources.

Liabilities.

Loans and discounts
O verdraf ts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer TJ. S

$192, 441.15 I Capital stock paid in
\
521.96
85, 000. 00 j Surplus fund
I Undivided profits, less current
expenses and taxes paid
6, 856. 41 National-bank notes outstanding.
2,750. 00
State-bank notes outstanding
12, 389. 72
6,000. 00
1,320 91
2, 620. 87
58, 889.30
429. 86

Individual deposits
8, 545. 00 United States deposits
19.03 Deposits of U. S.disbursing officers.
18,550.00
500. 00 Notes and bills rediscounted
Bills payable
3,825.00
Liabilities other than those above
stated
400, 659.21

Total.

Due to other national banks
i
Due to State banks and bankers..!
Dividends unpaid.

Total .

$100, 000. 00
20, 000. 00

386. 00
76, 500. 00
3. 526. 37
12, 994.44
157. 50
187, 094. 90

400,659. 21

Citizens' National Bank, Knoxville.
S. L. COLLINS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secnre deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Ban k 'g house,f ami ture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .

L A F E S. COLLINS, Cashier.
No. 4633.
$118,312. 63 Capital stock paid in.
$50, 000. 00
16,087.91
40,000. 00 Surplusfund
7,500.00
Undivided profits, less current
600. 00
14, 356. 59
expenses and taxes paid
2, 537. 50 National-bank notes outstanding.
36, 000.00
3, 900. 00 State-bank notes outstanding
11,978.00
Due to other national banks
28, 576. 86 Due to State banks and bankers.
34, 289.96 Dividends unpaid
644. 00
494. 56
Individual deposits
155, 579.14
United States deposits
316. 22 Deposits of U. S.disbursing officers.
5,400. 00
1,515.00 Notes and bills rediscounted
Billspayable
71.09
Liabilities other than those above

264, 079. 73

stated
Total .

264, 079. 73

Knoxville National Bank, Knoxville.
E. H. AMOS, President.

Loans and discounts
Overdrafts
TJ, S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank 'g house, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
j
U. S. certificates of deposit
Redemption fund with Treas. U. S.j
Due from Treasurer U. S
!

468,440. 71

Total.


CUR
http://fraser.stlouisfed.org/99, YOL
Federal Reserve Bank of St. Louis

J. B. ELLIOTT, Cashier.
No. 1871.
$100,000. 00
$271, 514. 37 Capital stock paid in.
8,711,74
68, 200. 00 Surplusfund
22, 000.00
Undivided profits, less current
5, 952.43
expenses and taxes paid
61, 380.00
2, 300. 00 National-bank notes outstanding.
7, 027. 06 State-bank notes outstanding
10, 550. 00
Due to other national banks
7, 247. 31 Due to State banks and bankers .
13,314.36
40, 896. 25 Dividends unpaid
3, 370. 07
279,108. 28
Individual deposits
1,471.00 United States deposits
153.55 Deposits of U.S.disbursing officers.
23,116.00
8,000.00 Notes and bills rediscounted.
Bills payable
2,569.00
Liabilities other than those above
stated

2

16

Total .

468,440.71

242

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
Marion County National Bank, Knoxville.

0. P. WRIGHT, President.

No. 1986.

0. L. WRIGHT, Cashier.
Liabilities.

Resources.
Loans and discounts
Overdrafts
TT. S. bonds to secure circulation
U. S. bonds to secure deposits...
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national panks
Fractional currency, nickels, cents.
Specie
i
Legal-tender notes
XI. S. certificates of deposit
Redemption fund with Treas. TT. S.
Due from Treasurer U. S
Total.

$186,841.06
8,457. 85
40, 000. 00

3, 000. 00

8, 640. 00
90,124 41
650.86
220.
180.
9, 565.
4, 500.

00
00
00
00

1,800.00 |

Capital stock paid in .

$60,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

12, 000. 00
431.68
36,000. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

245, 547. 50

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

353,979.18 I

353, 979.18

Total .

First National Bank, Lake City.
S. T. HUTCHISON, President.

Gr. B. WHEELER, Cashier.

No. 4966.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U. S. bonds on hand'.
Premiums on XL S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$76, 302. 97
520. 07
13, 000. 00
6, 000. 00
41.25
683.10
12, 041. 35
69, 573. 06
5, 021. 71
13, 067. 71
531. 61
535.00
47.08
8, 052. 25
4,000. 00
585. 00

Capital stock paid in.

3, 300.00
289.73
11,700. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S. disbursing officers.

144,712.43

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

210,002.16

Total.

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

210,002.16

Total.

First National Bank, Lake Mills.
J . C. WILLIAMS, President.
Loans and discounts
j
Overdrafts
;
U. S. bonds to secure circulation... j
U. S. bonds to secure deposits
j
U. S. bonds on hand
I
Premiums on U. S. bonds
Stocks, securities, etc
j
Bank'ghouse,furniture,and fixtures'
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationalbanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




B. H. THOMAS, Cashier.

No. 5123.
$120,133.91
420.17
37, 500. 00
1,125. 00
8, 009. 91
4, 313. 74
11,736.72
1,135. 70
11.87
1,908. 20
1,450. 00
1,687.50
68.64
189,501.36

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National bank notes outstanding.
State-bank notes outstanding

$50,000. 00

2,413.51
33,750.00

Due to other national banks
Due to State banks and bankers .
Dividends unpaid
Individual deposits
United States deposits
Depositsof U.S.disbursingofficers.

103, 337. 85

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

189, 501.36

REPORT OF THE COMPTROLLER OF THE CURRENCY.

243

IOWA.
First National Bank, La Porte City.
No. 4114.

R. A. PERKINS, President.

F. E. WETTSTEIN, Cashier.
Liabilities.

Resources.
Loan s and discounts
Overdrafts
IT. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'gbouse^urniture.andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal tender notes
U. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S

$159,830.04 Capital stock paid in.
5, 829. 02
12, 500. 00 | Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding. |
1,464.19 State-bank notes outstanding
2,300.00
Due to other national banks
6,831. 71
436. 02 Due to State banks and bankers..[
13, 478.76
1, 383.41 Dividends unpaid
131. 00
60.32
6, 670. 75
1, 000. 00
562.50

Individual deposits
United States deposits
Deposits of U.S.disbursing officers.!.
Notes and bills rediscounted
Bills payable
j.
Liabilities other than those above I
stated
I-

212,477.72

Total.

$50, 000. 00
20,000.00
787.87
11, 250. 00

130, 439. 85

212, 477. 72

Total.

First National Bank, Laurens.
F. H. HELSELL, President.

W. A. MCNEE, Cashier.

No. 4795.

Loans and discounts
Overdrafts
U . S . bonds to secure circulation...
U. S. bonds to secure deposits
U S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
iJank'ghouse.furniture.and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S

$106,563.72
3,006.58
12,500.00

7,500. 00
1, 777. 69
2,476.41
396. 01
135.41
2, 075. 70
530. 00
562.50

Capital stock paid in.

4, 850. 00
2, 095. 52
11,250.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingofficers

69, 328. 50

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total .

137,524.02

Total .

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

137,524.02

First National Bank, Lemars.
P. F. DALTON, President.
Loans and discounts
Overdrafts
U S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S.bonds on hand
Premiums on U. S. bonds
Stocks securities etc
Bank'g house furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency, nickels, cents
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total .




G. L. WERNLI, Cashier.

No. 2728.
$440, 273. 67
6, 073. 34
30, 000. 00

40,000. 00

15, 600. 00
29,952.25
213, 605. 08
34,103. 07

88, 810. 56
7, 607.43
3, 670. 00
82.67
26, 484. 55
10, 412. 00

850.00

947, 524. 62

Capital stock paid in
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..

$100,000.00
50, 000. 00
8, 019. 74
27,000.00
14, 638. 58
158, 247.17

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursing officers
Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total .

589, 619.13

947, 524.62

244

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA,
Lemars National Bank, Lemars.

G. C. MACLAGAN, President.

No. 2818.

FRANK KOOB, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
IT. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
TJ. S bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$163, 485. 95
7. 570. 25
25, 000. 00

6, 800. 00
3, 300. 00
45,501.28
3,416.04
240. 85
7, 731.16
524.71
1,220. 00
21.41
6,279. 25
5,300. 00
1,125.00
277,515.90

Total

Capital stock paid in

$100, 000. 00

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

2, 917.85
22, 500.00

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

5, 587.13

Dividends unpaid
Individual deposits
United States deposits
Deposits of U S.disbursing officers.
Notes and bills rediscounted
Bills payable

120,190.17

21,320.75
5, 000.00

Liabilities other than those above

stated
Total

277, 515. 90

First National Bank, Lyons.
No. 2733.

I). J. BATCHELDER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national l>anks
Fractional currency, nickels.cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

"WILLIAM HOLMES, Cashier.

$374,357.09 [ Capital stock paid in.
1,081.06
50, 000. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
11,640.00 State-bank notes outstanding
18, 242. 68
2,537. 90
135,027. 43
768. 84
2,000. 00
152. 06
30,813. 05
10,000.00
2,250.00
638,870.11

Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursing officers.

$100,000.00
20, 000.00
4,470.18
45, 000. 00
2, 333. 66
31,396. 91

435, €

Notes and bills rediscounted...
Bills payable
Liabilities other than those above

stated
Total.

638, 870.11

Citizens' National Bank, Lyons.
LEROI B. WADLEIGH, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
J
!
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures:
Other real estate and mortg's owned
Due from other national banks
|
Due from State banks and bankers
Due from approved reserve agents. j
Checks and other cash items
\
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels, cents.'
Specie
Legal-tender notes
U. S. certificates of deposit
'
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Total.



No. 4536.

VIRTUS LUND, Cashier.

$194,361.24
1,070.49
25,000.00

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
25,000. 00
3,411. 25 National-bank notes outstanding.
5,004. 94 State-bank notes outstanding

$100, 000.00

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

3,118. 69
6,770. 70

3,600. 00
1,488.16

86,522. 00
427. 58
1,500.00
75.57
30,455.60
2,500.00
1,125. 00
381, 541. 83

Individual deposits
United States deposits
DepositsofU.S.disbursingofficers.

5, 000.00
2,260.22
22, 000. 00

242, 392.22

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

381,541.83

REPORT OF THE COMPTROLLER OF THE CURRENCY.

245

IOWA.
First National Bank, Malvern.
No. 2247.

J . M. STRAHAN, President.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
D. S. bonds onhand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house,furniture, andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national T>anks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U . S .
Due from Treasurer U. S
Total.

JAMES J . WILSON, Cashier.

Liabilities.
$159, 087. 51
6, 037. 47
12, 500. 00
1, 675. 00
5,893.51
11, 302. 25
2, 886.49
69,159. 41
2,888. 92
9.91
13,447.50
8, 900. 00
562. 50
294, 350.47

Capital stock paid in

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers. .

20, 000. 00
478. 79
11, 250. 00

315. 97

Dividends unpaid
i
Individual deposits
j
United States deposits
|
Deposits of U.S. disbursing officers, j

212, 305. 71

Notes and bills rediscounted...
Bills payable
Liabilities other than those above

stated
Total.

294, 350.47

First National Bank, Manchester.
M. F. LE ROY, Cashier.

No. 4221.

J. W. MILES, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Rills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$162, 659.15
1, 835.62
12,500.00

9, 200. 00
76,655*76
18,119.56
4,381.51
955. 00
96.60
10, 814.50
6,000. 00

$50, 000. 00

Surplus fund
i
Undivided profits, less current
expenses and taxes paid
|
National-bank notes outstanding.
State-bank notes outstanding

2, 590. 40
11, 250. 00

Due to other national banks
|.
Due to State banks and bankers.. j
Dividends unpaid

6, 045.14

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

9,000.00

224, 888. 68

Notes and bills rediscounted.
Bills payable

556. 52

Liabilities other than those above

stated

303, 774. 22

Total.

Capital stock paid in

Total.

303,774.22

First National Bank, Manning.
DONALD W. SUTHERLAND, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums onU. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




ORSON E. DUTTON, Cashier.
No. 3455.
$158, 735.17 Capital stock paid in$50, 000.00
189.91
12,500. 00 Surplus fund
10,000.00
Undivided profits, less current
expenses and taxes paid
1, 557.25
11,250. 00
National-bank notes outstanding.
State-bank notes outstanding
8, 000. 00
9, 950. 00 Due to other national banks
Due to State banks and bankers.
71, 789. 23 Dividends unpaid
1,146. 35
Individual deposits
207, 744. 23
370.00 United States deposits
108.32 Deposits of U.S.disbursingofficers
9, 200. 00
8,000. 00 Notes and bills rediscounted.
Bills payable
562. 50

280,551.48

Liabilities other than those above
stated
Total.

280,551. 48

246

REPORT OF THE COMPTROLLER OF THE CURRENCY.
FOWA,

First National Bank, Maquoketa.
No. 999.

,7. E. SQUIEES, President.

C. VON SCHRADER, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. TT. S.
Due from Treasurer TT. S
Total.

Liabilities
$208,926. 38
393. 98
12, 500. 00

Capital stock paid in.

$50,000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

1,075. 00
7, 757. 04
8, 000. 00
2, 759. 30 Due to other national banks
115, 574. 62 Due to State banks and bankers.
8,260. 31
25, 535. 40 Dividends unpaid
157. 25
Individual deposits
1,300. 00 United States deposits
43.23 DepositsofU.S.disbursingomcers.
10, 227. 00
12, 000. 00 Notes and bills rediscounted
Bills payable
562. 50
Liabilities other than those above

15, 000. 00
6,107. 32
11,250.00
1,446.12

331, 268. 57

stated

Total .

415,072.01

415, 072. 01

First National Bank, Marathon.
No. 4789.

J . P. FAEMER, President.

Loans and discounts
Overdrafts
TT. S. bonds to secure circulation...
TT. S. bonds to secure deposits
TT. S. bonds on hand
Premiums on TT. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TT. S. certificates of deposit
Redemption fund with Treas. TT. S.
Due from Treasurer U. S
Total .

$126, 376. 67
769. 74
12, 500.00

98.07
5, 000.00
6,824.40
4,720.14
25,200.17
1,743. 52
100. 00
46.27
2,491.65
1,431.00
562. 50

S. T. GOLTRY, Cashier.

Capital stock paid i n .

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State«bank notes outstanding

5, 000. 00
5,160.34
11, 250. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S.disbursingoflicers.

116,453. 79

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated

187,864.13

Total.

187, 864.13

First National Bank, Marengo.
J . H. BRANCH, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation..
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national Danks
Fractional currency, nickels, cents.
Specie
Legal-tender notes.
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 2484.

Q. P. RENO, Cashier.

$134,153.09 I Capital stock paid in
;
2,409 43 I
12,500.00 | Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
1,341.32 State-bank notes outstanding
10, 000.00
Due to other national banks
34, 962. 71 Due to State banks and bankers.
2,001.06
21,916.54 Dividends unpaid
506.19
Individual deposits
,
840. 00 United States deposits
91.76 Deposits of U. S.disbursing officers
14,190.10
1,860.00 Notes and bills rediscounted
Bills payable
562. 50
Liabilities other than those above

$50,000.00
10,000.00
5,671.16
9, 200. 00
808.20
73,714.99

87,940. 35

stated

237,334.70

Total .

237, 334. 70

REPORT OF THE COMPTROLLER OF THE CURRENCY. 247
IOWA.
First National Bank, Marion.
J . S. ALEXANDER, President.

No. 2753.

C. H. KURTZ, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andnxtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer XL S
Total .

Liabilities.
$115, 035. 35
1, 889. 91
12, 500. 00
1,000. 00
2, 200. 00
24, 000. 00
886. 29
29,896. 03
4,733.88
2, 390. 00

37.95
11,906. 30
% 000.00
562. 50

Capital stock paid in

I

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50, 000. 00
10, 000. 00
1,350.17
11,250.00

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

1, 731. 67
29,333. 97

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

105,372. 40

Notes and bills rediscounted
Bills payable
Liabilities other than those above j
stated

209, 038. 21

Total.

209, 038. 21

First National Bank, Marshalltown.
J. P. WOODBURY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse, furniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

No. 411.

$365,133.39
6, 740. 96
25, 000. 00

T. J. FLETCHER, Cashier.

Capital stock paid in

j

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
42, 735. 24 State-bank notes outstanding

25, 000.00
827.70
14, 700. 00

17, 500. 00
2, 500. 00 Due to other national banks
22, 645.73
6, 756. 78 Due to State banks and bankers.. j
152, 253.45 Dividends unpaid
5,233.26
Individual deposits
'""3,92().6o United States deposits
386.11 Deposits of U.S. disbursing officers.
48,120. 40
6, 930. 00 Notes and bills rediscounted.
Bills payable
1,125.00
Liabilities other than those above
stated
Total.

706, 980.32

$100, 000. 00

2,743.51
41,446.73

522, 262. 38

706,980.32

City National Bank, Marshalltown.
D. T. DENMEAD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents..
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.




No. 4359.
$248, 653. 20
2,461. 24
25, 000. 00
800. 00
39.25
9, 740. 63

49, 324. 66
10, 236. 83
3, 695. 20
10,179.14
125,916. 37
7,454. 74
5,515. 00
254. 33
14, 299. 35
8, 770. 00
1,125. 00

C. C. ST. CLAIR, Cashier.

I Capital stock paid in

j

Surplus fund
Undivided profits, less current
expenses and taxes paid.
National-bank notes outstanding.

State-bank notes outstanding

Due to other national banks
Due to State banks and bankers..'
Dividends unpaid
'•.
Individual deposits
United States deposits
Deposits of U.S. disbursing officers.

$100,000. 00
20, 000.00
2, 208. 95
22,497. 50
8,982. 75
34,182.08

335, 593. 66

Notes and bills rediscounted.
Bills payable
Liabilities other than those above

stated

523, 464.94

Total.

523, 464.94

248

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
First National Bank, Mason City.
No. 2574.

HENEY I. SMITH, President.

C. H. MCNIDER, Cashier.

Resources.
Loans and discounts
Overdrafts
;
U. S. bonds to secure circulation... ;I
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
j
Bank'ghous6,furniture,andn"xturesj
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

Liabilities.
$562, 405. 27 Capital stock paid in
j
6, 169. 67
50,000.00 Surplusfund
I
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding-!
State-bank notes outstanding..

15,000.00
58, 850.59
45,000.00

3, 900. 00

Due to other national banks
136," 102*26"
57,704. 47
149,067. 89
1, 502.10
1, 543. 01
13, 777. 00
341. 09
24,355. 00
15,000. 00
2,250.00

Due to State banks and bankers..I

90,466. 05
167, 241.34

Dividends unpaid

i

Individual deposits
United States deposits
DepositsofU.S.disbursingofficers. .

597, 559. 78

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total

1,024,117. 76

Total.

$50, 000.00

1,024,117.76

City National Bank, Mason City.
H. A. MERRILL, President.

Loans and discounts
!
Overdrafts
I
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bondsonhand
Premiums on TJ. S. bonds
Stocks, securities, etc
j
Bank' g house, furniture, and fixtures
Other real estate and mortg' s owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency,nickels, cents.
Specie
,
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U . S .
Due from Treasurer U. S

A. H. GALE, Cashier.
No. 4587.
$401, 501.52 Capital stock paid in.
$50, 000. 00
10, 925. 39
50,000.00 Surplus fund
15, 000. 00
Undivided profits, less current
21,189.11
expenses and taxes paid
45, 000. 00
National-bank notes outstanding.
State-bank notes outstanding

Due to other national banks
8,163. 40 Due to State banks and bankers..
142. 71
58, 030. 52 Dividends unpaid
853. 37
Individual deposits
2,500. 00 United States deposits
87.92 Deposits of U. S. disbursing officers.
20, 000. 00
7,000. 00 Notes and bills rediscounted.
Bills payable
2,750. 00
Liabilities other than those above
stated
561,954.83

Total.

Total.

56, 029. 81
27,415.43

347, 320.48

561,954.83

First National Bank, McGregor.
FRANK LARRABEE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
TJ. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other nationaljbanks
Fractional currency,nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total -




No. 323.
$128,729.01
182. 55
25,000.00
26,000.00
2,129.37
45,932. 54
8, 700.00
21, 280.96
734. 77
55, 832. 60
567. 89
4,665. 00
33.16
15,627.15
5, 620. 00

WILLIAM R. KINNAIRD, Cashier.

Capital stock paid in

$100, 000. 00

Surplus fund .
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

25, 000. 00

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

2, 513. 90
3, 525. 24

Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursing officers.

2, 003.10
21, 500. 00

2, 660.50
184, 957.26

Notes and bills rediscounted

1,125.00

Liabilities other than those above
stated
342,100.00

Total

342,160. 00

REPORT OF THE COMPTROLLER OF THE CURRENCY.

249

IOWA.
First National Bank, Missouri Valley.
No. 3189.

L. M. KELLOGG, President.

JOHN S. MCGAVREN, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits . . .
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse.furniture^ndfixtures
Other real estate and mortg s owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. TJ. S.
Due from Treasurer U. S
Total .

Liabilities.
$104,574.29
13, 058. 33
34, 000. 00

$50, 000. 00

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

40, 000.00

11, 623. 29
30, 600. 00

3, 848. 80
6,165. 00
15, 506. 03 Due to other national banks
58,517.16 Due to State banks and bankers.
332. 40
33, 062. 02 Dividends unpaid
2, 674. 59
Individual deposits
2, 000. 00 United States deposits
84.24 Deposits of U.S. disbursing officers.
10, e04.40
4,170. 00 Notes and bills rediscounted .
Bills payable
1, 530.00
Liabilities other than those above
stated
290, 327. 26

158,103.97

290, 327. 26

Total.

First National Bank, Montezuma.
No. 2961.

THOMAS HARRIS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation. .
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse.furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

$180, 588. 30
3, 678. 55
12, 500.00

4,351.16
4, 213.19
350. 00
3,466. 22
21,824.04
1,567. 92

JOHN HALL, JR., Cashier.

Capital stock paid in

|

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

$50, 000.00
8,000.00
1,750.65
11,250.00

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

I

2io."oo"

Individual deposits
|
United States deposits
DepositsofU.S.disbursingofficers. -

562. 50

180.00

Notes and bills rediscounted
'
Bills payable
Liabilities other than those above
stated

34.98
5, 229. 00
6,431.00

245, 006.86

Total.

173,826. 21

245, 006. 86

First National Bank, Mount Pleasant.
W. G. SAUNDERS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U.S. bonds
Stocks, securities, etc
Bank ghouse, furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S
Due from Treasurer U. S
Total.




No. 299.
$153, 864. 56
230. 73
50, 000. 00
25.
3,
33,
12,

000. 00
215. 00
042 50
000. 00

19,561.57
409. 66

80, 744.13
5, 647. 35
75.13
11 582. 00
6, 804.00
2, 250. 00
404, 426. 63

T. J. VAN HON, Cashier.

Capital stock paid in.
Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S.disbursingofficers-

5100, 000. 00
20, 000. 00
3,228. 82
45,000.00

36, 889. 53

199, 308. 28

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total.

404,426.63

250

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
National State Bank, Mount Pleasant.

ROBERT S. GILLIS, President.

No. 922.

Resources.
Loans and discounts.
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S

$237, 913.86
195.12
25, 000. 00
53, 610. 00
54, 289. 66
13, 000.00
32, 504. 31
51, 918.17
2, 768. 60
""i,"555*00"
115. 32
25, 730. 65
12,054.00

Capital stock paid in

I

Surplus fund

Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
Due to other national banks
Due to State banks and bankers..
Dividends unpaid
Individual deposits
United States deposits
DepositsofU.S.disbursingonicers.

$100, 000.00
50,000. 00

64, 224. 68
21,400. 00

38, 676. 76

237,478.25

Notes and bills rediscounted.
Bills payable

1,125. 00

Liabilities other than those above
stated
Total.

511, 779. e

Total.

J A S . T. WHITING, Cashier.

Liabilities.

511, 779.

First National Bank, Muscatine.
No. 1577.

SIMON G-. STEIN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from, other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. SDue from Treasurer U. S

Total.

S. M. HUGHES, Cashier.

$173,250. 07 Capital stock paid i n .
7, 328. 67
25, 000. 00 || Surplus fund
i| Undivided profits, less current
! expenses and taxes paid
1, 525. 00 || National-bank notes outstanding.
17,778.00 [ State-bank notes outstanding
I
13, 500. 00
1, 800. 00 Due to other national banks
24, 072.19 Due to State banks and bankers..
2,718.33
68, 230. 33 Dividends unpaid
369. 60
Individual deposits
3, 000.00 United States deposits
93.02 Deposits of U.S.disbursing officers
15, 695.00
5, 500. 00 Notes and bills rediscounted.
Bills payable
1,125. 00
Liabilities other than those above
stated

Total .

360, 985. 21

$50, 000.00
50, 000. 00
4, 968.38
22,500. 00

20, 300. 67
1, 267. 00
211, 949.16

360, 985. 21

First National Bank, Nevada.
WILLIAM LOCKRIDGE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation-..
U. S. bonds to secure deposits
U S. bonds on hand
Premiums on U. S. bonds
Stocks securities etc
Bank'ghouse,furniture,andfixtures
Otherreal estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national oanks
Fractional currency, nickels, cents.
Specie
Legal tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total



No. 2555.
$263, 635. 51
9, 378.11
12, 500.00

12,500.00
5, 765. 96
63.38
48,169. 79
2, 308. 74
2, 535. 00
52.21
10,120. 30
3,200. 00

WILBER F. SWAYZE, Cashier.

Capital stock paid in.
Surplusfund
Undivided profits, less current
expenses and taxes paid
National-banknotes outstanding.
State-bank notes outstanding

$50, 000.00
15, 000. 00
11, 088. 56
11, 250. 00

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

Individual deposits

United States deposits
Deposits of U.S.disbursingofficers.

283,452. 94

Notes and bills rediscounted.
Bills payable

562. 50

Liabilities other than those above
stated
370, 791. 50

Total.

370, 791. 50

REPORT OF THE COMPTROLLER OF THE CURRENCY.

251

IOWA.
First National Bank, New Hampton.
ALFKED E. BIGELOW, President.

No. 2588.

TIM DONOVAN, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits

IT. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'gbouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels,centsSpecie
Legal-tender notes
TJ.S. certificates of deposit
Redemption fund with Treas. IT. S.
Due from Treasurer U. S

Liabilities.
$241,087. 98
1, 758. 36
12, 500. 00

4.156. 80
7,900. 00
10, 392. 60
23,155.78
2, 264. 99

moo'
100.28
13,191. 61
8,481.00
562.50

Capital stock paid in.

6, 300. 00
6,375.27
10,250.00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
!
United States deposits
!
DepositsofU.S.disbursingofficers.!

252, 815.13

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated

325, 740. 40

Total.

$50, 000. 00

Surplus fund
"Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total.

325, 740.40

First National Bank, Newton.
No. 2644.

C. SLOANAKER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U.S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency,nickels,cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

274,829.25 j

Total.

E. E. LYDAY, Cashier.

$181,460.00 Capital stock paid in
15,448. 73
12, 500. 00 Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding
9,000. 00
15,170. 00 Due to other national banks
L
3, 818.16 Due to State banks and bankers.. j
989.59
L
14, 992. 98 ! Dividends unpaid
2, 724. 30
Individual deposits
1, 000. 00 United States deposits
132. 39 Deposits of U.S.disbursing officers.
12,954.60
4, 076. 00 | Notes and bills rediscounted.
Bills payable
562.50 I
Liabilities other than those above
stated
Total .

$50, 000.00
10, 000. 00
11,183. 78
11,250.00

1, 641. 00

190, 754.47

274, 829.25

First National Bank, Nora Springs.
Louis H. PIEHN, President.

Loans and discounts

Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, turniture, and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
» 1
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U, S
Total.



No. 4761.

H. F . SCHNEDLER, Cashier.

$133,640.23 ; Capital stock paid in.
1, 303. 02
12, 500. 00 Surplus fund

Undivided profits, less current
expenses and taxes paid
National bank notes outstanding.
State-bank notes outstanding

536.00
3, 050.00 ; Due to other national banks
19,069.06 i| Due to State banks and bankers.
23, 366. 97 |j Dividends unpaid
114.10

j Individual deposits
445. 00 | United States deposits
36. 30 Deposits of U.S.disbursingofficers.

3, 672. 75
3.000. 00
562. 50

201,295.93 |

$50, 000. 00
10, 000.00
1, 775.12
11, 250.00
60.24

32.00
128,178. 57

Notes and bills rediscounted.
Bills payable
Liabilities other than those above
stated
Total

201,295.

252

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
First National Bank, Odebolt.

W. W. FIELD, President.

No. 4511.

"W. F. BAY, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on TJ. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortgs owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U.S.
Due from Treasurer TJ. S

$110,470.09
3,177. 25
12, 500. 00
1,000.00
129. 25
16, 730. 58
1,611.75
95.30
24.90
36, 361. 30
605. 84
1,100. 00
83.85
8,119. 50
4, 298.00
562. 50

Capital stock paid in.

8, 500. 00
2,440. 31
11, 250. 00

Due to other national banks
Due to State banks and bankers.
Dividends unpaid
Individual deposits
United States deposits
Deposits of U.S. disbursing officers. I.

124,679.80

Notes and bills rediscounted.
Bills payable
Liabilities other than those above j
stated
i.

196,870.11

Total.

$50, 000. 00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes outstanding.
State-bank notes outstanding

Total .

196, 870.11

Farmers' National Bank, Osage.
No. 4885.

J O H N H. JOHNSON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
i
Premiums on U. S. bonds
Stocks, securities, etc
j
Bank'ghouse,furniture,andfixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S

$129,708. 30
9, 908. 88
25, 000. 00
100.00
25,965. 33
1, 250. 00
"47," 304." 06'
3,825.16
39, 948.14
497.37
461. 00
87.97
7, 570. 80
4,000. 00

$50, 000.00

Surplus fund
Undivided profits, less current
expenses and taxes paid
National-bank notes o u t s t a n d i n g .
State-bank notes o u t s t a n d i n g

6, 000. 00
13,176.75
22, 500. 00

Due to other national banks
Due to State banks and b a n k e r s . .

380. 21
45.00

Dividends u n p a i d

204, 650. 05

I n d i v i d u a l deposits
United States deposits
DepositsofU.S.disbursingofficers.
Notes and bills rediscounted.
Bills payable

1,125.00
Liabilities other t h a n those above
stated
296,752.01

Total.

E. E. PRIME, Cashier.

Capital stock paid in .

296.752.01

Total.

Osage National Bank, Osage.
AVERY BRUSH,

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'ghouse,furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items.
Exchanges for clearing house
Bills of other national hanks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S. j
Due from Treasurer U. S
Total.




No. 1618.
$198, 625. 90
9, 264. 81
44, 500. 00
2, 858. 25
125, 250. 00
2, 800. 00
47, 872. 09
987. 46
89,593. 67
4, 255. 65
960. 00

112.86
11, 670. 00
14, 500. 00
2, 002.50

555,253.19

J. W. ANNIS, Cashier.

Capital stock paid in

j

$50,000.00

Su rplus fund
j
Undivided profits, less current
expenses and taxes paid
National bank notes outstanding.
State-bank notes outstanding

20, 422 00
40, 050. 00

25,000.00

Due to other national banks
\
Due to State banks and bankers.. |
Dividends unpaid

1, 502. 47
18, 809. 84

Individual deposits
United States deposits
Deposits of U.S.disbursingofficers.

399, 468. 88

Notes and bills rediscounted
Bills payable
Liabilities other than those above
stated
Total.

555, 253.19

REPORT OF THE COMPTROLLER OF THE CURRENCY.

253

IOWA.
Oskaloosa National Bank, Oskaloosa.
No. 2417.

W. H. KALBACH, President.

C. E. LOFLAND, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
TJ. S. bonds to secure deposits
U.S. bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bank'g house, furniture, andfixtures
Other real estate and niortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents Specie
Legal-tender notes
TJ. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer TJ, S

Liabilities.
$330,821.78

$50,000.00

Surplus fund
Undivided profits, less current
3, 400.00
expenses and taxes paid
4, 500. 00 National-bank notes outstanding.
9, 662. 97 State-bank notes outstanding
21;000.00
I Due to other national banks
41,467.56 Due to State banks and bankers..
121,752.94
7,403. 72

Dividends unpaid

762.50

20,000. 00
18,877. 61
11,250.00

3,756.19
660. 00

Individual deposits
7, 454. 00 United States deposits
317 71 ; Deposits ofU.S.disbursing officers.
29. 925.60
13, 000. 00 Notes and bills rediscounted
Bills payable

641,468.78

Total

Capital stock paid in

50, 000.00

536, 924.98

Liabilities other than those above

stated .
Total

641, 468. 78

First National Bank, Ottumwa.
WESLEY B. BONNIFIELD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U.S.bonds on hand
Premiums on U. S. bonds
Stocks, securities, etc
Bankghouse.furniture,and fixtures
Other real estate and mortg's owned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U. S.
Due from Treasurer U. S
Total.

M. B. HUTCHISON, Cashier.

No. 107.

$299,862.91 ! Capital stock paid in.
5,036.19 i
100,000.00 ! Surplus fund
150,000.00 i Undivided profits, less current
expenses and taxes paid
19, 785. 53 National-bank notes outstanding.
26, 065. 01 State-bank notes outstanding
29, 000. 00
21,043.70
Due to other national banks
6, 734.03
Due to State banks and bankers.
1,357.17
211,720.34 Dividends unpaid
4, 765. 86
Individual deposits
7,908. 00 United States deposits
248.10 Deposits of U.S.disbursingofficers
17, 300. 30
25, 000. 00 Notes and bills rediscounted.
Bills payable
4,500. 00
Liabilities other than those above
stated
930, 327.14

Total.

$100, 000.00
20, 000.00
5, 345.99
90,000. 00
53, 562. 82
129, 803. 65

380, 953.42
140,395. 65
10, 265. 61

930, 327.14

Iowa National Bank, Ottumwa.
EDWIN MANNING, President.

Loans and discounts
I
Overdrafts
U. S, bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Premiums on U.S. bonds
Stocks, securities, etc
Bankghouse.furniture.andfixtures
Other real estate and mortg'sowned
Due from other national banks
Due from State banks and bankers.
Due from approved reserve agents.
Checks and other cash items
Exchanges for clearing house
Bills of other national banks
Fractional currency, nickels, cents.
Specie
Legal-tender notes
U. S. certificates of deposit
Redemption fund with Treas. U.S.!
Due from Treasurer U. S
Total.




CALVIN MANNING, Cashier.
No. 1726.
$497, 722. 27 Capital stock paid in.
$150, 000. 00
1,749.76
50,000.00 Surplus fund
30, 000.00
Undivided profits, less current
expenses and taxes paid
21,924.08
5, 000. 00 National-bank notes outstanding.
45,000.00
21, 999. 48 State-bank notes outstanding
10, 200. 00
53,506. 88 Due to other national banks
41,603. 30
4, 569. 51 Due to State banks and bankers..
26, 396. 99
5, 952.47
104, 258. 82 Dividends unpaid
1, 483. 99
1,854.46 Individual deposits
483,854.06
4, 265. 00 United States deposits
205.79 Deposits ofU.S.disbursing officers.
20, 064. 00
.14, 346. 00 Notes and bills rediscounted.
Bills payable
1, 600. 00
Liabilities other th