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SECO N D AN N UAL REPORT OF THE BA NK C. O {M ISSIONER OF THE STATE "°"* "°"* https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis "°"* ' ,fc,fctc ' OF ARKANSAS ** . *"°" ' ,fc,fctc . *"°" ' "°"* For the Year Ending December 3lst.1915 ,TOHN ll. DAVIS COlllIISSIONER "°"* *** ' >lcl<ite' ""*"°"* https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis s co m ·n:u.AL RE. ORT of the ST.,' ~E 13AliK corn. SIOHER OF .ARIWTS. • '1:'o i is Excellency, Georee TI . Hays , Governor of .,_ _r· sas: Sir - In compliance, ith the requ i ra~e ts of sections 9 and 59 of Act ro . 113 , entitled "An ct for the OrC".mi zation and Control of Banks, '.:rust Cor.rpanics dll avin. 7a.nks" , ap,:p r oved lar ch 3d , 1913 , I submit here·•:ith the second , mrual report of t he work and the business of the Bank Depart ment of Ar Y~~nsas , for t he time beg-innin"" January-1st , 1915 , and endi11l, De c 1ber ,,.1 , 19 15 . This re ort embraces a statement of all receipts and expenditures , the na1ne , office-., , irectors , domic,.le , capital surplus , net profits an deposits of each ank , trust company and sav.:ngs. bank in the St ate , at the c l ose of busiress ..;ovember l Ot , 1915. :Tew an.."lcs organized, anks closed, li .ddated and consolidated, a l.,o statement showing progress of liquidat ion of t ho::,e now beine li uidated by the epartment, t ocether with a stata~ent of all buildinc ~nd loan associat ions and a compiled s t a t ement of a ll i nvestment com anies under the super·4 on of the depart ment at close of "busi.ness December ~1st , 1915, and a list of drainage Ltricts a.ud.i.ted a :provide fw nder .. ct 279, Section 30 , nc s of 19J9 , , rine t e year 1915 . Very respectfully , I https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ ,TOHN M, DAVIS / TATE BANK comns sroNER J .D.COVEY ASSISTANT COMMISSIONER W.T.MAXWELL ASSISTANT IN CHARGE OF INVESTMENT COllPANIES BANK EXAMINERS A.F.BAILEY -T .REYNOLDS A.J_ __ ,GUY PHIT~I ~ T.B.KITCHENS Speci al on Draina ge Distri cts --·· ,- CHIEF CLERK C.E. 'PYT.E STEllOGRAPHER ISS. TOill.IA H.luICOCK NEW .BANKS CHARTERE1' January let,1915 to December 31st,1915. CAPITAL. NAI:.IE-LOC TION- DATE . Farmers and llerchants Bank, Green Forest,Carroll County July 27th. 1915. ., 20,000.00 ;;.'> SURPWS. 2,000.00 Citizens Savings and Trust Company, Hope ,Hempstead Co uit y ?iOVember 26th.1915. 50,000.00 5, 000.00 • Peoples Bank, Leslie,Searcy County December lst.1915. 14, 000.00 1, 400.00 Bank of IJountain View, ~ountain View,Stone County July 2lst.1915. 20 , 000.00 2,000.00 · Union Bank and Trust Company, :.:onticello,Drew County September 15th.1915. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 150,000. 00 75,000.00· WKS CO?l'VERTED FROM STATE TO NATIONAL BANKS January lat,1915 to December 3lst.1915 Planters Bank, Cott on Plant, Woodf'Uff County to First National Bank, Cotton Plant,woodruff County. Marshall Bank, farshall,Searcy County to First National Bank, Marsha.11,Searcy County. Ri\NKS VOWNTARILY LIQUIDATED January lst,1915 to December 3lst,1915 First State Bank, Da.rdanelle,Yell County. Bank of Everton, Everton,Boone County. American Bank and Trust Company, El Dorado,Union County. Bank of Garfield, Garfield,Benton County. ✓ BANKS MERGED AND CONSOLIDATED January lst,1915 to December 3lst,1915 0 Citizens Bank, Clarendon,llonroe County with Bank Citizens Bank, Sherida.n,Grant County with Grant County Bank, Sheridan,Grant County. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis of Clarendon, Clarendon,llonroe County. .BANKS LIQ.UIDATED THROUGH OTHER BANKS By the consent and with the approval of the .Bank Commissioner,and AT L DEPOSITORS PAID IN .EU L. Arkansas Valley Trust Compa.ey, Ft.Smith,Sebastian County through Arkansas Valley Bank, Ft.Smith,Sebastian County. Ft.Smith Bank and Trust Company, Ft.Smith,Sebastian County through Arkansas Valley Bank, Ft.Smith,Sebastian County. Bank of Green Forest, Green Forest,Carroll County through Farmers and Merchants Bank, Green Forest,Carroll County. Little Rock,Pulaski County through Peoples Savings Bank, Little Rock ,Pulaski County. Citizens Bank, 1'.lonticello,Drew County through Union Bank and Trust Company, Iont icello, Drew County. Farmers Bank, I.~ountain View,Stone County through .Bank of Mountain View, Mountain View,Stone County. . Arkansas Savings Bank, onticello Bank and Trust Compa.ey, through onticello,Drew County Union Bank and Trust Company, ~onticello,Drew County. Stone County Bank, 1.Iountain View ,Stone County through Bank of :uountain View, Mountain View,Stone County. of Paraloma, Paraloma,Sevier County. through Bank of Nashville, Nashville,Howard County. Bank https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis BANKS .PLACED IN THE lIANm OF THE BANK C ISSIONER FOR LIQUIDATION Jaimary lst,1915 to December 3lst,1915. of Leola, Leola,Grant County. Bank o Bank of Perryville, Perryville,Perr y County. o The Citizens Bank and Trust Compaey, Prescott,NeTada County. o d 11 Other Creditors P id In , 11.Excluding . Finally Liauid.ated,Dep ositors The Liability To Stockholders On Their Stock. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis MIENDI,lENTS INC ING C.AI'I7 L STOCK January 1st , 1915 to December 31st , 1915 . !WIE OF INCRELSED FROH BANK. Bank of Black Rock, Lawrence County, Bank of Clarendeon, llonroe County, Bank of Dover, Pope County, Farmers Bank, Greenwood, Sebastian County, Valley Bank, Hindsville, Madison County, Bank of Lepant o, Pointsett County, Citizens Investment and eourity Co . , Little Rook, Pulaski County, Peoples Bank, Mountain Home , Baxter County, State Bank of Siloam Springs, Benton County, I. iller County Bank and Trust Company, Texarkana, •iller County, Bank of est Fork, Washington County, Bank of Wilmar , Drew County, 10, 500 . 00 20 , 000 . 00 7,500.00 12, 500.00 6,250 . 00 6,400. 00 TO ,I\ 'i? 11,000.00 50 , 000 . 00 10 , 000 . 00 25 , 000. 00 10, 000.00 12, 000 . 00 25,000. 00 5, 000 . 00 10 , 000 . 00 75 , 000 . 00 10, 000 . 00 25 , 000 . 00 50 , 000. 00 5, 000 . 00 13,000.00 75 , ooo . oo 10 , 000.00 14, 000 . 00 .AMEN!llENTS DECREASING CAPITAL STOCK January 1st, 1915 to December 31st , 1915 . N.A1IE OF B.AlIK • lonroe County, Farmers State Bank, Beebe , White County, Bank of England, Lonoke County, Valley Bank, Hindsville , lladison County, Bank of Grubbs , Jackson County, Bank of Lonoke, Lonoke County, Blue Stone Bank, Lamar, Johnson County, Crittenden County Bank and Trust Company, Marion, Crittenden County, Midland State Bank, idlend, White County, Citizens Bank, Norfork, Baner County, Citizens Bank and Trust Company, Van Buren, Crawford County, Crawford County Bank, Van Buren, Crawford Co. Bank of Weiner, Pointsett County, Bank of West Fork, Washington County, Bank of Brinkley, DECREASED FROM TO 50 , 000 . 00 25 , 000 . 00 50 , 000.00 25 , 000. 00 20 , 000 . 00 25, 000. 00 25 , 000 . 00 ._, 25 , 000 . 00 10, 000 . 00 25,000.00 10, 000.00 10, 000 . 00 20 , 000 . 00 20,000 . 00 100, 000 . 00 10 , 000. 00 10 , 000. 00 75 , 000 . 00 5, 275 , 00 5,000 . 00 125,000.00 75 , 000 . 00 20 , 000 . 00 20 , 000. 00 75, 000 . 00 56 , 000 . 00 10 , 000 . 00 5, 000 . 00 V UOTE, - A majority of reduction was subscribed and not paid-in capital. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .AI.1ENII.1ENTS CHANGING THE 11JllBER OF DIRECTO. • January 1st , 1915 to January 31st, 1915. BAllX TO Trust Co ., 15 12 Bent on, Bank of 9 7 Camden, OUachita Valley Bank Cotter, Baxter County Bank Cove, Bank of 9 3 5 7 Dardanelle , Farmers Bank & Trust Co ., Decatur, State Bank Dermott, Exchange Bank and Trust Co . , 15 9 11 8 3 7 (or more) Fayett ville, First Savings Bank lo 5 (or 10) Gilham, Bank of Greenwood, Sebastian state Bank Griffithville , First Bank Guion, Izard County Bank 7 9 3 7 3 3 (or 5) Augusta, Bank of & Hackett · City, Hackett City Bank Haynes , Bank of Haynes Huntsville , Farmers & Merchants Bank 11 6 5 (or more) 5) 3 (or 7 9 8 3 3 9 10 4 3 (or more) Knobel , Bank of 7 5 ( or 7 ) Lake City, Bank of Lamar , Blue Stone Bank Lone Rock, Lone Rock Bank 9 7 7 5 5 5 11· 12 8 (or (or (or 8) Joiner , Bank of Jonesboro , .American Trust Company Marion, Crittenden Co. Bank & Tr . Co., McNeil , Bank of Midland, Liidland State Bank Morrilton, Citizens Bank lount Ida, .1.-.Iontgomery County Bank Nashville , Bank of Norfork, Citizens Bank https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 9 7 5 5 3 5 6 5 5 3 3 7) 9) AMENDilE..l'1TS CHANGING THE NUMBER OF DIRECTORS -- (CO.'r:1I "UE'l)) FROM TO Pea Ridge , Bank of 'Prairie Grove, Farmers State Bank 7 5 3 Reotor, Bank of 7 9 Saint Francis , Bank of Stamps, Bodcaw Bank 5 5 3 Tillar, Bank of Tyro za, Bank of 7 5 5 4 1/heatley, Rice Growers Bank 7 3 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 9· 6 (or 7) REPORT OF CONDITION OF BANKS IN lWIDS OF THE CO, ISSI ONER FOR LIQUIDATION. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis MERCHANTS AND ..!ECHANICS GENT , RTLA.SK COUNTY, KANSAS . This bank was closed by State Bank Examiner, A. J.Reap , on January 12th.,1914. The following is a statement , as shown by the books , at the close of business January lOth.,1914: BILITIES. T c- • 25 , 000 Capital stock 61 , 561. 74 T,oans and discounts 12, 500. 00 Bills payab l e 3 , 588. 29 Overdrafts 2, 500 .00 Notes rediscounte d 7, 830.53 Fllrniture and fixtures Divi dends unpaid 5. 00 126.00 Items in transit 52 , 640. 56 Individual deposits 540. 83 Dl.e f:rom reserve banks 784.05 Dl.e to reserve banks 5, 932. 23 Cash on hand Time certificate s of 7, 375. 00 Treasury stock 355 . 00 deposit 2,475.00 Insurance agency 4 . 49 Cashier's checks 100.00 Clearing house deposit 4, 259 . 48 xpense 93,789.10 93.789.10 The following is an inventory of the assets placed in the hands of the State Bank Department: 57, 222. 30 Loans and discounts 3 , 107. 49 overdrafts 2, 475 . 00 Rental and insurance epartment 7, 830 . 53 Furniture and fixtures 2, 439 .66 Cash, Cash items and checks on other banks 100.00 Clearing house deposit 2, 500. 00 otes rediscounte d 75.674.98 RECEI S. DISBURSElOOlTS • From cash on hand and in banks rom notes and interest collected Overdrafts collected From clearing house From sale of :furniture and fixtures om insurance and real estate department TOOR S S 2, 550.13 38 , 714. 89 . 2,576. 05 100. 00 - & 7, 500. 004, 977. 6426 , 970. 67 2, 951 . 43 · 5, 325. 77 v 1, 775. 00 · 259. 44 1, 750 . 00 - ----------47,725.51 ;.n O.S "es m:1ent of 100 per cent has https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Bills payable and rediscounts paid Offsets allowed 50 %Dividend to Creditors Taxes & expenses pa.id Cash to balanc e ---------------47,725.51 eon l ev i ed on t he s t ockho lder s of t h i s bunk. ✓ RANK OF CASA CASA,PERRY COUUTY,ARKANSAS. This bank was closed by State Bank Exa.!!liner,Guy Philips,on December lst.,1914. The following is a statement , as shown by the books , at the close of business on December lst. , 1914: RESOURCES . LI BI LIT IES . oans and discounts Overdrafts eal estate and banlcing house Fu.rniture and fixtures Other real estate Scrip and warrants Lumber Due from reserve banks Cash Over and short xpenses and taxes 23 , 132. 74 638.36 2, 000.00 2, 000 . 00 2, 090.10 2,642.07 128.96 1, 087.86 189 . 50 46.18 3,402.06 Capital stock ndivided profits Interest and exchange Bills payable Individual deposits Certificates of deposit Ca shier's checks 10,000.00 1,430.74 1,807.05 6,000.00 , 296.11 0, 200.00 1, 623.93 '\; 0. '-.I Bank 0 \i.. 37.357.83 The following is an nventory of the assets placed in the hands of the State Commissioner: Loans and discounts ~ 27 , 924.03 Overdrafts 638 . 36 Scrip and warrants 3,758.22 Lumber, 10, 000 ft. finished pine, 128.96 Fu.rniture and fixtures 2,000.00 Banking house 2,000.00 Other real estate 2, 090.10 Cash and cash it ems 1, 894.15 40.433 .82 RECEIPTS . Cash on hand notes and interest collected Overdrafts collected Scrip account Sales of lumber Balance-Little Rock Banks Miscellaneous receipts https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 183.37 / 5,504. 52) 204.77✓ 3,758.22 / 134 . 56 ✓ 2,503.29/ 249.65 ✓ $ 12.538.38 DISBURSE! l J.S . Bills payable paid Offsets allowed · Loss on scrip Scott Sr.lith note V. L.Shelton note A. J . Cleveland note Scrip pledged Cash on hand Deposits in Little Rock Banks EXpenses paid $ .6,756.78 ✓ -1,193.60✓ -1,874.72 ✓ · 75. 0Q v ·lOA. 55 · 2.81.50 · 377 • 75r 5.98 V 73.80 . 1, 790 . 74 .,. .., 12. 538 .38 ,MllX OF ENGL,mD ENG D, LONOKE COID!TY , .ARK.i SAS This bank was placed in the hands of the State Bank Department on Tovember 14th. , 1914. The following is a statement , as shown by the books at the close of business on November 14th.,1914: RESOURCES. Loans and discounts Other real estate Cash items nie from reserve banks Cash Other bonds and securities L "183,975.95 4,500.00 860.21 7,613.46 1,517.59 34,869. 20 BILITIES. Capital stock surplus Undivided profits Bills payable l otes rediscounted Individual deposits nie to reserve ·banks Certificates of deposit 50,000.00 1a,ooo.oo 422.56 100, 518.52 16, 434.25._ 41,493 . 31 1,069.27 4,39 .so 233 ,336.41 The following is an inventory of the assets placed in the hands of the State Bank Derartn.ent: Loans and discounts Bonds,stocks and warrants :Real estate Cash,cash items and exchange Furniture and fixtures Overdrafts 186,738.11 34,869.20 4,500.00 9,545.05 500.00 1,194.60 237 ,3 6.96 The above bank ranained in the hands of the Bank Department until January 14th, 1915, at which time it was re-opened, capital stock being re- duaed to J25,ooo . oo and placing ,;p25 , 000.00 to surplus. The bank now is in a thriving condition. See report of condition of bank November 10th. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 'l'his bank -v s laced .:.n the han s o~ the State a?L. Co.rissioner on December 29th. , 1914 . T e fol 1owi n- is a sta ement , as sho".'r.1 by the booil:s , at t 1e clo e c Dec ml er 29th. , 1914 : .RESOURCES L as and discounts verdraft s ~rniture and fixtures nking house ther real esto.te · e froru banks ash an cash items xpenses nterest ,aid • 14 , 007 . 31 / 24 . 58 / 1 , 550 . 45 ✓ 2 , 0 7 . 50 ✓ 84.8 . 98 I BILITIES C.....pital stock · Undivided roflta Individual deposits rue to bvnks Certifiaytes of de osit ~· 10 , 000 . 00 1 840 . 0 ~ 9 , 767 . 06 620 . 89 200 . 10 7 93 . 47✓ 7- 1 , 273 . 46 ✓ l , fl7 . 90v ----------~~~~~==/ -------------) 22,428.04 ,.; 22,428.0 The follo ·i nk Depsrtment : u is an inventory of the assets placed :n the ds of the State w ans an isco".lllts ''J.ri i ture and fixtures :?e.... estate other real estate C ,,,, ancl cash ite11s JMe rom a~..., Over ra ft s l~ , 007 . 31l , 5f:0 . 452 , 087 . 5084 . 981 , 273 . 46793 . 4724.58- RECEIPl'S DISBURSET a h , cash i terns nd exchanee otes u interest collect ed 9 , 623 . 63 ' dividend or ered https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~s been ·y,jd t on tl e 1st of Ji nu iTS Expenses ~nd taxes paid v 0 fset., llo"1ed ?.eal estate purchased at forec lo m re 25 ~ dividend to creditors Paid over raft , ... t ,:·at iona.l P~:nJ~ , Jones oro DeposH in Bk.of ,T . esboro Ca"'} on hand 13,155.46 ..:'l. 25 usiness on 1 , 331 . 93916 . 43- 3, or.o.oo2 , 449 . 77 646 . 61-:-- 4 , 731 . 85 29 . 87 13,1 dejiositors and a 50;' 191. .46 ivi e1 d has• een BAllli OF HIGDEN HIGDEN, CLEVELAUD OtThT ,; 1914. NSAS . This bank was placed in the hands of the State Bank Departme t on July 6th., The followi:cg is a statement , as shown by the books , at close of business July 6th. ,1914: LIABILITIES. RESOURCES. ans and discounts verdra.fts 'Urni ture and fixtures eal estate e from banks ash ash items ver and short 9, 297 . 04 5.47 1, 985 . 40 100.00 567. 33 605.25 1, 163.11 13.19 719 . 15 Capital stock Interest and discount Exchanee Bills payable Individual deposits Cashier'a checks 14.455.94 5, 000 . 00 195. 71 173.5_2 500.00 8, 403 . 24 183. 47 14.455.94 ~he followi:cg is an inventory of the. assets placed in the hands of the St te Bank Department: Loans and discounts 9,297 . 04 Overdrafts 5. 47 .Furniture and fixtures 1, 985 . 40 Real estate 100.00 Iue fl-om banks 567 . 33 Cash 605. 25 Cash items 1,163 .11 RECEIPTS. on hand last report DIS BURS JE1"TS. 2,624.26 1, 050 . 00 T.R.Holmes claim under order of court Premium on Commissioner's bond 25 %Dividend to Cred~ itors Cash on hand 177 . 16 12.50 2, 108.50 1, 376. 10 -------------3,674.26 An assessment of 100 per cent has been levied on the stockholder s of this bank. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis / BAllK OF HUNTINGTON HUNTIUGTO ,s ~TW{ COtn7TY, ARKANS This bank was closed by State .Bank Commissioner, John ll • .Iavis , on ray 4th., 1914. The following is a stat ement , as shown by the books , at the close of business April 20th. , 1914 : LI BILimlES . RESOURCES . ans and discounts m i ture and fixtur es house i t her real estate ash items 40, 762 . 21 2, 908 . 00 4 , 750 . 00 1, 799 . 40 98 . 30 90 . 93 2s,ooo.oo Capital stock Undivided profits Bills peyable Individual deposits nie to banks Certificates of deposit 367 . 72 11, 727 . 50 19 , 196. 15 251. 43 3 , 866. 04 50.408.84 50.408.84 The following is an inventory of the assets placed in the hands of the State .Bank Department : ~ Loans and discount s Overdrafts Furniture and fixtures .Banking house Annex to banking house Dle from banks Cash and cash items Collection 40, 569 . 77 16, 406. 69 2, 908 . 00 4, 750 . 00 1, 799 . 40 34. 69 120 . 31 200 . 00 66 ,788.86 RECEI DISBURS S. 5, 622. 50 3 , 301. 03 815 . 00 Truces and expenses paid ,.-i 1, 411. 58 Paying off mortgage loan of Georgia St ate Loan co .,on bank building and 2, 737 . 14 annex 35 %Dividend to Creditors 9, 369. 37 Cash in Huntington State 147.49 Bank 13.665.58 13.665.58 3, 927 . 06 sale of banking house and annex om loa:ns , rentals etc. , TOCK ASSESSMENT An s. assessment of 100 per cent has been levied on the stockholders of this bank. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis This ank was closed by State Balk Exami.er , Guy The following is a statement , as on January 15th. , 1915: hovn1 by the books , at the cl se of business LIABILITIES. RESOURCES. ous and d·scounts Overdraft ?u.r~iture and fixtures .Banking house Other real estate rue from bank Cash and cash itemo Expe sea pa:d Interest paid Other asset 47, 333.68 766. 56 1, 921 . 90 3 , 519 . 54 200.00 341.35 333.86 1, 222.48 744.87 534 . 68 ISBURS https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 245 . 28 , 794. 17 • 112.51 · 8, 227 . 68 · 646 . 66 , 900.00 · 0, 000 . 00 500.00 1,335.96 150.55 6. eG _18 . 61 16 , 2 3. 00 4, 999 . 76 12 , 561.89 792. 09 842.82 Capital stoc Surp us Interest and discount Excha "'e Suspense Daily difference B:lls payable Certificates of deposit Individual deposits Ille Bank of Commerce Cashier's checks REC 1 S. Cash on hand .Bank of Commerce Litt le Rock Citizens Bank lne Bluff ~·ates and interest collected Overdrafts collected :fT ST CK i..S SES ~ . E. Jett accou.t,balance salary credit in excess of overdraft Ot.er assets , settlement in part ilips , on January 15th., 1915. Bills payable paid Interest pa.id Offsets allowed Expenses paid Loss on compromises Cash and cash items Bank of Comnerce s. 6, 853 . 01 130. 89 1, 291 . 62 1, 799 . 97 298 . 94 717 . 08 172. 69 14. 50 353 . 40 ~------------------v 11.294.20 --------v 11,294.20 ' . LOGAN CCXJNTY BANK · GAZINE . LOG COilllTY• This bank was closed by Special Deputy Bank Conmissioner , R. E.Pugh, on 23rd.,1914 . :Jay The following is a statement , as shown by the books . at the close of business ~'iay 15th. , 1914: s. R::" ans and discounts overdrafts Furniture and fixtures eal estate e from banks ash ense 23 , 505 . 21 1, 335.20 2. 831 . 50 6, 000.00 7, 018 . 81 2, 830 . 90 542. 28 LIABILITIES . Capital stock Undivided profits Interest and exchange Individual deposits Pu.blic funds Certificates of deposit 15,050.00 486 . 63 _ 698. 00 8, 990. 67 18.833.60 5. oo The following is an inventory of the assets placed in the hands of the State Department : 18 , 779.38 957.97 2, 831. 50 5.010 . oa 2. 319.08 Loans and discounts Overdrafts rniture and fixtures me from banks Cash and caeh it ems DISBURSE .IBNTS. RECEIPTS . otal receipts from all sources Bank 12, 063 . 90 County deposits refunded 35 %Dividend to creditors Expenses paid Cash on hand 1. 579 . 01 8, 369 . 99 1. 649 . 33 465 . 57 12,063. 90 .An assessment of 100 per cent has been levied on the stockholders of this bank. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis FARMERS AND ruERCH.ANTS BANK 1.1C.CRORY, WOODRUFF CO .,ARK. This bank was placed in the hands of the State Bank Commissioner on October 2nd. , 1914. The following is a statement,as shown by the books,at the close of business on .August 26th. , 1914,from the first examination: RESOURCES. oans and discounts Overdrafts crip Furniture and fixtures Banking house rue from banks hecks on other banks stock L ._i 23, J 743. 9 4.00 2,176.12 5,000.00 1,871.29 272.-69 806.30 500.00 1, 557.49 BILITIES. Capital stock Bills payable notes rediscou.nted Individual deposits Public funds Certificates of deposit Cashier's checks "'- 14 9, 000.00 3 , 500.00 9, 057 . 16 824.20 237 . 00 24.80 36.643.16 Bank The following is an inventory of the assets placed in the hands of the ; Sta e Oonmissioner: Loans and discounts $ 26, 64.61 · Overdrafts 753. 29 · 5, 000.00, Real estate Furniture and fixtures 2,176.12 · Scrip 4.00. Cash 204 . 33 · RECEIPl'S. Cash on hand last statement Notes and interest collected ASSESSMENT COLLECTED DISBURSEMENTS. 1, 317.47 2, 364. 90· 4,850.00 · 8.532.27 Bills payable paid Interest paid EXpenses paid Cash on hand $ 7, 014.83· 746 . 86. 722. 38· 48.30 e , 532.27 An assessment of 100 per cent has been levied on the stocY..holders of this bank. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis BANK OF PERRYVILLE PERRYVILLE, PERRY COUNTY, ARKANS • his bank was placed in the hands of the State Bank Department o 11.ay 6th. , 1915. The following is a statement, as shovm by the books , at the close of business on ;.ray 15th., 1915: L .BI LIT IES . RE 'O JRCES . Loa s a n iscounts Overdraf'ts Stocks and bonds Scrip Furniture and fixtures Banking house Other real estate Dle from reserve banks Cash xpenses paid Interest paid ..,; 12, 420 . 36 252.94 7,000.00 101.61 1,370 . 00 400. 00 600.00 12.86 672.79 2, 349 . 02 642.58 Capital stock Interest and discount Exchange Bills payable Individual deposits Certificates of deposits Dle to reserve banks 5, 000 . 00 2,219 .12 255.61 \... 3 , 000.00 9,156.8<r 5, 873.60 317.03 25 . 822 .16 The following is an inventory of the assets placed in the hands of the State Bank Department: Loans and discounts Overdraf'ts Stocks and other securities Furniture and fixtures Other real estate D.1e from reserve banks Cash and eash items 12,386.56 252.94 7,101. 61 1,370. 00 400 .UO 600 .00 12. 86 672.79 · 22. 796. 76 On taking charge of the above bank on May 16th the Department began the liquidation of the affairs and continued same until November 26th, on which date Mr. G. B. Colvin, of Perry, Arkansas, furnished this Depar1ment with information that he had obtainad transfer of al 1 the claims filed age.inst the institution and had become owner o~ the entire amount of the capital stock; upon which showing the Chancery Court made an order requiring this Department to deliver all the assets consisting of real and personal property to r. G. B. Colvin. The order of the court is now a matter of' record in the Perryvi lle Chancery Court, Perryville , Arkansas. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ,L.J:.D DEPOSIT , IU RE ;D OF THE :!h.l • CO:.:. I rr: or PERRYVIL t IO, 1 shby, T. J . v""' :om~ 1. 50 .Baptist B. Y. P. u . Baptist La.dies. id Society Be . , J . L. ~ Bowen, , le Brazil , J •.A. . 20 . 68 .10 Civic League . 50 . 03 . 65 ·enry, Jesse en.ry , '!rs . ~ •• Jessup , E. Johnson, Green L. Lawrence , I . Little , ... D. Le :.!Urray, L. J . Shelton , Jack . 25 . 25 2. 77 . 10 . 25 Smith, G.E. 1 . 00 14. 10 Wat son, :.Iorris L. 20. 89 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 51 . 45 BANK OF INE BLUFF PINE BLUF_ , JEFFERSON C UNTY, NS s. This bank was placed in the hands of the State Bank Commissioner on July 3rd., 1914. The following is a statement , as shown by the books , at the close of business July 2nd. , 1914: :EbOI RCES. Loans and discount s Overdrafts Bonds and secur ities Furniture and fixtur es Banki ng hous e Other real estat e Items in transit Cash items Due from banks Checks on other banks Cash City scrip Deficit J 793 , 837 . 73 13 , 226 . 67 42 , 125. 13 10, 506.00 45 , 000. 00 12, 890 . 00 1, 853.47 30 , 978. 35 3 , 065. 76 3 , 834 . 00 8, 983. 10 200. 23 3 , 591 . 75 LIABILITIES. 100 , 000 . 00 Capital stock 50, 000 . 00 Bills payable 15, 319 . 20 l otes rediscounted Dividends unpaid 400.00 327, 946. 88 Individual deposits 251, 145.11 Publ ic funds 28 , 589 . 41 Dle to banks 96 , 344. 73 Cert i ficates of deposit 1, 585. 46 Certified checks 526. 33 Cashier ' s checks Collections 733. 07 e 0 earing house 97 , 500 . 00 970.092.19 The following is an inventory of the assets placed in the hands of the State .Bar.k Connnissioner: 793 , 927 . 6 Lo sand discounts 42 , 125. 13 tocks and bonds 57 , 890.00 eal estate Overdrafts 13, 248 . 72 8, 706 . 00 Furniture and fixtures City warrants 200 . 23 Cash, Cash items and exchange 51, 706 . 37 -------------------967,804. Other assets ssessments on capital stock Interest and rents collected 10 , 861 . 00 100 , 000 . 00 7, 594. 66 ------------------1086,.260.09 RECEI TS. From loans collected From stocks and bonds From cc.sh iter:1s collected SESS1lENT From STOCK Overdrafts collected Cash and exchange City ~arrants Interest l:illd rents collected 27f , 324. 337, 700. 1331 , 382. 51· 66 , 021 . 29· 2,149.32 · 24 , 968 . 99 10.75· i")ISBURSEI.!ENTS. 68 , 985 . 65· ~ Offsets allowed 98 paid Bills payable 9 594. 67· 319. 20· 15, paid _ediscounts 830 . 44, , 197 33 %Dividend to Creditors compromisLoss on bad debts ed 26 , 156.13 / 10,761 . 50 Expenses , taxes and scrip 3, 911 . 33 Cash to balance 12, 201.60 . ;,p 421.558.92 An assessment of 100 per cent has been levied on the stockholders of thi https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis bank. CIT I ZENS BANK AND TRUST COMPANY P.RESCOTT . NEVADA COUNTY,.ARKANSAS This bank was placed in the hands of the State Bank Commissioner on July 22nd. , 1915. The following is a staternent,as shown by the books,at close of business on July 22nd.,1915: RESOURC S. Loans and discounts Overdrafts b'urniture and fixtures Banking house Other real estate Abstract books Insurance agencies Accounts receivable Cash on hand D.l.e from banks Over and short account L BILITIES. i> 82,326 . 26 114. 57 1,764 . 20 4, 554. 54 16, 445 . 52 7 , 500._00 1, 000.00 1,886.75 125. 22 345.13 66.97 Capital stock Undivided profits Bills payable Individual deposits Time certificates of deposit Savings deposits Cashier's checks D.l.e to banks -v ll5,129.l6 RECEIPTS. Cash in vault Exchange 4.73· 18, 381.01· Notes collected Overdrafts collected 26.07 Accounts receivable collected 127.70· Interest collected 432. 37· Rents collected 460 . 90. From sale of Abstract books 1, 770. 00· From sale of insurance agencies 150.00 · Collected on abstracts 119.14 · From sale of furniture and fixtures 595 . 05· From sale of real estate 2, 980.00 · Miscellaneous sales 226 .93 · Balances due from correspondent banks which were applied on notes 3,685.36 · https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _ 33 ,~ 25,971.50 2, 652.85 318. 70 22.68 38. 48 ~ -------------------115, 129 .16 DIS BURS lElfl'S. Bil ls payable paid Expenses pa.id Exchange Paid Georgia State for contract on property Difference Deposit in Bank of Cash on hand 15 %Dividend paid DEPOSITORS 20 , 675.19 · 2, 074. 70· 5.44\ Savings mold Prescott 521 . 95· 2. 60 · 1, 041 .20· 16.73• to 4, 746.67. -------------------✓ 29,084.48 J BANK OF ROGERS ROGERS , BENTON COUNTY , ARKA?TSAS . This bank was placed in the hands of the State Bank Commissioner on July 16th. , 1914. The following is a statement,as shown by the books , at the close of business July 16th., 1914: RESOURCES. discounts stocks verdrafts eal estate , furniture and fixtures ash items ash on hand e from banks LIABILITIES. 376- 150. 51 40, 100. 00 1, 644 . 29 61, 140. 10 233.92 1, 379 . 54 23 , 352. 52 Capital stock Surplus Individual deposits Time deposits Savings deposits Cashier's checks Bills payable Rediscounts '-{Due banks y '"\ 'v <i? 150 , 000. 00 12 , 734.22 161, 838 . 59 110, 801. 78 1 , 068. 63 4 , 573 . 34 68, 106. 41 10, 000. 00 199.77 -.-------- - ---- CJ DISBURS RECEIPTS. Ca h Notes , rentals,dividends and interest collected From sale of the rc . Leod fa.rm https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5, 997 . 25 4 , 550.46 Expenses and a~torney's fees paid Offsets allowed Bills payable paid Cash on hand 2, 822. 09 310.76 8, 997.84 4,218.29 5,801.27 16 .. 348.98 J CITIZENS ROGERS , BENTON COU11TY ,ARKANSAS . mhis bank was merged with the Bank of Rogers, but since the Bank of Rogers had been placed in the hands of the state Bank Commissioner for liquidation, the two institutions have been segregated and are being liquidated separately by an order and under the jurisdiction of the Chancery Court. The following is a statement , as shown by the books, at the close of business on July 16th.,1914: L RESOURCES. J,oans and discounts Bonds and stocks Overdrafts Real estate Furniture and fixtures Cash items Expense Interest pa.id :rue from banks BILI1:1IES. Capital stock Surplus Individual deposits Time deposits Savings deposits Bills payable Interest Exchange "" • Overdraft 136, 806.65 25 , 400.00 2, 971.49 22, 000. 00 3 , 000. 00 134.42 3, 522. 17 3 , 093 . 05 9, 059.79 - --------------- 205 ,. 987.57 C -y $ 50 , 000 .00 -...,,3=88 67_ 52 , 635 . 28 57 , 180. 02 297 . 58 22,500.00 6, 628 . 78 35. 38 15, 321.86 205.987.57 \ , -1 DISBURS RECE!Pl'S. Cash Notes and interest collected Rent e collected overdrafts collected Received from Bank of Rogers Uiscellaneous credits to expense Received from sale of real estate https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4, 460 . 36 .._ I 20,454.75 266.00 196. 662, 790.2380.71 11 , 500.0039,748.70 Expenses pa.id Bills payable paid . Offsets allowed Interest paid overdrafts re-entered Truces pa.id Refunds Real estate purchased DIVIDEHDS pa.id to CREDITORS Debit surplus Court costs l 4, 081.35 9, 730 . 35 460. 36 442.50 1, 112. 0435.00 10. 787, 765.35 16,086.0621.61 3. 3039,748.70 BANK OF U UIJ,I,PRAIRIE CO Y, ABKANSAS . This bank as placed in the hands of the State Bank Comnissioner on ugu.st 15th. , 1914. The following is a statement , as shown by the books , at the close of business August 15th. , 1915: LIABILITIES. RESOURCES. oans and discounts rnitli.re and fixtures her real estate e from banks hecks on other banks ash on hand hortt3€e .Bank 13 , 531. 19 2, 000.00 3 , 900.00 969 . 64 120. 29" 737 . 00 ✓ 3,405. 35 Capital stock Undivided profits Bills payable Individual deposits Time certificates of deposit Cashier's checks 10, 000. 00 4. 62 200 - 8, 319. 37 3, 686 . 72- ------~~ ~ 652.76 - ll-~.£__ The following is an inventory of the assets placed in the hands of the State Department: 13, 625.69 Loans and discounts 263 . 88 Overdrafts 3,000.00 Banking house 2,000.00 Furniture and fixtures 900.00 other real estate 1 , 790 . 17 Cash and sight exchange ( not verified) 21.579.74 DISBURS RECEIPTS. ash and sight exchange otes and interest collected erdrafts collected https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1, 483. 17 222. 56 2.748.85 Offsets allowed Expenses paid Cash on hand 135. 27117. 33 2, 496. 25 2.748.85 BANKO m~ WYNNE , CROSS COUNTY , ARKANSAS This bank was placed in the hands of the State Bank Department on July 24th., 1914. The following is a statement ,as shown by the books , on the call of the Bank Commissioner June 30th.,1914: RE LI BILI'l'IE • URGES. Loans and discounts Overdrafts Furniture and fixtures Banking house Other real estate Cash items Dle from banks Cash on hand Deficit 97 , 686.19 193.10 3,000.00 8, 300.00 1, 914.50 38. 67 4,720.06 3,333.08 1, 137.83 120.323.43 Bank Capital stock Bills payable Individual deposits Public funds Certificates of deposit C 34, 700. 00 , 00 . 00 50 , 110. 38 10, 098 . 05 12, 915.00 v 120.323.43 The following is an inventory of the assets placed in the hands of the State Department: Loans and discounts Overdrafts Real estate Furniture and fixtures Judgements Exchange Cash on band County and city scrip $ 91 , 629.87 632 . 56 10, 214. 50 3,000.00 3 , 107.97 2, 842 . 94 2, 679.94 35.10 ~114, 142. 88 On July 29th 1915 , the creditors of the bank received a th rd dividend, making lo~ or the total amunt of the claims fil ed. Having disposed of all the assets under the orders of tm Court the Banking Department has been released from any f'urther responsibility. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Lir'.:' O• u:-c11u:.:E _£T10uI,.,8, I~: :!iE IH ':'EL lL.i.l,D.., 0 ., ~ B,u,K C ::~I SIOlTER Fm L L Q,UIDAT IL. , : WlE Royce, • • Bradford, H. • .\ ".I·: 0 F ;~Y.t. ~ , ':,"TIIllE , .ARKJJ:}.;.A , 'l'.ZE!.' X I.~0 .. 1'.VHS f:U3SE IJEl"T '.:'O ':.1HE OR:!)ER FU DDRESS JtOUlrT Hamlin , Arkansas Memphis, Tennessee . 08 .38 6.59 Charity Fund Dlke , . 40 Helena, Arkansas • B. Garrett, :.1rs. J . T . Grave Yard ssociation r;ynne , Arkansas Wynne , rkansas .12 17.47 James, r:ary Lewellen, J. T. Love , Dortha Lunsford, Bruce UNE1TO'\',N Wynne, Arkansas UNKNOWN Wynne, rkansas 4.00 . 69 97.98 .06 :Mayo and Robinson ~e bane, I.lary 11 chan, lrs . l! . J. ?.lt. ·ariah Baptist Church L'urrah, W. C. rkansas Arkansas ne , rkansas Colt , rkansas Wynne, rkansas . 01 . 25 .22 . 36 . 20 :achetz, H. 26 .00 Robinson, Ester eaman, E . ~ . 2 .00 \7;ynne , .rkansas Little Rock , rkansas .07 Texas and Company Turner, Leiia um::norm rkansas . 40 .12 Union Grove Cemetery 7ynne , Arkansas 2 . 00 1'hi t e , i': . H. \7'lliams, irs . Lucy \lilson, J . c. IDIBNOWl 'Wynne, rkansas UlOOTOVN . 45 . 21 115.00 elton, c. H. "tynne, . 01 TOT.t::::. 275 . 87 I n compliance with Section 58 of ACT no. 113 of the CTS of 1913, the above funds are on deposit with the Cross County Bank of Wynne , Arkansas . C DI':.10.. P IH FULL ( 100 cents on the dollar) AND GH""t:,'__.N ~HI DEP1illT1.IBNT BY THE CHANCERY COURT . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis FI!TAL DI Clli..RGE RE EIPTS AND DISIURSELlEl>;TS OF THE STATE BA.me DEPART !ENT oOo ~he following is a statement showing the total receipts and disbursements of the State Bank Department from January lst ., 1915 , to December 3lst. , 1915,inclusive: RECEIPTS • .Balance due from the State Treasurer in the Bank Fund December 3lst. , 1914 Corpora.t ion fees Examination fees , ( .NKS ) Examination fees , (DRAINAGE DISTRICTS) Certified copies Cancelled vouchers . 72 2.25 DE !CIT DECEMBER 3lst •• 1915 . 26 769.85 20, 523.47 754. 00 6. 60 2. 97 613.19 23.190.34 DISBURSEl!ENTS. Salaries Examiner's expenses Commissioner ' s expenses Deputy Comnissioner's expenses Bonds of Commissioner and employees Telegraph, Telephone and Postage Stationery, Printing and Office supplies https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 15,661.50 4, 267 . 79 329. 77 342. 63 300. 00 796 . 31 1, 472. 34 23.190.34 CO 'BINED BSTRACT OF REPORTS OF THE -.:,RIVATE BANKS AND BAfIBS NOT INCORPORATE IN THE STATE OF ARKAlIB S AT THE CLOSE OF BUSINESS NOVEUBER 10th, 1915. RE OURCES. Loans and Discounts , "'1E! HD, Loans and Discounts , Secured, Loans on Real Estate , Overdrafts, Bonds and Securities , Furniture and Fixtures , Banking House, other Real Estate , Due fl-om Non-Reserve Banks , Cash Items , Due fl-om Reserve Banks, Checks on other Banks , Currency, Gold, Silver and Fractional Coin, Other Resources , 5, 575 . 25 120, 940 . 58 64, 812. 60 3 , 156. 97 2, 052. 32 5, 597 . 80 2, 417. 06 4, 839 . 50 5 , 056 . 53 17.00 208,422. 46 766. 26 8, 839 . 00 776.00 9, 103.51 lo 8. 78 TOT L • SOORC,... LIABILITIES . Capital Stock, surplus , Undivided Profits, Bills Pa~able, Individual eposits , Public Funds , Due to Non-Reserve Banks , Certificates of Deposits , Demand, Certificates of Deposits , Time , Cashier's checks , other Liabilities, 125,500.00 42,711.48 4,419.42 50 , 000 . 00 191, 571.22 5, 435. 31 380 . 95 112.16 17,503. 22 4,732.52 115. 34 442 . 81 . 62 TOTaL L BILI~ ES ----------------- Total number reporting. 5. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COMB ARKANS D ABSTRACT OF REPORTS OF THE TRUST COMPANIES IN THE STATE OF R lOth. 1915. AT THE CLOSE OF BUSINESS NO RESOURCES. Loans and discount,DEMAND, Loans and discounts,SECURED, Loans on real estat e Overdrafts Other bonds and securities Items in transit on sundry banks Furniture and fixtures Banking house Other real est ate Bills of exchange rue from Non- Reserve banks Cash it ems rue from Reserv.e banks Checks on other banks CUrrency Gold Silver and fractional coin Other resources 878 , 810 . 52 8, 974, 084. 89 4 , 555 , 339.74 28 , 153 . 17 963 , 195. 68 76, 897 . 69 231 , 217 . 09 609 , 072. 92 470, 231 . 09 88 , 024.65 71 , 039 . 65 15, 084. 84 2, 947 , 292 . 78 135, 077 . 38 566 , 860 . 00 105,897. 50 122, 927. 69 167 , 160 . 94 TOT L RESOURC S ------------------LIABILITIES. Capital stock $ 4 , 686 , 875 . 00 Surplus 1, 178, 109 . 19 Undivided profits 462 , 463 . 50 Bills payable 886 , 500 . 00 203 , 650 . 56 Notes rediscounted 2, 411 , 861. 03 Savings accounts Trust funds 225 , 087 . 84 Dividends unpaid 1, 870 . 75 Individual deposits 7, 085 , 441 . 29 Public :funds 1, 321 , 953 . 59 536 , 587. 29 rue to non- Reserve banJia rue to reserve banks 20 , 998 . 36 Certificates of Deposit , DEMAND, 632 , 925 . 59 Certificates of Deposit,TIME , 1, 103 , 985.40 Certificates of Deposit,for money borrowed, 30 , 895.99 Certified checks 30,924 . 08 Cashier ' s checks . 82 , 328. 96 Reserved for interest 29 , 261.39 Reserved for truces 14, 919.42 Other liabilities 59 , 728~99 TOT L LIABILITIES.---------------- Total number reporting , 44. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis nm IN '::HE STATE OF COMBINED .ABS':: . CT OF RE oms OF THE STATE CLOSE OF BUSIHESS OVELIBER lOth. 1915 . A.TU{A!TS S A':: THE RESOURCES. Loans and Discounts, Loans on Real Estate, Loans on Cott on, Overdrafts, United States Bonds , Bonds to Secure Postal Savines , Other Bonds and Securities , Furniture and Fixtures , · Banking House, Other eal Estate , Items in Transit on Sundry Banks , Bill s of Exchange, :rue from Non- Reserve Banks , Cash Items , :rue from Reserve Banks , Checks on other Banks , Currency, Gold, Silver and b"ractional Coin, Other Resources , 22 , 599 , 410.22 6,121 , 016 . 58 2, 180, 360. 83 112,507.87 2, 140. 00 3 , 000.00 775,815.45 682, 661 . 66 1 , 545 , 162. 22 737 , 955 . 79 351 , 989 . 28 338 , 284. 58 566 , 191. 51 111 , 459 . 00 8,757 , 774. 71 348 , 182. 44 1, 665 ,946 . 00 207 , 159 . 00 425 , 433 . 40 141 , 679 . 08 47 ,674,129.62 TOT L RESOURCES-------------- L BILITIES. Capital Stock, SUrplus , Undivided Profits , Bills Payable, lot es Rediscounted, Savings accounts , Postal Savings Deposits , Trust Funds , Dividends Unpaid , Individual Deposits , Public Funds , :rue to non- Reserve Banks, :rue to Reserve Banks , Certificates of Deposits , EI.:.aHD, Certificates of Deposits, TL.!E, Certificates of Deposits , for money borrowed, Certified checks, ashier ' s checks , Reserved for Interest , Reserved for Truces, Other Liabilities , https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL L BILITIES ------------ Tot al nur.iber reporting, 343 . 8, 437 , 642 . 50 2,53_ , 580. 23 1, 299 , 508.40 3,770 , 341 . 32 113,857. 99 1,793, 340 . 92 2,643. 73 19, 019 .07 2, 334. 54 20 , 12e, 1a2. a5 2 , 514,563.62 2,403 , 414. 40 46 , 378 . 48 1, 206,343.00 3 , 073 , 452 . 63 82 , 955.35 6,415.72 201, 969.44 3,030. 38 300.00 33,855.05 --------------------------------------47,674 ,129.62 'ii' STATE OF .ARKANSAS BANK DEPART11ENT COlIBINED ABSTRACT OF REPORTS 4 :.:.arch 4 .. 1915 •ans and discounts 1ans on real estate 10, 545 , 503 . 92 ,ans on cotton ·erdrafts 173 , 650 . 83 10 , 267 . 17 s . Bonds ,nds to secure postal savings ,her bonds and 2, 089 , 607 . 88 securities .rniture and 927 , 823 . 39 fixtures 2, 088 , 311. 38 ill.king house :her real estate 1, 245, 482. 05 ;ems in transit 311 , 380. 76 274, 938 . 68 .lls of exchange le fl-om nonreserve banks 498 , 374. 31 81 , 064 . 87 .sh items .e fl-om reserve 9 , 312,777 . 71 banks Leeks on other banks 278 , 189 . 51 .rrency 1, 735,054.00 332 , 063 . 00 ,ld .lver 553, 351 . 54 ,her resources 363 , 648 . 85 ~AL RESOURCES. --~ Hay 1.1915 ( J;, June 23.1915 Sept.2.1915 Nov.10.1915 140,798 . 29 2,040 . 00 10,854,321.28 283 , 134. 84 107 , 392. 67 7, 040 . 00 10 ,7 66 , 472 . 52 220, 631. 97 95 , 025. 95 2, 040. 00 10,741, 168 . 92 3, 064 ,746 .60 143, 818 . 01 2, 140. 00 8, 052 .17 3, 052 . 17 3,052. 17 2, 217 , 425 . 88 2, 080 , 766. 10 1, 632, 934 . 80 1, 741, 063 . 45 936, 399 . 71 2, 090 , 527 . 41 1, 242, 138. 95 268 , 719 . 73 228 , 851.71 936,137.78 2,097,939.79 1, 248 , 636 . 87 216, 614 . 71 150, 485. 47 919 , 590 . 44 2,127 , 333. 21 1,232,702.36 234, 042 . 38 110 , 278 . 47 919 , 476. 55 2, 156 , 652.20 1, 213 , 026 .38 428 , 886. 97 426, 309 . 23 477, 341. 08 114,617 . 43 510, 717.65 89 , 985 . 97 431 , 691 . 18 81, 144. 25 642 , 287 . 69 126, 560 . 84 10,532, 677 . 86 8, 493 , 560 . 52 368 , 173 . 92 1,545, 053 . 00 339 , 235 . 00 512 , 268 . 40 400 , 897 . 07 199 , 935 .25 1,652, 520 . 00 329 , 015 . 00 540 , 453 . 38 377 , 585 . 50 11, 913 , 489 . 95 278,652.03 1, 511, 512 . 00 302, 934.00 504,139 . 37 324, 151. 34 484, 026. 08 2, 241, 645 .00 313, 832 . 50 557 , 464.60 308 , 948.80 ---------------------------------------------------------------------------------- RESOURCES $61,989 ,094.69 63,806,156.55 v62,625,463 .37 $61,617,267 .69 ~~69,122.979.46 LIABILITIES. ~ital stock 013, 623 , 892. 50 $13 ,563,817.50 $ 13,471, 89 2.50 $13, 287 , 892. 50 $13 , 250 , 017 . 50 .rplus 3,846, 875 . 22 3, 841 , 403 . 58 3, 755 , 400 . 90 3 , 850 , 772. 47 3 , 846,416. 60 1, 733,446 . 11 .divided profits 1, 610 , 478.41 1, 865,008 . 82 1, 617 , 552. 85 1, 766 ,391.32 2, 586 , 954.15 3, 542 , 377 . 18 .lls payable 3, 199 , 076 . 40 5,457 , 173.15 4 ,706,841.32 tes rediscounted 254,007.80 218,840 .55 235,965.24 272,642.59 317,508.55 .vings accounts 3,719,007.43 3, 710,715.93 3, 81€,329 . 82 3,897,547.15 4 , 205 , 201.95 stal savings 6, 429 . 98 5, 581.49 2 , 643.73 2, 387 . 23 2, 639.72 deposit 166 , 488 . 35 ust fUnds 148, 402 . 12 214, 587 . 19 191, 410 . 83 244, 106. 91 .vidends unpaid 10,373.14 7, 437.71 10, 073 . 42 4,602. 84 4,205 . 29 ldividuap deposits 24, 524 , 060 . 25 24 , 079,487 . 83 21 , 298 , 091 . 25 27 , 405 , 195.36 20, 404 , 157.77 4 , 957 , 655.92 3, 841, 952. 52 .blic funds 2, 356 , 538 . 35 5,881,666.70 4 , 468 , 087 . 74 .e to nonreserve banks 2, 940, 382. 64 2, 212,486.76 1,822, 440 . 34 1, 549,922.50 .e to reserve banks 14, 809.69 49 , 930 . 96 67 , 376. 84 26 , 439 . 17 15, 415 . 57 ,rtificates of deposit , DE.MAND, 1, 701, 868 . 42 1, 751 , 477 . 56 1,943 , 566.43 1,839 , 380. 75 1, 905 , 309 . 21 :rt ificates of deposit , TIME , 4,353, 766.38 4 , 203 ,977 .78 4 , 408 , 774. 5~ 4 , 180, 380. 56 4 , 194, 941 . 25 ,rtificates ~o--r money borrowed 215 , 324. 45 125 , 696 . 81 157,017 .76 130 , 841 . 65 113 , 851. 34 -.¾ I e• I •- ,0,~======:;;::::::================;;:;::::=::;::::=::;;:;:~;:;::====~==;:;;;;;:=;;:;~=-;: .shier 's checks 218 , 273 . 24 161,721. 15 138,135.94 190,560. 71 289,030.9 ,served for interestl9,027.05 20 , 065. 73 6, 944. 40 11, 994. 81 15,219 . 42 ,served for taxes 35 , 777.66 27 , 156. 85 29 , 409 .28 24, 028 . 60 32,291. 77 ,her liabilities 97 , 933.91 92,595 . 61 103 , 570 . 88 87 , 892. 40 93 , 699 .38 ~ L ------r---- ---------------------------------------------------------------------LI BILI~I~S ~61.989.094.69 ~63.806.156 .55 962.625,463 .47 ~61.617.267.69 v69.122.979 .46 Y.rAL NO . BAlilIB https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 404 401 397 394 392 • ABSTRACT OF REPORTS OF CONDITIOl OF N T ONAL BANY.S IN T CLO E OF IDSINESS ON NOVEMBER lOth., 1915 NU BER I .ARKANSA , 62 . RESOURCES. L BILITIES. $23 , 116, 221 . 46 Loans and discounts 40 , 608 . 01 overdrafts 3 , 424, 620. 00 Tot al u .s. Bonds 1, 019 , 190. 86 Other bonds and securities Subscription of stock in Federal Reserve .Bank 232 , 650 . 00 Banking house 449 , 023 . 86 Furniture and fixtures 248 , 941 . 31 Other real estate owned 386 , 967 . 07 Net amount due from Federal eserve Bank 555 , 805. 76 ~et amount due from approved reserve agents 3 , 518, 644.79 Net a "!Ount due from banks and bankers 3,132 , 433 . 80 Exchanges for clearing house 264 , 054. 77 Checks on banks in the same city or town 88 , 534. 19 outside checks and other ca.sh items 100 , 561.69 Jotes of other national banks 413 , 912 . 00 Federal reserve notes 81 , 750 . 00 Coin and certificates 1, 232 , 683 . 10 Legal-tender notes 268 , 417. 00 Five per cent redemption fund and due from u •• Treasurer 157 , 225 . 50 customers' liability account of " acceptances 221 , 018 . 97 Other assets 5, 771 . 96 5, 490 , 920. 00 Capit al stock paid in 2, 368 , 488 . 27 surplus Undivided profits , llET, 1, 072 , 660 . 26 ational bank notes outstanding 3 , 200 , 537 . 50 Uet amount due to approved reserve agents 1, 099 . 09 Dividends unpaid 30 , 650 . 50 Demand deposits 18, 530 , 942. 28 Time deposits 1, 602 , 061 . 53 u . s . Bonds borrowed 10, 000. 00 otes and bills rediscounted 494, 198. 08 Bills payable 909 , 900 . 00 Letters of credit 400 . 00 .Acceptances based on imports and exports 11, 304. 15 Other liabilities 1, 784, 36 Tet amount due to banks and bankers 5, 234 , 089 . 48 TOTAL RESOURCES. TOT L LIABILITIES. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 38,959,036.10 38,959,036.10 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis STATEMENT OF THE CONDITION --- OF --ALL MNKS,TRUST C llP. IES AND VINGS nm UNDER SUPERVISION OF THE BANK DEPARTMENT --- .Afr --- CLOSE OF BUSINESS NOVEMBER loth.,1915 COPY OF PUBLISHED STATEMENT of ,L'kan sas "'r· t & Banki.ng Co., Ashdo 11;1, "ittl<J R1 ~0., NOV 1 AT THE CLOSE OF BUSINESS RESOURCES . LIABILITIES I LOANS AND DISCOUNTS........................ 5 2,7 41.6 0 CAPITAL STOCK .............................................. LOANS ON REAL EST A TE -·•·-··· ...... 2 7, 7 5 9 .9 7 CERTIFIED SURPLUS ....... ...................... LOANS ON COTTON -··-·····-••·-·-··-··-···· UNDIVIDED PROFITS OVERDRAFTS __ ·---···---·····---·-······. 1 1 0 .9 1 BILLS PAYABLE BONDS AND SECURITIES----·--···· 7 0 2 .9 '.3 NOTES REDISCOUNTED ......................: .. F URNITURE AND FIXTURES_ ....... 4,3 8 1.4 0 SAVINGS ACCOUNTS BANKING Housi=- TRUST FUNDS 4 0,8 7 6 .6 8 OTHER REAL ESTATE ITEMS IN TRANSIT BILLS ·········· ······· ·- 2,3 0 2 .9 9 ·············-········ INDIVIDUAL DEPOSITS.................... OF EXCHANGE PUBLIC FUNDS DUE FROM NON-RE.SERVE BANKS ••·•- ·······- 4 2,2 1 9 .9 5 20,00 0.0 0 DUE TO NON-RESERVE BANKS.... DUE TO RESERVE BANKS ........... ..... ···--··- DUE FROM RESERVE BANKS ....... CHECKS ON OTHER BAN KS-·-······ 1 2, '.3 4 5.5 2 ... C/ D'S, DEMAND 5 9 8 .9 1 C/ D'S, TIME ........................... ····················•···•········ 1,9 6 1.0 0 C/ D'S, FOR MONEY BORROWED ..... 28 2.5 0 CERTIFIED CHECKS .................................... SILVER_ 48 9.0 8 CASHIER' S CHECKS OTHER RESOURCES-··-·----········ 5 4 9.2 9 RESERVED FOR INTEREST .............. CURRENCY GOLD.. ·--··-·--··-·· 9,0 0 0 .0 0 DIVIDENDS UNPAID .................................... ---··-·· CASH IT E.MS--···---··· 65,5 5 0.0 0 ··-··-······ ...........• 1,2 5 6 .1 2 2,4 7 0 .7 '.3 RESERVED FOR TAXES OTHER LIABILITIES TOTAL ___ - •... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .l 1 4 2,7 9 9 .7 9 ➔~ .......... TOTAL......... ..................................................... 1 4 217 9 9 .7 9 ~: OFFICERS AND DIRECTORS of f,rk ansas _2,,.11:,t & Ban ng Co., Ashcto,n, Little R1v6r Co., Ark. OFFICERS J . ~- JoHrsor PreBidenl . E. KI:; ORTPEY. A.T.BELLEB Vice PreBidenl Caahi•r J. L ... L"F:R JOHiISON .Jr A11't Cashier DIRECTORS · SON . O. D. TUR! K II 111111 II II II II II 1111111111 II 1111 .T. BELLER J . ... ILLER JOHNSQT.Jr https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis A!-BLE . £HDO ~ . ARK. ARK. COPY OF PUBLISHED STATEMENT of Eank of t111"·· , Alm, Craw f o1 d Co., .Ark AT THE CLOSE OF BUSINESS ;=---=---===--=================================-=-=-- ---======== RESOURCES I LOANS AND DISCOUNTS........................ 6 6,8 6 2.5 9 CAPITAL STOCK................................................ 35,000 .00 LOANS ON REAL ESTATE ................. 6,085 .86 CERTIFIED SURPLUS............................. . 7, 000 .00 LOANS ON COTTON .•··-···-··-·········-·········•·· 2 9,734 .24 UNDIVIDED PROFITS_ ............................ 6,414.26 OVERDRAFTS _ _ _ _ ·----········ 16 .2 9 BILLS PAYABLE- - - - - ······ BONDS AND SECURITIES------···· 4 5 6 .2 9 NOTES REDISCOUNTED ....................... .. F URNITURE AND F I XTURES--···· 1,6 9 9 .7 3 SAVINGS ACCOUNTS ................................ BANKING HOUSE___· - · - - - - - • 4,053 .12 TRUST FUNDS ................................................... I ' 1 o,o O 0.0 0 OTHER REAL ESTATE- - - · - - DIVIDENDS UNPAID .................................. ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS.......................... 5 0,8 6 5 .6 9 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS................................................... 6 4 6.5 9 , DUE FROM NON-RESERVE BANKS_ _ _ _ _ _ __ 1 ' LIABILITIES 5, 650.52 DUE TO NON-RESERVE BANKS.... CASH ITEMS _ _ _ _ _ _ _ ··· 5 8.5 0 DUE TO RESERVE BANKS............... . DUE FROM RESERVE BANKS-·-·- 1,869.5 0 C/ D'S, DEMAND................................................. 9 4 5 .7 9 C/ D ' S, TIME ............................................................ 2,263.00 C/ D'S, FOR MONEY BORROWED..... CH.ECK$ ON OTHER BANKS--······ CURRENCY _ _ _ _ _ _ __ 5 .0 0 CERTIFIED CHECKS ................................. . 8 2 9 .8 4 CASHIER'S CHECKS ..................................... GOLD _ _ _ _ _ _ _ _ _ _ , SILVER- - - - - - - - - · - · · - · · · OTHER RESOURCES _ _ _ _ _ 1 10, 0 3 5 .9 4 5 6 7 .7 9 RESERVED FOR INTEREST.·-········· RESERVED FOR TAXES- - - 1 OTHER LIABILIT I ES ............................... . TOTAL ....•........................................................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 2 o, 5 .'.3 0 .2 7 -3:, TOTAL... .............................................................. 1 2 0, 5 3 0 .2 7 'lf OFFICERS AND DIRECTORS of Bank of Alma, Al me, Crawt or t;o • ' Ark. OFFICERS .T. D. Byirs PreBide,11 GT Cazort, V i ce PreBidenl J. c. Alex.nder, Cashier J. D. Bylil,r& A••'I Cashier DIRECTORS J hn B. .... c. T J, Br?wn, L. S. ,Lf!were Alexander D. B;;arrs VJ. B. Smith, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis c. A. St~rbird______ COPY OF PUBLISHED STATEMENT of 3ank of hl~y.a, . Almy a, Arkansas Co., Ar ;~ NOV 1 0 jgj AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES 15,000.00 LOANS ANO DISCOUNTS........................ 30,876 .96 CAPITAL STOCK ........................................... LOANS ON REAL ESTATE ·-·············· 1 '.3, 6 7 9 .4 9 CERTIFIED SURPLUS ................................. LOANS ON COTTON _······•··-···-···-··- ...... 5 5.0 0 UNDIVIDED PROFITS ................................ OVERDRAFTS_·-·---·- · · · - - -········ 6 7 .9 9 BILLS PAYABLE ...........·--•························· .... 7,400.00 BONDS AND SECURITIES-·-···-······· 6.0 5 NOTES REDISCOUNTED ......................... 5, 000.00 2,317 .50 SAVINGS ACCOUNTS _ _ _ ·•········ BANKING HOUSE _ _ _ _ _ _ , 1,500.00 TRUST FUNDS ..·-··········································· ... OTHER REAL ESTATE- - - - ! 2,5 0 0.0 0 DIVIDENDS UNPAID- - - - · · · FURNITURE AND FIXTURES- ... ITEMS IN TRANSIT--··-·----·-·-··· INDIVIDUAL DEPOSITS............ ·-···········- 31,183 .4 7 BILLS OF EXCHANGE- - - - - • · PU BL IC FUNDS ..·-·•··-·•·•·····-···········-··············· 2,6 9 8.21 I DUE FROM NON-RESERVE 4,268.40 BANKS DUE TO NON - RESERVE BANKS .... CASH ITEMS- - - - - - - · · · · DUE TO RESERVE BANKS·-············· DUE FROM RESERVE BANKS-..... 7, 228.42 CHECKS ON OTHER BANKS--····· 18 6.2 5 C/ D'S, DEMAND .....·--·········-··············· ........... . C/ D ' S, TIME - - - - - - - - - 1 1 , 7 8 0 .0 0 C/ D'S, FOR MONEY BORROWED... _ 2 2 5 .0 0 CERTIFIED CHECKS .................................... SILVER- · - · - - · · - - - - - - - - , 3 8 8 .9 2 CASHIER'S CHECKS ..................................... OTHER RESOURCES------··--··•-•· 1,168.4 7 RESl;::RVED FOR INTEREST.............. CURRENCY _ _ _ _ _ _ _ _ , GOL0._ _ _ _ _ _ _ _ _ _ _ _ 1 4,315 .73 6 5 1.0 4 RESERVED FOR TAXES _ __ OTHER LIABILITIES.................................. TOTAL ............. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 6 2 4 8.4 5 ➔~ TOTAL .......................................................... . 6 6, 2 4 8 .4 5 ';~ OFFICERS AND DIRECTORS of Bank of Alrwr a, lUmyra, Arkansas Co ., k,1·. OFFICERS Aas'I Cashier DIRECTORS ~~ ' . /2~~~"'--""~ cf'~ £ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ COPY OF PUBLISHED STATEMENT of J ank of .1-a "''3J.Ja, A1 pena Pas s, Boone Co . 0 1 0 1Sl AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS ...................... LOANS ON REAL ESTATE····-···••····· LIABILITIES 15,440.23 CAPITAL STOCK.......................................... . 4,210.5 2 CERTIFIED SURPLUS.............................. .. LOANS ON COTTON ...·-··········-···---········· UNDIVIDED PROFITS............................. . OVERDRAFTS .... _. _ _ _ _ _ __ BILLS PAYABLE .....·- BONDS AND SECURITIES--·-····· NOTES REDISCOUNTED ......................... --············ FURNITURE AND F I XTURES-·-···· 1,5 0 0.0 0 SAVINGS ACCOUNTS ............................... ... BANKING HOUSE· - · - · · · - - - - • 2,000.00 TRUST FUNDS.................................................... OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID .....· - - -··· ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS- - -··- BILLS OF EXCHANGE- - - - - ! I DUE FROM NO N -RESERVE BANKS _ _ _ _ _ _ _ __, CASH I TEMS _ _ _ _ _ _ _ _ I I DUE FROM RESERVE B A NKS·-···- I! I GOLD _ _ _ _ _ _ _ _ _ __ 1 t' SILVER _ _ _ _ _ _ _ _ _ _ _ , OTHER RESOURCE$ _ _ _ _ _ , 2 5,634.29 ··············· .'.31.65 DUE TO RESERVE BANKS ................ 12,758.03 C/ D'S, DEMAND .................................................. . CHECKS ON OTHER BANKS- ........ ! CURRENCY PUBLIC FUNDS...........· - -- 3,0 0 0.0 0 DUE TO NON-RESERVE BANKS .... I r - 6,000.00 C/ D'S, TIME------··•··········· 1,124.00 C/ D'S, FOR MONEY BORROWED ..... 7 5.0 0 CERTIFIED CHECKS- - - · · · ······ 2 8 6.2 6 CASHIER'S CHECKS- - - -······· 6 9 .7 7 RESERVED FOR INTEREST .............. 2,861.17 RESERVED FOR TAXES·- - - 1 OTHER LIABILITIES TOTAL. .. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .'.3 7. 4 9 5 4 6 i: TOTAL ............................................................. 3 7, 4 9 5 .4 6 ;~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of :Wan k of Al "':ia, A1 pen a Bass, Boone Co. , A J,- . OFFICERS . "' t eo Aaa'I Cashier . DIRECTORS f ! ::~-0 , . lll...\O\id II. ..." c;oal COPY OF PUBLISHED STATEMENT of 53n k of A 0imer, Alt;,eimer , Jct'fers o,1 Co, : Ar· +1 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS......... •-············ 12,807.82 CAPITAL STOCK- - - - -···· 12,500.00 LOANS ON REAL ESTATE -·-···-···•·· 18, 257.7 7 CERTIFIED SURPLUS- - -········ 1,500.00 LOANS ON COTTON .........·-·····-·····-············ UNDIVIDED PROFITS.......... ..................... 1,220.19 OVERDRAFTS_ _ _ _ _ _ _ , BILLS PAYABLE---······--··-···•• BONDS AND SECURITIES ____ ·-··•··· 2 6 6.0 5 FURNITURE AND FIXTURES--··· 2,8 8 .'.3.9 7 SAVINGS ACCOUNT$ _ _ _ _ , BANKING HOUSE _ _ _ _ _ _ , 3, 7 2 1.5 0 TRUST FUNDS _ _ _ _ _ __ , OTHER REAL ESTATE---···-···-· ITEMS IN TRANSIT _ _ _ _ _ , NOTES REDISCOUNTED _ __ 5 1 0.0 0 DIVIDENDS UNPAID---··········· 2 8.0 0 INDIVIDUAL DEPOSITS_ _ _ ._ 65,415.23 PUBLIC FUNDS- - -- 37, 041.66 BILLS OF EXCHANGE _ _ _ _ , II I - -··· DUE FROM NON-RESERVE BAN KS DUE TO NON-RESERVE BANKS .... --·---·--·-···· DUE TO RESERVE BANKS................ CASH ITEMS DUE FROM RESERVE BANKS·-····· 74,085.4 3 C/ D'S, DEMAND .......................·- - -··· CHECKS ON OTHER BANKS- ..... C/ D ' S, TIME ...... -·•-··· · · · - - -·················· CURRENCY _ _ _ _ _ _ _ _ , C/ D'S, FOR MONEY BORROWED ..... GOLD .. _ _ _ _ _ _ _ _ __ 1,267.4 3 CERTI Fl ED CHECKS ......·-······················ ···· 5,568.82 SILVER_·-·····-··---- - - - · · · CASHIER'S CHECKS- - - -···· OTHER RESOURCES- - - -····· RESERVED FOR INTEREST .............. 18 4.8 5 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES .................................. ··=··-..c.__:;: 1_:1::. 9, 1 2 9 ,3 6 -lr L....__!_ TO ::::..T!.!A:!!:L::::····:::::····:::::·····:···-====····c.:::· :.:: ····:::.:·· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL .................. :1 ., 9.1 2 9 ~ 6 -lr OFFICERS AND DIRECTORS of Ban k of Al hvimer, Alt~eimer, Jeife ~s on Co., Ar· OFFICERS J. S . !cDonnell. Presidenl w.c.Hudson. Vice Presidenl Thos R.Ashcraft. Cashier n. B.Ashcra:ft. A88'1 Cashier DIRECTORS J. S . {cDonnell. Altheimer, Arkansas. w.c.Hudson. Pine Blu:ff, Thos n.Ashcraft. n. B.Ashcraft. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis II ---'-------- " " , " Altheimer, Arkansas. COPY OF PUBLISHED STATEMENT of .l \mity, Clark Co . , NOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 61,306.80 CAPITAL STOCK .......•..._ _ __ LOANS ON REAL ESTATE--··········· 1 ,5 3 3.81 CERTI Fl ED SURPLUS.... ························- 410.0 0 UNDIVIDED PROFITS................................. 2,377.27 LOANS ON COTTON _ _ _ _ ······· OVERDRAFTS _ _ _ _ _ __ 145.9 5 1,138.92 NOTES REDISCOUNTED ...................... . FURNITURE AND FIXTURES- .... 1,000.00 SAVINGS ACCOUNTS- - - · · · · ······- BANKING HOUSE _ _ _ __ '.3,5 0 0.0 0 TRUST FUNDS _ _ _ _ _ _ •··· OTHER REAL ESTATE- - - - ! 7, 889.84 DIVIDENDS UNPAID ......................•............ ITEMS IN TRANSIT _ _ _ _ _ , 10 0.0 0 INDIVIDUAL DEPOSITS_ _----1 I DUE FROM NON·RESERVE BANKS CASH ITEMS- - - -- 218.0 8 DUE TO NON-RESERVE BANKS.... DUE TO RESERVE BANKS...•........... --•· DUE FROM RESERVE BANKS ....... 18, 130.96 C/ D'S, DEMAND ................................................... CHECKS ON OTHER BANKS_ .... 1 5 9.11 C/ D ' S, Tl ME •......• · · · · · · - - - - - - · · CURRENCY _ _ _ _ _ _ _ _ , 2, 7 6 0.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD .•.·-····- · · · · · - - - - - - - 1 8 5.0 0 CERTIFIED CHECKS- - - - ··· SILVER- - - - - - - - - 1 18 4.4 7 OTHER RESOURCE$ _ _ __ 65,210.0 7 PUBLIC FUND$ _ _ _ _ __ BILLS OF EXCHANGE- - - - 1 1 BILLS PAYABLE- - - - - · · · ..•...... BONDS AND SECURITIES- 25,000.00 CASHIER'S CHECK$ _ _ 20,155.60 ___, RESERVED FOR INTEREST .............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL.. ........• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 1 3_, 1 5 2 ~9 4 ~:__.:__ A~L:::::··=· ···=·····:;:;:;· · = ===··=····.!...____,,1!e....,!,1'--''.3e<'.J,...,.1,._5~ 2~,~9:. . .4::i:.....:~.:... ; _, _! T~02...; T Sn :1'1· 11,; h11 '· ""' ! f[]l [~ ~ ,------0-F_F_I_C_ER_S_A_N_o_~_D_I_R_E_.C_T_O_R_s_ _ Bank of Aw.; @........,.,.,;._ qmity, Clark Co., OFFICERS ,' (. !13/$ Preridenl . ♦ ,.,., ll 330'1 V ict Prtridenl lds Caahier , W, Pincher A••'t Cashier DIRECTORS C::1 J. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis r own lds e, __,N~Q~~ JNo. M. DA ty, I"! Il..tZI?' t L '1 fl fl II II 11 ,, ,, II vrs COPY OF PUBLISHED STATEMENT of ~ank of J\:1r'usas City _ Ar" ans as City, IG sha Co. , A-·k AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS...................... 70,520.93 CAPITAL STOCK ........................................ LOANS ON REAL ESTATE_.............. 27,051.4 7 CERTIFIED SURPLUS-- - -.... 5 0 0.0 0 LOANS ON COTTON .................................... 6,226 .15 UNDIVIDED PROFITS.......................... ..... 2,990 .23 12.9 7 BILLS PAYABLE ................................................ 10,000.00 OVERDRAFTS......._ _ _ _ _ _ __ BONDS AND SECURITIES ___ .... _ ..... F URNITURE AND F I XTURES.... - ... NOTES REDISCOUNTED ........................ 2,280.23 SAVINGS ACCOUNTS _ _ _ .......... .. BANKING HOUSE _ _ _ _ _ _ I TRUST FUNDS_ _ _ .............................. OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID .................................... ITEMS IN TRANSIT _ _ _ _ _ , '.3 5 6 .7 0 BILLS OF EXCHANGE _ _ _ _ , DUE FROM NON-RESERVE BANKS INDIVIDUAL DEPOSITS _ _ _ .._ 25,987 .90 6,000.00 PUBLIC FUNDS ................................................... 50,322.77 3 5 3,3 2 DUE TO NON-RESERVE BANKS ..... CASH ITE M S _ _ _ _ _ _ _ , DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ...... 13,470.50 C/ D ' S, DEMAND _ _ _ ........................... CHECKS ON OTHER BANKS __..... 4 5 4.4 5 C/ D'S, TIME .................. _ _ _ _ ............... CURRENCY ...· - · - - - - - - · - · - · - -.. ·- 2,735 .00 C/ D'S, FOR MONEY BORROWED ..... GOLD _ _ _ _ _ _ _ _ __ 4 7 0.0 0 CERTIFIED CHECKS .................................... SILVER ____ .. ___ .. _ _ _ _ _ _ _ _ .., 2 6 4.6 2 CASHIER'S CHECKS ................................... OTHER RESOURCES ___________ .... 32,500.00 7,660.17 2 3 5.2 7 RESERVED FOR INTEREST............ .. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES.................................. ~ -T~O_T_A_L_..._ ....._...._.. -_.. -_-=. ·-=...= .....=....=.. = . ·=·=....=...."--.'--__1_3_ 0_,:__1_ 9_ 6_ ,3_ 4_ -l_r____:_T-=.O..c.T.ccA=L =.....=. . '.......... -'- ............................................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 3 0. 1 9 6 ,3 4 -rr OFFICERS AND DIRECTORS of Bank of A ~A nsas City, Artansas City, f esha Co., M l· OFFICERS HuEZh McCain Presidenl J.P.Fendley Vice Presidenl v.G,Savage Cashier A••'I Cashier DIRECTORS Hugh l cCain J. . b.,endley _______ _______ Y.G.Savage. ______________ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Jank of ~oP r lat , A~h Flat, Sn&rp Co , , Arlr 91 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS....................... . 8,825 .89 CAPITAL STOCK---······················•· 5,000.00 LOANS ON REAL ESTATE_............... 3,745 .8 7 CERTI Fl ED SURPLUS ....................·-········- 8 0 0.0 0 UNDIVIDED PROFIT$, _ _ _ ····· LOANS ON COTTON ·--·-·········-··-·-··-········ OVERDRAFT$ _ _ _ _ _ __ 2 7.7 7 BILLS PAYABLE _ _ _ _ _ _ , BONDS AND SECURITIES--·--······· '.3 5.0 0 NOTES REDISCOUNTED ....................... FURNITURE AND F I XTURES--··· 1,080.00 SAVINGS ACCOUNT$ _ _ _ _ ····- 3 5 0.0 0 TRUST FUNDS .............· - - -··········· .. BANKING HOUSE _ _ _ _____ .. _ OTHER REAL ESTATE _ _ _-/ DIVIDENDS UNPAID- - - - ···· ITEMS IN TRANSIT- - · - - - - , INDIVIDUAL DEPOSITS........................... BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUND$ _ _ _ _ __ 4,500.0 0 • 10,0 77.02 5 5.7 0 I DUE FROM NON-RESERVE BANKS CASH ITEM$ _ _ _ _ _ _ _ _ , DUE TO NON-RESERVE BANKS.... 8 .1 5 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ ~D~, DEMAND _ _ _ _ _ _ _ _ CHECKS ON OTHER BANKS·-····· C/ D' S, TIM E ...........................·-·······························- 1,016.0 0 C/ D'S, FOR MONEY BORROWED ..... 3 4 0.0 0 CERTIFIED CHECKS---········· SILVER- · - · · · · - - - - - - - -··· 10 8 .9 0 CASHIER'S CHECKS ......_ _ __ OTHER RESOURCES--··•--···--····· 13 0 .3 9 RESERVED FOR INTEREST .............. CURRENCY _ _ _ _ _ _ _ _ , GOLD _ _ __ _ _ _ _ __ 2,155 .34 130.01 RESERVED FOR TAXES _ __ OTHER LIABILITIES.................................. TOTAL .............................................. . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 2, 7 1 8.0 7 ~~ TOTAL ............................................................... 2 2. 7 1 8.0 7 ~~ OFFICERS AND DIRECTORS of 1, 8an k of Asli Fla t , Ash Fl at, Sharp Co. , Ar OFFICERS PreBidenl .r. I,. Gaad man. Vice President c. W, 1f il aan. Cashier Ass't Cashier Bank1 O· DEC .· DIRECTORS ' --·-, -.. .r ."I O~ M. '9~"" R.t.Semple. J.L.Good an.~•- - - .r. A. Sie;lsr. C.1f.Dixon https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C0,1j11Ja1 1 COPY OF PUBLISHED STATEMENT of :iank of ,'t ·i.1s , At ktns , Poe Co., Ar · . NOV 1 0 1915 AT THE CLOSE OF BUSINESS I RESOURCES LIABILITIES LOANS AND DISCOUNTS ......................- 177, 584.93 CAPITAL STOCK·····•············---······ 50,000.00 LOANS ON REAL ESTATE ..·-·····-···· 47, 657 .99 CERTI Fl ED SURPLUS ..·-···························· 10,000.00 LOANS ON COTTON _ _ _ _ _ ···· 13,270.7 8 UNDIVIDED PROFITS................................. 15,004.96 _ __ , 4 3 4 .81 BILLS PAYABLE- - - - · · · · -····- .... 50,000.00 BONDS AND SECURITIES·--··-·-··· 7, 009.5 8 NOTES REDISCOUNTED ........................ OVERDRAFTS __ _ __ _ FURNITURE AND F I XTURES_ ... SAVINGS ACCOUNTS- - - - -·- BANKING HOUSE _ _ _ _ _ _ , TRUST FUNDS- - - - - · · - · ···· OTHER REAL ESTATE _ _ _ _ . DIVIDENDS UNPAID .................................... ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS....·-········-········- 1 5 2,164.42 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS .....·----··············· 3,680 .3 7 DUE FROM NON-RESER V E BANKS DUE TO NON - RESERVE BANKS.... CASH ITEMS _ _ _ _ _ _ _ DUE FROM RESERVE BANKS ........ I CHECKS ON OTHER BANKS·--····· CURRENCY _ _ _ _ _ _ _ _ , GOLD.·----··-·- - -- - - - I SILVER - - - ------·- 0TH ER RESOURCES _·-- -··--·-···· DUE TO RESERVE BANKS ................ 1 5 7, 295.42 C/ D ' S, DEMAND ................................................. 6 0 5 .2 2 C/ D ' S, TIME ........••···•·•······-···········•----, 11,320.00 C/ D ' S, FOR MONEY BORROWED ..... 1,455.00 37,039.50 CERTIFIED CHECKS._ _ __ 6 7 5.0 0 CASHIER' S CHECKS- - - - · ······ 7 8 0.8 4 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES............................. ..... TOT AL........·-·····-·-·······················•··· ............. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 1 8, 0 8 9 .5 7 ~i' TOTAL..·-······•······ 2 0 0 .3 2 3 1 8, 0 8 9 .5 7 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ::::· nk of Ac. i. · ,s , Atkins, Pope Go., Ark Aaa't Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Dank of AJEu~ ta & Trust Co., August a, Wooar uff Co ., A • AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES 105,8 7 .'.3 .9 9 CAPITAL STOCK........................................... 5 0,0 0 0.0 0 CERTIFIED SURPLUS·- - - - ··· 25,000.00 LOANS ON COTTON _ _ _ _ ······ UNDIVIDED PROFIT$,_ _ _ _ ··· 3,101.5 OVERDRAFTS· - - · · - - - - - - BILLS PAYABLE _ _ _ _ __ , 15,000.00 10,000.00 LOANS AND DISCOUNTS ............... LOANS ON REAL ESTATE.·--········· 7 0,4 9 0.0 4 BONDS AND SECURITIES---······· 5 0 8.1 3 NOTES REDISCOUNTED ..................•... - FURNITURE AND F I XTURES.·-•··• 2,500 .00 SAVINGS ACCOUNTS ................................... BANKING HOUSE _ _ _ _ _ _ , 3,575.00 TRUST FUNDS _ _ _ _ _ _ .. 7 9 0 .9 6 DIVIDENDS UNPAID.................................... OTHER REAL ESTATE- - - · · ITEMS IN TRANSfT _ _ _ _ _ t 5 4 .0 4 INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE _ _ _ _ , I DUE FROM NO N -RESERVE BANKS PUBLIC FUNDS .....·----··········· 1,007 .6 1 DUE TO RESERVE BANKS................ I DUE FROM RESERVE BANKS ...... . 4 5,824 .68 C/ D'S, DEMAND•---························· CHECKS ON OTHER BANKS·-······ 411 .6 4 C/ D ' S, TIME·- - - - - - - - ·· 12,062.00 C/ D'S, FOR MONEY BORROWED..... CURREN CY _ _ _ _ _ _ _ _ , 11 2 .7 5 DUE TO NON - RESERVE BANKS .... l CASH I TE M S 117: 28 8.4 4 GOLD·- - - - · - - - - - - · · · ····· 16 0.0 0 SILVER _ _ _ _ _ ···-·······-··-········· 4,170 .62 CASHIER' S CHECKS................................... OTHER RESOURCES'- - - - · · ·· 2,000.00 RESERVED FOR INTEREST.·-········ 28,925 .9 4 CERTIFIED CHECK$, _ _ __ RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL... ......... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 4 9, 4 2 8 .7 l ~, TOTAL ................................ .......................... . 2 4 9, 4 2 8 .7 1 ~~ OFFICERS AND DIRECTORS of Bank of Au-:311.., ta & Trus t Co. , P~gusta , Woodru f f Co. , .A. f:_ OFFICERS B.L . Fletcher Presidenl J .F. ummers V i ce Presidenl I . J . Stacy Cashier A. H. Hamilton Aas'I Cashi<r DIRECTORS J . R . Vinson \l . L . Banks - - - -.l . C . Berry Ed . Roddy C .s ..! irheart https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis J . H. Snapp COPY OF PUBLISHED STATEMENT of Comme rcia l :rnk , Plma, Crawto rd Co., Arlr AT THE CLOSE OF BUSINESS I NOV I RESOURCES 0 1915 LIABILITIES LOANS ANO DISCOUNTS.......-............... 29,438.06 LOANS ON REAL ESTATE ................. 4,766.88 CERTIFIED SURPLUS _ _ __ 7 3 0.8 5 LOANS ON COTTON _ _ _ _ ········ 7,774 .88 UNDIVIDED PROFITS.............................. . 3 8 2.5 7 OVERDRA F TS _··----·---·-··-········ 1 .7 2 BILLS PAYABLE ......................................_. ..... BONDS AND SECURITIES_·--·-·-··· 156.41 NOTES REDISCOUNTED- - - - - 1 FURNITURE AND F I XT U RES--··· 1,800.00 SAVINGS ACCOUNTS ................................. BANKING HOUSE _ _ _ _ _ _ , 3,630.00 TRUST FUNDS...•....... ....................................... CAPITAL STOCK. ..·-···--·· · · - - - · · · OTHER REAL ESTATE- - - - l DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS- - - - - 1 BILLS OF EXCHANGE _ _ __ 25,000.00 28,088.09 PUBLIC FUNDS................_ _ _______, I DUE FROM NON-RESERVE BANKS I CASH DUE TO NON - RESERVE BANKS .... DUE TO RESERVE BANKS ..·-····-····· ITEMS- - - - - - - · · ·· DUE FROM RESERVE BANKS-····- 5, 0 6 9.5 6 C/ D ' S, DEMAND---·••·-··········•·····•···· CHECKS ON OTHER BANKS·-···· 1 3 3 .9 3 C/ D ' S, TIME .................. ----·············· 2,125.00 C/ O ' S, FOR MONEY BORROWED..... CURRENCY _ _ _ _ _ _ _ _ , GO L O _ _ _ _ _ _ _ _ _ _ __ ······ SILVER _ _ _ _ _ __ _ _ , 15.0 0 6 6 6.1 8 9 6 4.8 8 CERTIFIED CHECKS.·-········---1 CASHIER' S CHECK$ _ _ _ _ _ , 411.2 3 RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ _ _ _ _ 1 RESERVED FOR TAXES ....·-·················· OTHER LIABILITIES.................................. TOTAL .......................................................... .... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 5, 5 7 7 .6 2 ~; TOTAL .............................................................. 5 5, 5 7 7 .6 2 ~;. OFFICERS AND DIRECTORS of Commercia l Pank, Alma , Crawford Co . , . .Ar1< OFFICERS J.H.Cole Presidenl R.L .Lil.es V ice Prisidenl O.B .Ragon Cashier W. M.Jones ABB'I Cashier DIRECTORS J.H.Cole W. 1.1. Jones O. M. Adams T.H.Kibler E . Bradley https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~L.L1_·1_e_s________ O.B.Ragon COPY OF PUBLISHED STATEMENT of Desha Ban. Trust Co., Ark nsas C~ty, tcsha Co. Ar· 1 :., 1915 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS- --1 203,221 .6 5 CAPITAL STOCK ......•..................................... 1 00,000.00 LOANS ON REAL ESTATE •..•..... ...... 1 41,163.51 CERTIFIED SURPLUS ............................... . 1 00,000.00 LOANS ON COTTON .. - - -······· 2 5,380 .10 UNDIVIDED PROFITS............................... 1,047 .9 3 3,991.18 BILLS PAYABLE- - - - -··· 75,000.00 BONDS AND SECURITIES •• _ .••...... 5 0,4 0 5 .3 2 NOTES REDISCOUNTED .......................... 63, 363.4 0 FURNITURE AND F I XTURES- ·-··· 2,215.00 SAVINGS ACCOUNTS .....· - - - ··• 40,238.52 11,323.4 4 OVERDRAFTS _ _ _ _ __ BANKING HOUSc=-- - - - - 1 35,000.00 TRUST FUNDS _ _ _ _ _ _ , OTHER REAL ESTATE _ _ _-! 16,745 .86 DIVIDENDS UNPAID...· - - - - · · ···· 2 8 1 .7 5 INDIVIDUAL DEPOSITS.....•..................... 66,360 .84 61,4 6 9 ,3 4 PUBLIC FUNDS'- - - · · · · ····················· 61,063.9 7 3,000.00 DUE TO NON-RESERVE BANKS .... 5 2 4.4 5 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ 3, 216 .06 C/ D'S, DEMAND................................................. CHECKS ON OTHER BANKS·-•····· 3,026 .8 7 C/ D ' S, TIME ............ _ _ _ _ _ _ , CURRENCY _ _ _ _ _ _ _ _ , 2, 399.00 C/ D'S, FOR MONEY BORROWED ..... 2 5.0 0 CERTIFIED CHECKS- - - · · · · ······· ITEMS IN TRANSIT- - - -··· I BILLS OF EXCHANGE _ _ _ _ , I D U E FROM NO N ·RESERVE BANKS _ _ • CASH ITE M S_. 1 I GOLD.·--·-- - · - - - - - - - - · ······· SI LVER ___···----·-· - - - - - -1 1,809.7 7 CASHIER'S CHECKS _ _ _ _ , OTHER RESOURCES _ __ _ _ , 7, 000.00 RESERVED FOR INTEREST.............. 2 2 5.0 3 4 1,19 6.4 8 4 9 1 .7 5 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL. ............•• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 6 0, 5 9 3 .1 1 ,~ TOTAL .............................................................. 5 6 o, 5 9 3 .1 1 ";~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Desha Ban: Trust Co., Arh2n sas City, Desha Co., ~ /lrl.{ OFF di DIRECTORS COPY OF PUBLISHED STATEMENT of ,lk dor n ,...,,· k & 'Irust Cc., Arkad lph1a, Clark Co , Ar 1 AT THE CLOSE OF BUSINESS 191 RESOURCES I LIABILITIES LOANS AND DISCOUNTS........................ 3 8 1,489.71 CAPITAL STOCK...........·- - - - · · · 129,500.00 LOANS ON REAL ESTATE ................. 63, 263 .81 CERTIFIED SURPLUS- - - - · · 30,000.00 LOANS ON COTTON _ _ _ _ _ , 18,407.07 UNDIVIDED PROFITS................................. OVERDRAFTS _ _ _ _ _ _ _ , • 2,2 0 8,3 7 BILLS PAYABLE- - - - - · · · · · BONDS AND SECURITIES-·-·-·-···· 4,9 10,2 6 NOTES REDISCOUNTED ......................... F URNITURE ANO FIXTURES--·· 1,6 .'.3 .'.3.0 0 SAVINGS ACCOUNTS _ _ _ _ ··- BANKING HOUSE _ _ _ _ __ 9,8 0 5 .7 3 TRUST FUNDS-- - - - - - · · OTHER REAL ESTATE- - · · - -· 8,600.00 DIVIDENDS UNPAID.•··············-················· ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - - - ··· DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS _ _ _ _ _ _ _ , 4 0 0.0 0 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ 60,244 .23 C/ O' S, DEMAND .........·-······---········· CHECKS ON OTHER BANKS_ ..... 1,587.25 C/ D ' S, TIME._ _ _ _ _ __ CURRENCY _ _ _ _ _ _ _ _ , 8,997.00 C/ D'S, FOR MONEY BORROWED ..... 567.50 CERTIFIED CHECKS .................................... SILVER- - · · · · - - - - - - - - ! 1,905.84 CASHIER'S CHECKS•---············· OTHER RESOURCES- · - - - · · · · 2,892.94 RESERVED FOR INTEREST.............. 30,000.00 8 0, 9 9 7.0 6 188,98 6.04 32,691 .6 0 74,087 ,3 1 6 5 0 .7 0 RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOT AL ......-.... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 6 6. 9 :I. 2 .7 1 7~ TOTAL·-··············· 5 6 6, 9 1 2 ,7 1 ~~ OFFICERS AND DIRECTORS of Clk Horn a~nk & Trus t Co., Arkad ~lphia, Clark Co , Ar', 0 °FF IC E RS c.c. Henderson Presiden l . J.s • Cargile Vice P residenl W?E. Barlonan Cashier s. J. Dean ABS't Cashier DIRECTORS c.c. Henderson J. s. Cargile W. E. Barkman R.B.F. Key r. w. Cook J.C. Wallis E. E. Meador R.H. Greene .H. Cooper J •• Patterson https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis R. A. Stuart COPY OF PUBLISHED STATEMENT of .-,armars r., ... n , Al i cia , Law~en ce Co., Ar AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 9,6 8 0.0 5 CAPITAL STOCK.................· - - - · - 10,000.00 LOANS ON REAL ESTATE-··-·••····-·· 2,375.00 CERTIFIED SURPLUS ................................. 2 5 0.0 0 UNDIVIDED PROFITS-............................. 6 10.2 4 LOANS ON COTTON _ _ _ _ ······· OVERDRAFTS_·-··-···-•-··---··-······· 10.5 5 BILLS PAYABLE- - -························ BONDS AND SECURITIES-·---··· 9.3 7 NOTES REDISCOUNTED ........·-············ . FURNITURE AND FIXTURES-........ 9 2 5.0 0 SAVINGS ACCOUNTS .............................. . BANKING HOUSE· - · - · - - - - , 212 0 0.0 0 TRUST FUNDS- - - - - · · · · · · · · ···· OTHER REAL ESTATE- - · - · · - - DIVIDENDS UNPAID- - - -··· ITEMS IN TRANSIT---·---·-···· INDIVIDUAL DEPOSITS .......................... 41,738.04 BILLS OF EXCHANGE- - - -• PUBLIC FUNDS- - - - - - ! 10 1.8 9 DUE FROM NON-RESERVE BANKS 2,919.08 DUE TO NON-RESERVE BANKS .... CASH tTEMS- - - - - -··-···· 4,007.82 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ...... _ 30,307.2 9 C/ D ' S, DEMAND-·----·-···- - - - CHECKS ON OTHER BANKS·-······ CURR EN CY·--·-·-·-·--·----··--···-···GOLD _ _ _ _ _ _ _ _ __ SILVER- - - - - - - - - - - · ·· OTHER RESOURCES _ _ __ C/ D ' S, TIME.•················· · · · - - - - - ·· 3,110.00 C/ D ' S, FOR MONEY BORROWED..... 45.0 0 CERTIFIED CHECKS- - - · · · ······· 6 4 3.9 0 CASHIER'S CHECKS _ _ _ _ _ , 5 8.0 0 RESERVED FOR INTEREST.............. 4 5 8.2 4 3,132.65 RESERVED FOR TAXES _ __ OTHER LIABILITIES............................. ..... TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 6 2 9 1.0 6 7: 7~_ _1 TOTAL.·-··········=····=····=·····====!..__--"5~6'.l..!::=.2:....,9~1:::_•:.::0:.__:::,:6:__ OFFICERS AND DIRECTORS of Farmer s Ba.,,,., Alic .• Lawrenc e Co., OFFICERS T . ,I. Sh arum . Prssidenl E.T. Fife. Vice Pr..idenl C. Bush. Cashier Ass't Cashier DIRECTORS T ••T. Sb arum. ,I . T . Bot t_.o.,....r......f. . .f~ . - -- P. H. Schwegman - - - J. V, . Moseley, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis J .c. Baker. COPY OF PUBLISHED STATEMENT of ?armers & 'P. chants Bank, Amity, Clark Co ., Ar k . AT THE CLOSE OF BUSINESS I RESOURCES LOANS AND DISCOUNT<: 9, 2 9 4.7 7 CAPITAL STOCK ...-·-········· LOANS ON REAL EST A TE.-..... -···· 2,00 4.5 0 CERTIFIED SURPLUS LOANS ON COTTON ·-··-···-·····-·····--········ ····- 15,00 0.0 0 .. UNDIVIDED PROFITS ... 12 .7 4 BILLS PAYABLE BONDS AND SECURITIES--·-·-······· 7 1.0 0 NOTES REDISCOUNTED ........................ FURNITURE AND FI XTURES--···· 2,10 6 .21 SAVINGS ACCOUNTS BANKING HOUSE·--· 3,0 17.5 8 TRUST FUNDS OVERDRA F TS __ ··- OTHER REAL ESTATE·--··----··· DIVIDENDS UNPAID ....... ITEMS IN TRANSIT INDIVIDUAL DEPOSITS ··- 7.9 9 4.0 9 BILLS OF EXCHANGE PUBLIC FUNDS... _. ·- 6 1 .1 9 I I DUE FRO M NON - RESER V E BANKS ----····· I I CASH f LIABILITIES ITE M S DUE TO NON-RESERVE BANKS.... 5.0 0 DUE FROM RESERVE BANKS ........ 4,39 1 .16 CHEC K S ON OTHER BAN KS·--···· 13 .3 0 DUE TO RESERVE BAN KS.-............. C/ D'S, DEMAND ................................................. C/ D'S, TIME ··--····••·········.. ·····- 1,39 1.0 0 C/ D ' S, FOR MONEY BORROWED ..... 2 5.0 0 CERTIFIED CHECKS .................................... SILVER -·---·-- 50 9 .3 5 CASHIER'S CHECKS ..................................... OTl;IER RESOURCES-··--·----··----·· 9 8 2.6 9 RESERVED FOR INTEREST.............. CURRENCY .. GOLD 7 2 0.0 0 4 9.0 2 RESERVED FOR TAXES OTHER LIABILITIES TOT AL. .... ········-······························ .......... ····- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 3. 8 2 4 .3 0 .,,. . . . .# TOT AL .................·-·············································· 2 318 2 4 .3 0 .,~. OFFICERS AND DIRECTORS of Farmer s & ''"'r chants Bank , Amity , Clark Co., Ark OFFICERS Hanson ,J. Marks, Presidenl H.B. Griffis & w.w.watson, Vice Presiden19 G. s. J e r n i gan Jr., Cashier BankJn Ass't Cashier JNo.M.DAvrs ... _ COiUc.lss10 DIRECTORS H. B. Griffis, w. E. Grayscin H. J. Marks • w. McLeod, G. B. Studdard, w. w. Wat son. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 1 COPY OF PUBLISHED STATEMENT of Gcrman- Arn u · ·an Bank, Altu s, Franklin Co., l!V'. AT THE CLOSE OF BUSINESS 15 - .. 5 1,9 8 4 .7 3 CAPITAL STOCK ............................................. LOANS ON REAL ESTATE .......... ··•··· 1 7,8 5 0.0 0 CERTIFIED SURPLUS ....................... .. ...... 3,5 0 0.0 0 8 5 0.0 0 UNDIVIDED PROFITS................................. 3,29 0,2 0 LOANS ANO DISCOUNTS .................... LOANS ON COTTON OVERDRAFTS ·-···-········ 1 0 .8 3 BILLS PAYABLE BONDS AND SECURITIES ___ .... 1,2 5 0.0 0 SAVINGS ACCOUNTS BANKING HOUSE.._ 5,00 0.0 0 TRUST FUNDS .. ·········•············· ..... OTHER REAL ESTATE DIVIDENDS UNPAID ITEMS IN TRANSIT INDIVIDUAL DEPOSITS...................... .... PUBLIC FUNDS -····· DUE FROM NON·RESERVE BANKS ···--····· I DUE FROM RESERVE BANKS- ..... GOLD •········ SILVER 2 2 0.2 5 DUE TO RESERVE BANKS ................ 2 8,4 7 6.4 3 C/ D'S, DEMAND ...... ·····-·• C/ D'S, TIME ................................................ - ........... CHECKS ON OTHER BANKS- ...... CURRENCY .... 5 8,5 0 6.8 7 DUE TO NON-RESERVE BANKS.... 3 4.5 0 CASH ITEMS.. 2 5,0 0 0.0 0 NOTES REDISCOUNTED .......................... FURNITURE AND F I XTURES_ .... BILLS OF EXCHANGE I LIABILITIES I RESOURCES 3 3 7.0 0 C/ D'S, FOR MONEY BORROWED ..... 1,0 4 0.0 0 CERTIFIED CHECKS .................................... 7 4 5 .6 5 CASHIER'S CHECKS ..................................... 16,5 0 5.5 0 5 5 6,3 2 RESERVED FOR INTEREST...... ...... OTHER RESOURCES ......- ....... _____., ...... RESERVED FOR TAXES OTHER LIABILITIES TOTAL .................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ...... ...... .... ~ 1 0 7 5 7 9 .1 4 ➔~ ···•···- TOTAL ................................................................ 1 0 7.5 7 9 .1 4 ~C" OFFICERS AND DIRECTORS of German-Am-~ican Bank, Altus , Franklin Co ., fl'.,,,. O F FICERS L. A. F. Woods Preaidsnl M. Musgrove V i c• PreBidenl J.N.Adams Cashisr L. F . Stephenson Aas't Cashi sr DIRECTORS L.A.F . Woods M. Mus rove Father Placidus Oechsle A. Buergler J . N.Adarns https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Jno . c . Gardner COPY OF PUBLISHED STATEMENT of lcr chants o, .i armers Bank, Atkins, Pope Co ., ' :. ,..., AT THE CLOSE OF BUSINESS I Q } Q l9) LIABILITIES RESOURCES LOANS AND DISCOUNTS...................... 7 3,4 7 3,2 7 LOANS ON REAL ESTATE.--•···••······ 5,930 .91 LOANS ON COTTON - - - - · · ······ 7 8 3,7 1 UNDIVIDED PROFITS.............................. 3, 3 8 6.5 2 OVERDRAFTS __________ _ 4 8 4.9 2 BILLS PAYABLE- - - - ············ 6,000.00 BONDS AND SECURITIES--··--···· 6 1.8 0 NOTES REDISCOUNTED ......·-··············· FURNITURE AND FIXTURES- .... 1,5 0 0.0 0 SAVINGS ACCOUNTS·---·········• CAPITAL STOCK.................................·-············ 10,000.00 CERTIFIED SURPLUS............................... 10,000.00 BANKING HOUSE· - - · · · · - - - -·- · TRUST FUNDS.................................................. . OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID- - - - · · · · ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _- - l 3 3,289.96 BILLS OF EXCHANGE- - - · · ·· PUBLIC FUNDS_ · · · · - - - - ··············• 22,771.81 DUE FROM NON-RESERVE BANKS ··---···· 5 0 0.0 0 DUE TO NON-RESERVE BANKS ..... CASH ITEMS _ _ _ _ _ __ DUE FROM RESERVE BANKS .... _ DUE TO RESERVE BANKS............ _.. 5,8_3 3.9 3 C/ D'S, DEMAND......•· - · · - - - - - , CHECKS ON OTHER BANKS-·-····· 7 6 9.4 8 C/ D'S, TIME .............................................................. CURRENCY ....- - - - - - - -·-···· 5,516.00 C/ D'S, FOR MONEY BORROWED ..... GOLD. · - - - - - - - - -···· 1,4 .'.3 2.5 0 CERTIFIED CHECKS .................................. 9 1 6.7 7 CASHIER'S CHECKS- - - · ············ SILVER _. _ _ _ _ _ _ _ _ __ 12,755.00 RESERVED FOR INTEREST.............. OTHER RESOURCES •...·-····-·-···-··········· RESERVED FOR TAXES ...........•............ OTHER LIABILITIES.................................. TOTA L... ................................................ ......... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis q 8.2 0 3 2 q J,} TOTAL ................................................................ 98,203.2 OFFICERS AND DIRECTORS of r:e rchant s ?· Farmers Bank, Atkin s, Pope Co . , f\-.,-.·- OFFICERS A. J. Mccollum Prelliden1 ontgomery V i ce Prellidenl o. H. Mccollum Cashier Au' I Cashier DIRECTORS A. J. Mccollum W. A. ontgomery J. F. Burris o. H. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis cCollum COPY OF PUBLISHED STATEMENT of 1orchants ~ ~lanters Bank, Arkadelphia, Clark Co, , AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS...................... 121,052.0 5 LOANS ON REAL ESTATE·--············ 12,500.00 CERTIFIED SURPLUS _ _ __ LOANS ON COTTON ...·-····-···········-·--········ 1,774.0 .'.3 UNDIVIDED PROFITS, _ _ __ OVERDRAFTS _ _ _ _ _ _····•·•··· 6 8 1 .8 5 BILLS PAYABLE- - - - -······ BONDS A N D SEC U RITIES--··--·· 5,1.'.39 .7 7 NOTES REDISCOUNTED ...·--········-····•·· FURNITURE AND FIXTURES_·-··· 6,656.80 SAVIN GS ACCOUNTS .....·- - - · · · · - BANKING HOUSE ...·-·····--·--····--- 20,142.99 TRUST FUNDS- - - · · · · · ·················· ... CAPITAL STOCK- - - - -··· DIVIDENDS UNPAID ......_ _ _ _ , ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _- - ! BILLS OF EXCHANGE- - - - 1 PUBLIC FUNDS........·--····----··· 1, '.3 4 7.5 6 DUE TO NON-RESERVE BANKS.... 2 8 .'.3.7 7 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS·-·-·· 38,633.66 C/ D'S, DEMAND----········--········· CHECKS ON OTHER BANKS_··-····· 5 7 5.5 6 C/ D'S, TIME- - - - - - - · · · · · · - CURR EN CY---··--··-·--··-----···- 4,3 .'.3 5.0 0 C/ D ' S, FOR MONEY BORROWED..... GOLD- - - - - - - - - - · · 1,185.00 CERTIFIED CHECKS, _ _ __ SILVER _ _ _ _ _ _ _ _ _ , 1,440.88 CASHIER'S CHECKS _ _ __ CASH I TEMS- ' - · · · - - - - - - 1 I OTHER RESOURCES _ ~ - - https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 9,492.62 15,000.00 . OTHER REAL ESTATE _ _ _-! DUE FROM NON-RESERVE BANKS 67, 150.00 5 2 ,3 5 99, 448 .4 .'.3 23,978 .82 7 3 1.4 0 RESERVED FOR INTEREST .............. RESERVED FOR TAXES•- - - 1 OTHER LIABILITIES-····················--········ 2 1 5, 8 0 1 .2 7 ~~ TOTAL ................................................................. 2 1 5, 8 0 1.2 7 ➔~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of 'crchant s & flanters Bank, Ark ade phir, Clark Co , r-- '<:.. OFFICERS ~ Presiden& ;~ ~ •hier DIRECTORS ___ ' ~~~~~~ ,L-- ~ - COPY OF PUBLISHED STATEMENT of ':'win City l>nk, Argenta, Pulaski Co., Art-, AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS.....•............... 59,461.26 LOANS ON REA L ESTATE •.......•...... 102, 3 0 4.5 9 l CERTIFIED SURPLUS ...... _ __ 35,000.00 4,919.68 UNDIVIDED PROFITS............................... LOANS ON COTTON ................•....·-···· ..... BONDS AND SEC U RITIES_·-··-···· · 1,410.82 1,0 0 0.0 0 1,0 6 1,2 0 F URNITURE AND F I XTURES_ ....... 3,000.00 BANKING HOUSE .•·-·········-•-·········•···-·- 20,000.00 OTHER REAL ESTATE _ _ _--! 6, 7 9 8,'.3 7 OVERDRAFTS.·-··-··-·····-············-········ CAPITAL STOCK---····•·····•··········• BILLS PAYABLE ...... _ _ __ NOT ES RE DISCOUNTED .......·-········•····- SAVINGS ACCOUNTS .................... ········· - TRUST FUNDS ....................... .......................... 5, 7 7 4.1 4 9 9 4.0 4 DIVIDENDS UNPAID ............................... ... ITE M S IN TRANS I T _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _- - ! 191,429.28 BILLS OF EXCHANGE- - - -1 PUBLIC FUNDS.....·---········•····••····· 24,681.20 DUE FROM NON-RESERVE BAN KS· - - · - - - · DUE TO NON - RESERVE BANKS ..... 6 2 8.4 0 CASH ITEMS _ _ _ _ _ _ _ _ _ ··· 4,968.20 DUE FROM RESERVE BANKS ....... 6 0,0 6 0.9 3 C/ D ' S, DEMAND- - - - - -1 C/ D ' S, TI ME ............................................................. CHECKS ON OTHER BANKS ...•...... CURRENCY. · - - - - - - - - - · ·- DUE TO RESERVE BANKS........... ..... 11,649.0 0 21,078.36 C/ D ' S, FOR MONEY BORROWED .. GOLD..... _. _ _ _ _ _ _ _ _ __ 8,680.00 CERTIFIED CHECKS- - - - · ·· 7 0.0 0 S I LVER. · - · · · · · · - - - - - - -··· 5,498.8 8 CASHIER'S CHECKS---········· 1,318.15 OT H ER RE SOU RC ES -········-··--···-·····•· RESERVED FOR INTEREST .............. RESERVED FOR TAXES ......................... OTHER LIABILITIES TOTAL ............................................... ············- I https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 0 2 8 5, 8 9 3 •~c:.:5:;_{_ :• _ _...:.T-=-OT -'-'-A-=L=····=· ····=· ·· ·=····=·····=·····=· ····-=····---•·•·•-·····-······-····-·· · _ _r;,=~8 ~ 5,_, , 8~ 9_3 ~ ,2~ 5_•_ :i-_, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of '.!:'wi n City B<. ·.!k, Ar g ents , Pula ski Co., OFFICERS Cashier Ass'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of '.'oodruff C0 unty Bank, Augusta, Woodruff Co., A.,.1r AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS.................... 82,476.4 9 LOANS ON REAL ESTATE ........... ..... . 5,000.00 LOANS ON COTTON ........._. _ __ CAPITAL STOCK...... _ _ _ _ _ , 40,000.00 CERTIFIED SURPLUS ............................ . 15,000.00 UNDIVIDED PROFITS................................. 1,324.25 BILLS PAYABLE.·- - - -·········· 40,000.00 BONDS AND SECURITIES-·--··-······ 147 .1 5 .'.3 6.0 7 9 7 .8 8 FURNITURE AND F I XTURES- ·-···· 1,281.7 5 SAVINGS ACCOUNTS .................................. . BANKING HOUSE- - - - · - -·-- 1,970.00 TRUST FUNDS ...·-····-························•·-•········· .. OTHER REAL ESTATE- - - - ! 5,375.00 DIVIDENDS UNPAID- - - - · · · ITEMS IN TRANS IT _ _ _ _ ...... 16,213 .92 INDIVIDUAL DEPOSITS, _ _ _ .. 14 3,188.06 BILLS OF EXCHANGE--------•· 16,967 .74 PUBLIC FUNDS...·-----··············· 6 5 2.8 .'.3 .3 6 DUE TO NON-RESERVE BANKS .... 0 VERD RAFT S.·--·····-····-····-·--···-·····-·············· DUE FROM NON-RESERVE BANKS, _ _ _ _ _ _ _ _ ! DUE TO RESERVE BANKS.·•···-······ CASH ITEMS- - · - - - - - - - - 1 DUE FROM RESERVE BANKS ........ 95,001.64 C/ D'S, DEMAND---··························· 6 7 2.4 4 C/ D ' S, TIME- - -····························•·•·••· 14,071.00 C/ D ' S, FOR MONEY BORROWED..... 10.0 0 CERTIFIED CHECKS .................................... 2,473.51 CASHIER'S CHECKS---•·•·······•·· CHECKS ON OTHER BANKS·-····· CURRENCY _ _ _ _ _ _ _ _ , NOTES REDISCOUNTED ..................... . GOLD _ _ _ _ _ _ _ _ __ I SILVER_ · · · - - - - · · · - - - - - - - 1 1,6 2 9.81 RESERVED FOR INTEREST.............. 0TH ER RESOURCES-··--·---···-··---···· RESERVED FOR TAXES·- - - 1 OTHER LIABILITIES............................. ..... 4 1, 7 9 4 ,9 5 ~~ t__2. T ~OT ..'..:A ~ L~ ··=·====···c:: · · ·c:··:·.·""'· · c:::·· · =· · :::..· .!.___~~ r:> https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL............................................................... 2 4 1, 7 9 4 .9 5 -~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of "·uodruff ;; 0 1· .. ty Ban k, Augu sta, \0udruff Co., A.,,.} OFFICERS £, Presidenl COPY OF PUBLISHED STATEMENT of 3a ld Kno b tu te Bank, B~l d Knob, Whi te Co ., Ar 1 NOV 10 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 3 9,424.46 CAPITAL STOCK................................................ LOANS ON REAL ESTATE-·-··-········ 16,542.54 CERTIFIED SURPLUS ............................... ,2 6 9 .3 7 LOANS ON COTTON _ _ _ _ ...... UNDIVIDED PROFITS........................... .... 1,311.38 OVERDRAFTS- - - - - - - · - - - · · ·· BILLS PAYABLE- - - - -····· BONDS AND SECURITIES--·-·-··-·· NOTES REDISCOUNTED ..................... . ... 1,837 .50 SAVINGS ACCOUNTS _ _ _ ··········- -----·- 3, 500.00 TRUST FUNDS..·-····-···-·----····· OTHER REAL ESTATE.·-·-···----· 1, 7 0 0.0 0 DIVIDENDS UNPAID .................................. FURNITURE AND FIXTURES- BANKING HOus~ - 10,000.00 3 8.4 5 55,086 .8 1 ITEMS IN TRANSIT _ _ _ · - ·· INDIVIDUAL DEPOSITS- - -··- Bl LLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - · · · · · ··············- 9,534 .18 DUE TO NON-RESERVE BANKS .... 4,150 .73 DUE FROM NON-RESERVE BANKS 1,835.8 1 CASH ITEMS _ _ _ _ _ _ _ _ DUE TO RESERVE BANKS...-........... DUE FROM RESERVE BANKS ........ 26,617 .25 C/ D'S, DEMAND---···••···········••········· CHECKS ON OTHER BANKS..·- ······ 9 .10 C/ D'S, TIME------······•·•····· 2,16 .'.3.0 0 C/ D'S, FOR MONEY BORROWED ..... CURRENCY _ _ _ _ _ _ __ 3 4 0.0 0 CERTIFIED CHECKS _ _ _ _ , SILVER _. _ _ _ _ _ _ _ _ _ , 1,695.42 CASHIER'S CHECKS- - -········ OTHER RESOURCES _ _ _ _ _ , 1,921.43 RESERVED FOR INTEREST.............. GOLD.·------ - - - - - - · · 9, 1 .3 4 .1 9 2, 0 6 1.4 0 RESERVED FOR TAXES _ __ OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 9 7. 5 8 6.5 1 -ll' TOTAL .................. ......_......... 9 7. 5 8 6 .5 1 'h" OFFICERS AND DIRECTORS of Bald Kno b q...tte Bank, B~:d Kno b, White Co., Ar 1• O FF ICERS T. J.CAMPBELL PreBidenl GEO.B.COLEMAN Vi ce PreBidenl E . R. WYNN _ _ __ Caahier E. E.BEST GEORGE W La.MAR Aaa' I Caahier S DIRECTORS T. J . CAMPBELL GEORGE B. COLEMAN J .W .COOMBE GEORGE a . GRIFFITH W. H..D.AYIS~O~N..__ _ _ __ ___L._D.B:,RO""-JWN' .__,, -'--"-'---- - - - - - E. R.WYNN https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis I certify t he above to be correct, Very re:p~Jtfully, ~#~ahier. COPY OF PUBLISHED STATEMENT of 0ank of B..ir-✓ ..:n Fork, ~arren Fork, Izard Co ., A,,,. AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 7. 5 3 4.5 0 CAPITAL STOCK---························ LOANS ON REAL ESTATE.·-···--······ 4, 2 7 3.5 0 CERTIFIED SURPLUS ............................. 5 0 0.0 0 UNDIVIDED PROFITS............................... 5 11.5 9 LOANS ON COTTON ..·-····-·····-····•·············· OVERDRAFTS._ _ _ _ _ _ __ BILLS PAYABLE- - -····--················ BONDS AND SECURITIES-·-·--··· 9.5 0 NOTES REDISCOUNTED ......................... FURNITURE AND FIXTURES-·-···· 9 0 0.0 0 SAVINGS ACCOUNTS ................................ . 16 4.4 9 TRUST FUNDS _ _ _ _ _ _ _ , BANKING HOUSE _ _ _ _ _ _ 1 OTHER REAL ESTATE- - - - · · - · 6 0.0 0 ITEMS IN TRANSIT _ _ _ __ DIVIDENDS UNPAID _ _ __ INDIVIDUAL DEPOSITS........................ I BILLS OF EXCHANGE I DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ _ 10,000.00 9, 5 2 5 .8 '.3 PUBLIC FUNDS·- - - - - - · · · DUE TO NON - RESERVE BANKS .... 1 ! DUE TO RESERVE BANKS................ , CASH ITEMS- - · · - - - - - - 1 DUE FROM RESERVE BANKS·-····· 6,749.5 9 CHECKS ON OTHER BANK S-..... . C/ D'S, DEMAND.........·-······································· C/ D'S, Tl ME .........·-················-·····---- CURRENCY· - - · · · - - · - - - - - 1,836.00 C/ D'S, FOR MONEY BORROWED ..._ GOLD- - - - - - - - - -····· 5.0 0 CERTIFIED CHECKS .................................... 9 8 .7 5 CASHIER'S CHECKS ..................................... SILVER- - - - - - - - -1 6 2 5.0 0 4 6 8 .91 RESERVED FOR INTEREST .............. OTHER RESOURCES _ _ _ _ _ , RESERVED FOR TAXES ......................... OTHER LIABILITIES TOTAL..................................................... ··•-···- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 1.6 3 1 .'.3 .3 1~ • TOTAL .............................................................. . 2 :1 6 3 13 3 ~} OFFICERS AND DIRECTORS of Bank of Ba ~~n Fork, P1rren ForK, Izard Co., t,· J.r, OFFICERS Dr . L . r. Eva11s, . 01 1 11 t l le asan t , 1.rl· . Presidenl .I • ,, J. Yonne-er , " • ~L e .. c~racldenCashier 011c . ~BaPa Ban In V ice Presiden& s " ,, " ep't ITT\ls:,~~ "29 1915 0 JNO. M. DAVIS •.tNI( COIU(JHJO,_ Ass' I Ca, hier DIRECTORS . T . Lvans , 1.t . llcasart , 1rk • Dr • . 1. . J. s •• . I • ·0111~ er , fhOTT]SOr> , ' • :.cs1 adclcn P . , . S ell, S a fo[C , Ark . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis II " " COPY OF PUBLISHED STATEMENT of ~ank of B.. 11 . :. te, -~a_u~i_\~! ...':'.'.:~1~:'- ~o_., A ,.. I N~~ 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS··•·-······· ......... 2 7. 0 0 4.5 9 CAPITAL STOCK............ :....................·-··········- 1 0, 000.0 0 LOANS ON REAL ESTATE ................. 3,539 .71 CERTIFIED SURPLUS............................. . 2 0 0.0 0 UNDLVIDE,D , PR0F.ITS- - - - · ·• 1, 6 7 8 .5 2 143 .4 3 BILLS' PAYASLE_.. ____.__-~-~--1 3,5 0 0 .0 0 3,356.6 5 NOTES REDISCOUNTED .......·-···-·······..· 9 3 4 ,3 0 SAVINGS ACCOUNTS .... _·········-···············- LOANS ON COTTON ... ·-······················· ....... OVERDRAFTS __· - · · · - · · - - - - BONDS AND SECURITIES---·-··· FURNITU-RE ANO FIXTURES- ... BANKING HOUSE·-··-•- - - - 1 TRUST:.lfU,tl D.S- - - - - -- ····· OTHER REAL ESTATE _ _ __, DIVIDS"ND6 IJ.NFIAID _ _ _ _ ···· ITEMS IN TRANSIT...__ _ _ _ , IN DIVl·DIJl",M.. .DEPOSITS ...................... . BILLS OF EXCHANGE _ _ _ _ , PUBLIC FU"NOS...~ ..:-...........1~-~ ' •····- DUE FROM NON - RESERVE BANK<> DUE TO NON-RES·E RVE BANKS.... CASH ITEMS- - ~ ~ ~ - ~ · - · · ·· 3 .7 5 DUE· TO-RESERVE BANKS.....•,......... DUE FROM; RESERV.E BANKS ........ 4,6 8 9 .7 5 C/ D'S, DEM"A.ND.-·-··- - - · · · · · · ······· C/ D'S, T1 M E .... -!...•. _ _ _ _ 1 ........... ~ CHECKS ON OTHER BANKS·--•··· CURRENCY·--·- - - - - - - 1 SILVER _ __ _________, 3,2 0 0.0 0 C/ D'S, ,FOR-M0NE¥ BORROWED ..... 2 8 0 .0 0 CERTIFFED ,CH~CK'S .................................. 1 8 6.8 1 CASHIER!S eHECKS.....· ---······• 1 6,653 .6 5 7: 3 4 1 .3 1 3,929 .6 1 3 5.9 0 RESERVED FOR INTEREST-··-···•··- OT H ER RE SOU R CES_·-·-·--··-·-···-···· RESERVED . iFO.R TAXES .........·-···-······· OTHER LIABILITIES............................. ..... TOT AL .....................-......................................• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 3, 3 3 8 .9 9 ~~ TOTAL. ................. _........................................... 4 3, 3 3 8 .9 9 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bank of B~pvite, Bauxite, Saline Co ., A'Y - OFFICERS Presidena ~~ cf'C Vice Presidenl ~~~ Cashier Ass't Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of 3a k of Ba.:r Bay Craighead Co , 0 191.5 AT THE CLOSE OF BUSINESS RESOURCES LIABILl:rlES LOANS AND DISCOUNTS ....................... . 11, 7 0 4.16 LOANS ON REAL ESTATE --····-·-··- 1,0 8 .'.3,4 0 CAPITAL STOCK ........·-···················-················ CERTIFIED SURPLUS _ _ __ LOANS ON COTTON _ _ _ _ _ , UNDIVIDED PROFITS..............................._ 1,591.4 3 OVERDRAFTS _ _ _ _ _ __ Bl LLS PAYABLE----··-···-···-······ 5,000.00 BONDS AND SECURITIES--.-·--••·· NOTES REDISCOUNTED ...............·-········ FURNITURE AND FIXTURES--···· 1,423.5 3 SAVINGS ACCOUNTS...•·········-···················- BANKING HOUSE _ _ _ _ _ _ , 2,071 .65 TRUST FUNDS- - - - - - · · · .. OTHER REAL ESTATE- - - - l DIVIDENDS UNPAID....... .......................... ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ __, BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS----··············- DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ..... ' CASH ITEMS _ _ _ _ _ _ _ _ , I t DUE FROM RESERVE BANKS ........ CURRENCY _ _ _ _ _ _ _ _ _ _ , 8,525 .70 C/ D'S, DEMAND ................................................... C/ D'S, TIME. _ _ _ _ _ _ __ 1,379.00 2 9 0.0 0 C/ D'S, FOR MONEY BORROWED ... _ CERTIFIED CHECKS ............ _ _ _ , GOLD·. - - - - - - - - - -···-·--···· SI LVER. - - - · · · - - - - - - - - - 1 9,498.01 DUE TO RESERVE BANKS...·-····· ····· CHECKS ON OTHER BANK$.__... I 10,000.00 19 2.0 0 CASHIER' S CHECKS•- - -··········- RESERVED FOR INTEREST.............. OTHER RESOURCES _··•·-·--- RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES..................... -........... TOTAL. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 6. 3 7 9 .4 4 7~ TOT AL ...........·-···· 2 6~ 3 7 9 .4 4 ;: OFFICEns· AND DIRECTbRs of Bank of B;;.y Ba, C~aighead Co. , Ar OFFICERS J.E. Crawford PreBidenl S.T.Ray Vice President H.I~.Luthrop Caahier Au't Caahier . ; . DIRECTORS J.E.Crawford Ba~ Arlt:. 11 c.E.Robinson J.C .Boren G.O.Campbell, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ,, 11 _ Truman. Ark. COPY OF PUBLISHED STATEMENT of Dank of B~ :~en, Bear en, 0Ja hi ta Co. , l · '1: • AT THE CLOSE OF BUSINESS RESOURCES LIABIL I TIES LOANS AND DISCOUNTS....-................. 2 9,5 9 5.0 7 CAPITAL STOCK........·-····································· 15,000.00 LOANS ON REAL ESTATE.·--··-······· 4,415 .87 CERTIFIED SURPLUS ................................. 2,000.00 1,328 .4 0 LOANS ON COTTON_··-···-····-······--········ 2 0 0.0 0 UNDIVIDED PROFITS................................. OVERDRAFTS ___ ._ _ _ __ _ _ , 5 11.0 0 BILLS PAYABLE---························ BONDS AND SECURITIES-·---•-·· 3 5 2,2 5 NOTES REDJSCOUNTED ......................... FURNITURE AND FIXTURES- 9 0 4 .5 7 SAVINGS ACCOUNTS ................................. 1,500.00 TRUST FUNDS _ _ _ _ _ _ ···· ... BANKING HOUSE ___._ _ _ _ , OTHER REAL ESTATE _ _ _-! DIVIDENDS UNPAJD _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS.......................... 2 3,965.26 BILLS OF EXCHANGE- - -···· PUBLIC FUNDS······----············· 6 5.6 5 DUE FROM NO N -RESERVE BANKS 3 5 9.0 6 DUE TO NON-RESERVE BANKS .... ! CASH ITEMS _ _ _ _ _ _ _ __ DUE TO RESERVE BANKS................ I 9,0 5 8.4 2 DUE FROM RESERVE BANKS ....... . II C/ D'S, DEMAND- - - · · · ··················· 8,328 .86 C/ D ' S, TIME ...........·- - - - ···················· CHECKS ON OTHER BANKS--···· 3,315.00 C/ D ' S, FOR MONEY BORROWED ..... GOLD....- - - · - · - · - - - -··-········· 2 3 0.0 0 CERTIFIED CHECKS ................................. SJ LVER ---···-··- -- - - - - - - · · · 5 19.0 9 CASHIER'S CHECKS----······· CURRENCY _ _ _ _ _ _ __ 2 7 2.16 RESERVED FOR INTEREST .............. OTHER RESOURCES _ _ _ _ _ t RESERVED FOR TAXES ......................... OTHER LIABILITIES.................................. TOTAL. ........ - .. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 o, 9 6 0 .3 3 ➔~ TOTAL .......................................................... 5 o, 9 6 0 .3 3 ~~ OFFICERS AND DIRECTORS of Bank of Be~rden, Bearden , Ouachita Co. , Oy, i. • OFFICERS J. A. Gatlinp; Presiden& Stewart Gammill, lat., J.P. ~•rper, 2nd., Vice Presidenl w. V. atl=i=n~g.__ __ Cashier 0 Banking Dep''t __,_._~m.J.L. "li:::::-,- Aaa'I Cashier JNO. M. DAVIS '&ulYc C:WUUas,aaa DIRECTORS John P'. ,nthony, D.S. Pike J. A. Gatling, Jeff Gatling, I. M. Gatling P. J.. storey, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis J P SloEn COPY OF PUBLISHED STATEMENT of Bank of B--"b , Beebe, White Co., Ar NOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 6 2, 1 6 4.5 8 CAPITAL STOCK- - - - - · · · · · · LOANS ON REAL ESTATE-··-··-··•··•· 19, 7 1 9.9 0 CERTI Fl ED SURPLUS ..............·-··············· LOANS ON COTTON _ _ _ __ UNDIVIDED PROFITS•- - - - · · · 1,098.41 BILLS PAYABLE _ _ _ _ _ _ , BONDS AND SECURITIES_·-··-·-··••·· 3 2 7.5 0 NOTES REDISCOUNTED ......................... . FURNITU R E AND F I XTURES·--···· 2,000.00 SAVINGS ACCOUNTS _ _ _ _ .. OVERDRAFTS_ _ _ _ _ _ _ _ , BANKING HOUSE _ _ _ _ _ _ , OTHER REAL ESTATE _ _ __. 12,000.00 TRUST FUNDS, _ _ _ _ __ 3,000.00 DIVIDENDS UNPAID.....·- - -······ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ ____, 4 9, 7 9 2.1 4 PUBLIC FUNDS _ _ _ _ __ BILLS OF EXCHANGE·-·-··----·-· 1 2 5,000.00 I DUE FROM NON - RESERVE BANKS _ _ _ _ _ _ ___, 3 2.41 DUE TO NON-RESERVE BANKS... CASH ITEMS _ _ _ _ _ _ _ I 1,316.20 DUE TO RESERVE BANKS-·······-····· DUE FROM RESERVE BANKS ........ 1,4 '.3 6.0 2 C/ D'S, DEMAND•- - - - ····················· I I I I CHECKS ON OTHER BANKS_ .... C/ D ' S, TIME·- - - - - - - · · · · · · 4,806.00 C/ D ' S, FOR MONEY BORROWED..... I GOLD...· - - · - - - - - - - - - · · · · 10 5.0 0 CERTIFIED CHECKS .................................... SILVER - - · · - - · · - · · - - - - - - - • 6 4 9.5 1 CASHIER'S CHECKS•- - - - · · · · · - 4,288.89 RESERVED FOR INTEREST.............. CURRENCY OTHER RESOURCES _______ ·--·-·-···· 12,674.32 1,4 0 2.0 5 RESERVED FOR TAXES'- - - 1 OTHER LIABILITIES TOT AL .....·-·-· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 0 0, 9 4 4 .4 2 ~} TOTAL ................................................................. 7 5 .91 1 0 0, 9 4 4 .4 2 ~( https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Beabe , inite Co., Ar OFFICERS Presidenl Vice Presidenl Cashier A••'t Caahier DIRECTORS COPY OF PUBLISHED STATEMENT of ra k of n ·e,n, Benton, Saline Co . , Ay· NOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS ....................... 51,936 .9 9 CAPITAL STOCK............................................... 25,000.00 LOANS ON REAL ESTATE ..·-·········· 16,000.00 CERTIFIED SURPLUS ............................... . 1,0 0 0.0 0 UNDIVIDED PROFITS............................... 1,177 .7 0 LOANS ON COTTON·-·····••·•-·••·--·-···· 5 3 8 .7 4 OVERDRAFTS _ _ _ _ _ __ BONDS AND SECURITIES--······-······· 1,2 0 0.0 0 NOTES REDISCOUNTED ....................... FURNITURE AND FIXTURES--··· 2,5 0 0.0 0 SAVINGS ACCOUNTS... _ _ __ 1 3,000.00 BANKING HOUSE._ _ _ _ _ _ , TRUST FUNDS ..........•....· - - - -· .. OTHER REAL ESTATE _ _ __. DIVIDENDS UNPAID ........... ..................... 2 5.0 0 ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ ____, 5 9, '.3 0 4 .4 4 1,2 2 0.0 5 PUBLIC FUNDS.................................................. 3 5,180 .8 6 DUE FROM NON-RESERVE BANKS 5 2 2.4 9 DUE TO NON-RESERVE BANKS .... CASH ITEM$, _ _ _ _ _ __ 5 13.8 7 DUE TO RESERVE BANKS ................ BILLS OF EXCHANGE---·-··-··· I BILLS PAYABLE---················· .. ··•· I DUE FROM RESERVE BANKS ........ 51,233.53 CHECKS ON OTHER BANKS. -..... 1,447 .15 C/ D'S, TIME _ _ _ _ _ _ _ _ , CURRENCY•-·- - · - - - - - - 6, 0 5 0.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD. · - - - - - - - - - · · · · · · ·· 2,265.00 CERTIFIED CHECKS ............ _ __ SI LVER.._ _ _ _ _ _ _ _ _ 7 19 .0 0 1 C/ O'S, DEMAND·- - - ..·······.. ·······......... 1,458 .82 CASHIER'S CHECK$ _ _ __ RESERVED FOR INTEREST.............. OTHER RESOURCES _.·······-····-········ RESERVED FOR TAXES, _ __ , OTHER LIABILITIES.................................. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 3 6. 1 4 6 .8 2 ,: TOTAL ................................................................ 1 3 6, 1 4 6 .8 2 ,e- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bank of B1.,,..,t.,n , Benton, Ca11ne Co., OFFICERS DIRECTORS COPY OF PUBLISHED STATEMENT of 3ank of 1.:.ce'"'rs, Eiggers, R ~dolph Co., A~ NO 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS........................ ,5 5 8,3 6 LOANS ON REAL EST A TE -·-·-··· ...... 2,6 4 5.5 0 LOANS ON COTTON CAPITAL STOCK ................... ................ ······· .. UNDIVIDED PROFITS........................... .... OVERDRAFTS __ BILLS PAYABLE BONDS AND SECURITIES-·-···-······ NOTES REDISCOUNTED .............. ....... 1,8 3 2.4 5 FURNITURE AND F I XTURES--··· BANKING HOUSE 3,7 ----~ !3 7.5 ITEMS IN TRANSIT , ... SAVINGS ACCOUNTS_··-····························- 0 TRUST FUNDS ............... ···············••··············•·· OTHER REAL ESTATE DIVIDENDS UNPAID INDIVIDUAL DEPOSITS ....•..................... ·-·-······· BILLS OF EXCHANGE 40 2.8 9 DUE TO NON - RESERVE BANKS.... DUE TO RESERVE BANKS................ CASH ITEMS I 7. 5 6 3,3 2 I DUE FROM RESERVE BAN KS ......_ GOLD I SILVER.·-----·········· OTHER RE SOU RC ES-·•··-·----·---······· . C/ D'S, DEMAND ...... 8 6.64 C/ D ' S, TIME .............................................................. 2,7 5 5 .0 0 C/ D'S, FOR MONEY BORROWED ..... 2 17.5 0 CERTIFIED CH EC KS ....·-····························· 4 6 8.5 9 CASHIER'S CHECKS CHECKS ON OTHER BANKS ..·-·•··· CURRENCY 1 8, 7 2 1.0 7 PUBLIC FUNDS DUE FROM NON-RESERVE BANKS I 1, 7 0 5.8 4 CERTIFIED SURPLUS ...... 10,00 0.0 0 4,5 0 0.0 0 .......... 39 0.8 4 RESERVED FOR INTEREST.............. RESERVED FOR TAXES OTHER LIABILITIES.......................... ...... TOTAL ................................................................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 018 l 7 .7 5 ., ~( TOTAL ............................. ··········•·-·•··•·············· 3 0.8 1 7 .7 5 ?~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bunk of B.:.i:~vrs, Eig ers, Randol ph Co ., k. J DIRECTORS COPY OF PUBLISHED STATEMENT of Bank of ~l~c~ Oal, Bl ~ck Oa k, Craighead Co ., Av' NOV 1 0 1916 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I -------------,---------------'-------------------,---- - -- - ----LOANS ANO DISCOUNTS... --················· 9,546 .75 CAPITAL STOCK........·-····----··· LOANS ON REAL ESTATE-·-···-····- CERTIFIED SURPLUS- - - - ··· LOANS ON COTTON _ _ __ UNDIVIDED PROFITS..... ......................... . OVERDRAFTS__________ , 1 6 0.2 5 6,950.00 BILLS PAYABLE ...... _ _ _ __ NOTES REDISCOUNTEO .......................... BONDS ANO SE C U RITIES--··-····· FURNITURE AND F I XT U RES--··· 1,5 3 1.4- 0 SAVINGS ACCOUNTS ......................... . BANKI N G House"--- - - - - , 2,257.5 0 TRUST FUNDS _ _ _ _ _ _ _ , OTHER REAL ESTA TE- - - - ! DIVIDENDS UNPAID _ _ _ _ _ , ITEMS I N TRANSIT---··--··-··· INDIVIDUAL DEPOSITS..................... . BILLS OF EXCHANGE_ _ __ PUBLIC FUNDS._, _ _ _ _ _ __ D U E F RO M NO N- RESER V E BANKS DUE TO NON-RESERVE BANKS .... C A SH ITEMS _ _ _ _ _ _ _ _ ···· DUE TO RESERVE BANKS ................ DUE FRO M RESERVE BANKS ...... _ 10, 252.56 17. 291.62 • C/ O' S, DEMAND..·-·--····-··-······-··········-········· 1 CHECKS ON OTHER BAN KS- ...... . C/ D'S, TIME ..·-·················-·················-··················· CURRENCY. - - - - - - - -·--···-·- 1,123.00 GOLD _ _ _ _ _ _ _ _ _ _ _ , 3 5.0 0 1,101.50 C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECKS-·······-·- - -1 SILVER _ _ _ _ _ _ _ _ __ 18 4.7 9 CASHIER' S CHECKS---·········••·· OTHER RESOURCES _ _ _ __ 1 2 5 1.8 7 RESERVED FOR INTEREST .............. RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES .. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 5, 3 4 3 .1 2 ~" TOTAL .............................. 2 5, 3 4 3 .1 2 {;- OFFICERS AND DIRECTORS of Jank of Bl"~ Oak, Bl~~k Oak, vraighead Co., A- OFFICERS J. C. CMrisco , Presideni T. ~. Jerri t t Vice Presidenl Pobert Braden , Cashier Aas'I Cashier DIRECTORS J. C. Chrisco T. II . . Me r ritt v.r . Gra:harr. Robert Braden https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of ,ank of bl !'1 cl. Ro ck , Bl ~ck Roc h , L~~ra nca Co. , Ar 1 • NOV 1 o1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 41,16 3,2 6 CAPITAL STOCK-·············---- 11,0 0 0.0 0 LOANS ON REAL ESTATE ................. 12,000.00 CERTIFIED SURPLUS ..............·-············· 9,100.0 0 LOANS ON COTTON ...................................... UNDIVIDED PROFITS- - - · · · · 47.3 0 BILLS PAYABLE- - -- - - · · BONDS AND SECURITIES-·-··--·-·· 1,4 1 2.7 9 NOTES REDISCOUNTED- - - - - 1 FURNITURE AND FIXTURES._... 1, '.3 0 0.0 0 SAVINGS ACCOUNTS, _ _ _ _ , BANKING HOUSE ..·-·····-···-··--···-·····---·· 3,000.00 TRUST FUNDS---····························· OTHER REAL ESTATE- - - - l 7 0 0.0 0 OVERDRAFTS_._. _ _ _ _ __ DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS ....•.· - - - - - - · ·· DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... CASH ITEMS, _ _ _ _ _ _ _ , DUE FROM RESERVE BANKS ... _. 211.8 2 18,772.01 1,0 0 0.0 0 C/ D ' S, DEMAND, _ _ _ _ __ CURRENCY- - - - - ---·······- 2,860.00 C/ D'S, FOR MONEY BORROWED ..... GOLD- - - · · · · · - - - - - - 1 9 5.0 0 CERTIFIED CHECKS·-······························ SILVER ...·-···· · · · · · · · · · - - - - - - - • 1,0 9 2 .1 0 CASHIER' S CHECKS•- - - - · · · · · · 2 4 7.2 9 RESERVED FOR INTEREST •..••...... OTHER RESOURCES. · - - - ····· 52,846.96 DUE TO RESERVE BANKS................ C/ D'S, TIME ...... _ _ _ _ _ _ _ , CHECKS ON OTHER BANKS... _..... . 2 0.10 6,654.45 2,280.06 RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL.. .......................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 2,9 0 1 ..5 7 't· TOT AL ................................................................ 82,901.5 OFFICERS AND DIRECTORS of ~ank of B Rock, B~~ck Hock, L~ r0n~e Co. , r' Ar 1 OFFICERS PreBideni L.B. Pnindexter V i ce PreBidenl TT . J. McKewen Cashi er X ~. :.:::c. X X XXXXX X XXXXXX A11'I Cashier DIRECTORS c, av s, aa n L. B. P---indexter https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis A. 7 . i"/ i 1 1 i ams C. H. Martirm ---- -a.aoK\1 1 p ;:::;a ") ':::::l Yo~ . . i --D.b'1 l - - - -- - -l~N......-O,.._.-1.:i.....,..... 'l •"'it!( c;o11.11.ts!> COPY OF PUBLISHED STATEMENT of ~ank of B:e : ns, BJs vins, ttempste ~d Co., AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 19, 0 9 7 .7 3 CAPITAL STOCK_ _ _ ························ LOANS ON REAL ESTATE ........... ..... . 2,646 .92 CERTIFIED SURPLUS ................................. LOANS ON COTTON ... - .............................. . OVERDRAFTS- - - -·-·-· ..········· UNDIVIDED PROFITS ............................... 3 6.4 0 BILLS PAYABL-E- - - ························ F URNITURE AND F I XT U RES- ....... 1,686.03 SAVINGS ACCOUNTS.................................. _ BANKING HOUSE _ _ _ _ _ _ , 3,4 7 4.06 TRUST FUNDS...·-···.. - - - - - ·· OTHER REAL ESTATE- - - - - ! DIVIDENDS UNPAID- I TE M S IN TRANSIT_ _ _ _ _, INDIVIDUAL DEPOSITS _ _- - l BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - - - ·- 6 .6 0 CASH ITEMS _ _ _ _ _ _ _ , - - -······ DUE TO RESERVE BANKS ................ 12,886 .11 C/ D ' S, DEMAND ................................................... CHECKS ON OTHER BANKS_ ..... 5 0.0 0 C/ D'S, TIME- - - - - - · ············· 1,540.0 0 C/ D ' S, FOR MONEY BORROWED ..... 6 0 9.0 4 CERTIFIED CHECKS .................................. GOLD .........·-··-··.. - - - - - - · · · · SILVER- - - - - - · · - · ····-- -······· 23,211 .29 DUE TO NON - RESERVE BANKS..... DUE FROM RESERVE BANKS- ..... CURRENCY.. _. _ __ _ _ __ 2,261 .08 NOTES REDISCOUNTED .......................... BONDS AND SECURITIES-·-·-····· DUE FRO M NO N- RESER V E BANKS 15,000.00 4 7 9 .3 9 CASHIER' S CHECK$ _ _ _ _ _ , 3 2 1 .8 3 RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ __ RESERVED FOR TAXES,_ __ OTHER LIABILITIES TOTA L... ... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 1. 9 0 3 .2 4 ';~ TOTAL.................. 5 0 0.0 0 41. 9 0 3.2 4 -¾t> OFFICERS AND DIRECTORS of ~c.,1k of B:'..Pv~ ns, Bhvi ns , Hemi:;stead Co ., OFFICERS I• ' .. Ste hens , ~ V i ce Pret!idenl J. Caahi er 1T TE Aaa't Caahier DIRECTORS ., c • .l.: • Stephens , H. J . D. Ste -,"~ens , https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of ;ank oI ti 4"· · ,evi l l e, Blyth~vil l e , M1s ~1ssipp1 Co ., A-~ AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS ....................... . 102,965.56 LOANS ON REAL ESTATE .•.- .•....... 75,992.15 LOANS ON COTTON ....•....•........•....•......... 3, 0 0 0.0 0 UNDIVIDED PROFITS•..•..•..................... OVERDRAFTS·- - - - - - -·· 4,550.0 0 BILLS PAYABLE- - - - - - 1 CAPITAL STOCK- -- ························ CERTIFIED SURPLUS _ _ __ 2,700.00 SAVINGS ACCOUNTS _ _ __ BANKING HOUSE _ _ _ _ _ _ , 9,000.00 TRUST FUNDS' - - - - - - · · · · OTHER REAL ESTAT"''--- - - - 4 3,000.00 DIVIDENDS UNPAID _ _ __ ... 4,18 0.7 7 NOTES REOISCOUNTEO _ __ BONDS ANO SECURITIES_······-·· FURNITURE ANO FIXTURES- 40,000.00 ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS- - - · ·· 2 0 7.0 8 9.2 6 Bl LLS OF EXCHANGE-··-····-········ PUBLIC FUNDS- - - -··············· 6,932 .63 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS __· - · · - · - - - - · · · ·· 1,400.00 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS- .... 51,037.28 C/ O'S, OEMANO, _ _ _ _ _ _ I CHECKS ON OTHER BANKS.·-···· 2, 7 4 5,3 1 C/ O'S, TIME. _ _ _ _ _ __ CURRENCY· - · · - - · · - - - - - 1 9,220.00 C/ O'S, FOR MONEY BORROWED..... GOLD _ _ _ _ _ _ _ _ _ _ , 6 0.0 0 CERTIFIED CHECKS, _ _ _ _ _ , SILVER ...••.. ----··-····-··-··········· 6,265 .24 13,732.8 8 CASHIER'S CHECKS .............................. ..... RESERVED FOR INTEREST..- .•..... OTHER RESOURCES _ _ _ _ _ , RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 7 1, 9 3 5 .5 4- ~r TOTAL.................. 2 7 1, 9 3 5 .5 4 ~~ OFFICERS AND DIRECTORS of ,ank of B.i."t>eville, Blythe~'-le, ~ississippi Co. , f.v>'\r. OFFICERS J. G. Sudbury w. Presid.,11 Holli peter John F. Wilhi t e -r1 . Vic• President B. H. Wilh ite Cashier w. o. Anthony ABB'I Cashier DIRECTORS J . G. Sudbury · -- - - -- - W. W. Hollipeter John F. Wilhite T . J . Mahan A. M. But t. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Jank of Bu~~uv il l e , Po onevil le, Logan Co ., r}~. AT THE CLOSE OF BUSINESS NOV 1 O191 5 RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 5 5,5 .'.3 5.2 6 CAPITAL STOCK- - - - - · · ···· 25,000.00 LOANS ON REAL ESTATE ...·-··········· 4, 7 0 2 .1 7 CERTIFIED SURPLUS........·-···········-········· 10,000.00 UNDIVIDED PROFITS ................................. 7 7 0.8.'.3 LOANS ON COTTON _ _ _ _ ,....... 211.7 1 BILLS PAYABLE---·····-······-········· BONDS AND SECURITIES-··-·-··· 10,446.3 7 NOTES REDISCOUNTED ...·-················· - FURNITURE AND FIXTURES- .... 2,180.00 SAVINGS ACCOUNTS _ _ _ ···-··• BANKING H'OUSE. · - - · · · - - - - 1 5,000.00 TRUST FUNDS ...................................................... OVERDRAFTS_. _ _ _ _ _ _ __ OTHER REAL ESTATE- - - - - < DIVIDENDS UNPAID ..·-·······-········-·········•·• ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS,_ ___, 60,380 .20 BILLS OF EXC H ANGE _ _ _ _ , PUBLIC FUNDS- - - - - - · ·- 13.81 DUE TO NON - RESERVE BANKS.... 4,000.00 I DUE FROM NON-RESERVE BANKS 7 13.6 0 DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANKS-···- 2 4,603.03 C/ D'S, DEMAND _ _ _ _ _ _ , CHECKS ON OTHER BANKS._..... . 4 0 5,4 3 CURRENCY- - - - - - -···· 5,324.00 CASH ITEM$ _ _ _ _ _ _ _ , GOLD _ _ _ _ _ _ __ _ _ SILVER _ _ _ _ _ _ _ _ _ , 9,869.6 0 C/ D ' S, Tl ME .................· - - - - - C/ D'S, FOR MONEY BORROWED ..... 410.0 0 CERTIFIED CHECK$, _ _ __ 9 7 9.8 9 CASHIER'S CHECKS- - - - - · · · - 4 4 0.6 4 RESERVED FOR INTEREST.............. OT H ER RESOURCES- -··-·----·····--······· RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL ................................................ ·············- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 1 0, 5 1 1 .4 6 ~~ TOTAL... ................................................... .......... 3 6 .3 8 1 1 0, 5 1 1.4 6 ~I' OFFICERS AND DIRECTORS of ~ nk of Bonn&vi l l c , Po on eville, Logan Co ., j\>•J. OFFICERS J.W.Stanfield Presidenl G. J.Murphy Vice Preaidenl L.L.Green Cashier J.O.Barlow Ass'I Cashier DIRECTORS J.W.Stanfield BooneTille Ark. G J Mur h J.L.Green If " A.T.DarJow L.L.Breen https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis " " COPY OF PUBLISHED STATEMENT of Lank of B. nlf ord, Pra ford , ~hite Co., AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS........................ 2,760 .22 CAPITAL STOCK- - - · - - -, 5,0 0 0.0 0 LOANS ON REAL ESTATE ................. 2,507 .34 CERTIFIED SURPLUS_ _ _ _ , 16.3 5 LOANS ON COTTON _ _ _ __ UNDIVIDED PROFITS............................... OVERDRAFTS _ _ _ _ _ _ ······· 3 7 .8.'.3 BILLS PAYABLE---·········-············· NOTES REDISCOUNTEO ......................... BONDS AND SECURITIES- ·----······ 1,1 46.0 0 SAVINGS ACCOUNTS...... BANKING HOUSE.·-···-·---·····-···-- 1,750.00 TRUST FUNDS OTHER REAL ESTATE _ _ _~ 8 19 .6 8 FURNITURE AND FIXTURES--···· ' DIVIDENDS UNPAID...... .. ............ ...... ,1 5 0.6 7 ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS BILLS OF EXCHANGE------·--···· PUBLIC FUNDS...... DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ..... CASH ITEMS _ _ _ _ _ _ _ _ DUE FROM RESERVE BANKS...... _ DUE TO RESERVE BANKS................ 1,131.78 C/ D'S, DEMAND- - - - - · · · · · · · · · C/ D'S, TIME- - - - - - - · · 1 ,105.00 C/ D'S, FOR MONEY BORROWED..... GOL0_ _ _ _ _ _ _ _ _ _ CERTIFIED CHECKS .................................... 1 SILVER _ _ _ _ _ _ _ _ _ , OTHER RESOURCES _ ..···---- -·-····-···· ··- 10.0 0 CHECKS ON OTHER BANKS·--·····• CURRENCY- - - - - - -···-···· 171.4 3 48 .95 CASHIER'S CHECK$ _ _ _ _ _ , 1 7 4.0 .'.3 1 5 2 .3 8 RESERVED FOR INTEREST.............. RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL ................................................................ _ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 11, 4 9 0 .8 3 ~t- TOTAL................................................................ . 11, 4 9 0 .8 3 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bak of E:2d:ord, B·adforct, white Co., A ,. OFFICERS Caahier A88'1 Caahier DIRECTORS COPY OF PUBLISHED STATEMENT of 3ank of • "<l2.6y, B~~ l ey , La Fayette Co ., Pr- '· AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS ........................ 2 4,699.78 LOANS ON REAL ESTAT E ................. 5,550.5 0 CERTIFIED SURPLUS............................... 1 7 5.0 0 LOANS ON COTTON ..·-····-·················· ...... :3,126 .6 2 UNDIVIDED PROFITS,_ _ __ 8 2 9.0 6 OVERDRAFTS _ _ _ _ _ _ ········ 2 9 4.2 2 BILLS PAYABLE ................................................ BONDS AND SECURITIES _ _··-··• 2 0 .7 5 NOTES REDISCOUNTED .......................•. F URNITURE AND F IXT U RES--···· 1,088 .96 SAVINGS ACCOUNTS, _ _ _ __ , BANKING HOUSE _ _ _ _ _ _ I 2,136 .2 5 TRUST FUNDS- - - - - - - ·· CAPITAL STOCK......................................... OTHER REAL ESTAT E - - - - - 1 DIVIDENDS UNPAID- - - - · · · ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS·- - - · ·- BILLS OF EXCHANGE_ _ __ PUBLIC FUND$.__._ _ _ _ _..,. D U E FROM NON - RESERVE BANKS 5 9 4.2 2 5, 4 6 7 .5 0 C/ D'S, DEMAND................................................... C/ D ' S, TIME .............................................................. CURR ENCY·-··--··---··---··-····· 71 7 .0 0 C/ D'S, FOR MONEY BORROWED..... GOLD. · - - - -·- - - - - - · · · · 8 9 0.5 4 CERTIFIED CHECKS·-··············· ................ CASHIER'S CHECKS---·········· SILVER_·-•-·-·----··-··---1 OTHER RESOURCES- - - - - 1 , 487 .14 DUE TO RESERVE BANKS ................ CHECKS ON OTHER BANKS- ...... I 2 DUE TO NON-RESERVE BANKS .... CASH I TE M S, _ _ _ _ _ _ _ , DUE FROM RESERVE BANKS ........ 1 5, 0 0 0.0 0 7 2 6.5 5 8 2 1 .6 9 RESERVED FOR INTEREST...·-········ RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 5, 3 1 2 .8 9 ~i- TOTAL .................. 4 5, 3 1 2 .8 9 ~~ OFFICERS AND DIRECTORS of (J) 3a.nk of BL,, ley, Br al ley, LaFayette Co., Ad· OFFICERS Dep't J. ii • .Meek D OE Preridenl J. :e. Burton _:::.\ J. w. Meek , Jr. Caahier Aaa'I Caahier DIRECTORS J. H. lleek i'ordyrua, .irk. J . B. Burton Lewis Till i,; . H. Ramil.le w. J.. . llcGee Joe Allen https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis B J N 0, M ... Vice Preridenl Ark. 5ra.ci.J •y, J. , k. " " " " ~ ~11!110~. . COPY OF PUBLISHED STATEMENT of Jank of B1 ~ ch , B a ch, F1an~l1u Co,, AT THE CLOSE OF BUSINESS NOV 1 0 19 5 LIABILITIES RESOURCES LOANS AND DISCOUNTS...................... 22,526 .9 7 LOANS ON REAL ESTATE ................. 1,519.5 0 CAPITAL STOCK .................. _ __ CERTIFIED SURPLUS .............................. .. LOANS ON COTTON .................................. .. UNDIVIDED PROFITS............................... OVERDRAFTS........ _ ... _. _ _ __ BILLS PAYABLE _ __ 11,8 0 0.0 0 120.0 0 _ .............. .. BONDS AND SECURITIES- .................. 12 4 .9 0 FURNITURE AND FIXTURES- ..... 1,400.00 SAVINGS ACCOUNTS, _ _ __ BANKING HOUSE._ _ _ _ ____, 2,500 .00 TRUST FUNDS- - - - - - - 1 OTHER REAL ESTATE- - - - - ! 8 0 0.0 0 NOTES REDISCOUNTED _ _ _ , DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS·- - - - - 1 2 7,9 2 3 ,2 0 BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS _ _ _ _ _ _ __ 2 .'.3 2 .7 9 I DUE FROM NON-RESERVE DUE TO NON-RESERVE BANKS ..... BANKS CASH ITEMS, _ _ _ _ _ __ DUE FROM RESERVE BANKS........ DUE TO RESERVE BANKS............... . 7,371.89 C/ D ' S, DEMAND, _ _ _ ......................... C/ D'S, TIME ............................................................. .. CHECKS ON OTHER BANKS ... - ..... CURRENCY· - - · - - - - - - - - 1 4,146.00 C/ D'S, FOR MONEY BORROWED ..... GOLD- - - - - - · - · - · - - - - 1 3 6 5.0 0 CERTIFIED CHECKS .................................. SILVER- - - - - - - - - 1 3 2 8 .4 7 CASHIER'S CHECKS-- - - -.... 30.01 RESERVED FOR INTEREST.............. OTHER RESOURCES _____ ._ _ .... 9 2 1.6 2 115.1 3 RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL........ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL .................. 4 1, 1 1 2 .7 4 ~c OFFICERS AND DIRECTORS of Bank of Br"nch Brn 1ch, Franklil Co., OFFICERS S. J. Co er Presidenl D • J. • Ga ,1,.1· 11 Vice President Homer E. Council Cashier Asa'I Cashier DIRECTORS J. Lee • Cotner G. King ..!. :i0pkins s. G, T. E. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3jJe;y: COPY OF PUBLISHED STATEMENT of Hank of E~in\ley, Binkley, Monroe Co., Ar AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS- - -! 32,86 1 .89 CAPITAL ITOCK ....s •••••..•••••••••••.. ••••••••••••••••••••.. 25,000.00 LOANS ON REAL EST,!I.TE.-········ ·-··· 36,772.3 7 CERTIFIED SU ftPLlis ...............·-·············. 2,500.00 LOANS ON COTTON _ _ _ _ ······· 412,0 0 UNDIVIDED PROFITS............................ 5,107.15 OVERDRAFTS _ _ _ _ _ _ _ BILLS PAYAl3LE- - - - - · ····· 1 8 8 7 .6 8 BONDS AND SECURITIES _____ •·· NOTES REDll:lCOUNTED ..----·•··•········· 2,500.00 SAVINGS ACCOUNTS ............................. ...- BANKING HOUSE.·--···· - - - - 1 10,500.00 TRUST FUNDS,"-"···~~ .............................. OTHER REAL ESTATE _ _ _-i 11,143.00 DIVIDENDS l:INPAID.·~ - -···•····· 16 .2 5 ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ .... 7 4, 7 3 9,3 8 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS,~··· ~ - - - - · · 3 3 7,3 1 FURNITURE AND FIXTURES- ... DUE FROM NON-RESERVE BANKS 2,213 .90 DUE TO NON • RESERVE BANKS .... 311.4 0 DUE TO RESERVE BAN KS·-········ ..,.. 25,481.6 7 C/ D ' S, bEMAN D _ ··--·-···-··-···-······················ CASH ITEMS _ _ _ _ _ _ _ , DUE FROM RESERVE BANKS--·- CHECKS ON OTHER BANKS·-······ 22,203.99 C/ D'S, TIME- ~ - -························ 4,016.0 0 CURRENCY _ _ _ _ _ _ _ _ , GOLD _ _ _ _ _ __ __ G/ D ' i, Ftlft MONEY BORROWED..... 5 0 0.0 0 CERTIFIED CHECKS ............ _ _ _ , 2,4 9 3.5 0 SILVER _ _ _ _ _ _ _ __ 18 9.3 3 CASHIER'S CHECK$ _ _ __ RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ _ _ __ RESERVED FOR TAXES- - - , OTHER LIABILITIES L-.-...! T~O:...! T.!: A~L::::;····:::::····=·····:::::···•:.::·===··:::::· ··""····""···=···· _ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 3 o,..o 9 3,41 *- 1~3_0_,~0~ 9_3~.4_1_i_~~ ' ___T~O~T_A_L_...._ ....._......._..._....._....._...._ ....._....._....._...._....._.... _ ....._._ _ OFFICERS AND DIRECTORS of Bank of Er~nhley , Br ~nkl ey , ~onroe Co., Ar1. OFFICERS Andrew Flora Preside,u James Gunn Vice Presidenl F. Lee Major Caahi,r Sam E. Babb A••'t Cashier DIRECTORS ·1. L. Freeman Andrew F lora James Gunn Henry John Gazzpla I. Scholem Frank s F • T. 1.:urphy E. D. McKnlhght https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis olf - -------- G. Otis Bogle F. Lee Major COPY OF PUBLISHED STATEMENT of Bank of B.~ouland, Brook l nJ, Craighead Co ., p., r NOV 1 O1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS......... ............. '.3 3,012.5 2 CAPITAL STOCK ............................................ 14,800.00 LOANS ON REAL ESTATE ................. 2,286 .7 '.3 CERTIFIED SURPLUS-- - -······ 2,112.5 0 UNDIVIDED PROFITS............................... 1 76.0 2 2 9 2 .91 BILLS PAYABLE---··············--······ 8, 000.00 BONDS AND SECURITIES---······· 4'.3.41 NOTES REDISCOUNTED ..................... .. FURNITURE AND FIXTURES_·-···· 1,850.00 SAVINGS ACCOUNTS _ _ _ _ ····- BANKING HOUSE __ 1,000.00 TRUST FUNDS-- - - - - - · · LOANS ON COTTON_·-····--···-··-·-·-········ OVERDRAFTS _ _ _ _ _ __ ._____ _ OTHER REAL ESTATE- - - · - DIVIDENDS UNPAI0 _ _ _ _ _ 1 ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS _ __ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS .........•-··•···---- DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH tTEMS- - - - - -···-······ 2 8 2 .7 2 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ 9,2 8 4.'.3 6 C/ D'S , DEMAND .................................................. . CHECKS ON OTHER BANKS--········ C/ D'S. TIME.•·················•···•··•···---·- 1,897.00 C/ D ' S, FOR MONEY BORROWED..... 1 4 0 5.0 0 CERTIFIED CHECKS.................................... 1 4 5 7.7 5 CASHIER' S CH EC KS ..·-··-···························· CURRENCY._ _ _ _ _ _ _ _ _ _ , GOL0_ _ _ _ _ _ __ _ _ SILVER _ _ _ _ _ _ _ _ _ 23,345.14 2, 3 6 1.4 9 RESERVED FOR INTEREST-·-········ OTHER RESOURCES _···-·---······ RESERVED FOR TAXES _ _ _ 1 OTHER LIABILITIES.................................. TOTAL ............................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 0, 8 1 2 .4 0 -3~ TOTAL ............................................................ . 17.2 5 5 0, 8 1 2 .4 0 ~; OFFICERS AND DIRECTORS of Ednk of B.nohlantl, B~0okland, Craighead Co., /l O FF I CE RS r r~ /2 d 4 A , c=ry/?AJ Vice P rnidenl ~ DIRECTORS ~ t? r_,-?Q,______ &«~~ (. ~ ~~~ ~ZJ?/,?1~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of ellcJvi l L, Bc:.nk, Bel,eville, Yell Co., Arl- AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES CAPITAL STOCK .............................................. 5,000.00 LOANS ON REAL ESTATE ................. CERTIFIED SURPLUS ............................... 13.5 7 LOANS ON COTTON _ _ _ _ ······· UNDIVIDED PROFITS- - - · · ····· LOANS AND DISCOUNTS........................ 6,774.00 . 9 9 5.41 BILLS PAYABLE- - - - -··· ............. 1,253 .11 NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES-·-··· 1,5 8 9 .6 7 SAVINGS ACCOUNTS ..· - - - - · ·· OVERDRAFTS- - - - - - · · · - · · · BONDS AND SECURITIES- BANKING HOUSE _ _ _ _ _ _ I TRUST FUNDS _ _ _ _ _ __ OTHER REAL ESTAT~ ~ -----1 DIVIDENDS UNPAID- - -··········· ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS-_ __ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS...... _ _ _ __ DUE FROM NON-RESERVE BANKS DUE TO NON - RESERVE BANKS .... CASH ITEMS _ _ __ _ _ _ , DUE TO RESERVE BANKS ........... ..... DUE FROM RESERVE BANKS ........ 14,359.22 C/ D'S, TIME .....·- - - -·························· 2,600.00 C/ D'S, FOR MONEY BORROWED..... GOLD_ _ _ _ __ _ _ _ _ , 1 5 5.0 0 CERTIFIED CHECKS- --·····•····· SILVER _ _ _ _ _ __ _ _ ! 6 15.0 .'.3 CASHIER'S CHECKS- - - ············· 1,025.4 3 RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ __ 22,786.03 C/ D'S, DEMAND ................................................... CHECKS ON OTHER BANKS__ ..... CURRENCY- - - - - - - · · · I 5 2 7 .0 0 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL ...... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 9, .3 6 6 .8 7 ~~ TOTAL .................................................................. 1,040.2 7 2 9, 3 6 6 .8 7 ~" https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Be llevil L nk'., Bel e vil e, Yell Co . , Ar . OFFICERS A88'1 Caahier DIRECTORS ~ } COPY OF PUBLISHED STATEMENT of Bige low Sv~tv Bank, Bige~ow , orry Co . , A1 'l AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS........................ 2 3,Z 7 1 .9 6 CAPITAL STOCK.·-···········---••··•···· 1'0,00 0.0 0 LOANS ON REAL ESTATE·--············ 17,987 .93 CERTIFIED SURPLUS ............................. . 4,000.00 UNDIVIDED PROFITS............................... LOANS ON COTTON ·-·········-··-··--············ 0 VERO RAFTS.·-- -·--·-··-·-··---·-·-········ 416 .7 6 BILLS PAYABLE .....· - - - -··········•• BONDS ANO SECURITIES--·--···-······ 1,213.4 4 NOTES REOISCOUNTEO ......................... FURNITURE ANO F I XTURES--···· 2,000.00 SAVINGS ACCOUNTS ................................... BANKING HOUSE _ _ _ _ _ _ , 1,000.00 TRUST FUNDS- - - · - - - - 1 OTHER REAL ESTAT~ ~ ----1 14,215.72 4,526.62 DIVIDENDS UNPAID- - - - · ··• ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL OEPOSITS.-·--············· .... 36,521 .78 BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS- - - - - · ···-······· 1 9, 3 9 2.4 9 DUE FROM NON - RESERVE f 6,000.00 4,400.00 DUE TO NON-RESERVE BANKS .... CASH ITEMS_ · - - - - - - ···· 1,121.64 DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS ...... _ 7,413 .74 C/ O'S, DEMAND ............................................ . BANKS - CHECKS ON OTHER BANKS.·-·-·•··· C/ O'S, TIME ..............·-············································· 1, 0 6 4.0 0 CURRENCY _ _ _ _ _ - - - - · · · - C/ D'S, FOR MONEY BORROWED..... 2 5 5.0 0 CERTIFIED CHECKS ..........................: ....... SILVER- - - - - - - - - - - · · · · 2 7 3 .8 5 CASHIER'S CHECKS- - - · · · · ········· OTHER RESOURCES·--·--·--···· 8,674.45 RESERVED FOR INTEREST.............. GOL0 _ _ _ _ _ _ _ _ _ _ 1 1,6 .'.3 0 .3 .'.3 1,237.27 .. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL... ... •---- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 3, 3 0 8 .4 9 -ir TOTAL.._............................................................. 8 3 .'.3 0 8 .4 9 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bigel ow Ste~ Bank, Big elow , Parry Co ., A~'lr OFFICERS PreBidenl aki .~ , Vice Pre•idenl C?i.A L, Aaa'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Citizens _uks, B a 10., Co., Ar NOV 1 () 19l 5 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 8,.'.3 0 0 ,3 7 CAPITAL STOCK................................................ LOANS ON REAL ESTATE ................. 6,559 .05 CERTIFIED SURPLUS ............................... LOANS ON COTTON ........ .- .. - ........... .. . I 1 o,o O 0.0 0 UNDIVIDED PROFITS................................. OVER DRAFTS- .....·-···----········ 210.2 8 BILLS PAYABLE- - - - ·················· BONDS AND SECURITIES.--............. . 112 .9 4 NOTES RE DISCOUNTED......................... FURNITURE AND FIXTURES-·-··· 1,619,'.3 5 SAVINGS ACCOUNTS ................................... BANKING HOusi= ~ -----1 2,678 .86 TRUST FUNDS- - - - - - ·· OTHER REAL ESTATE _ _ __, 2,300.00 DIVIDENDS UNPAID- - - -···· ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS- - - - - - 1 BILLS OF EXCHANGE PUBLIC FUNDS, _ _ _ _ _ _ _ . DUE FROM NON - RESERVE BANKS 1,0 0 0.0 0 13,444.26 DUE TO NON - RESERVE BANKS... CASH ITEMS, _ _ _ _ _ __ DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANKS ........ 4,324 .76 C/ D'S, DEMAND- - - · ·························· CHECKS ON OTHER BANKS._....... . 19.0 0 C/ D'S, TIME- - - - - -·············· CURRENCY- - - - - - - · - 4 8 7.0 0 C/ D ' S, FOR MONEY BORROWED..... GOLD·- - - - - -- - - ···· 6 .0 0 CERTIFIED CHECKS.................................... SILVER ... - ...- · · · - - - - - - - 1 2 9 7.0 0 CASHIER'S CHECKS..................................... OTHER RESOURCES- - - - · · · · 1, 7 0 1 .3 7 RESERVED FOR INTEREST.............. 1,024.7 5 1,969 .72 RESERVED FOR TAXES, _ _ _ , 1,177.2 5 OTHER LIABILITIES.........- ...................... TOTAL .................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 s. 6 1 5 .9 8 ➔} TOTAL ................................................................. 2 s, 6 1 5 .9 8 -}~ I OFFICERS AND DIRECTORS of Citizens Bank, Banks,Bradley County, Arkansas . OFFICERS Farland Pt1rid1n1 .r. C- Bratton. Vice Pr,ridenl A . V.Smith. Ca,hi,r Au'I Caahier DIRECTORS ,T.M.Spraggina. S . F.Crof't. J.W.Mc.Cann. . A-E - Blvthe • https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Cit i~e ns JP~~ & Truot Co ., Bate s vill , I ndepende ~e Co. , AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........................ 1 0 1,7 9 1.0 5 LOANS ON REAL EST A TE ........... ...... 2 5,7 2 2.26 LOANS ON COTTON -·-···-·····-····-···•········ 1 1 6.9 0 BONDS AND SECURITIES---··-·--···· 2,1 6 4.7 5 FURNITURE AND FIXTURES•-···· 8 d 0.0 0 BANKING HOUSE 5 0,00 0.0 0 CERTIFIED SURPLUS ............................... 1 0,0 0 0.0 0 BILLS PAYABLE ·················•···· NOTES REDISCOUNTED .......................... SAVINGS ACCOUNTS ........................ ----- TRUST FUNDS OTHER REAL ESTATE ITEMS IN TRANSIT CAPITAL STOCK ................. ··········•·········· UNDIVIDED PROFITS.......................... ········ OVERDRAFTS •••..• _. LIABILITIES I 8 1 7.4 5 INDIVIDUAL DEPOSITS............................ PUBLIC FUNDS ................ .................................. DUE FROM NON-RESERVE BANKS •.•_. DUE TO NON - RESERVE BANKS ..... 8 7 9 .6 4 CASH ITEMS_ .. 4 9,0 0 6.8 2 CHECKS ON OTHER BANKS......... 3 7 4.8 3 C/ D'S, TIME .............................................................. 7, 3 1 8.0 0 C/ D'S, FOR MONEY BORROWED ... 2 2 2 .6 0 CERTIFIED CHECKS ........................... ....... 2,4 1 3.2 7 CASHIER'S CHECKS................... ........ ...... ··-···... --· OTHER RESOURCES 1,6 4 1.5 4 76,7 4 9.8 1 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ....... SILVER....•....••..__ 1 0,8 4 2,3 2 ................... BILLS OF EXCHANGE GOLD.... 2 5,0 0 0.0 0 DIVIDENDS UNPAID ........................ ·········· ·-······ CURRENCY... 7,2 2 6.4 9 C/ D'S, DEMAND ................ ····················-········· 1 0,1 1 7.9 5 3.7 0 RESERVED FOR INTEREST............ ---····· RESERVED FOR TAXES TOTAL .................................................... ····-····- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 9 1,6 2 7.5 7 OTHER LIABILITIES .......... ················· ····· 4 5 .7 6 TOTAL ....... ......................................................... 1 2 1,6 2 7.5 7 ,. ,. {(· OFFICERS AND DIRECTORS of Batesvi11 Independ ~nce Co., A O FF IC E RS T• J. ''la 1 be rt PreBide111 W. P.Jones Vice P resident H. l.1. Kenne rly Cashier Ben Jernig,:in A ss't Cashier D I RECTORS T. J . \7u.lbert 'l . P . H. Jones Joe. M. GrR.y J. E. Sherrill c. .Vad e 1 I . II . Barnett R. C. Dorr https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis c . F . Cole COPY OF PUBLISHED STATEMENT of Sitiz ens Jq!lh ' Bo ~nevili&, Lo 6 ~n Co., AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS ........................ 3 6,2 6 9,2 0 CAPITAL STOCK ............................................... LOANS ON REAL ESTATE_............... 14,292.55 CERTIFIED SURPLUS............................. . LOANS ON COTTON _ _ _ _ .. UNDIVIDED PROFITS_ _ __ OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE- - - -- ··· BONDS AND SECURITIES.--.... - ...... 2,800.27 NOTES REDISCOUNTED .........- ............. . FURNITURE AND F I XTURES- 1,5 0 0.0 0 SAVINGS ACCOUNTS•- - - - ·•·•• 4,000.00 TRUST FUNDS.·-·····..····.. - - - - - I ... BANKING HOUSE _ _ _ _ _ _ , 2 5,000.00 OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ ! 42,633.5 6 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS·- - - - - -··· 14,817.98 2 5 9.2 8 DUE FROM NON-RESERVE BANKS 7, 000.00 DUE TO NON-RESERVE BANKS ..... CASH ITEMS, _ _ _ · - - - - · ·· 1,511.14 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ 10,518.72 C/ D ' S, DEMAND---··························· CHECKS ON OTHER BANKS-..... . 1,0 0 0.0 0 C/ D ' S, TIME ............. _----············ CURRENCY _ _ _ _ _ _ __ 3,632.00 C/ D'S, FOR MONEY BORROWED ..... 3 0 0.0 0 CERTIFIED CHECKS.................................... 3 7 9.5 0 CASHIER' S CHECKS·- - - · · · ·········· GOL0 _ _ _ _ _ _ _ __ _ 1 SILVER- - - - - - - - - 1 3 5 0.0 0 142.5 6 RESERVED FOR INTEREST...- ........ OTHER RESOURCES _ _ _ _ _ 1 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL ................••........•.................................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 3, 2 0 3 ,3 8 7( TOTAL .................._.............................................. 8 3, 2 0 3 .3 8 -;(- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Citiz e ns 3 ~n h. , Bo o?i Gvi 1 e, Logan Co., OFFICERS J . c. '..!::>tner Vice Pruidenl Au't Cashier DIRECTORS J . ; . :;otnc:::- '.Jhns . x . {1.llicn s COPY OF PUBLISHED STATEMENT of !1 rmer s Bal" ... , Blythev!lle, ~is&1ssippi Co. , A,·' AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 53,511.63 LOANS ON REAL ESTATE ................. 8,073.4 5 CAPITAL STOCK.............................................. CERTIFIED SURPLUS ............................... . LOANS ON COTTON _ _ _ _ ······· UNDIVIDED PROFITS ............................... . OVERDRAFTS-- - - - - - · - · · · · · ···· BILLS PAYABLE- - -················•······· BONDS AND SECURITIES--............. . NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES- .... 2,743 .79 15,0 0 0.0 0 SAVINGS ACCOUNTS ................................... 8 9 1.4 8 2,943 .78 BANKING HOUSE· - • · - - - - ! TRUST FUND$ _ _ _ _ _ __ OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID- - - - ·· ITEMS IN TRANSIT- -·-·---·--·-·- INDIVIDUAL DEPOSITS _ ___, 61,214.21 Bl LLS OF EXCHANGE_ _ _ _ , PUBLIC FUNDS- - - - - - · · · 8,672.82 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... I DUE TO RESERVE BANKS................ CASH ITEMS DUE FROM RESERVE BANKS ........ 15,508.06 C/ D ' S, DEMAND•---·························· CHECKS ON OTHER BANKS.......... . 3,641 .32 C/ D'S, TIME ............................................................ CURRENCY- - - - - - - · · ·· 3,648.00 C/ D ' S, FOR MONEY BORROWED..... GOLD _ _ _ _ _ _ _ _ _ _ , 1,800.00 CERTIFIED CHECKS .................................. SILVER _ _ _ _ _ _ _ _ _ , 2,921 .74 CASHIER'S CHECKS .....· - - - · · · · ··· OTHER RESOURCES, _ _ _ _ _ , 4 7 4.3 0 RESERVED FOR INTEREST.............. RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL ...... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 9 0, 5 2 2 .2 9 ';~ TOTAL.................. 9 0. 5 2 2 .2 9 -;: OFFICERS AND DIRECTORS of Farmers Bank, Blytheville,Mississippi County, Arkansas. OFFICERS Preridc"' H. Crose. Vic, Prtridenl .T. L.Ruesell Ca,hi,r R.M.Sandere. A11'l Ca1hi,r DIRECTORS B.F.Gray. H.Cross. B.A. unch. M. A.Portis. Sam Costen. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of :"armers & ", r ch ants Be.nk, Bearden, G~achita Co ., Av - . AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 17, 2 3 4 ,2 6 CAPITAL STOCK ............................................ . LOANS ON REAL ESTATE ................. 11,208.6 5 CERTIFIED SURPLUS............................... LOANS ON COTTON _ _ _ _ _ , UNDIVIDED PROFITS---········· OVERDRAFTS __ ... _. _ _ _ _ _ , BILLS PAYABLE----·················· .....- ..... 6 41.6 0 NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES- ..... 2,000.00 SAVINGS ACCOUNTS- - - -·- BANKING Hous~ ~ -----1 6,167 .58 TRUST FUNDS _ _ _ _ _ ········· BONDS AND SECURITIES- OTHER REAL ESTATE- - - - t DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS..........................• BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS, _ _ _ __ _ _ ··- DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ..... CASH ITEMS'- - - - - - - ···· 5 9 .91 DUE TO RESERVE BANKS........... ..,.. DUE FROM RESERVE BANKS ........ 2 5,6 3 5 ,3 9 C/ D'S, DEMAND ................................................. CHECKS ON OTHER BANKS ...- ...... 6 0.0 0 C/ D'S, TIME .......,...................................................... 5,874.00 C/ D'S, FOR MONEY BORROWED ..... 4 0 0.0 0 CERTIFIED CH EC KS......•............................ 1,2 9 6,3 8 CASHIER'S CHECKS- - - - · · · · · · · CURRENCY _ _ _ _ _ _ __ GOLD.... - - - - - - - - SILVER _ _ _ _ __ _ __ 15,0 0 0.0 0 3 3 4.0 9 50, 583 .8 3 4,535 .74 1 2 4.11 RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ __ RESERVED FOR TAXES _ __ OTHER LIABILITIES TOT AL ..................................... ................,..,...... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 70,577.77 ➔i' TOTAL ................................................................. 7 0. 5 7 7 .7 7 ?~ OFFICERS AND DIRECTORS of Farmer s & ~e- chant s B nk ,. Bear den, u&chita Co., Arl , OFFICERS President a ~ rcla. rv s, $ . ls.. 0 c] J'Y\ I Cashie, Ass't Cashier DIRECTORS kt. C. .1\ ~. hl.nc1,a ~ a. 3-~_c~~ CI S. 7:Y\.~ C,a.l~ "f,. (f https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis !/y~- - C,\ ~ COPY OF PUBLISHED STATEMENT of f armer s St~ v Bank, B ebe, White Cu. , 0 AT THE CLOSE OF BUSINESS ~C'I l r 1915 RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 5 0, 1 4 1.1 0 LOANS ON REAL ESTATE ................. 6,3 50.0 0 CAPITAL STOCK .......................................... 1 0, 0 0 0 .0 0 CERTIFIED SURPLUS. .............................. UNDIVIDED PROFITS................................. 1, 2 3 3 .8 7 2,4 7 2 .9 1 BILLS PAYABLE _ _ _ _ _ _ , 1 2,00 0.0 0 BONDS AND SECURITIES---·-······ 5 6 4.4 5 NOTES REDISCOUNTED- - - - - 1 FURNITURE AND FIXTURES_ ... 1,90 0 .00 SAVINGS ACCOUNTS ................................... BANKING HOUSE- - - · · · - · · - - - 2, 5 0 0.0 0 TRUST FUNDS .................................................. LOANS ON COTTON _ _ _ __ OVERDRAFTS, _ _ _ _ _ _ ·--··--···- OTHER REAL ESTATE _ _ ___, DIVIDENDS UNPAID- - -- -···· ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ ____, 4 7. 8 0 1.1 4 BILLS OF EXCHANGE _ _ _ _ ,! PUBLIC FUND$ _ _ _ _ ____, 3 4 1.6 4 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS· -· · - - - - -- - · ·· DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS ....... . 6,8 15 .8 7 C/ D'S, TIME-- - - - - - - · · CHECKS ON OTHER BANKS.---···· CURRENCY- - - - - - - - 1 GOLD•- - - - -- - - - -1 SILVER _ _ _ _ _ _ _ ___, C/ O'S, DEMAND ................................................. 3,9 5 8 .0 0 C/ D ' S, FOR MONEY BORROWED..... 9 0 .0 0 CERTIFIED CHECKS, _ _ __ _ , 1,220 .SA CASHIER' S CHECKS ..................................... 3,93 9 .7 7 6 9 6 .7 5 RESERVED FOR INTEREST.............. OTHER RESOURCES- - - - - -······· RESERVED FOR TAXES ......................... OTHER LIABILITIES TOTAL. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 6, 0 1 3 .1 7 ~:- TOTAL ....................... 7 6. 0 1 3 .1 7 -l~ OFFICERS AND DIRECTORS of Firmers Sv8 ~ Bank, Dtabe, White Cu., OFFICERS R. w. Cochran Pr,.ide,11 T. F. Burton V i ce President c. w. Renaker Caahier Thelma Cochran Aas't Ca shier DIRECTORS B. w. Cochran w. L, c. c . Westbrook Bailey T F Burton (: e W. e Renaker https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of ~- -•- - J , r ___ \. • -- I .- i rst Sta ., Bank, Be ~o nvill e , BGnt on Co. , ~ AT THE CLOSE OF BUSINESS RESOURCES LOANS ANO DISCOUNTS........................ )--, . . ' LIABIL.11::IE,S 2 4,299 .10 . 7,65 0.00 LOANS ON REAL ESTATE ................. • : ,i:J ::. ;. 10,000.00 CAPl,T 'AL Lst-oci..........:.....:._··_ __ c ,EFUil f.l Etf. sJ'RPLUS ...........:·... .-.............. . '\ ' 5 2 7.5 3 LOA.NS; ·oN COTTON ..................................... I BILLS ff'AYABLE.: ...r_ __ 2,775.6 7 BONOl- AND ;~~URIT;Es.__..........:. '=.:.... .-....::: ... NOTES REDi'SCOlJNTEci ... I \ ' ,~. :; ,-, :.; E , J . · , ,: • FU 1RNITURE ANO FIXTURES.-..... I ; ;,C J BANKrNG ·.,;;ou~E_.;_•_ _ _ _ _ , ..,• ,. , f I 3 2.98 SAVINGS. ACCOUNt-f ......'......·........::....:.... i:. TRUST FUNDS ... _::'..: .....:.. _·· _ __ ...) - " I /. OTHER REAL ESTATE _ _ _-! DIVIDENDS UNPA'ID...... _ __ -=t" _£\ ITEMS IN .TRANSIT _ _ _ _ _ , IND;VIDUAL: 1 ~EP01si+s'_!::_ __ I 4 .-: • ~- ,I ,,.. A. :: BILLS OF EXCHANGE _ _ _ _ , '1 h ; • • . E t .a. .. '-- DUE ;ro NbN'-JREsE·R,h.t BANK$ _ _ _ ___- ,- : --~,~l I.. BANKS .. 1 1 CASH ITEM$ _ _ _ _ _ _ _ _ , ouE ~ o RESitRVE l!AN)<s....... ...•....· I 26,296 .98 ~ !,_"' t· ~ .. - I 16.84 . ... ... ..... . C/ D'S, TIMlf-.t.... '. ....:..............:...::.....:...................... I A: ,_;, ~ C/D'S,I DEM~N0:.1.::.~•••••• ::: ••••• •: ••••• :•••• l ,, E , .•, "" L CHECKS ON OTHER BANKS ... _..... l ~,. 40,045.92 PUBLIC • FUNDS,_J_r._·._r _ _ __ DUE FROM t-fPN-':RESERVE ,, 7:9 6 0.0 4 6 4 5.0 0 C/ D'S, FOR MONEY abt{fto~E~..... GOLD......... _ .. _ · · - - - - - - - 3 0 0.0 0 CERTIFIED.- Cl-fEtKS............................. SILVER.._ ..;_._ · ._r_ _ _ _ _ _ _ _ , 5 2 8.5 6 ' r. t f· E., . E . . CASHIEWS -ct!.fEEKS- - - · · · · · · · · CURRENCY ..- .....- .......·--··..- ... - ......... ) ~ - ,/ I . .... G r ., .:,..._ .. S 3,945 .68 , ~-- OTHER RESOURCES _ _ _ __ .- t ~ RESERVED FOR "FAXES-- - - 1 0 OTHER LIAB1_1:,.:I.TJE.S I __.__ - -- --'I I TOTAi https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 2, 5 1 2 .1 5 ~~ TOTAL ....,. -6 2 5 1 2 .1 5 ?~ OFFICERS AND DIRECTORS of 1:rst St a :Sank, P Be +~nville, Benton Co., fi r' A••'I Cashier DIRECTORS g r?. ~~ ~~c.,a~ i&A./4,V.~ ftp'2~ ~~~ ~~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of First Sta~ Dank , Bonan~a , Se ba s tain Co., 0 AT THE CLOSE OF BUSINESS RESOURCES L I ABILITIES LOANS AND DISCOUNTS ............. . 6,411.38 CAPITAL STOCK ........................ LOANS ON REAL ESTATE ...... 2,200.00 CERTIFIED SURPLUS .... UNDIVIDED PROFITS............................... . LOANS ON COT TON ...·-················-·············· 14.0 9 BILLS PAYABLE ................................................ BONDS AND SECURITIES--·-··-······ 2 2 2.5 0 NOTES REDISCOUNTED .......................... FURNITUR E AND FIXTURES_·-··· 1,0 0 0.0 0 SAVINGS ACCOUNTS ............ BANKING HOUSE·---····-·----·-- 1,500.00 TRUST FUNDS .................................................... OTHER REAL ESTAT-= ~ ----1 4 2 0.5 1 DIVIDENDS UNPAID ...... ........................... OVERDRAFTS-·-----··---··-········ 5,000.00 6 0 8.0 7 ITEMS IN T RANSIT _ _ __ INDIVIDUAL DEPOSITS .......................... . 1'.3,47 9.9 9 BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS................................................... 2 41.8 1 DUE FROM NO N -RESERVE BANKS_ · - - - · - - - - - - DUE TO NON-RESERVE BANKS .... CASH I TE M S _ _ _ _ _ __ DUE FROM RESERVE BANKS........ 1.0 0 DUE TO RESERVE BANKS ............... . 9,6 3 2 .91 C/ D'S, DEMAND .............................................. . C/ D'S, TIME ......................................................... CHECKS ON OTHER BANKS.·-······ CURRENCY _ _ _ _ _ _ ._ GOLD........................ _ _ _ _ _ __ SILVER....................·--··-··-·-----< OTHER RE SOU RC ES ...·-····--··-···-····--····· 2,125.00 4,827.15 C/ D'S, FOR MONEY BORROWED ..... 8 5 .0 0 CERTIFIED CHECKS _ __ 4 8 9.2 8 CASHIER'S CHECKS ...... 5 5 .3 5 RESERVED FOR INTEREST ...... RESERVED FOR TAXES ......................... OTHER LIABILITIES........... TOTAL ............ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 4, 1 5 7 .o 2 ➔:- TOTAL .............................................................. . 2 4, 1 5 7 .o 2 ;:- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Fir st State ~ank, Bonan-a, Sebastain Co., OFFICERS /4£e.~ ~.@.,~ PreBidenl Vice PreBidenl ~T:~ Cashier ------- - - - - -Au'I ------Cashier DIRECTORS -.. COPY OF PUBLISHED STATEMENT of ·~Fa1ette r anty Bank P~ckner , La~a~et~e Co. , P.-•1 NOV 1 G1915 AT THE CLOSE OF BUSINESS I I RESOURCES LIABILITIES ------------------------,'----------------,------------LOANS AND DISCOUNTS ........................ 2 8, 292.6 3 LOANS ON REAL ESTATE ........... ...... 4,485.00 1 0, 000.0 0 CERTIFIED SURPLUS................. ............ . 3,000.0 0 UNDIVIDED PROFITS............................. . 3 2 .5 8 4,123 .33 BILLS PAYABLE- - - - - ····· 5,4 0 0 .00 2 3 .3 7 NOTES REDISCOUNTED ..........•............ F URN I TURE ANO F I XTURES--··· 1,500.0 0 SAVINGS ACCOUNTS .............................. . BANKING House"'-- - - - - - - 1, 400.0 0 TRUST FUNDS...· - · · - - - - - · · · · LOANS ON COTTON ....·-·········-·····-·-········ OVERDRAFTS-----·----·-·-·······. BONDS AND SECURITIES--·-····· I ! CAPITAL STOCK............... _ _ __ OTHER REAL ESTAT"" "'-- - - - l DIVIDENDS UNPAID- - - -•·•• ITEM S I N TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS- - - - 1 25,1 48 .4 5 BILLS O F EXCHANGE _ _ __ PUBLIC FUND$ _ _ _ _ _ _ , 3 ,3 1 DUE FROM NON - RESERVE BANKS _ _ _ _ _ _ __ DUE TO NON-RESERVE BANKS .... DUE TO RESERVE BANKS................ I CASH ITEMS- - - - - - · - · · · · · I 1 DUE FROM RESERVE BANKS ........ 7, 2 0 3.5 0 CHECKS ON OTHER BANKS........ . CURRENCY- · - · - · · - · - - - - - - , GOLD- - - - - - - - -········ SILVER _ _ _ _ _ _ _ _ _ 1 C/ D ' S, DEMAND..·-•················· ......................... . C/ D ' S, TIME .............................................................. 2,414.00 C/ D ' S, FOR MONEY BORROWED ..... 2 4 5.0 0 CERTIFIED CHECKS .................................. 41 8 .2 3 CASHIER ' S CHECKS ..................................... OTHER RESOURCE$ ______····· 5,900.0 0 6 2 .0 .7 2 RESERVED FOR INTEREST ..·-········ RESERVED FOR TAXE$ _ _ _ 1 OTHER LIABILITIES =====·=····: :. :· ·: :··.· .!...---5 0, 1 0 5 ,0 6 -;: L.....-...'... TO ~ T.!..!A~ L:.:-=. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL...-............. 5 0, 1 0 5 .0 6 ~} https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of • '¼Fayette r,,... ;nty Bank, Puckner, Labayet·te Co , OFFICER~ J.D.Bourland Presidenl B.f.Hanson Vice Presidenl J. .Bolge r Cashier .c. flowers Ass't Cashier DIRECTORS J.D.Bourland J.D.H-3.nson W. M.Nix B.F.Hanson B.C.Burns ----- ---------- COPY OF PUBLISHED STATEMENT of .lo1 roe Coci·nty Bank, B·i nkley , ~onroe Co. , AT THE CLOSE OF BUSINESS ' RESOURCES LOANS AND DISCOUNTS ..................... LOANS ON REAL ESTATE ................. LIABILITIES 70,095.03 CAPITAL STOCK ................................................ 20,000.00 9,434.34 CERTIFIED SURPLUS ................................. 2,21 7.5 9 UNDIVIDED PROFIT$, _ _ _ ..... 1,6 0 0.5 4 LOANS ON COTTON _ _ _ __ , OVERDRAFTS _ _ _ _ _ __ 9 1.0 '.3 BILLS PAYABL""c.__ _ _ __ , BONDS AND SECURITIES _____··· 3,228.96 NOTES REDISCOUNTED ..·-·-··········-··· ·· FURNITURE AND FIXTURES- .... 1,938.25 SAVINGS ACCOUNTS ................................. _ BANKING HOUSE _ _ _ _ _ _ , OTHER REAL ESTATE- - · · - · · ITEMS IN TRANSIT _ _ _ _ _ , 1 3,000.00 TRUST FUNDS ................................................... 3 5 0.0 0 DIVIDENDS UNPAID. · - - • · • - - - 1 1,0 8 0.1 5 BILLS OF EXCHANGE _ _ _ _ , INDIVIDUAL DEPOSITS _ ___, 5 7.08 0.10 PUBLIC FUNDS _ _ _ _ ____, 2 0 4.6 9 I DUE FROM NON-RESERVE BANKS l DUE TO NON-RESERVE BANKS.... 7.1 5 DUE TO RESERVE BANKS ........... ..... 22,278.65 C/ D'S, DEMAND .......·-········································· 312.0 3 C/ D ' S, TIME-- - - - - - - ·- 3,214.00 C/ D'S, FOR MONEY BORROWED ..... 197.50 CERTIFIED CHECKS•- - - -······ SILVER·- - - - - - - · - · · - · · · · 1,143.91 CASHIER'S CHECKS•---············· OTHER RESOURCES, _ _ _ _ ··· '.3 7.10 RESERVED FOR INTEREST.............. CASH ITEMS __ . -··· I DUE FROM RESERVE BANKS........ I CHECKS ON OTHER BANKS--··•·· CURRENCY _ __ _ _ _ _ _ , I GOLD_·-- -··-· 19,2 5 5.1 8 5 0.0 0 RESERVED FOR TAXES ....·-···-············· OTHER LIABILITIES TOTAL .................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 1 3, 4 0 8 .1 0 -.i- TOTAL .................. . 1 1 3, 4 0 8 .1 0 ~~ OFFICERS AND DIRECTORS of .onroe CoJ~tJ Bank , Brinkley, Mor.roe Co., A1 • OFFICERS c ..... Greenl e Prerideni Vice Pre,ident J • ..,. itch 11 , Banking De 1~ • Cashier Ass't Cashier J O.M.DAVIS HNI[ CO.IUUSSIONU DIRECTORS John C.Bl un · . .u o~ : , L • • • Ero .. , ~lmo Cl . ., -.. , https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis R •• • J si u , es , J . S. ::it che 11 , :m.B .Folsom COPY OF PUBLISHED STATEMENT of T:'eoples b,~,,,., .Berryville, Carroll Co., AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS-···-················· I LIABILITIES I 6 5,'.3 5 4.4 3 CAPITAL STOCK ·- LOANS ON REAL ESTATE ... - ........... CERTIFIED SURPLUS .... ·········• ............... LOANS ON COTTON ...·-····-····-·---··-······· UNDIVIDED PROFITS ................................. OVERDRAFTS _ _. BILLS PAYABLE ······ BONDS AND SECURITIES---·---··· 5 3 3 .5 8 NOTES REDISCOUNTED ......................... FURNITUR~ AND FIXTURES-·-···· 2,7 0 1 .6 0 SAVINGS ACCOUNTS ............ ............ ······- BANKING HOU SE 3,30 0.0 0 TRUST FUNDS .................. ---- DIVIDENDS UNPAID ITEMS IN TRANSIT- INDIVIDUAL DEPOSITS ............................ BILLS OF EXCHANGE- PUBLIC FUNDS ·---·---···· DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... .. DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANKS ........ 7, 4 4 5 .9 9 CHECKS ON OTHER BAN KS·-······ 8 4 9.4 5 CURRENCY GOLD -- C/ D'S, DEMAND C/ D'S, TIME .. C/ D'S, FOR MONEY BORROWED..... 32 5.0 0 CERTIFIED CHECKS. ··--······ -·-·················· 1,2 2 6 .0 9 SILVER .... 7, 5 0 0.0 0 3 9,2 3 5 .93 7 9 1 .6 0 9,9 8 8,7 0 CASHIER'S CHECKS 1 0.0 0 .... 39 4 .9 1 ··••·····•·•········· 2,4 1 5.0 0 ··-·--- OTHER RESOURCES .. ··············- ···- CASH ITEMS 1,2 5 0.0 0 .... OTHER REAL ESTATE--··--·-- .. 25,00 0.0 0 RESERVED FOR INTEREST.............. RESERVED FOR TAXES OTHER LIABILITIES ........................ ........ TOT AL ...........................·-··•········-··••·••······· ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 4.1 6 1.1 4 r, , J ➔~ TOTAL .......................................................... ..... " 8 4,1 6 1 .1 4 -;r https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of . . u0pl es Bl"1", ~er yville, Carro 1 Co., OFFICERS ii~~ fr ~ Vice Prni de111 a0 ' ~ J ~ 0. DIRECTORS • D IIOl,llllOtiia 'K 1.v.1. •~lllL -eo COPY .OF PUBLISHED STATEMENT of ~eopla s t) _, "I,. , Blyth e•r ilh, r. is..,i ss ippi Co. , p. ( :- • AT THE CLOSE OF BUSINESS NOV J O 1915 RESOURCES LIABILITIES LOANS AND DISCOUNTS..................... . 37, 878.6 6 CAPITAL STOCK-······-······································ LOANS ON REAL ESTATE ................. 17, 494.23 CERTIFIED SURPLUS ................................. 2 5,0 Q 0..0 .o 2,000.00 UNDIVIDED PROFITS.................. ............. LOANS ON COTTON-··-·······-···-·-··-·········· OVERDRAFTS_·-····-----·---········· 1,055 .7 7 BILLS PAYABLE ----············ 9,0 0 0.0 0 BONDS AND SECURITIES--···--····· 16 4.1 7 NOTES REDISCOUNTED ...·-················· .. 2,500.00 FURNITURE AND FIXTURES- .... 2,875.62 SAVINGS ACCOUNTS ................................. BANKING HOUSE 3 OTHER REAL ESTATE ITEMS IN TRANSIT T RUST FUNDS _ __ _ _ _ .. 2 5 0.0 0 -·-·-·· BILLS OF EXCHANGE_•_ _ _ INDIVIDUAL DEPOSITS- - -··· ! DUE FROM NON-RESERVE BANKS- - - - - - · - - - · · · · DIVIDENDS UNPAID _ _ __ PUBLIC FUNDS,_ _ _ _ __ 5,537.36 I ,8 16.2 7 DUE TO NON-RESERVE BANKS ... DUE TO RESERVE BANKS ........... ..... CASH ITEMS-·-·· - - - - - - · · ·· DUE FROM RESERVE BANKS ....... 18,888.81 C/ D'S, DEMAND .........·-············---1 CHECKS ON OTHER BANKS.·-···· 5 6 9.0 6 C/ D'S, Tl ME ...... •·········-······ · · · · · · - - - - ' CU RR ENCY·-·-···-·-·-···-----··· 3,995.00 C/ D'S, FOR MONEY BORROWED ..... 45.0 0 CERTIFIED CHECKS .................................... SILVER-··-·········-····-·------·······- 1,0 8 4.5 5 CASHIER'S CHECKS ............·-······················ OTHER RESOURCES _ _ __ 2,2 8 4 .7 7 RESERVED FOR INTEREST....-........ GOLD _ _ _ _ _ _ _ _ __ 43,893 .96 7 0 0.0 0 212 .7 7 RESERVED FOR TAXES- - - 1 1 - - - - - - - - - - - - L - - - -- - - - - - - - - ' l . . :O~T~H~E~R~L~l~A~B~l=.L~IT...:l.=E~S===··::::···.:::· ··:_\.·_ _ _ _ _ _ _ _ _ _ __ I TOTAL ............ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 9 2, 1 2 3 .0 0 ~; TOT AL ...........................••·•·······················-········ _ 9 2, 1 2 3 .o 0 ➔~ OFFICERS AND DIRECTORS • of Feo p e s Banl , Bly the•r1 1le , Missis.;;ippi Co . , P~ , • OFFICERS Clyde R ~rerid1111 Lee a 1ter. Vice Pruidenl J. Ca,hier F. ,) :ft • 1.lott. Au'I Ca1hier DIRECTORS Marshall Mott. Clyde R bineon. J. A. Mtt't F • • .Mott. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Union Ban: & Trust Co , Batesville, :i.ndepeudence Co , A,,. AT THE CLOSE OF BUSINESS --i-~ RESOURCES LOANS AND DISCOUNTS.............. ····-·· 2 0 0,3 5 9.83 LOANS ON REAL EST ATE .·-·········- 1 9,2 9 4.8.'.3 LOANS ON COTTON ·-·-···-·····-··---········ 1,2 6 7 .3 4 CAPITAL STOCK .............. ......................... , BONDS AND SECURITIES_·-·-······ 10,5 9 9.0 0 FUR NITURE AND FIXTURES--··· 5,7 1 9.0 7 UNDIVIDED PROFITS................................ BILLS PAYABLE SAVINGS ACCOUNTS ......... ••••••••••••••••••••••• P OTHER REAL ESTATE-··--·•-··-·- DIVIDENDS UNPAID .................. .............. OF EXCHANGE 12,5 0 0.0 0 7.2 7 6.8 0 NOTES RE DISCOUNTED....................... TRUST FUNDS BILLS 5 0,00 0.0 0 ········-·····-··.. -· BANKING HOUSE ITEMS IN TRANSIT_._ 9,2 1 4.2 1 . .. 2,9 5 7.81 INDIVIDUAL DEPOSITS 6,5 0 5.4 6 PUBLIC FUNDS 3 6,2 7 8.21 DUE TO NON-RESERVE BANKS.. 5 8,5 7 9,4 3 DUE FROM NON-RESERVE BANKS I •·• CERTIFIED SURPLUS .............................. 20 7.5 8 OVERDRAFTS __ ·-··--· LIABILITIES 1 1 ,19 6.1 8 I 48 4.5 0 CASH ITEMS·--·· I DUE FROM RESERVE BANKS_...... 5 2,3 5 5,2 0 CHECKS ON OTHER BAN KS_ ..... 3 6 8 .7 0 I CURRENCY .... DUE TO RESERVE BANKS............... C/ D ' S, DEMAND ...... ............. 2 3,3 4 2.3 4 C/ D'S, TIME .........._ 10,5 8 8.0 0 C/ D'S, FOR MONEY BORROWED ..... 1,1 3 1.0 0 CERTIFIED CHECKS ----·-···· 1,6 47 .9 5 CASHIER'S CHECKS .... ............................... OTHER RESOURCES ______ ....... 2 5.0 0 RESERVED FOR INTEREST.............. GOLD. SILVER-··-·---·--·····--· .......... 1 2 4 .1 0 RESERVED FOR TAXES ......................... OTHER LIABILITIES .................................. TOTAL ....................................... .......... ...... ...... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 1 '.3L£? 11,2 7 ';>' TOTAL .................................................................. 3 1 3,5 1 1.2 7 .:e. " OFFICERS AND DIRECTORS of Uni on Bank & Trus t Co., Batesvi l le, Inaependen ce Co ., p,-,. OFF I CERS D, D, ADAMS Preside111 E.H. GLENN & J.• C. FITZHUGH Vice Preside111 C. D.METCALF Cashier ALBERT SIMS Aaa'I Cashie,Secretary DI R ECTO RS D. D. ADAMS E. H. GLENlI J . C. FITZHUGH C.D. ME'.i'CALF ALBERT SIMS SAML M. CASEY C. C. FITZHUGH J . \7. \7ILLI AMS ON C. W. MAXFIELD M. C.WEAVER J . C. HAIL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Bank of C" ,_o t t Cato tt Lonoke Co . t A. ,,. AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I LOANS AND DISCOUNT$ ______________________ 5 9,3 2 1.3 2 LOANS ON REAL ESTATE ________________ 7, 6 9 6.0 0 LOANS ON COTTON ______________________________ CAPITAL STOCK _________________________________________ ..... 30,00 0.0 0 ...... 3,0 0 0.0 0 UNDIVIDED PROFITS_________________ .. ____ ,,,, ____ .. 1,3 3 1.9 0 CERTIFIED SURPLUS ········--···-···-···· 59 4.5 5 BONDS AND SECURITIES__________________ 1,0 9 6.7 8 NOTES RE DISCOUNTED FURNITURE AND F I XTURE$ _____ 2,00 0.0 0 SAVINGS ACCOUNTS BANKING HOUSE 3,5 0 0.0 0 TRUST FUN 0$__________________________________________________ OVERDRAFTS ..__ -·-- BILLS PAYABLE --- ··········- OTHER REAL ESTATE DIVIDENDS UNPAID ITEMS IN TRANSIT INDIVIDUAL DEPOSITS BILLS OF EXCHANGE PUBLIC FUNDS DUE FROM NON - RESERVE BANKS DUE TO NON - RESERVE BANK$ _____ CASH ITEMS.. ______ DUE TO RESERVE BANK$ ________________ DUE FROM RESERVE BANK$ .. ______ 4 6,9 7 1.85 CHECKS ON OTHER BAN KS ________ 8 4,6 0 5.2 0 C/ D'S, DEMAND ... -............... ______,, __ ,, ______ ,,___....____ C/ D'S, TIM~ -· C/ D'S, FOR MONEY BORROWED.. _.. ···-········· 1,2 6 0.0 0 CERTIFIED CHECKS._..____ ,,__...,,,_.,_., __ ....... ··-······-···-···-··· 9 5 9.0 4 GOLD...... ______ SILVER. ____,,_.. ,., .. __ ...... 6,2 8 4.0 0 CURRENCY OTHER RESOURCES 2.5 0 I CASHIER'S CHECKS ....... 9,5 6 2,3 4 1,006.6 0 RESERVED FOR INTEREST._____________ RESERVED FOR TAXES OTHER LIABILITIES TOTAL ·······································- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 2 9,6 8 6.0 4 .;,. TOTAL... _____________ ..... ....• 18 0.0 0 ,. 12 9,6 8 6.0 4 ,. OFFICERS AND DIRECT ~~' of Bank of Ca"'oL , Ca ,o t , Lonok e Co., Ar . OFFICERS Prelidenl O. H. D vis V ice Pre,idenl O. H. Be sley Caahier C. B. Beasley Aaa'I Caahisr DIRECTORS ,I. -w . See J. U. Hudson J . H. J3rc.:.wley Geo P . rurrell ..• oston https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis is O. H. Beasley COPY OF PUBLISHED STATEMENT of ~ank of c~ ~~ Hili, Cane Hi ll , Washingt on Co . , Ar AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 23,227.0 7 CAPITAL STOCW-,~ - - - - - LOANS ON REAL ESTATE ................. 3,830.00 CERTIFIED SURPLUS............ ................... LOANS ON COTTON _ _ _ ············ OVERDRAFTS _ _ _ _ _ _ _ , 15.06 UN DIVIDED PROFITS-............................... 2 0 4.8 8 BILLS PAYABLE- - - - ~ ··· 5,0 0 0.0 0 NOTES REDISCOUNTED .......................... BONDS AND SECURITIES--··--·-···· FURNITURE AND FIXTURES_·-··· 1,400.00 SAVINGS ACCOUNTS- - - ·······- BANKING HOUSE. · - · · · · · - - - - , 2,600.00 TRUST FUNDS-- - - - - - - · · ···· OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID- - - - · · · ITEMS IN TRANSIT_ _ _ _ _ _. INDIVIDUAL DEPOSITS....·-···········-· ... BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS•- - - - -- ··• DUE FROM NON - RESERVE BANKS DUE TO NON-RESERVE BANKS..... CASH ITEM$ _ _ _ _ _ _ _ , DUE TO RESERVE BANKS...·-·········· DUE FROM RESERVE BANKS ........ 7.5 0 0.0 0 6,380.98 CHECKS ON OTHER BANKS ..·-······ 18,3 9 3.7 0 C/ D'S, DEMAND-······--············ - - - 1 7.2 6 0.8 2 C/ D ' S, TI ME- - - -·····-··••····················· CURRENCY _ _ _ _ _ _ _ _ , 7 8 0.0 0 C/ D ' S, FOR MONEY BORROWED..... GOLD...·--·-·-··-····-·--·· - - - - - · · · ··· 17.50 CE RTI Fl ED CHECKS....·-··························•·· SILVER.·-········-·-········-----··-···-···· 1 0 8 ,7 9 CASHIER'S CHECKS- - - · ············ RESERVED FOR INTEREST.............. OTHER RESOURCES- - - - - ···· RESER.JED FOR TAXES- -- 1 OTHER LIABILITIES.. TOTAL... ............._ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 8. 3 5 9 .4 0 -r.• TOTAL .................. 3 9, 3 5 9 .4 0 -;~ State Comptroller'• Form 5-2000-8-17 Little Rock, Ar .~ ... 191......... 1,, ············•·················································································•···········'1:. ·················· ···-'··········• The following is a statement of the appropriati of the above addressed Department, Board or I g to the credit wn by the books of this office at close of business......................................................... ........... , 19............ State Auditor TITLE OF ACCOUNT AMOUNT ..A 71.~ '9~ ., . " L~~a. ~~ ~~~:i~ 'L_j(_.A._.-"~~ ~-~ ~ ~~ \ q \) https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bank of Cd~s Hill, Cane Hil l , Washingtoil Co., Ar OFFICERS ~~. it~- ~ icaPruidelu ~ Aaa't Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Bank of Carl:sle, Carlisle, Lonoke Co ., A'd AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS ........................ 20,572 .60 LOANS ON REAL ESTATE ................. 5,566.56 7 .8 1 BILLS PAYABLE- - - - - · · · · · FURNITURE AND FIXTURES·-·-···· 2,000.00 SAVINGS ACCOUNTS- - - - - · ··- BANKING HOUSE _ _ _ _ _ _ , 6,000.00 TRUST FUNDS- - - - - - - 1 OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID- - - - - 1 ITEMS IN TRANSIT- - - - · - · INDIVIDUAL DEPOSIT$ _ _ _ 1 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS·- - - - - - · ·- DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS _ _ _ _ _ _ _ , DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS ...... _ 13,369.03 CHECKS ON OTHER BANKS--····· 11 7 .7 0 3 4,9 9 3 .7 2 C/ D'S, DEMAND- - - - - · · · ····· C/ D ' S, TIME _ _ _ _ _ _ _ _ , 3, 297.00 C/ D ' S, FOR MONEY BORROWED ..... 1 GOLD _ _ _ _ _ _ _ _ __ 4 3.06 NOTES REDISCOUNTED .......................... BONDS AND SECURITIES--··--······· CURRENCY _ _ _ _ _ _ _ _ 12,500.00 CERTIFIED SURPLUS- - - - UNDIVIDED PROFITS-··············-········· .... LOANS ON COTTON ...·-······················-········ OVERDRAFTS...·-····-·· · · - · - - - -········ CAPITAL STOCK- - - - - · · · 2,809.00 CERTIFIED CHECKS.--······················•········ SILVER _ _ _ _ _ _ _ _ _ , 112.0 4 CASHIER'S CHECKS---··•·•········ OTHER RESOURCES _ _ _ _ _ , 2 7 9.0 4 RESERVED FOR INTEREST-............ RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL ... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 0 B 3 .'.3 7 A ➔l- TOT AL ...................... -...... 5 0, 8 3 3 .'7 8 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of B·n k of CarJ~sle, Ca,li a le, Lonoke Co., OFFICERS e ·t e D , JN0 . AU'tCcuhur ... .. ' ,··. . .. /\?(: :' . . .:· ·:•,tj /i": . .: . . . .,. . ',:: . ......... -:\ . _'v.· :' ' .\ , . -~: ~ ,\' \'-'' . • •' . \" • ·. ' ' . I ._ , , tn-il~~ ~,\~ s_·• . • .. . , K • l) 1\,...1,1lO~ l.'U µ111' Cl COPY OF PUBLISHED STATEMENT of :Jank of c.,1·t:1 age, Carthage, Dallas Co . , A-- AT THE CLOSE OF BUSINESS . RESOURCES LIABILITIES LOANS AND DISCOUNTS..................... _. 15,3 6 0.04 CAPITAL STOCK- - -············ .......... LOANS ON REAL ESTATE ................. 13,301.0 6 CERTIFIED SURPLUS-- - - - · • • 2, 0 0 0 .0 0 LOANS ON COTTON - - - - · · · · · · · UNDIVIDED PROFITS.......................... .. .. 1, 2 4 6 .0 7 OVERDRAFTS __· - - - - - · - - ··-··· BILLS PAYABLE _ _ _ _ _ ...... BONDS AND SECURITIES- · - · · 2 6 6.2 5 FURNITURE AND FIXTURES--··- 1,500.0 0 SAVINGS ACCOUNTS _ _ _, _ _ BANKING HOusc~ -----1 2, 500.0 0 TRUST FUNDS _ _ _ ............................ 15 0 .0 0 DIVIDENDS UNPAID......... _ _ _ ... OTHER REAL ESTATE _ _ _, NOTES REDISCOUNTED .......................... ITEMS IN TRANSIT _ _ _ ·--··-··· INDIVIDUAL DEPOSITS.......................... .. BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ _ _ __ DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS..... CASH ITEMS _ _ _ _ _ __ DUE TO RESERVE BANKS.-........ ..... DUE FROM RESERVE BANKS ....... 21, 85 0 .12 2,133.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD _ _ _ _ _ _ _ _ _ ····· 4 6 2 .5 0 CERTIFIED CHECKS- - - - - 1 SILVER .....·-·-·········- - - - - · - - --··-···· 2 8 3.4 6 CASHIER' S CHECKS .................................... CURRENCY _ _ _ _ _ _ _ _ , 2, 5 0 0 .0 0 C/ D'S, DEMAND _ _ _ _ _ ......... C/ O' S, Tl M E ..,.......................... - - - - 1 CHECKS ON OTHER BANKS .._ ..... . 3 1,9 9 8 .7 9 9,77 2 .86 8 8 8 .7 1 RESERVED FOR INTEREST.............. OTHER RESOURCES-·-·----··-·-·-······· RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 7~8 0 6 .4 3 ~( TOTAL ............................................................... .. • 5 7, 8 0 6 ,4 3 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ba:nk of Car+ i1age, Car thag e, Dallas Co., OFFICERS Au'I Caahi4r DIRECTORS COPY OF PUBLISHED STATEMENT of J ank of Ct1Ye Ci t1 , Ci> ve City, ::ihar p Co. , Ar . NO I I AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS..........•............ 11)9 9 6.0 7 CAPITAL STOCK ..................................•............ 5,000.00 LOANS ON REAL ESTATE ................. 1,.3 5 0.0 0 CERTIFIED SURPLUS ................................ . 1,396.56 UNDIVIDED PROFITS,_ _ _ _ ! 6 7 .9 9 LOANS ON COTTON .........................•........... OVERDRAFTS _ _ _ _ _ __ 3 0 ,3 1 BILLS PAYABLE _ _ _ _ __ BONDS AND SECURITIES- ..•.•.•.... 3 1.5 0 NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES •••.... 8 0 0.0 0 SAVINGS ACCOUNTS ............ _ _ _ , BANKING HOUSE _ _ _ _ _ _ l 9 5 0.0 0 TRUST FUNDS·- - - -·················· 1 OTHER REAL ESTATE·--···-···-·· DIVIDENDS UNPAID........· - - - · · · ITEMS IN TRANSIT- - - - - - - ·•• INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - --- - -·- DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS..... CASH ITEMS- - - - - - · - - · · · · DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ 3,146.29 C/ D'S, DEMAND---·················•··•···· CHECKS ON OTHER BANKS.·-······ 4 2 4 .3 7 C/ D'S, TIME ...- - - - - - · · ····· 2 , 021.00 C/ D'S, FOR MONEY BORROWED..... GOLD- - - · · · - - - - - - · · · · 115.0 0 CERTIFIED CHECKS ................•................ SILVER...•........_ _ _ _ _ _ __ 3 4 4 .3 2 CASHIER'S CHECKS- - - ········· CURRENCY _ _ _ _ _ _ _ _ l 1,0 0 0.0 0 12,075.98 3 9 9.2 7 1)2 6 9 0 6 RESERVED FOR INTEREST...•......... 0TH ER RESOURCES-···-·······--······ RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL .......... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 1 2 0 8 .8 6 ~; TOTAL .................. 2 1, 2 0 8 .8 6 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of 3ank of Ca''"' City, C21e Ci y, Sharp Co , A ir OFFICERS Presidenl ,i[1,t,LJ~v q: e r:u t-.-.~c;::1y~ Vice Presid,111 Ca1hie, l I ( Au'I Cashi,r DIRECTORS I COPY OF PUBLISHED STATEMENT of ·ank of C,Y"' Spring3, C?v e Springs, Ben ton Co ., f; > , INOV l O1915 AT THE CLOSE OF BUSINESS RESOURCES L I ABILITIES LOANS ANO DISCOUNTS....................... . 11, 7 0 0 ,3 6 CAPITAL STOCK ................................................ LOANS ON REAL ESTATE ................. 7.881,.00 CERTIFIED SURPLUS ............................... LOANS ON COTTON _ _ _ ·············· UNDIVIDED PROFIT$,_ _ _ _ ,... OVERDRA F TS ........·-···-····..·············-.. -·-········ BILLS PAYABLE .....· - - - - - · ··· BONDS AND SEC U RITIE$ ..__ ···· ..······· 1 9 7 .7 0 FURNITURE ANO F I XT U R E S- .... 1,500.00 SAVINGS ACCOUNTS _ _ __ BANKING HOUSE _ _ _ _ _ _ , 3,500.00 TRUST FUNDS.........- · · · · · · · - - - OTHER REAL ESTA TE _ _ _-! 3 6 5.0 0 DIVIDENDS UNPAID- - - - · ···· INDIVIDUAL DEPOSITS _ _ _ , BILLS O F EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ __ DUE FROM NON - RESERVE BANKS DUE TO NON - RESERVE BANKS.... C A SH I TE M $ _ _ _ _ _ _ _ , DUE TO RESERVE BANKS ............... . 9,451.8 1 CURRENCY _ _ _ _ _ _ __ 2,400.00 24,311.93 _ _ .... C/ D'S, DEMAND...... ----·····•········· C/ D ' S, TIME .............................................................. CHECKS ON OTHER BAN KS ............ 3 5 2. 6 4 NOTES REDISCOUNTED ......................... . ITEMS IN TRANSIT _ _ _ _ _ , DUE FROM RESERVE BANKS ...... .. 7,500.00 4, 515.00 C/ D ' S, FOR MONEY BORROWED..... GOLD_ _ _ _ _ _ _ _ __ 4 .'.3 0.0 0 CERTIFIED CHECK$ _ _ __ SILVER _ _ _.. _ _ _ _ __ 4 0 0.5 0 CASHIER'S CHECKS- - - · · ········· 149.8 0 RESERVED FOR INTEREST.............. OTHER RESOURCES ........ _ _ _ _ , RESERVED FOR TAXES·- - - 1 OTHER LIABILITIES TOTAL ........................................................... .... .. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .'.3 5. 8 2 9 .'.3 7 -le- TOTAL .................................... 3 5 8 2 9 .3 7 ➔~ OFFICERS AND DIRECTORS of ,an k of Ca""' Springs, CrJe Springs, Benion Co., A , OFFICERS .J. G. f cAndrew, Pruide,11 J. \~. Huret, Vice Prui de111 J. w. Hurd, Cashier , • N. Hurd, AH' I Cashier DIRECTORS J • G. McA.ndrcw • J. \, • Hurd, N. E. Hurd, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Jank of C p+~rt oL, Centerton , Benton Co., f,,· ·,. NOV l O19l 5 AT THE CLOSE OF BUSINESS RESOURCES LIABILIT I ES 12,500.0 0 LOANS ANO DISCOUNTS........................ 2 4,0 6 2.3 5 CAPITAL STOCK- LOANS ON REAL ESTATE ................. 17. 7 9 0.4 8 CE RTI Fl ED SURPLUS .......·-··········-········· 3 2 5.0 0 UNDIVIDED PROFITS ................................ 6 0 2.3 6 LOANS ON COTTON .•········-··············-········ --························ 18.86 BILLS PAYABL"" - - - - · · · ·······•······· BONDS ANO SEC U RI T IES--·····-···••·· 4 8 0.5 2 NOTES REDISCOUNTED ....................... .. FURNITURE AND FIXTURES- .... 1,700.00 SAVINGS ACCOUNTS- - - · · · · ······•· BANKING HOUS"" - -----1 2,100.00 TRUST FUNDS, _ _ _ _ _ _ _ I OVERDRAFTS _ _ _ _ _ _ _ 1 OTHER REAL ESTATE _ _ __, DIVIDENDS UNPAIO _ _ _ _ _ I ITEMS I N TRANSIT _ _ _ _ _ 1 INDIVIDUAL DEPOSITS _ __ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS .....·-··- · · - - - - DUE FROM NON - RESER V E BANKS DUE TO NON-RESERVE BANKS .... CASH ITEMS,_ _ _ _ _ _ _ , DUE TO RESERVE BANKS ............•.. DUE FROM RESERVE BANKS-··-·· 13,651.57 CHECKS ON OTHER BANKS__...... C/ D'S, TIME- - - - - -·············· 2,292.00 GOLD_ _ _ _ _ _ _ _ _ _ , 5 '.3 0.0 0 CERTIFIED CHECKS- - - -1 SILVER _ _ _ _ _ _ _ _ _ 8 4 7 .7 5 CASHIER'S CHECKS---············· 19.0 0 RESERVED FOR INTEREST.............. OTHER RESOURCES- - --···· 1.7 9 C/ D'S, DEMAND _ _ _ _ __ CURRENCY _ _ _ _ _ _ _ _ , 1 29,463 .8 7 2 0,5 9 9.51 C/ D ' S, FOR MONEY BORROWED..._ RESERVED FOR TAXES _ _ _ , OTHER LI.ABILITIES TOTAL ...... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis fi 3 4 9 2 S '3 ~r TOTAL .................................................................. 6 3, 4 9 2 .5 3 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Dank of c~rtvrt on , Centerton, Bdnt on Co ., A..,.'i OFFICERS DIRECTORS COPY OF PUBLISHED STATEMENT of ank of c: 0 ,:e st on, Ch arles t on, h:•anklin Co., k- NOV 1 0 191 5 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 71,270.20 CAPITAL STOCK- - - - - · · · · · · 25,000.00 LOANS ON REAL ESTATE ................. 5,747 .3 2 CERTIFIED SURPLUS ............................... 10,000.00 LOANS ON COTTON .................·-····-·········•·• UN DIVIDED PROFITS.·-······················•···· 1.81 BILLS PAYABLE- - - - - · · · · · · BONDS AND SECURITIES--·····--•··· 6 3 9.5 4 NOTES REDISCOUNTED···••·-·················· FURNITURE AND FIXTURES.·--··· ?,5 0 0.0 0 SAVINGS ACCOUNTS _ _ _ ··••·····- OVERDRAFTS _ _ _ _ _ _ _ _ _ 5,019.2 7 TRUST FUNDS, _ _ __ _ _ .. BANKING HOUSE· - · - - - - · · - - - 7. 5 0 0.0 0 OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID- - - - · · · · ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS............................ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS .....· - - - - - · ·- DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS..... I --·•· 9 5.0 9 DUE TO RESERVE BANKS.•-············ DUE FROM RESERVE BANKS- ..... 23,655.98 C/ D'S, DEMAND----··········•···· CASH ITEMS II 3,762.00 C/ D'S, FOR MONEY BORROWED ..... 315.0 0 CERTIFIED CHECKS- - - - · ·· SILVER _ _ _ _ _ _ _ _ _ , 1,3 7 2.5 3 CASHIER'S CHECKS .......·-··•·••················•·•·· OTHER RESOURCES .. ______ , 9 4.2 5 RESERVED FOR INTEREST..·-········· ···---·-·-- GOLD _ _ _ _ _ _ _ _ __ RESERVED FOR TAXES'- - - 1 OTHER LIABILITIES TOTAi https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 23,193.03 C/ D'S, TIME .............................................................. CHECKS ON OTHER BANKS·-·-····· CURRENCY 52,816.37 TOTAL .................................................................. 9 2 5.0 5 OFFICERS AND DIRECTORS of .ua.nk of c·1? rleston, Charl est on, B'rankl in Co., AV> O F FICERS ~ tf{~ ~ J;2" ;.; v ~-e'./'~ ~~r2? Cashier SJ,¾.,c~ D ,--.,..~UlL/} uU ,. JN :r-~~ 5).-, ---:L r ~ DIRECTORS J;)o-z> I, Ct I ·@ &a~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ Sa.nkJn ~~~ · · AVIS •A.NK C:O.IUlfSSJOJiQ COPY OF PUBLISHED STATEMENT of 1ank of L. y Vallsy Che~ry Valley , cross Co .. P~ A"'· •. AT THE CLOSE OF BUSINESS blOV 1 O 1915 RESOURCES L IABILITIES LOANS AND DISCOUNTS...................... 17,662 .68 CAPITAL STOCK.....·- - - - - · · • · 5, 0 0 0.0 0 LOANS ON REAL ESTATE ................. 7,225.0 0 CERTIFIED SURPLUS............................... 4,650.00 LOANS ON COTTON ._ _ __ OVERDRAFTS....• _ _ _ _ __ UNDIVIDED PROFIT$,_ 133 .7 8 BILLS PAYABLE- _ _ ... 8 9.5 9 ---···· NOTES REDISCOUNTED _ BONDS AND SECUR I TIES--··········· I - _ _ ___, FURNITURE AND F I XTURES- .... 1,5 0 0.0 0 SAVINGS ACCOUNTS.....· - - -·· BANKING Housc"--- - - - - 1 1,200.00 TRUST FUNDS- - - - - - · · ·· OTHER REAL ESTA TE- - - - 1 DIVIDENDS UNPAI D- - - - · · ·• ITEMS IN TRANSIT- - - · · - - · · INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUND$ _ __ 2 7,09 7 .93 _ _ _ ··· DUE FROM NON - RESERVE DUE TO NON - RESERVE BANKS ..... BANKS CASH I TE M S _ _ _ _ _ _ _ , DUE FROM RESERVE BANK$_. DUE TO RESERVE BANKS................ 5,668.44 C/ D ' S, DEMAND....•.·-·········•·•·-···················· C/ D ' S, TIME _ _ _ _ _ __ CHECKS ON OTH ER BANK$_ ..... . CURRENCY _ _ _ _ _ _ _ _ , 2,487.00 C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECKS .......•......................... GOLD.·--······- ······ - · - - - - - -1 SILVER _ _ _ _ _ _ _ ___, 9 6 0 .6 2 CASHIER'S CHECKS............................... .... RESERVED FOR INTEREST.............. OTHER RESOURCES •....• _ _ _ _ , RESERVED FOR TAXES- -- 1 OTHER LIABILITIES.................................. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 6, 8 3 7 .5 2 ~i- TOTAL .................. ............................................... . '.3 '5, 8 3 7 .5 2 ~: OFFICERS AND DIRECTORS of Bank of CI1°r ry Valley , Cherry Val ey , Cr oso Co . , AYi". OFFICERS J . H. Sif" rd PreaidetU w. u . t;mith Vic• Preaidenl 'R. 1: . Ha lk , J r . Cashier J .K l l y 'ad~ ox A,a't Caahi,r DIRECTORS J . R.S i f'for ••. f. ST'!ith R. Ti! . Ha l k,Jr. Erne11t F ount a n https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Bank o f c;.~ dc s te1, Chi e ster , Ouac, Lta Co., A~ NOV 1 0 191 5 AT THE CLOSE OF BUSINESS I RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 24,772.82 CAPITAL STOCK ...........· - - - · ··········· LOANS ON REAL ESTATE ........... ...... 5, 2 :L 4.5 5 CERTIFIED SURPLUS............................. . LOANS ON COTTON _ _ __ 3 9 1.4 6 BILLS PAYABLE- - - - -····•· BONDS ANO SECURITIES _____······ 2 0.4 0 NOTES REDISCOUNTED .......................... F URNITURE AND FIXTURES.......... 1,000.00 SAVINGS ACCOUNTS .............................. ... BANKING HOUSE _ _ _ _ _ _ , 8 0 0.0 0 TRUST FUNDS-- - - - - -··• OTHER REAL ESTATE _ _ _..., 1 2 0.0 0 DIVIDENDS UNPAID. - - -········· ITEMS IN TRANSIT _ _ _ _ _ , 2 5.8 5 INDIVIDUAL DEPOSITS- - -···· BILLS OF EXCHANGE _ _ _ _ , DUE FROM NON-RESERVE PUBLIC FUND$, _ _ _ _ __ 3,400.41 DUE TO NON-RESERVE BANKS .... _ __ _ _ _ , 101.5 8 DUE TO RESERVE BANKS- ............. DUE FROM RESERVE B A NKS... __ 6,867 .72 C/ D'S, OEMAND- - -·············-········· BANKS CASH ITEMS_ C/ D ' S, TIME _ _ _ _ _ __ CHECKS ON OTHER BANKS---···· CURRENCY _ _ _ _ _ _ _ _ , 1,120.00 C/ D' S, FOR MONEY BORROWED ..... GOLD_ _ __ _ _ __ __ SILVER- - --- -- - - - - - 1 OTHER RESOURCES _ _ __ CERTIFIED CHECKS- - -······· 6 6.2 2 CASHIER' S CHECKS- - - · · · · ······•·· 5 3 7 .8 6 RESERVED FOR INTEREST.............. RESERVED FOR TAXES ......................... OTHER LIABILITIES TOTAL. ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis o,o O 0.0 0 UNDIVIDED PROFITS, _ __ OVERDRAFTS- - - - · · - - -··-········ II 1 4 4. 4 3 8 .8 7 ~l- TOTAL ................................................................. 29,400.22 3 6 0.9 6 4,677.6 9 OFFICERS AND DIRECTORS of Ba:1k of c:.; :::;,,ter, Chidvster, Ouacnita Co., Ar]: . OFFICERS .Purifoy, Prellidenl .T .i\. if "i e. Vice Prellidenl ''. i1 rone , Aaa'l Caahier DIRECTORS n . ,.r .J>owe]). P • ';. "'.r..TJuF;l i l > • r . P . Bifft"" , 0 8UCC f https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis i .,, , Po~,.,,.,_..___ _ _ _ _ _ __ COPY OF PUBLISHED STATEMENT of J ank of C ~r 0ndon, c1 ~~endon, ~o nroe Co., INOV J O1915 AT . THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS....-.................. 81,827.80 CAPITAL STOCK_ __ LOANS ON REAL ESTATE.·--····· ····- 5 3,804.88 CERTIFIED SURPLUS ................................. LOANS ON COTTON _ _ _ _ _ I 2 0 0.0 0 UNDIVIDED PROFITS_ _ __ OVERDRAFTS _ 6 18.6 9 BILLS PAYABLE---······················•· BONDS AND SECURITIES. - --······· 3,5 9 4.2 5 NOTES REDISCOUNTEO _ __ , FURNITURE AND FIXTURES-·-··· 1,5 0 0.0 0 SA VIN GS ACCOUNTS.·-··-··························· _ __ _ _ _ _ ! 9,855.93 TRUST FUNDS, _ _ _ _ __ BANKING HOUSE _ _ _ __ _ , OTHER REAL ESTATE _ _ _-i 50,000.00 4 5 0.0 0 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _---! 40,059.21 ILLS OF EXCHANGE _ _ _ _ , PUBLIC FUND$ _ _ _ _ _ _ , 54,266.36 UE FROM NON-RESERVE BANKS _ _ _ _ _ _ __ DUE TO NON-RESERVE BANKS.... 1,693.23 UE FROM RESERVE BANKS-...... 24,273.13 HECKS ON OTHER BANKS ..- ..... . 3 6 1.6 5 DUE TO RESERVE BANKS........... .... . C/ D'S, DEMAN O.. •·····-··· · · · · · - - - - C/ D'S, TIME ........................ _ __ 3,161.00 C/ D'S, FOR MONEY BORROWED..... 5.0 0 CERTIFIED CHECKS .............................. . 1,0 1 7.4 2 CASHIER'S CHECKS- -- HER RESOURCES _ _ _ __ , https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 18, 3 2 5.5 5 RESERVED FOR INTEREST.............. RESERVED FOR TAXES, _ _ _ 1 OTHER LIABILITIES 1 72 5 o 7 .o 5 ➔r TOTAL .................. 1 7 2, 5 O 7 .0 5 ~~ OFFICERS AND DIRECTORS of i} ·,k of C,l ..,..undon, ClPrendon, ~onroe Co., OFFICERS Preaide,u s. V i ce Preside111 J . E.:Pinkle Cashier G. W. Sherrill Jr. A,a'I Cashier DIRECTORS J . P . Lee. Jefferjcs . R. L. B nton. • • cuunts . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis F . rotter • COPY OF PUBLISHED STATEMENT of 'ank of c~ . hsvi le , Cla..,.ksvills, ot . son Co ., A..,. AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS...................... LOANS ON REAL ESTATE ................. 1 Q LIABILITIES I 2, 7 9 9 .8 5 CAPITAL STOCK- - - - - · ····· 1,405.00 CERTIFIED SURPLUS ............................... LOANS ON COT TON ........••................•........ UNDIVIDED PROFITS................................ OVERDRAFTS _ _ _ _ _ ····-·-·-······· 2,526.20 BILLS PAYABLE- BONDS AND SECURITIES.•.--·-···· 7, 686.5 5 NOTES REDISCOUNTED ....•.................... FURNITURE AND F I XTURES--···· 3,000.00 SAVINGS ACCOUNTS ...........•................. ··- BANKING HOUSE _ _ _ _ _-! 8,000.00 TRUST FUNDS........·-········- - - · · · · · OTHER REAL ESTATE _ _ _-l 89,200.00 DIVIDENDS UNPAID- - - - ···· INDIVIDUAL DEPOSITS _ ____, BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUND$ _ _ _ _ __ DUE FROM NON-RESERVE BANKS- - - - - - - - 1 DUE TO NON-RESERVE BANKS..... CASH ITEMS _ _ _ _ _ _ _ , 8 5 0.7 2 CHECKS ON OTHER BANKS..- ..... 6 0.5 1 C/ D'S, TIME- - - • · • · · · - - - - 1,116.0 0 C/ D'S, FOR MONEY BORROWED..... 2 4 5.0 0 CERTIFIED CHECKS.................................... 5 4 3.84 CASHIER'S CHECKS ..................................... 1 SILVER _ _ _ _ _ _ _ _ _ , RESERVED FOR TAXES _ 3,859.97 __, OTHER LIABILITIES https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 70,9 7 9,3 0 RESERVED FOR INTEREST.............. OTHER RESOURCES ....•.. - - - · · · · TOTAL........... .................................................... 14,300 .11 C/ D'S, DEMAND_ _ _ _ __ 38,776.4 7 GOLD _ _ _ _ _ _ _ _ _ _ 115,547 .61 DUE TO RESERVE BANKS.•.•..... ..... DUE FROM RESERVE BANKS-···- CURRENCY _ _ _ _ _ _ _ _ , 1,309 .90 ---················ ITEMS IN TRANSIT _ _ _ _ _ , I 50,000.00 ? ~ h 2 1 0 1 ,1 i~ TOTAL.............................................................. 213'..?Fi 2 5 5, 2 j Q 1 ,1. '1~ OFFICERS AND DIRECTORS of Ban k of c1~~~sville, Clarksv il le, Johnson Co .. P·, O FF IC E RS vf /~~ Prui denl ~£~ /U,A, ~ Ca,hier Aaa'I Ca shier JNO • M.DAVIS, 1u, c;ollJl!H lO DIRECTORS j f /q({l~ ' F£~- - d .~H. ~ t r ~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of '3ank of Lu,. :..y, Co rNay, FaulKne~ Co . , Ar . INov 1 o1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 1 3 4, 7 0 8,3 4 CAPITAL STOCK................................................ 5 0, 0 0 0.0 0 LOANS ON REAL ESTATE............... 4 6, 3 5 3 ,6 2 CERTIFIED SURPLUS ................................. 10,000.00 LOANS ON COTTON ...................................... 3,803 .66 UNDIVIDED PROFIT$_ _ _ _ , 1 8, 425 .92 OVERDRAFTS.........- ......................................... 1,322.83 BILLS PAYABLE _ _ _ ........................ 40,000.00 BONDS ANO SECURITIES................. .. 19,212.28 NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES- ...... 3,600.00 SAVINGS ACCOUNTS _ _ _ ........ BANKING HOUS"" ~ 7,500.00 TRUST FUNDS ............ _ _ _ __ -----1 OTHER REAL ESTATE- - - - 1 DIVIDENDS UNPAID...... _ _ __ ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS............................ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS ..................... _ __ DUE FROM NON·RESERVE BANKS DUE TO NON - RESERVE BANKS..... 9 0 9.61 DUE TO RESERVE BANKS.............. .. DUE FROM RESERVE BANKS ....... 28,385 .70 C/ D'S, DEMAND................................................ CHECKS ON OTHER BANKS ......... .. 2,013 .65 C/ D'S, TIME _ _ _ _ _ __ CURRENCY _ _ _ _ _ _ _ _ ! 4,562.00 C/ D'S, FOR MONEY BORROWED..... GOLD _ _ _ _ _ _ _ _ _ _ I 1,165.00 CERTIFIED CHECK$ _ _ _ .......... ! CASH ITEMS _ _ _ _ _ _ _ , SILVER _ _ _ _ _ _ _ _ _ .... 679 ,31 CASHIER'S CHECKS- - - -1 OTHER RESOURCES _ _ _ _ ..... 112.2 5 RESERVED FOR INTEREST.............. 11,682.86 84,815 .68 9,140.25 2,800.00 2 7.2 8 4.5 4 1 7 9.0 0 RESERVED FOR TAXES _ __ OTHER LIABILITIES TOTAL ............................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 254,328 .25 ~~ TOTAL........................................................... 254,328.25 ,J,~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Ean k of C OY\\' a.Y, Cor~ay, Faulkner Co , Arlr OFFICERS JNO. M . DAVIS liANJ( COIIOl:!li510NU COPY OF PUBLISHED STATEMENT of clank of C0~n~ ng, Corring, Clay Co., AT THE CLOSE OF BUSINESS NOV 1 0 1915 RESOURCES LIABILITIES LOANS AND DISCOUNTS...................... 1 12,8 5 2.5 8 LOANS ON REAL ESTATE ...... ......... 24,040 .3 0 LOANS ON COTTON _ _ _ _ ······ 6 5 7 .3 6 OVERDRAFTS-··-- - - - - - BONDS AND SECURITIES---·-······· FURNITURE AND FIXTURES- ... 1,419 .16 2 7 0.0 0 I CERTIFIED SURPLUS ............................... 10,000.00 UNDIVIDED PROFITS................................. 1,339.4 8 BILLS PAYABLE- - - - - · · ···• 3 8: 0 0 0 .0 0 SAVINGS ACCOUNTS ...·-················•···•·····- TRUST FUNDS- - --- - - • · ···· 9 16 .9 9 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , BILLS OF EXCHANGE _ _ _ _ , 15, 000 .00 NOTES REDISCOUNTED _ _ _ , BANKING HOusi:_ _ _ _ _ _, OTHER REAL ESTATE _ _ _-! CAPITAL STOCI<',~ - - - - · · · · · · 2,729.33 INDIVIDUAL DEPOSITS _ __ 5 7.9 1 8 .7 4 · PUBLIC FUNDS...._ _ _ _ __ 4 0, 8 6 0 .9 7 DUE FROM NON-RESERVE DUE TO NON-RESERVE BANKS .... BANKS CASH ITEMS_. _ _ _ _ _ _ 1 DUE FROM RESERVE BANKS-···- · CHECKS ON OTHER BANKS_ 4 8 6.5 5 DUE TO RESERVE BANKS·--······· ·· 35,600.6 9 C/ D'S, DEMAND- - - · · · · ······················· 5 8 6 .9 9 .... C/ D'S, TIME ..·-····-····-·----- CURRENCY _ _ _ _ _ _ __ 2,7 7 1.00 C/ D ' S, FOR MONEY BORROWED ...- GOLD. _ _ _ _ _ _ _ __ 1,012.50 CERTIFIED CHECKS·-····-·----1 1,390 .70 CASHIER'S CHECKS ...- - - · · · · · · · SILVER _ _ _ _ _ _ _ _ _ 1 2,01 7 .50 1 6,677.6 5 3,919 .8 1 RESERVED FOR INTEREST-............ OTHER RESOURCES-····-·-- - - , RESERVED FOR TAXES- - - - 1 OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 8 5, 7 3 4 .1 5 ~~ TOTAL............................................... ........... 1 A 5. 7 ~ 4 .1 .') ~f OFFICERS AND DIRECTORS of Eank of Cu~ lng, Cori Lng, Clay Co., Ar' OFFICERS W. D. Polk -:, · Proaidenl .' • B. tmra.o-uc , Dr • .t • J . timer , Vice Preaidenl • v:. . lionry Cashier E. an over Aaa'I Cashier DIRECTORS Dr • .t . J . Lat1mer L.Boeheara T. wv . Johnson Dr . J . . • Oliver .. • D. Po1 k Cl yd e 1 ,-s nt er https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis J . . hea nrao-n e •• , , Henry • . Belc te COPY OF PUBLISHED STATEMENT of dank of rt0n Plant~ T~ust Co . , Cott.n·P lant, JooJruff Co., fav, 1, AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I LOANS AND DISCOUNTS........................ 51,011.0 9 CAPITAL STOCK ......................•.................... LOANS ON REAL ESTATE ................. 27, 810 .31 CERTIFIED SURPLUS ............................... . LOANS ON COTTON ...•.....•.........•••........... 92,262.6 7 UNDIVIDED PROFITS- - - -··· OVERDRAFTS'----·-·····-········ 6 0.0 4 BONDS AND SECURITIES-···-···· 6,721 .34 NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES_ ... 2,000.00 SAVINGS ACCOUNTS---·········•- BANKING HOusc~ -----1 '.3,6 4 8 .7 5 TRUST FUNDS, _ _ _ _ _ _ ····· OTHER REAL ESTATE _ _ __, 8 0 0.0 0 BILLS PAYABLE- - - - - -1 INDIVIDUAL DEPOSITS .....•..................._ 8 2 7.0 2 50,000.00 80,634.84 PUBLIC FUNDS _ _ _ _ _ _ , DUE FROM NON - RESERVE BANKS DUE TO NON-RESERVE BANKS..... 5 0 2 .7 6 DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS ..•. _ 33,600.12 C/ D'S, DEMAND ................................................... CHECKS ON OTHER BANKS·--····· 4 8 0.5 6 C/ D ' S, TIME- - - - - - ·········· CURRENCY _ _ _ _ _ _ _ _ , 1,726.00 C/ D'S, FOR MONEY BORROWED..... GOLD..·-·--·· · · · - · · · · - - - - - - - 1 1.'.3 5.0 0 CERTIFIED CHECKS.....•........................... SILVER .•.•...•..•···· - - - - - - - · · 1,096.41 CASHIER' S CHECKS---·········· CASH ITEMS'- - - - - - -1 5,460.41 DIVIDENDS UNPAID ...... _ _ __ ITEMS IN TRANSIT· - - - - - · ! BILLS OF EXCHANGE _ _ _ _ , 50,000 .0 0 34,514.62 RESERVED FOR INTEREST............. . OTHER RESOURCES ...... _ _ __ RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL ................• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 2 2, 6 8 2.0 7 ~~- TOT AL.. ··········•·· -···•······ 2 2 2, 6 6 2.0 7 ~i- OFFICERS AND DIRECTORS of Eank of C0~+0n Pl ant & Trust Co . , Cottr 1 Plant, WooJruff Co . , OFFICERS R. R. J runes Prtsidenl Roy D. Campbell V i ce Preside 11, A. U. Carter Cashier ilone Au't Cashier DIRECTORS R. R.J ames , D. D.Echols , Roy D. Campbell J . R. foehan J . J.~.foGowan Alec C• •foGregor Cotton Plant, Ark. _c..a1..t..on- Plant, Ark. Cotton Plant, Ark. Cotton Plant ll.rk. Cotton Plant, Ark . Cotton Plant ' Ark. Walter Rives, Cotton Plant , Ark. S. C. Beard , Howell, .Ark. ~fr • .ilX. A. L. Aydelotte, ciecease~ was one,however he died last r,onth, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis leaving us with only eight. COPY OF PUBLISHED STATEMENT of 3ank of Cv 0 , C'ove, Polk Co., AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS........·-··········-· 14,457 .39 CAPITAL STOCK- - - · · · ·····-·············· 5,0 0 0.00 LOANS ON REAL ESTATE.•-············ 1,9 .'.5 6 .4 0 CERTIFIED SURPLUS............................... . 6 0 0 .0 0 UNDIVIDED PROFITS _ _ _ _ , 8 9 .6 2 LOANS ON COTTON- - - -······· OVERDRAFTS __ ···· - - ---·-·····•· 2.51 BILLS PAYABLE- - - - -···· BONDS AND SECURITIES----··· 177.56 NOTES REDISCOUNTED- - - - 1 FURNITURE AND FIXTURES-·-···· 6 9 2 .8 2 SAVINGS ACCOUNTS ................................... BANKING HOUS~ - -----1 1,0 0 0.0 0 TRUST FUNDS- - - -···················. OTHER REAL ESTATE- - - - - ! 8 0 0.0 0 DIVIDENDS UNPAID- - - - · · · · · · ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS, _ __ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS...... _ _ _ __ DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... CASH ITEMS _ _ _ _ _ _ _ , DUE TO RESERVE BANKS.-............. DUE FROM RESERVE BANKS-...... 6,744.14 CHECKS ON OTHER BANKS...·-····· 2 7 .5 0 CURRENCY _ _ _ _ _ _ __, 1,575.00 C/ D'S, FOR MONEY BORROWED ..... 1 3 0.0 0 CERTIFIED CHECKS·-······················ ......... SILVER....·-····-··- - - - - - - , 1 3 0 .3 6 CASHIER' S CHECKS ..................................... GOLD _ _ ___ _ _ _ _ _ _ 3,000 .0 0 1 ,129.9 7 C/ D'S, DEMAND----···············•····· C/ D'S, TIME _ _ _ _ _ _ __ 2,569 .3 8 1 8 4 .7 1 RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ _ _ _ , RESERVED FOR TAXES- - -1 OTHER LIABILITIES ..........-...................... I TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 7. 5 7 3 .6 8 ~:- TOT AL ..- ............. 2 7 5 7 3 .6 8 ,~ OFFICERS AND DIRECTORS of Bank of Co"" , CJve , Polk Co • , OFFICERS ~ 4:.. ¢.!~-t;;:,J eo D D ~ellz~ DA.Vl · J"N O- }A . 4>1 l!'" 0 • • A11'I Cashier DIRECTORS ;:;!1!~--()_) ~ ~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ ' - ~ COPY OF PUBLISHED STATEMENT of :Jank of Cr ..,ett, Cro sse t, Ashley Co., AT THE CLOSE OF BUSINESS NOV 1 0 1915 RESOURCES LIABILITIES LOANS AND DISCOUNTS...................... 1 .'.3 8, 5 3 6 ,1 3 CAPITAL STOCK.....· - - - - - ··· 25,000.00 LOANS ON REAL ESTATE ........... ...... 11,779 .31 CERTIFIED SURPLUS ................................ . 5,000.0 0 LOANS ON COTTON _ _ __ ········ 1,055 .58 UN D IVI OED PROFITS................................. 2,129 .30 OVERDRAFTS----····-----····-··· 3 0 .7 7 BONDS AND SECURITIES ... ____ ····· 5,725.0, 0 NOTES REDISCOUNTEO ..................... .. FURNITURE AND FIXTURES .. - ... 1, .3 2 7 .9 1 SAVINGS ACCOUNTS _ _ _ _ , BILLS PAYABLE _ _ _ __ BANKING HOUSE._. _ _ _ _ _ , TRUST FUNDS- - - · - - - · · · OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ __ 2.0 0 INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE II PUBLIC FUNDS- - - - - - ·- 9 9,0 8 9 .7 5 95,472.8 5 1,544.32 DUE FROM NON-RESERVE DUE TO NON - RESERVE BANKS .... BANKS CASH ITEMS _ _ _ _ _ _ _ , DUE FROM RESERVE BANKS-·-·· 5 9.5 8 DUE TO RESERVE BANKS ................ 60,480 .96 C/ D'S, DEMAND---··························· CHECKS ON OTHER BANKS_ ..... C/ C'S, TIME- - - - - - - ·- CURRENCY _ _ _ _ _ _ _ _ , 6,544.0 0 C/ C ' S, FOR MONEY BORROWED..... GOLD _ _ _ _ _ _ _ _ _ _ .. 1,2 0 5.0 0 CERTIFIED CHECKS·-·-·····-- - 1 SILVER _ _ _ _ _ _ _ ____... 9 0 3 .1 9 CASHIER'S CHECKS- - - ··········- 4 13 .91 RESERVED FOR INTEREST .............. OTHER RESOURCES _ _ _ _ _ , RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES.................................. TOTAL................................................................ 2 2 8,6 5 0 ,1 J '---~~~~~~====c.......--- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis * TOTAL ......................... . 2 2 8 6 5 0 .1 3 ➔!- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Eank of C ~s~ett, Crossett, Ashley Co., ArJ, OFFICERS Caahier fr~, DIRECTORS· COPY OF PUBLISHED STATEMENT of Baxter Co ~ ty Bank, Co t+e r, baxtc ~ G0. , Ar NOV 1 0 191 5 AT THE CLOSE OF BUSINESS LIABILITIES I RESOURCES LOANS AND DISCOUNTS.........._............ 3 0,9 4 5 .9 3 CAPITAL STOCK. ..............· -- - · · ··· 1 0, 000.00 LOANS ON REAL ESTATE·--·-··· ······ 1O,027.5 7 CERTIFIED SURPLUS .....................-........ . 6, 000.00 LOANS ON COTTON ..·-···········•·····--········· UNDIVIDED PROFITS................................. 4 5 2 .3 6 OVERDRAFTS _ _ _ _ _ _ _ , BILLS PAYABLE- - - - ···-······ 5,000.00 BONDS AND SECURITIES- · - · · · NOTES REDISCOUNTED _ _ _ .. FURNITURE AND FIXTURES-·-··· SAVINGS ACCOUNTS _ . _ _ _ ··- -----1 4,0 0 0.0 0 TRUST FUNDS·- - - · · · · ·························· OTHER REAL ESTATE _ _ __, 2,085.00 DIVIDENDS UNPAID........... _ _ _ , BANKING HOUS ~ ITEMS IN TRANSIT _ _ _ _~, INDIVIDUAL DEPOSITS_ _---J BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUND$ _ _ _ _ _ _ , DUE FROM NON-RESERVE BANK"' DUE TO NON-RESERVE BANKS.... 6 3 7 .9 9 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS-...... 3,641 .39 C/ D'S, DEMAND- - · - - -····················· CHECKS ON OTHER BANKS ..·-···· 2, 512.4 0 C/ D ' S, TIME-- - - - - - - · · CURRENCY _ _ _ _ _ _ _ _ , 6,111.00 C/ D'S, FOR MONEY BORROWED..... GOLD. - - - - - - - - - - 1 2 7 5.0 0 CERTIFIED CHECKS.................................. SILVER ___··- - - - - - -- ·-···-··· 9 1 7 .8 5 CASHIER'S CHECKS, _ _ _ _ _ , CASH ITEMS- - - - -- - 1 OTHER RESOURCES, _ _ _ _ _ , .3 7, 665.20 2 6 1.5 7 1,775.00 RESERVED FOR INTEREST..·-•·••····· RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES................................. . TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL .................. 6 1 1 1 5 4 .1 3 -:r OFFICERS AND DIRECTORS of Laxter CouPt j Bank, Cott~r, Ba xter co . , OFFICERS • • Eatman Preaiclenl E. H. Hogue Vice Preaiclenl E. J . Loo Cashier H. W. rr111 te Au'I Cashier DIRECTORS E. H. Hogue w, . J . Loo:p C. G. ilks T. P. Foste • https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of :itiz ens Coal Hill, Johns on Co., A:r O 915 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........................ 11,873.87 CAPITAL STOCK ................................................ 10,000.00 LOANS ON REAL ESTATE ........... ...... 1,0 0 0.0 0 CERTIFIED SURPLUS ....................·-····•···· 2 0 0.0 0 LOANS ON COTTON _ _ _ _ ········ UNDIVIDED PROFITS.•.............................. 5 8 7.6 6 OVERDRAFTS _ _ _ _ ·······-·-·-········ BILLS PAYABLE- - - - - · · · · · · BONDS AND SECURITIES.·--···-······· 5 0 3.2 0 NOTES REDISCOUNTED ......................... . FURNITURE AND FIXTURES--··· 9 0 0.0 0 SAVINGS ACCOUNTS ...............·-···············•· BANKING HOUSE _ _ _ _ _ _ , I LIABILITIES I 2,000.0 O· TRUST FUNDS...·-·-·-····················•····················· OTHER REAL ESTATE _ _ _-l DIVIDENDS UNPAID................................ . ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ .. _ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ _ _ __ DUE FROM NON - RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS, _ _ _ _ _ _ _ , DUE TO RESERVE BANKS.•·-·········· DUE FROM RESERVE BANKS_...• 21,477 .8 7 C/ D'S, DEMAND·-·---··· · - - - -··· CHECKS ON OTHER BANKS.·-····· C/ D ' S, TIME ..·-······---························· I 1,500.00 C/ D'S, FOR MONEY BORROWED..... I 5 0 0.0 0 CERTIFIED CHECKS---········· 9 6 .71 CASHIER'S CHECKS----······· CURRENCY _ _ _ _ _ _ _ _ , GOLD SILVER _ _ _ _ _ _ _ __ 28, 603.0 3 4 6 0 .9 6 RESERVED FOR INTEREST....-........ OTHER RESOURCES _ _ _ _ _ , RESERVED FOR TAXES,_ __ OTHER LIABILITIES TOT AL ............... -....... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .3 9, 8 5 1 .6 5 ~~ TOTAL .................................................................. '.3 9,8 5 1.6 5 -?~ OFFICERS AND DIRECTORS of Ci tiz ens B~ 1., Co al P.i ll, Johnson Co., Arl< . OFFICERS . A. Hill Prssid11i1 G. D. Fergu on Vice Pruidenl •'t. A. G,Hil Ca•hi•r "1\:!,\0-. .~....~/ G. C.Flake .,, A11'I Cashier \ DIRECTORS . A. Hi l l A. G. Hill G. D • .b'er ~u s on C.C. F l ake G.C. Fl ake https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Dairymens i1k' Car lisle, LonoRa Co., Ar AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 4 8,9 17.8 9 CAPITAL STOCK ................................................ 10,00 0.0 0 LOANS ON REAL ESTATE ................. 10,18 6.3 6 CERTIFIED SURPLUS................................. 2,5 0 0.0 0 UNDIVIDED PROFITS ................................ LOANS ON COTTON ... OVERDRAFTS ....... ······-········ 5 2 6.4 2 BILLS PAYABLE NOTES REDISCOUNTED .......................... BONDS AND SECURITIES-·-···-··-······ FURNITURE AND FIXTURES.......... 1,5 0 0.0 0 SAVINGS ACCOUNTS BANKING HOUSE 2,0 0 0.0 0 TRUST FUNDS ............ -··- ················ DIVIDENDS UNPAID ITEMS IN TRANSIT INDIVIDUAL DEPOSITS BILLS OF EXCHANGE PUBLIC FUNDS DUE FROM NON - RESERVE BANKS DUE TO NON-RESERVE BANKS .... CASH ITEMS--··-·---· DUE TO RESERVE BANKS................ I I t DUE FROM RESERVE BANKS........ I I CHECKS ON OTHER BANKS·--······ 3 8,0 5 3.0 3 C/ D'S, DEMAND 30 1.5 5 7 4,1 5 2 .3 7 ····-··-············ 3,4 4 5.2 1 C/ D ' S, TIME ...... C/ D'S, FOR MONEY BORROWED-..... GOLD 30 0.0 0 CERTIFIED CHECKS................................... SILVER 5 7 0.6 6 CASHIER'S CHECKS ..................................... 1,5 6 2 .7 .'.3 RESERVED FOR INTEREST.............. OTHER RESOURCES ·-···· 2,38 6.0 0 ... 1,7 6 9.0 0 CURRENCY 1 8 4.0 6 ···•···· OTHER REAL ESTATE 1 13,00 0 .0 0 ············ RESERVED FOR TAXES OTHER LIABILITIES TOTAL .................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ·······~----- 1 05,6 6 7.6 4 i} ..... TOTAL .................................................................. 1 Q 5,6 6 7.64 .,,,r OFFICERS AND DIRECTORS of Da.:. r ymens ti ~uk, Carl i s le, Lono ka Co . , Ar OFFICERS La D. B. p,.,id1n1 r, • H. e ·t -•r=ii Buhl Vice Preridenl ~ . B. C , Caahier Harr L. Parki • lit Aaa'I Cashier DIRECTORS D. B. c. H. ~. H. Buhl H. Buhl c. Morri •·o A. B rry https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis • l(ll 1' 1,<110 ·i:;01' COPY OF PUBLISHED STATEMENT of ...,armers b "'1i"' Ba1ik, Conw y, F ulk 1er Co., A-r ' AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES 30,000.00 LOANS ANO DISCOUNTS........................ 1 4 3, 0 3 3 ,0 3 LOANS ON REAL ESTATE................. 2 7, 6 6 5.0 Q CERTIFIED SURPLUS ............................. . 2,000.00 LOANS ON co,;TON ............. _ _ _ , 74,796.20 UNDIVIDED PROFITS- - - -··· 1,550.98 OVERDRAFT$ _ _ _ _ _ __ ··· 5 5 3.5 9 BILLS PAYABLE- - - - - · ····· 7 5, 0 0 0.0 0 BONDS AND SECURITIES-·-······ .. ······ 1,297.83 NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES ..·-··· 6,000.00 SAVINGS ACCOUNTS ......· - - - · ·- BANKING HOUSE _ _ _ _ _-! 6,500.00 TRUST FUNDS... - - - - - -··· CAPITAL STOCK............................................. OTHER REAL ESTAT<= ...__ _--1 DIVIDENDS UNPAID...... _ _ __ ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS... _ _ _ , BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - - - ··· DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ..... I 5.0 0 DUE TO RESERVE BANKS ........... .... . 33,679.56 C/ D'S, DEMAND ........- ...................................... . ON OTHER BANKS_ ..... 1, 7 8 0.5 1 C/ D'S, TIME- - -································•·· CURRENCY _ _ _ _ _ _ _ .... 5,381.00 C/ D'S, FOR MONEY BORROWED..... 40.0 0 CERTIFIED CHECKS .................................. 1,1 0 9.5 1 CASHIER'S CHECK$ _ _ _ _ _ , ! CASH ITEMS _ _ _ _ _ _ _ , I I DUE FROM RESERVE BANKS ........ I I CHECKS 2 5.0 0 131,1 74 .91 61,408 .94 6 8 1.4 0 RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ __ RESERVED FOR TAXES·- - - , OTHER LIABILITIES TOTAL................................................ .............. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 Q 1,8 4 1.2 '.3 -¾i- TOTAL ............................... 3 0 1,8 4 1.2 3 -¾l- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ·armers S :,"te Bank, Conway, Faulkner Co., A~· • OFFICERS Cashier /tlt'vh_~ ~ - . ~ DIRECTORS ' ~ COPY OF PUBLISHED STATEMENT of :-·au l hner "t !lty Ban~,, Conway, Faul~mer Co ., Arlr AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 2 4 9,324.74 CAPITAL STOCK ...·-··············· ·······-···········-· 60,000.00 LOANS ON REAL ESTATE ........... ...... 43,572.00 CERTIFIED SURPLUS ................................ . 12,000.00 LOANS ON COTTON _ __ 4 0, 0 8 5.5 9 UNDIVIDED PROFIT$,_ _ __ 35,350.27 35,000.00 OVERDRAFTS _ _ _ __······-··-··-········· 2,562 .76 BILLS PAYABLE .....·-·········-·--- 1 BONDS AND SECURITIES- - - ··· 3,750 .24 NOTES REDISCOUNTED ......·-················ FURNITURE AND FIXTURES- 2,090.30 SAVIN GS ACCOUNTS ....-............................ . 5,853.01 TRUST FUND$ _ __ ... BANKING HOUSE _ _ _ _ _ _ , _ _ _ OTHER REAL ESTAT~- - - - - 1 DIVIDENDS UNPAID _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ __ BILLS OF EXCHANGE - - - · -··-·-··••· PUBLIC FUNDS·---···························· DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ _ , DUE TO NON-RESERVE BANKS.... CASH ITEMS _ _ _ _ _ __ 2,288 .66 202,738 .6 3 9,681 .6 1 DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS ..-.... 54,867.26 C/ D'S, DEMAND·- - - - - - -1 7:02 5.0 0 CHECKS ON OTHER BANKS. _... 1,656 .80 C/D'S, TIM~- - - · - - - -, 56,478.92 CURRENCY_ __ _ _ _ _ _ , 6,691.00 C/D'S, FOR MONEY BORROWED..... GOLD _ _ _ __ _ _ _ _ , 4,282 .35 CERTIFIED CHECKS ......... SILVER- - - - - - - - - 1 1,186 .62 CASHIER'S CHECK$ _ __ _ OTHER RE SOU RC ES_····-··-·····-··-··········•·· 129 .30 6 6.2 0 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ __ , OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 1 8. 3 4 0 .6 3 ';~ TOTAL._............. 4 1 8 3 4 0 .6 3 -;; OFFICERS AND DIRECTORS of Fuu l kn er Cn, nty Bank, Conway , Faulhner Co., Ar 1•• OFFICERS B". L. Harton PreBidBIU J. w. James V i ee PreBidenl v. D. Hill Cashi er R. H. Weems Aaa'I Caahi,r DIRECTORS Geo. W. Danagbey • D. Cole, Jr. J. W. James G. W. Adkisson -------- B. T. Deal J. E,.: Little Vim. J. Grurr.mer B. L. Harton V. D. Hill https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of 3erman-Amvriv an Eank, Charle ston, FtanKlin Co ., A°( NOV I O19i5 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 38,020.66 CAPITAL STOC"'"-- - - - -' 25,000.00 LOANS ON REAL ESTATE ................. 5,725 .45 CERTIFIED SURPLUS ............................... 4 9 3.8 6 UNDIVIDED PROFITS................................ . LOANS ON COTTON- - - - · · · · · · · OVERDRAFTS _ _ _ _ ·-··-···-········· 2 2 .5 8 BILLS PAYABLE- - - - - - ! BONDS AND SECURITIES-·-····-······ 2 4 2 .7 5 NOTES REDISCOUNTED ....................... . FURNITURE AND FIXTURES--···· 1,500.00 SAVINGS ACCOUNTS ................................... BANKING HOUSE _ _ _ _ _ _ 1 OTHER REAL ESTATE _ _ __, I I • TRUST FUNDS----······•··············· 2,000.00 DIVIDENDS UNPAID...... _ _ __ ITEMS IN TRANSIT _ _ _ _ _ 1 INDIVIDUAL DEPOSITS····-···················· 2 6, 3 9 9 .2 7 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - - -·· 8,743 .35 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS..... CASH ITEMS DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANKS ...... . CHECKS ON OTHER BANKS- 14,250.4 6 C/ D'S, DEMAND•- - - -···················· .... C/ D'S, TIME ......- - - - - - ·· 2,593.00 C/ D'S, FOR MONEY BORROWED..... GOLD.· -- - - - - - - - - 1 19 5.0 0 CERTIFIED CHECKS.......•.......•.................. SILVER _ _ _ _ _ _ _ _ _ , 5 8 8 .6 5 CASHIER'S CHECKS- - - - · · · · · - OTHER RESOURCES _ _ _ _ _ , 1 0 0.0 0 RESERVED FOR INTEREST.............. CURRENCY _ _ _ _ _ _ __ 5,091 .2 5 176.4 8 RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 5. 9 0 4 .2 1 ➔~ TOTAL .......................... .. 6 5, 9 0 4 .2 1 ., https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of G~rman-Am r;can Bank, Char ~ston, Franklin Co., A OFFICERS Presidenl £ .~ e ·t V ice Presidnl ,l ~ O. DIRECTORS • .1~!>\0 JIil oo)I. · COPY OF PUBLISHED STATEMENT of :1erc l1 ants i 1 l ant.ern Bank, Cam en , Ouac~ i~a Co ., py, AT THE CLOSE OF BUSINESS RESOURCES . LIABILITIES LOANS AND DISCOUNTS........................ 1 42,883 .17 CAPITAL STOCK.........·-······--- ····· 50,000.00 LOANS ON REAL ESTATE .............. _. 21,286 .24 CERTIFIED SURPLUS .... ........................... 1 0,0 0 0.0 0 UN D IVI OED PROFITS_.............................. 6, 3 6 1.5 3 2 0, 0 0 0.0 0 LOANS ON COTTON _ _ _ _ ··-········ OVER DRAFTS_·· - - - -····--·····-········ 1,0 .'.3 9 .6 7 BILLS PAYABLE ---·········-····-······ BONDS AND SECURITIES- -···-······ 4,5 1 6 .70 NOTES REDISCOUNTED ....................... .. FURNITURE AND FIXTURES- ..... 4 0 0 0.0 0 SAVINGS ACCOUNTS ................·-·············· BANKING HOUSE·-···· - - - -, OTHER REAL ESTATE _ _ _-l TRUST FUNDS- - - · · · ···············•··········· 9 2 6 .9 3 DIVIDENDS UNPAID....... _ __ ITEMS IN TRANSJT _ _ _ _ _ I INDIVIDUAL DEPOSITS.......................... 6 5,235 .85 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- · - - - - - - - ·- 1 3,219.4 9 DUE F ROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... '.3, 8 4 7 .4 1 I CASH ITEMS DUE FROM RESERVE BANKS--··- 5 9 8 .1 9 DUE TO RESERVE BANKS........... ..... 5,0 .'.3 6 .8 0 C/ D'S, DEMAND- - - ··························· 2,50 7.80 C/ D'S, TIME- - - - - - - · · · • - · · 25,243.44 I 1 CHECKS ON OTHER BANKS.·-····· CURRENCY 3, 042.00 C/ D'S, FOR MONEY BORROWED..... GOLD _ _________, 2,610 .00 CERTIFIED CHECK$,_ _ __ SILVER _ _ _ _ _ _ _ _ _ , 9 13.9 8 CASHIER'S CHECKS- - - ············· OTHER RESOURCES, _ _ _ _ ....... 9, 630 .26 RESERVED FOR INTEREST............ RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES................................. . TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 9 6 4 A 3 .9 4 ~i- TOT AL .......•··········-····························-···•····••······ 6 9.0 8 1 9 6, 4 8 3 .9 4 ~- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS A ND DIRECTORS of ~e •chant s a Plan ters Bank, Cam en , Oua~hita Co ., OFFICERS T.J.Watte., P reaide,11 Ed Harper ., 1st., Leo Berg., 2nd, V ice President B. C.Powell ., '' Cashier P.T.Hildebrand. . , ,. r+,, A aa't Cashi,r <'oA. ....~ . ~l'o,• DIREC T OR S T .J. Watts ., H.S.Powell., Ed Harper ., Leo Berg ., - - -- Dr.C.S.Early, W.W.Brown ., B.C.Powell., Dr. N.S.Word • ( We should have nine,but Capt.s.c.r.eake Died and no election has been made) I COPY OF PUBLISHED STATEMENT of lerchant s • Ilanters Bruk, Clarendon, Monroe Co., Ar\ AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES o, 0 0 LOANS AND DISCOUNTS........................ 5 3, 9 5 2.Q 8 CAPITAL STOCK.................. _ _ _ ... .. 5 LOANS ON REAL ESTATE ........... ...... 11 5, 2 2 3 .1 0 CERTIFIED SURPLUS ................................. 50,000.00 UNDIVIDED PROFITS................................. 6 5.0 0 LOANS ON COTTON ...................................... OVERDRAFTS..........- - - - - -... 127.9 3 BONDS AND SECURITIES-·-•--.. ···· 5,5 9 5.9 7 FURNITURE AND FIXTURES- ... 8 5 4.0 0 0.0 0 BILLS PAYABLE _ _ _ _ .................. NOTES REDISCOUNTED _ __ SAVINGS ACCOUNTS _ _ _ __ , BANKING HOUSE _ _ _ _ _ _ , 5,140.0 0 TRUST FUNDS _ _ _ _ _ __ OTHER REAL ESTAT'° "---- - - - - 1 2,499.24 DIVIDENDS UNPAID _ _ __ 8 8 6.11 ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS _ _ _ .. _ 84,136.8 4 BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS........................_ _ _ , 3,807.01 DUE FROM NON-RESERVE BANKS DUE TO NON - RESERVE BANKS.... CASH ITEM$._ _ _ _ _ _ _ _ , I II DUE FROM RESERVE BANKS ........ 12 5.0 0 DUE TO RESERVE BANKS................ 2 4,4 9 2.6 9 C/ D'S, DEMAND ...........· - - -............... C/ D'S, TIME ................................ _ _ __ CHECKS ON OTHER BANKS ..- ...... CURRENCY _ _ _ _ _ _ _ _ , GOLD_ _ _ _ _ _ _ _ _ _ .. SILVER... _ ......... _ _ _ _ _ _ _ , 2,760.00 C/ D'S, FOR MONEY BORROWED ..... 2 3 0.0 0 CERTIFIED CHECK ......... "' - - -.. ····· 1,0 6 2.9 t!. OTHER RESOURCES- ......... - ........ - ...... .. 23,167.9 0 CASHIER'S CHECKS- - - - -, RESERVED FOR INTEREST.............. RESERVED FOR TAXES ....·-···· ..···--··--·· OTHER LIABILITIES TOTAL .................. ...... 2 1 2. 0 6 2.9 5 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL .................. 2 :1 2, 0 6 2 .9 5 -= ~ OFFICERS AND DIRECTORS of cer cl ants L Plante r s Bank, Claren do n, Monro e Co . , A--' OFFICERS J ~ Hughes Presidenl Parker C Ewan Vice Presiden, H B Bateman Caillier \'I H Brovm Au'I Caahier DIRECTORS J ll Hughes F K Marston Bateman Parker C Ewan T T Geo A Franklin H ', Lynch J T Jones R F Milwe e H B Bateman Geo P Reid CA Wilburn NE Murphy Ed Bondi Jay Wheelock https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Ike Bondi COPY OF PUBLISHED STATEMENT of Juachi ta " ,.ey Ban·-, Camden, Ouachi ta Co ., f-r NOV 1 0 19J5 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS...................... 2 4 2, 4 8 7 ,8 7 CAPITAL STOCK _ _ _ _ _ _ _ , 50,000.00 LOANS ON REAL ESTATE ........... ...... 5 9,6 0 5 .1 4 CERTIFIED SURPLUS- - - · · · 50,000.00 LOANS ON COTTON ..................................... . 174.87 UNDIVIDED PROFITS................................. 1,659.2 9 9 8 4 .6 0 BILLS PAYABLE- - -······.. ················ 3 5,000.00 BONDS ANO SECURITIES-····-······· 1,271.7 5 NOTES REOISCOUNTEO ......................... FURNITURE ANO FIXTURES--··· 2,000.00 SAVINGS ACCOUNTS .................................... 15,510.74 BANKING HOUSE _ _ _ _ _-! 10,0 0 0.0 0 OTHER REAL ESTATE- - - - ! 9,209.12 DIVIDENDS UNPAID- - - - · · ITEMS IN TRANSIT---···--······· 8 8 2 .1 0 INDIVIDUAL DEPOSITS............................ 1 6 5,8 9 Q,7 7 BILLS OF EXCHANGE- - - - 1 PUBLIC FUNDS- - - - - -··· 17:2 6 5 .91 DUE FROM NON - RESERVE BANKS DUE TO NON-RESERVE BANKS .... 6 7 8.3 4 ,T RUST FUNDS.............................. _ __ CASH ITEMS- - · - - - - - ··--··· .. 10 .6 5 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ...... - 5 6,396.68 C/ 0'8, DEMAND....... - ...... _ _ _ ......... C/0'8, TIME ........................•······----·· CHECKS ON OTHER BANKS.--·••·· CURRENCY _ _ _ _ _ _ _ _ , GOLD•- - - - - - - -- ·· SILVER, _ _ _ _ _ _ _ _ _ , 16,767.00 75,073.08 C/ 0'8, FOR MONEY BORROWED ..... 5,025.00 CERTIFIED CHECKS-····-··---• ,2 6 3 .3 5 CASHIER'S CHECK$, _ _ _ _ _ , RESERVED FOR INTEREST.............. OTHER RESOURCES-- - - · · - · · · ···· RESERVED FOR TAXES-- - - 1 OTHER LIABILITIES............................. .... . TOTAL................_ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 1 1. 0 7 8 .1 3 -;~- TOTAL............................. 4 11, 0 7 8 .1 3 -l~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis , ... OFFICERS AND DIRECTORS of Ouachi ta ~lley Bank, Camden, Oua~hi Ga Co ., -- --Ay". ··- OFFICERS •• w. Brewn Pr•Bidenl Vice Pr1Biden1 Cashier AH'I Cashier l I DIRECTORS Geo. R. Gordon J. w. Brown, Jr. COPY OF PUBLISHED STATEMENT of 3ta t e Ban~ ~f Ca l i cJ Rock, Calic 0 Rock, Izard Co., Ar' AT THE CLOSE OF BUSINESS RESOURC E S LIABILIT I ES LOANS AND DISCOUNTS ........................ 5 0,9 1 S.S 4 LOANS ON REAL ESTATE ................. 1,9 9 2.81 LOANS ON COTTON _ _ _ _ ······· OVERDRAFTS _ _ _ _ _ _ ········ CAPITAL ST OCK _ _ _ __ CERTIFIED SURPLU" ~ --- UND I VIDED PROFITS- - - · · · · · · 5 9 3.16 2 5,000.00 2,750.00 2, 7 0 4.9 5 BILLS PAYABLE---····················· NOTES REDISCOUNTED _ __ BONDS AND SECURITIES--··--·•·• F URNITUR E AND FIXTURES- .... 2,861.27 SAVINGS ACCOUNTS- - - - ······ BANKING HOUSE _ _ _ _ _-! 4,389.82 TRUST FUNDS·---·······················•······ OTHER REAL ESTATE- - - - ! 2,400.00 DIVIDENDS UNPAID- - - - ···• ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS- - - · ·• 5 9,702.06 BIL L S OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - - -•·• 4 3 6.81 I DUE FROM NON-RESERVE DUE TO NON-RESERVE BANKS.... BANKS 2 9.5 5 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS·--·· 24,950 .76 C/ D'S, DEMAND-····- - - - - CHECKS ON OTHER BANKS·-····· 1,547.28 C/ D ' S, TIME .................. - - - - · · ······ CURRENCY- - - - - - - - 1 4,037.00 C/ D'S, FOR MONEY BORROWED ..... GOLD· - - - - - - - - - - · · · · 7 5 7.5 0 CERTIFIED CHECKS---·········· SILVER _ _ _ _ _ _ _ _ _ , 7 7 8.4 5 CASHIER' S CHECKS- - - · ············ CASH I T E MS • · OTHER RESOURCES_·-··---···--···· RESERVED FOR INTEREST.·--········ RESERVED FOR TAXES- - - , OTHER LIABILITIES.................................. TOTAL ................................................................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL ................................................................. 4,659.72 OFFICERS AND DIRECTORS of S~cte Ban~ n: Calico Rock, Calico Rock, Izard Co., Ar' jEC 2 4 1915 O FF IC E RS T. E. :Uilburn Pruide,U n. H. Wayland Vice Pruidenl E. . C . Rodman Caahier Oscar Wyatt A••'I Cashier DIRECTORS T. E. Mi lburn n. E. . Wayland c. Parsons J. T. Garner v. J. Copp s. L. Guthrie https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis E. O. Arnold COPY OF PUBLISHED STATEMENT of Tan Buren r ~. . . nty Ba-1k Clint on, Van B~ren Co., A • AT THE CLOSE OF BUSINESS NOV 1 0 1915 RESOURCES LOANS AND DISCOUNTS..... -................. LIABILITIES 24,111.95 9,220.0 0 LOANS ON REAL ESTATE .. LOANS ON COTTON _ __ CAPITAL STOCK................................................ CERTIFIED SURPLUS............................ 8.11 BILLS PAYABLE- -- ·············•·········· 9 6 6.9 2 NOTES REDISCOUNTED .......................... 1,600.00 SAVINGS ACCOUNTS ................................... 1 1,900.00 TRUST FUNDS....•....•...... _ _ __ OTHER REAL ESTATE- - - - 1 3 0 0.0 0 BONDS AND SECURITIES---········· FURNITURE AND FIXTURESBANKING HOUS - ... _____ DIVIDENDS UNPAID ...... _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUND$, _ _ __ DUE FROM NON-RESERVE BANK$, _ _ _ _ _ _ _ _ , DUE TO NON-RESERVE BANKS..... CASH ITEMS _ _ _ _ _ _ _ , DUE TO RESERVE BANKS........._..... 5,056.04 DUE FROM RESERVE BANKS-···- CHECKS ON OTHER BANKSCURRENCY_ _ ..... ______ 1 OTHER RESOURCES •....___ ·-··-······ _ _ 28,114.5 7 3,500.56 C/ D'S, DEMAND- -- ··························· C/ D'S, TIME- - - - - - - 2,245.00 C/D'S, FOR MONEY BORROWED...• 2 2 0.0 0 CERTIFIED CHECKS.................................... 1,733 .6 7 3,000.00 2 2 2.4 2 UNDIVIDED PROFITS _ __ OVERDRAFTS.....·-··········- - - - - • 1 0,000.00 CASHIER'S CHECKS- --- 1,455 .70 2,068.44 RESERVED FOR INTEREST.......•..... RESERVED FOR TAXES .•..•.........•....... OTHER LIABILITIES TOTA https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOT AL ..·-·····•··········•···-•···· 4 8, 3 6 1 ,6 9 ~~ OFFICERS AND DIRECTORS of 'fan Buren S" unty Bank, C~1 nton, Van Buren Co., Ar::. OFFICERS Garner Fraser Presi d.,11 J •• Sneed V ice Pretidenl Torn Davis Cashier J.B.Fraser Aaa'I Cashier DIRECTORS Garner Fraser Tom Davis J. l .Sneed J.B.Fraser Porter Hajchett https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of :::;,•.:. . en ' 0un tJ wan 1c & Tr ust Co. , C' 1•a; • .__ , . sville, C1 .c t:md en Co., jl ' • ~ov 1 o 1915 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES I LOANS AND DISCOUNTS........................ 18,795.00 CAPITAL STOCK. ....·- - - - - ··· 15,000.00 LOANS ON REAL ESTATE ...·-··········· 12,895.01 CERTIFIED SURPLUS ............................. 3 4 9 ,3 0 LOANS ON COTTON __····-···--·····-···· ...... UNDIVIDED PROFITS............................... 9 9 5 .91 OVERDRAFT S_ _ _ _ _ __ BILLS PAYABLE _ _ _ _ __ ! BONDS AND SECURITIES-··--···-······ 16 6.6 9 FURNITURE AND F I XTURES--··· 3,460.00 SAVINGS ACCOUNTS................................. BANKING HOUSE _ _ _ _ _ _ , 3,760.00 TRUST FUNDS----························ NOTES REDISCOUNTED _ _ _ 1 3,103.61 OTHER REAL ESTATE _ _ __, DIVIDENDS UNPAID .................................... ITEMS IN TRANSIT--··-·-··-···--·-···· INDIVIDUAL DEPOSITS........................... 29,701.68 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS.....· - - - - - ··- 10, 7 2 .'.3 .9 3 DUE FROM NO N- RESERVE BANKS- - - - - - ---! r; CASH 15 0.0 0 DUE TO NON-RESERVE BANKS .... 12.5 0 DUE TO RESERVE BANKS................ 15,276 .97 C/ D ' S, DEMAND---·················•········· ITEMS _ _ _ ._ _ _ __ DUE FROM RESERVE BANKS·-····· C/ D'S, TIME .............·-··•··-····----- CHECKS ON OTHER BANKS·--····· 3,999.00 C/ D'S, FOR MONEY BORROWED ..... GOLD ----···--···-···--··-········· 10.0 0 CERTIFIED CHECKS .................................... SILVER - - · · · - · - · · - - - - - - · ·· 1,930.51 CASHIER'S CHECKS ..................................... CURRENCY _ _ _ _ _ _ _ _ t 3 8 0.0 0 2 0 1.2 5 RESERVED FOR INTEREST.............. OTHER RESOURCES --·••···- · - ······· RESERVED FOR TAXES- - -1 OTHER LIABILITIES............................. ..... TOTAL.. ............................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis n 0. 4 5 5 6 R ~~ TOTAL .................................................................. 6 0, 4 5 5 .6 8 ~~ OFFICERS AND DIRECTORS of :::rittend bn ,..,,.lUnty Bank & Trust Co., Craw for·svi lle , ~ri~tenden Co., Pi,. OFFICERS Louis Barton, Presidenl "F. '• Reisinger, Vice Presidenl Cashier Cashier 11 None lJ Ass'I Cashier JNO. lv1.IIA.NK DA..VIS, OIO!l. , DIRECTORS s. I. Newnan E.J. Bafinelli W. Reiaing.A~~r____ • J. Hardin Ed Talbott Geo.w. :Patterson Louis Barton H.A. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~cGee COPY OF PUBLISHED STATEMENT of r3ank of De to , Datto , Clay Co ., AT THE CLOSE OF BUSINESS I RESOURCES LOANS AND DISCOUNTS- - -! 8, 3 7 4 .9 0 LIABILITIES CAPITAL STOCK-················ - - - , CERTIFIED SURPLUS, _ __ LOANS ON COTTON . _ _ _ _ _ , UNDIVIDED PROFITS................................. OVERDRAFTS_ _ _ _ _ __ BILLS PAYABLE- - - - - · ···- FURNITURE AND FIXTURES- ... Q,Q Q 0.Q 0 10 0.0 0 LOANS ON REAL ESTATE .. - ........... BONDS AND SECURITIES--······· 1 12.2 5 NOTES REDISCOUNTED .......................... 1,0 0 0.0 0 SAVINGS ACCOUNTS- - - - · · · · - 1,230.92 BANKING HOUSE_ _ _ _ _-! TRUST FUNDS _ _ _ _ _ _ _ OTHER REAL ESTATE _ _ _.... DIVIDENDS UNPAID.....·---•····· ITEMS IN TRANSIT _ _ _ _ _ 1 INDIVIDUAL DEPOSITS-········-··············- 7,937.0 5 BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS- - - - - - · · - s 6.c s 1 I I DUE FROM NON - RESERVE DUE TO NON-RESERVE BANKS..... BANKS CASH ITEM$, _ _ _ _ _ _ _ , 8.0 0 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS........ 8,318 .91 C/ D'S, DEMAND- - - · · · ··········••·•······· C/ D ' S, TIME- - - - - - - · - CHECKS ON OTHER BANKS·--····· 1,915.00 C/ D'S, FOR MONEY BORROWED..... GOLD _ _ _ _ _ _ _ _ _ _ , 10 5.0 0 CERTIFIED CHECKS....·-·····- - - 1 SILVER _ _ _ _ _ _ _ _ _ 8 0 5.5 5 CASHIER'S CHECK$ _ _ _ _ _ , CURRENCY- - - - - - - -1 OTHER RESOURCES ... -····-··--·--···· 1 1,234.96 RESERVED FOR INTEREST .............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES................................. . TOTA' https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOT AL-·-·---····--·········· 20,539.6 1 ° OFFICERS AND DIRECTORS of !.. _:::__ ,_ J L/ Datto, Clay Co ., OFFICERS C.U.Day Prellidenl E . .Rich':!.rdAon Vice Prellidenl D. P . De.y Cashier J DIRECTORS E . 1.<L .Ric h11rdaon D. P .Da https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis __ !tnnP<fng De 't ~.---..~, 1nUJ Dank o f Da.+t o , C. U.Day - 1. DA l!= vrs Oll/15/0N., IIAH,t. CO.t, COPY OF PUBLISHED STATEMENT of rank of L ;~ht, D~l ight, Pike ~o., NOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I .1 2,5 0 0.0 0 LOANS AND DISCOUNTS ... ................... 2 7,3 3 1.2 0 LOANS ON REAL EST ATE ...·-··-· ...... e,6 2 0.2 5 CERTIFIED SURPLUS ...·-·························· 2.00 0.0 0 LOANS ON COTTON ····•-· 2,7 0 0.0 0 UNDIVIDED PROFITS................................. 1,6 1 5 .3 6 OVERDRAFT S ··••·· .6 4 BONDS AND SEC UR I Tl ES---···-······· 2,5 2 8.1 8 NOTES REDISCOUNTED ......... -.............. F URNITURE AND F IXTURES--··· 1,8 0 0.0 0 SAVINGS ACCOUNTS ..................................• BANKING HOUSE 2,6 4 1.E 0 TRUST FUNDS ----- CAPITAL STOCK ..... ..................................... BILLS PAYABLE 5 0 0.0 0 OTHER REAL EST AT"" ...... DIVIDENDS UNPAID ........................ .......... 4 1,5 3 9.0 9 ITEMS IN T RANS I T INDIVIDUAL DEPOSITS BILLS OF EXCHANGE-··--·-·-····-····· PUBLIC FUNDS .................................................. DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... ···---···· 5 4.0 0 DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANKS ........ 1 9,7 2 1.8 1 C/ D'S, DEMAND ...·-·····························••·············· CASH ITEMS CHECKS ON OTHER BAN KSCURRENCY ·- I GOLD. SILVER_···-··· C/ D ' S, TIME ...... ..... ··-·····-..···---·-·-··· OTHER RESOURCES _. __ ............. 1,9 47.0 0 C/ D ' S, FOR MONEY BORROWED ..... 6 1 0.0 0 CERTIFIED CHECKS ......... -......................... 4 8 3 .8 2 CASHIER' S CHECKS ............................. ...... 1 2 .9 3 RESERVED FOR INTEREST .............. 1,1 6 7 .7 9 9,9 5 6.4 5 1 7 2 .7 4 RESERVED FOR TAXES OTHER LIABILITIES TOiAL .... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ····- 6 8,9 5 1.4 3 .. "j-: .......... TOTAL ................................................................ 6 q,9 5 1 .4 '.3 .. OFFICERS AND DIRECTORS of Ban k of De 1 ·Lht, Dtl ight, Pike Co., OFFICERS f https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis DIRECTORS COPY OF PUBLISHED STATEMENT of Bank of LuQu:en, feQu een, ~evi~r Co., AT THE CLOSE OF BUSINESS NOV 0 hJJ5 RESOURCES LOANS AND DISCOUNTS........................ 1 0 4,9. 1 5 .6 3 CAPITAL STOCK ................................................ 2 5,00 0 .0 0 LOANS ON REAL EST A TE _...... _....... 3 1,5 8 4 .3 6 CERTIFIED SURPLUS ................................. 4,5 0 0 .0 0 8 9 2 .1 0 UNDIVIDED PROFITS.................... ........... 2,6 3 9.4 9 .... 20,00 0.0 0 LOANS ON COTTON OVERDRAFTS ........... BILLS PAYABLE ---···-···-····-··· BONDS ANO SEC UR IT I ES-·-····-······· 2,6 4 9.0 4 NOTES REDISCOUNTED ....................... FURNITURE ANO FIXTURES_. __ 2,00 0.0 0 SAVINGS ACCOUNTS BANKING HOUSE.·--··-··-·-·- 6,0 0 0 .0 0 TRUST FUNDS .................. .................................. ? ... - ) :> 1 8 .0 OTHER REAL ESTATE 0 DIVIDENDS UNPAID...... ······- ... ITEMS IN TRANSIT INDIVIDUAL DEPOSITS.......................... 5 9,5 9 2 .76 BILLS OF EXCHANGE PUBLIC FUNDS...... ............... 2 3,5 5 5.P,4 DUE TO NON•RESERVE BANKS .... 2 3,88 4 .0 6 DUE FROM NON-RESERVE BAN KS _··-···· .... 5 3 9 .7 7 DUE TO RESERVE BANKS......... - ..... DUE FROM RESERVE BANKS ....... 2 1, 2 2 3 .3 1 C/ D'S, DEMAN 0 ....... - ............. .......................... CHECKS ON OTHER BAN KS.·-······ 4 7 7 .3 3 CASH ITEMS I II LIABILITIES I ···-···- 8,1 2 9.0 0 C/ D'S, FOR MONEY BORROWED..... --·-····---····-·········· 5 1 5.0 0 CERTIFIED CHECKS ...................... ·-·········· CURRENCY GOLD 2 1,9 8 7.,1 7 C/ D'S, TIME 1,1 4 2 .6 0 SILVER -·-··-··•-····-·············· CASHIER'S CHECKS ........ 1,0 0 0.0 0 2 1 7 .8 2 RESERVED FOR INTEREST.............. OTHER RE SOU RC ES-·······--··--·--········ RESERVED FOR TAXES ......................... TOTAL ··•·•··•··" https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ................,.,_ ,, 1 82,38 6 .1 4 ., OTHER LIABILITIES ............................. ..... 8 .7 0 TOTAL ..................................... ··························· 1 82238 6 .1 4 ➔~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bank of Du Uwen, r ~Qu een , Sevier Co., A • OFFICERS Pruidenl V ice Preeidenl }1A~ Caahi •• Au't Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Bank of L:e:r }.s, nierks, Howard Co., l\r AT THE CLOSE OF BUSINESS N RESOURCES CAPITAL STOCK.............................................. 1 1,000.00 LOANS ON REAL ESTATE ................. CERTIFIED SURPLUS....................·-·········· 1,2 8 0.0 0 LOANS ON COTTON ...·-····-···-·····-············ UNDIVIDED PROFITS............................... 4 5 9 .9 0 OVERDRAFTS, _ _ _ _ _ _··-·-···· BILLS PAYABLE- - - - - · · · · · · LOANS AND DISCOUNTS........................ 25,844 .13 BONDS AND SECURITIES ____....... 19 .:J. 8 FURNITURE AND FIXTURES--.- 1,284.00 SAVINGS ACCOUNTS- - - - · - - - BANKING HOUSE _ _ _ _ _ _ I 1,000.00 TRUST FUNDS-----··············--···········• OTHER REAL ESTATE _ _ _--r 2 16.4 4 DIVIDENDS UNPAID- - - - · · · · NOTES REDISCOUNTED ....................... ITEMS IN TRANSIT·---·-·-··-·-···-·-··· INDIVIDUAL DEPOSITS _ __ Bl LLS OF EXCHANGE _ _ _ _ 1 PUBLIC FUNDS..· - • · · · - · - - - - ~ DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... 1.0 9 DUE TO RESERVE BANKS...... -•-····· FROM RESERVE BANKS...... .. 21,107 .60 C/ D'S, DEMAND---··············•············ CHECKS ON OTHER BANKS ..·-····-- 3 9 3.0 2 C/D'S, TIME------··--·········· 4,788.00 C/ D'S, FOR MONEY BORROWED..... 11 0.0 0 CERTIFIED CHECKS- - - - · · · 3 2 8 .7 4 CASHIER'S CHECK$ _ _ __ 1 CASH ITEM$ _ _ _ _ _ _ _ t DUE 1 I ' 1 CURRENCY._. I LIABILITIES ··-···- GOLD·---·-· SILVER _ _ _ _ _ _ _ _ _ ··· OTHER RESOURCES _ _ _ _,_, 35,685 .33 6,550.00 115.0 0 RESERVED FOR INTEREST...·-··· ... RESERVED FOR TAXES ...·-·····--··-······· TOTAL ... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 5, 0 9 2 .2 0 .:: OTHER LIABILITIES................................. 1 .9 7 TOTAL. ................................................................ 5 5, 0 9 2 .2 0 -i~ OFFICERS AND DIRECTORS of Bank of D1°rhs , I'ier ks, Howar· Co . , Ar • OFFICERS L. D. Mccown. Presidenl :tl. F. Allen. Vic• Presid•nl J . L. Keener. Aaa'I Cashi•r DIRECTORS 1K . F. Allen DeQueen, Arlc. .L G • Bock Broken Bow, Okla. c. c. Texarkana, Ark. J. L. Keener Dierks, Ark. I , • D. McOo:w:n DeQ1rnen, Ark. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Durhan COPY OF PUBLISHED STATEMENT of 3ank of D;;""r', Do,·er, Pope Cc,., 1-u:k NOV 1 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 2 ~,6 5 7.4 5 CAPITAL STOCK ........................................ . 7. 5 0 0.0 0 LOANS ON REAL ESTATE ........·-····- 1,435 .6 1 CERTIFIED SURPLUS ...... _ __ 2,100.00 LOANS ON COTTON .................................... .8 3 BILLS PAYABLE- - - - - · · · · · BONDS AND SECURITIES-···-·-·········· 16 1 .16 NOTES REDISCOUNTED ........................ FURNITURE A N D F I XTURES·-·-··· 1,300.00 SAVINGS ACCOUNTS ................................. OVERDRAFTS _ _ _ _ _ __ BANKING HOUSE _ _ _ _ _-! TRUST FUNDS .................................................... OTHER REAL ESTAT c..__ ~ -----1 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ __ 10 0.0 0 BILLS OF EXCHANGE _ _ _ _ , II I DUE FROM NON - RESERVE BANKS 5 0 0.0 0 1o,743 .0 5 CHECKS ON OTHER BANKS. -..... CURRENCY·- - · - - · - - - - - · - - · · GOLD _ _ __ _ _ _ _ _ _ __ I SILVER _ _ _ _ _ _ _ __ OTHER RESOURCES _ _ __ INDIVIDUAL DEPOSITS ...................... .. . 28,965 .2 7 PUBLIC FUNDS----··············- 2 3 2.0 3 DUE TO NON-RESERVE BANKS.... DUE TO RESERVE BANKS ............... CASH ITEMS , DUE FROM RESERVE BANKS ......_ 8 8 8 .7 1 UNDIVIDED PROFITS................................. C/ D'S, DEMAND----················•···· 3,003 .14 C/ D'S, Tl ME ............•-·•·----·············· 3,140 .00 C/ D'S, FOR MONEY BORROWED ..... 2 4 5.0 0 CERTIFIED CHECKS ...........·-·······•·..··········· 5 2 9 .8 2 CASHIER' S CHECKS ..................................... 16.8 8 RESERVED FOR INTEREST.............. 140 .6 5 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES............................. ..... TOTAL ....... -...............................•...................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 2, 8 2 9 .8 0 ~:- 4.. :. . . .:2-=.;,~8c::. . : 2: : ._:9:. ._.8=---. :_: . .Q:_•_• .: __, TOTAL ...... ·········::::.···=····:.:::·····:::::····=·===··::::····:__ _ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bank of Dover', Do~er, Pope Co., Ark . .!:)~ OFFICERS W. H. Poynter .... C. )': : :) t_-.., .,_. ,,...._ f/ /HQ Preaidenl •v . T. M. Neal V i ce Preaidenl ¾_''~ ~ . ~~IO.t, J. W. Jarrett Caahi e, !rs J . W. Jarrett Aea't Caahier DIRECTORS r. H . Poynter . M. Neal w. M. Simpson J. W. Jarrett COPY OF PUBLISHED STATEMENT of Bank of 1y r, Der, Crawford Co ., Ar lr V 0 19] 5 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES CAPITAL STOOK ................................................ 10,0 0 0.0 0 LOANS ON REAL ESTATE ................. CERTIFll;:D SURPLUS ....•··········•·····-·······- 1,0 0 0.0 0 LOANS ON COTTON ................................... . UNDIVIDED PROFITS................................ 128 .9 5 LOANS AND DISCOUNTS ...................... 18,722 .71 4 15.2 5 .2 7 OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE- - - - - · · NOTES REDISCOUNTED ......................... . BONDS AND SECURITIES--···-·····•··· FURNITURE AND FIXTURES·-····· 1,6 0 0.0 0 SAVINGS ACCOUNTS ...... ............................ BANKING HOUSE _ _ _ _ _ _ , 1 , 580.00 TRUST FUNl:>S- ~ - - - --·· OTHER REAL ESTATE-----···-·-·-· DIVIDENDS UNPAID .................................... ITEMS IN TRANSIT _ _ _ _ _ INDIVIDUAL DEPOSITS _ _ _ , 1 BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS................................................. DUE FROM NON-RESERVE BANKS DUE TO NON - RESERVE BANKS.... CASH ITEMS- - - - - - - · ·· DUE TO RESERVE BANKS ........... ..... DUE FROM RESERVE BANKS ........ 6 9 9 1 .1 9 C/ D'S, DEMAND----····················· CURRENCY _ _ _ _ _ _ _ _ , _ __ _ _ _ _ _ _ 9 12 .78 8 0 0.0 0 C/ D'S, TIME .............................................................. CHECKS ON OTHER BANKS---······ GOLD _ 18,383.4 5 1,565.00 Q/ D'S, FOR MONEY SORROWED ..... CERTIFll;:D CHECKS- - - -········ 1 SILVER..·-···········--------1 3 9 4 .8 6 CASHIER'S CHECKS ................................... 44 .10 RESERVED FOR INTEREST.............. OTHER RESOURCES- - - - · · · · RESERVED FOR TAXES ....·-·················· OTHER LIABILITIES TOTAi https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 1,269 .28 ~~ TOTAL ........................ 3 1,269.28 ~~ OFFICERS AND DIRECTORS of Bank of ty cr , D:~r, Crawford Co . , OFFICERS :M. T. RHODES, Pr111idenl T. J. JAMES, V ice Preaidenl w. H. ::IURROUGH, Cashi er w. D. V I S. J N Q , M • DA tit< ,o'II .. ee>MN IS PATTON, Aaa'I Cashier DIRECTORS M. T. Rhode Jno. c. Gardner, T. J. James, a. H. Uoss, Wm. R nfroe, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis • COPY OF PUBLISHED STATEMENT of ,..,ank of h~ :,1and, Drakes Creeh, Madison Co., Llr,· I OV I O19J5 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........................ 8,8 2 1 .9 6 LOANS ON REAL ESTATE ................. 9 8 0.0 0 LOANS ON COTTON .........._........ ··-··-········ SAVINGS ACCOUNTS ··········- BANKING HOUSI= 1 ,1 3 2.5 8 TRUST FUNDS ·········· OTHER REAL EST ATE·--·-··-··-··•·-·- DIVIDENDS UNPAID .................................. ITEMS IN TRANSIT INDIVIDUAL DEPOSITS ··- 10,7 8 6.9 5 PUBLIC FUNDS DUE FROM NON-RESERVE BANKS 4,6 6 3.6 6 . ···--···· ' DUE FROM RESERVE BANKS ... _._ I CHECKS ON OTHER BAN KS.·-·-···· I I CURRENCY. GOLD SILVER 1 2 2.1 0 BILLS PAY ABLE.·-·············-··-•··••···················· 1,1 8 2.7 3 BILLS OF EXCHANGE II CERTIFIED SURPLUS FURNITURE AND FIXTURES·--···· CASH ITEMS ,20 0.0 0 NOTES REDISCOUNTED .......................... BONDS AND SECURITIES·-·-·······--··· : CAPITAL STOCK ............... ····························· UNDIVIDED PROFITS................................ 2 3 6 ,3 3 OVERDRAFTS LIABILITIES I ···-···· • DUE TO NON-RESERVE BANKS.... DUE TO RESERVE BANKS ................ C/ D'S, DEMAND ··········•···· 3 4 8.5 7 C/ D'S, TIME ........ 7 6 6.0 0 C/ D'S, FOR MONEY BORROWED ..... 1 3 0.0 0 CERTIFIED CHECKS·-·······- 2 3 2 .7 8 CASHIER' S CHECKS .................................... ··-··················· 1,3 8 5.5 6 RESERVED FOR INTEREST...._........ OTHER RESOURCES RESERVED FOR TAXES TOTAL ··················-····.. ·• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 8,4 9 4.6 1 ~; OTHER LIABILITIES .......... TOT AL .... •····················-··· ............ 1 914 9 4 .6 1 ➔~ OFFICERS AND DIRECTORS of ~ank of R: hland, DrakE Cre eh, Madi on Co ., A DIRECTORS c:&=Q?~~ &j;~ Cb:a~~~ t; ✓ c2"t£fA/ Odd https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1. COPY OF PUBLISHED STATEMENT of Citizens n" ri },, Danv~l le, Yell Co., NOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS....................... 15, 7 0 2.5 9 CAPITAL STOCK ................................................ 20,000.00 LOANS ON REAL ESTATE ................. 9, 7 9 9.6 4 CERTIFIED SURPLUS ................................ 2 0 0.0 0 UNDIVIDED PROFITS................................. 1,19 4.6 9 LOANS ON COTTON ...·-·---······· OVERDRAFTS _ _ _ _ _ _ _ , 5 S 0.1 2 BILLS PAYABLE _ _ _ __ BONDS AND SECURITIES ..................... 9 8 4.1 3 NOTES REDISCOUNTED ....................... . 1,4 0 0.0 0 SAVINGS ACCOUNTS _ _ _ ·······- 3,000.00 TRUST FUNDS .................. _ _ __ FURNITURE AND FIXTURES- ... BANKING HOUSE _ _ _ _ _ _ , OTHER REAL ESTAT"' - ------1 DIVIDENDS UNPAID- - - -··· ITEMS IN TRANSIT ...- ..•-·--·-··· INDIVIDUAL DEPOSITS.......................... BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ _ _ _ _ .. I DUE FROM NON - RESERVE BANKS _ _ _ _ _ _ __ I CASH ITEMS _ _ 3 .13 _ _ _ _ _, I DUE FROM RESERVE BANKS ...... .. DUE TO NON-RESERVE BANKS.... DUE TO RESERVE BANKS ................ 14,944.5 7 C/ D'S, DEMAND----·····•·····•······ t I C/ D'S, TIME ..............· - · · · · - - - - - CHECKS ON OTHER BANKS--····· I CURRENCY I GOLD SILVER _ _ __ _ _ _ _ _ ... OTHER RESOURCES- -··---·--··· 26,958.11 2,256.00 C/ D'S, FOR MONEY BORROWED..... 45.0 0 CERTIFIED CHECKS- - - · · · · ····· 1,5 2 .'.3,3 '.3 CASHIER'S CHECKS---············· 16.0 0 RESERVED FOR INTEREST.............. 1,819.0 0 .'.3 2 .71 RESERVED FOR TAXES _ _ _ , - - - -- --------'-----------.--, OTHER !_____:5::.....:0:.!,...::2:.....:Q:..._:4:..:.•:::. 5....:1:::_•_:~_ __;__ L---!. T~O:..:. T~A=L= = = = =···:::::····::::····:::::··•·=·••··c::.: ···:.:..·- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis LIABILITIES .................................. _.!.. T~O..!... TA=L·:::::· ····=············-·································•·····•·•···· 5 0,2 0 4.51 * OFFICERS AND DIRECTORS of Citizens BP>J:1., Danville, Yell Co., OFFICERS Pruide111 Vice Preride111 Cashier DIRECTORS } ~a, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ COPY OF PUBLISHED STATEMENT of )alark Baa" , Dalark , Dal as Co. , :Ark 1915 AT THE CLOSE OF BUSINESS ,_ _ _ _ _ _ _ _ _ _ R_E_s _o _u _R_c _E_s _ _• _ _ _ _ _ _ _ _ LOANS AND DISCOUNTS ........................ LOANS ON REAL ESTATE •••·-······· 12,291.00 8,000.6 6 LOANS ON COTTON ...............•..•....•.•........ OVERDRAFTS _ I I _ _ _ _ __ L _1A _B _ 1~L-1T _1 _E_s_ _;_ I ___________ .6 7 CAPITAL STOCK................................................ 10,000.00 CERTIFIED SURPLUS....•.........•.....•.•.... 3, 0 0 0.0 0 BILLS PAYABLE- - - · - --! FURNITURE AND FIXTURES. -... 1,165.00 SAVINGS ACCOUNTS _ _ _ ··•······ BANKING HOUSE _ _ _ _ _-! 1,300.00 TRUST FUNDS _ _ _ _ _ _ _ ! 140.0 0 DIVIDENDS UNPAID- - - · ········ INDIVIDUAL DEPOSITS _ _--1 I BILLS OF EXCHANGE-·-····-·--·· I DUE FROM NON - RESERVE BANKS'- - - - - - - - ·· DUE TO NON - RESERVE BANKS.... CASH ITEMS- - - - - - · - • · ·• DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANKS...... .. I 4,'lr 2 4.t1- 1 3,007.09 C/ D'S, DEMAND- - - - - ········ 1.6 0 C/ D ' S, TIME ...... ••······················----·· CURRENCY _ _ _ _ _ _ _ _ , 9 4 4.0 0 C/ D'S, FOR MONEY BORROWED ..... 1,661.8 0 CERTIFIED CHECK$ _ _ _ _ , GOLD OTHER RESOURCES. _ _ __ 13,515.94 PUBLIC FUNDS·- - - - - - ·· CHECKS ON OTHER BANKS ..·-······ SILVER. · - - - - - - - - · - - · - · · · · 3,000.00 NOTES REDISCOUNTED .......................... ITEMS IN TRANSIT _ _ _ _ _ , I _ __ _ _ _ _ __ UNDIVIDED PROFITS................................. BONDS AND SECURITIES •• _ .•.•••... OTHER REAL ESTATE·-·····-···-·· _ 2 46.11 CASHIER'S CHECKS..................................... 18.4 3 RESERVED FOR INTEREST....•........ 16 1.2 3 RESERVED FOR TAXES ......................... OTHER LIABILITIES.............................. ... TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 1,l .'.3 s.9 1 ~~ TOTAL ................................................................. 3 1, 3 3 8 .9 7 -:~ OFFICERS AND DIRECTORS of Dalark Ba 11' , Dal r ' , Dal as Co., .Ark OFFICERS al& tf~ v q/l~-- ice Preeidenl Qduc2 ~ r Cashier A11'I Caahie, DIRECTORS Jvr(3 ,cx3.A f ~ vL C§L ~ ~ ~ fr/~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of ardanellL J:nk Trust Co . , Dar ane.ilc, foll Co., & A AT THE CLOSE OF BUSINESS RESOURCES 73,723.82 CAPITAL STOCK ................................................ 5 0, 0 0 0.0 0 LOANS ON REAL ESTATE ................. 1 7.125.94 CERTIFIED SURPLUS- - -...... 8,000.00 LOANS ON COTTON ...................................... 19,992 .60 UNDIVIDED PROFITS.............................. 3,219 .36 OVERDRAFTS _ _ _ _ ................... . 7 0 7.0 4 NOTES REDISCOUNTED ..................... .. SAVINGS ACCOUNTS .................................. BANKING HOUSE _ _ _ _ _ _ 1 3,000.00 TRUST FUND$ _ _ _ _ _ _ .... OTHER REAL ESTATE _ _ __, 1,2 1 2:-1 5 DIVIDENDS UNPAID .................................. ... • 5,543 .11 INDIVIDUAL DEPOSITS............................ 9 7.8 8 8.21 BILLS OF EXCHANGE _ _ __ PUBLIC •FUNDS ................................................... 1,549.5 4 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS- - - - - · - - - - - DUE FROM RESERVE BANKS ...... .. I 1 7.5 0 18,624.64 DUE TO RESERVE BANKS................ C/ D'S, DEMAND _ _ _ _ __ CHECKS ON OTHER BANKS .......... .. 1,504 .96 C/ D ' S, TIME ............................ _ _ __ CURRENCY .... __ ........ .. 5,356.00 C/ D'S, FOR MONEY BORROWED..... GOLD- - - - - - - - · - · - • -.. .. 2 0.0 0 CERTIFIED CHECK$, _ _ _ _ ... I SILVER... _....· - - - - - -- -·-·--·..... .. 4 7 6.8 8 CASHIER'S CHECKS ..................................... 5 7 .6 6 RESERVED FOR INTEREST...- ........ I I 10,000.00 ITEMS IN TRANSIT _ _ _ _ _ 1 I !i 38,753 .97 BILLS PAYABLE...... _ _ _ _ _ 1 4,0 0 0.0 0 FURNITURE AND FIXTURES- 1 LIABILITIES . LOANS ANO DISCOUNTS ....................... BONDS AND SECURITIES.... - .............. I • OTHER RESOURCES _ _ __ 8,373.54 RESERVED FOR TAXES ......................... OTHER LIABILITIES.................................. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 8 4,5 7 3 .7 6 -;~ TOTAL ................................................................. 1 8 4, 5 7 3 .7 6 ~~ OFFICERS AND DIRECTORS of ~ar dane l lu R:ak Trust Co . , Dardanell e, Yell Co. , Ar' . & OFFICER$ PreBide,u Vice PreBid•nl on Caahi•r Aa,'I Cashier DIRECTORS ton (' •• co~ton L. C. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis n . J . Bo?,Cc e COPY OF PUBLISHED STATEMENT of J er mott L~nk & Trus t Co . , Dermot ~, Chicot Co . , ft: • NOV 1 o 1 5 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES 0.0 0 CAPITAL STOCK........................................ LOANS ON REAL ESTATE ...·--·-·-·- 8 1,0 2 5.0 7 CERTIFIED SURPLUS _ _ _ _ , LOANS ON COTTON ..·-···········-·····-············ 3, 050.4 3 OVERDRAFTS _ _ _ _ _ _ _ _ _ .. 6 10 ,2 4 BONDS AND SECURITIES_·-·····-··· 1, 076 .3 9 NOTES REDISCOUNTED ......................... 5,000.00 FURNITURE AND FIXTURES·-·-··· 2,000.00 SAVINGS ACCOUNTS _ _ _ _ _._ 1 3,252 .43 11,270.00 TRUST FUNDS-- - - - - - ····· 5,889 .28 DIVIDENDS UNPAID- - - ······· OTHER REAL ESTATE ____ .__ _ UNDIVIDED PROFITS _ __ BILLS PAYABLE _ _ _ _ _ _ , 5,000.00 8 3 7.5 2 17,500.00 ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS _ ____, 5 8, 299.46 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS................................................... 30,276.5 7 I DUE FROM NON-RESERVE BANKS DUE TO NON - RESERVE BANKS..... j CASH ITEM$ _ _ _ _ _ _ _ _ _ DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ......_ CHECKS ON OTHER BANKS ..·-····· I o, 0 0 56,339 .64 BANKING HOUSE _ _ _ __ ! 5 LOANS ANO DISCOUNTS...................... CURRENCY _ _ _ _ _ _ _ _ , I GOLD.._ _ _ _ _ _ _ _ __ SILVER·--··· - - · · · · · · - - - - - - -, 2 1,149.7 3 C/ D'S, DEMAND_ _ _ _ _ _ , 6 8 0 .9 7 C/ D'S, TIME .....·---························-··--··· 2,799 .00 C/ D'S, FOR MONEY BORROWED ..... 6 4 5.0 0 CERTIFIED CHECKS- - - · ···-·· 1,5 5 9.5 7 CASHIER'S CHECKS ................................... 7. 19 4 .7 5 7 3 4 .5 9 RESERVED FOR INTEREST .............. OTHER RESOURCES _ _ _ __, RESERVED FOR TAXES._ _ _ , OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 8 8, 0 9 5 .'.3 2 i: TOTAL ......................... 1 8 8, 0 9 5 .'.3 2 -l~ OFFICERS AND DIRECTORS l!'on kfn ;7 Ye_~ Dep•t ' of Dermot t Ba.k & Tr ust Co. , _1 1_ Dermot t, Chi cot Co . , Av,' 0. OFFICERS Henry Pruids,11 Thane • E . F. RernJ ey Vice Preaide111 G•.A . Franklin Caahier Cbas , F . Craak Aaa'I Cashier DIRECTORS H. hnne Henry Bordeaux E. F·. Remley J . A. Bennett Dave Kimpel R. P. St i nson J . C. Hoffman https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 191sltnl ~ ~ ljj 01;_~,_r:.2_ _ ._~ , - - - - - - - - - - - - - - - t n~ 1 }vf. DA V [ ~ &tN« ro . " 'J ,1j,14J$S J0 1< If COPY OF PUBLISHED STATEMENT of ~ change ~ 0 '1: & Tru~t Co ., Dermo tu, Chicot Co., k rJ•. AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES 22,653.20 CAPITAL STOCK ................................................ 5 0,0 0 0.0 0 LOANS ON REAL ESTATE.--········-· 93,471.25 CERTIFIED SURPLU 9--" - -········ 5,250.00 LOANS ON COTTON _ _ _ ··········· 12,000.00 UNDIVIDED PROFITS................................. 2,121.61 LOANS AND DISCOUNTS .........·-············ • 3 8 7 .4 0 OVERDRAFTS,_ _ _ _ _ __ BILLS PAYABLE- - -- - ···· ·--·-··· 11,723.61 NOTES REDISCOUNTED ......·-·-····-········ FURNITURE AND FIXTURES·-····· 2,929.8 3 SAVINGS ACCOUNTS .................................... BANKING HOUSE _ _ _ _ _ _ , 9,0 0 0.0 0 TRUST FUNDS ..·-··-····················--···-·····•···· .. OTHER REAL ESTAT"'" ~ -----1 1,634.01 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ _. 6 9 3 .1 5 BONDS AND SECURITIES- INDIVIDUAL DEPOSITS............................ 51,222 .19 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - -- 58,4 77.82 DUE FROM NON - RESERVE BANKS- - - - - - - -! DUE TO NON - RESERVE BANKS.... - - ··· 3 5 9,11 DUE TO RESERVE BANKS............... . , DUE FROM RESERVE BANKS-····- 2 7.122.04 C/ D ' S, DEMAN D ..·-···-······· - - - - 1 CHECKS ON OTHER BANKS·-·-······ 8 2 2.4 0 C/ D ' S, TIME- - - - - - - - ·- CURRENCY _ _ _ _ _ _ _ _ , 1,155.00 C/ D'S, FOR MONEY BORROWED ..... I GOLD _ _ _ _ _ _ _ _ _ _ _ I 3 5 5.0 0 CERTIFIED CHECKS ............ _ _ _ , 6 5 1.4 8 CASHIER' S CHECKS·- - - · · · · · · · ! CASH ITEMS _ _ _ _ _ _ _ 1 i I I SILVER _ _ _ _ _ _ _ _ _ _ , OTHER RESOURCES- · · - - - - - 1 ,8 8 3.8 9 1,001 .9 7 RESERVED FOR INTEREST .............. RESERVED FOR TAXES- - - 1 OTHER LIABILITIES , 1-:1=-:::8:. . . . :4.,1. 9::.....:5::......:7:...:·:....:4:..;::8_-;:_ _ IL_..!.. T~ OT ~A ~ •~ = = = = = · ···:.;:;···=····.::..·· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _ 1~ 8=-4...1,-=9--=5_7.:. . .:. .4.:........::8:.__"l_ . i' __;, '._____.!.. T~OT ..!..;A~L ~ ..=·-··:::::· ···:::···,·-:c::········=·····= = ·· = = = ···::::.'··· OFFICERS AND DIRECTORS of exchange -~n" & Trust Co., J ermott, ~hicot Co., OFFICERS t J.J . Jc. Cloy. Pr,aide,11 Dave Kimoel . ~ ,. r-- Vice Pruid.,11 D, '!" 1NO·. ' . D. Trotter . Caahi•r D. T. Gainea . AH'I Caahi•r DIRECTORS J . J . ... c . Cloy . Dave Kimpel - • D. Trotter . Chas . T. Duke . Mc Cullough . G• • Lambert. .I!; • ,.., .J:3 . • H. Foper . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis . \.•~lo( "..,,,o."' ' "'• ,.,.., fit COPY OF PUBLISHED STATEMENT of : a mers b .k & Trust Co ., Dardanelle, t ell Co . Ar ' AT THE CLOSE OF BUSINESS NOV J O1915 RESOURCES LIABILITIES 55,815.22 CAPITAL STOCK _ _ _ _ _ __ LOANS ON REAL ESTATE ..·-··········- 24,956.31 CERTIFIED SURPLUS _ _ _ _ .. 1,250.0 0 UNDIVIDED PROFITS......................... .... 3 10.5 2 LOANS ON COTTON ...-............................... BONDS ANO SECURITIES----·--···· 233.61 4 6 8.5 0 4,453.28 FURNITURE ANO FIXTURES---···· 3,548.64 SAVINGS ACCOUNTS _ _ _ ··········• BANKING HOUSE - --··-···--··--·- 4,850.09 TRUST FUNDS _ _ _ ······························ OTHER REAL ESTATE _ _ __, 43.5 5 DIVIDENDS UNPAID- - - · · ····•····· OVERDRAFTS·-·-·-······-····-----····•··· ITEMS IN TRANSIT- - - · - - · - · BILLS OF EXCHANGE _ _ _ _ , I I DUE FROM NON-RESERVE I BANKS CASH ITEMS- - - - - - - · · · II DUE BIL LS PAY AB LE-···············-·························· 7 0,2 5 2.5 9 PUBLIC FUNDS-----··············· 5,337.16 145.0 0 DUE TO NON-RESERVE BANKS ..... 3 5.41 DUE TO RESERVE BANKS ............-.. 19,897.4 3 CHECKS ON OTHER BANKS ..- ..... 19 9.4 1 C/ D'S, TIME- - - - · • · · · · - - - CU RR ENCY- - - - · • · · · - · ··--···-·-- 7: 7 4 2.0 0 C/ D'S, FOR MONEY BORROWED ..... 4 2.5 0 CERTIFIED CHECKS- - - -··· I SILVER- - - - - - - - · - · - · · · · 1,107.77 OTHER RESOURCES _···-··-----··-··-··· 2 8 .5 5 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis , 7 0 0.0 0 INDIVIDUAL DEPOSITS- - - - 1 FROM RESERVE BANKS...... - GOLD _ _ _ _ _ _ _ _ _ _ , 1 NOTES REDISCOUNTED ....·-···-····-····· ·· C/ D ' S, DEMAND_ _ _ _ _ _ , 1 ' 25,000.00 LOANS AND DISCOUNTS ........................ CASHIER' S CHECK$ _ _ __ 4,608.00 10 9.0 0 RESERVED FOR INTEREST.............. RESERVED FOR TAXES .........·-············· OTHER LIABILITIES TOTAL .................. ............................................. . 1 2 3, 5 6 7 .2 7 ~~ OFFICERS AND DIRECTORS of Farm ers B<J· ,.· & Trust Co., Da rdanell e, Yell Co., Ar', ~t""" ' ► OFFICERS ~ w. ·~· L. Lee D Preride111 R. H. Cunningham ,· •• \)t.C J~O• V ice Prerid•nl A. N. Falls Cashier J. c. Dacus A,a'I Cashier DIRECTORS ',V. L. Lee J. F. Stevenson R.H. Cunningham J. L. C. Hall A. N. Falls M. D. Hov1ell https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis '. c. Dacus ,. ---~ >\b' t ~;...., 1~ ~ u~il~\4.. ~,.,o 0 COPY OF PUBLISHED STATEMENT of ~armers & •,,~·chantc E nk, De ~ Arc, Prairie Go . , I NOV I O1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 64,186.05 CAPITAL STOCK _ _ _ _ .......... .. 25, 000.00 LOANS ON REAL ESTATE ................. 7.8 0 0.0 0 CERTIFIED SURPLUS ................................ 3, 404.00 UNDIVIDED PROFITS............................. 4, 7 9 2 .7 9 LOANS ON COTTON .................................... .. OVERDRAFTS ......................................................... 1,643.5 9 BILLS PAYABLE ................................................ BONDS AND SECURITIES...- ....- ....... 2,6 O 9 .3 G NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES- ....... 1,0 0 0.0 0 SAVINGS ACCOUNTS .................................... BANKING HOUSE ............ _ _ _ _ , OTHER REAL ESTATE _ _ _4 TRUST FUNDS _ _ _ _ ..................... .. 8 0.0 0 ITEMS IN TRANSIT _ _ _ __ BILLS OF EXCHANGE _ _ __ DIVIDENDS UNPAID _ _ _ _ .... INDIVIDUAL DEPOSITS _ _ _ .. _ 5,095.00 7 4,002 .79 PUBLIC FUNDS- - - -............... DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ _ , DUE TO NON - RESERVE BANKS.... CASH ITEMS, _ _ _ _ _ _ _ , DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ 4 2,968.58 C/ D ' S, DEMAND ................... _ _ _ ......... CHECKS ON OTHER BANKS......... .. 2 .64 C/ D ' S, TIME ............................................................ CURRENCY _ _ _ _ _ _ _ ..... 3, 944.00 C/ D'S, FOR MONEY BORROWED..... GOLD.... -_.......... _ _ _ _ _ _ _ _ .. 1 0 5 .0 0 CERTIFIED CHECKS .................................. SILVER _ _ _ _ _ _ _ _- ! 1,3 6 6 .0 5 CASHIER'S CHECKS- - -............. OTHER RESOURCES. _ _ _ _ _ , 4 0 0 .7 2 RESERVED FOR INTEREST.............. 2 4., 3 6 6.5 4 6 3 4 .8 1 RESERVED FOR TAXES•- - - 1 OTHER LIABILITIES k = . . .=. ··=.....= . . . c:..·-1-~1:.. .:3='. . .:2:::,_,.,=.2~0:.. .=_0.. •9~3~~::_~ :.; _........'......_....!. T~O..!_ T~A=.: L .. L_____.!. T y_ O..'..; TA ~L ~==== .... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis c.::. .... ====!-..:1:....=:'.3_:2=.!...:,2=--:Q:........::Q_:•~9_3=--•-:~__I :::::···=· ....:::··..,·:::.;:·--·=··-·= ..... OFFICERS AND DIRECTORS of i" i·me rs & "~~ chant s B nk , Da~ Arc, Pra1ri8 Co., Ar 1 • OFFICERS A. L. llrwin Pr111ide111 w. w. Bethell V ic, Pr,11ide111 Erwin Bethell Cashier W. M. Mc Queen Aaa'I Caahier DIRECTORS • A. L . Erwin J. A. King W. W. :Bethell Henry Nichols - - - - - - - - - - - - - - • T. Erwin~-- - - - - - -- -- -- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Home-Bank of DeWit t , DeW1tt,_,u-kansas Co . , Arkansas . AT THE CLOSE OF BUSINESS NOV I O1915 RESOURCES I 1 80,0 2 0 .7 7 LOANS AND DISCOUNTS 3 2,0 7 4 .2 0 LOANS ON REAL EST A TE _ ....... ···-· LOANS ON COTTON ..·-····-·---··-········ CAPITAL STOCK .............................................. _ 5 0,00 0.0 0 CERTIFIED SURPLUS ............................... 1 0,00 0.0 0 UNDIVIDED PROFITS ................................. 4,2 7 1.4 0 3 0,0 0 0 .0 0 -·--·--·-··-··-··· 3 7 7 .1 1 BILLS PAYABLE ........................................ ...... BONDS A N D S EC U R I TIES-----••··· 3, 5 3 6 .8 3 NOTES REDISCOUNTED ......-............... .. F URN I TURE A N D F IXT URES---··· 2,2 5 0.0 0 SAVINGS ACCOUNTS. BANKING HOU S E .·-·--· -·- 9, 1 4 0.0 0 T RUST FUNDS ......................... .................. ..... OTHER REA L ESTATE- -·-- - '.3 9 4 .1 6 DIVIDENDS UNPAID I T E M S IN T R A N SIT--·--·---···· 6 8 8 .9 0 INDIVIDUAL DEPOSITS OVERDRAFT S ' LIABILITIES ·····--· ... ···•··· ·- 1 4 2,9 0 5.1 6 BILLS O F EXCHA NGE PUBLIC FUNDS ············------·-··•···· 2 2,30 2 .9 7 DUE FROM NO N- RESER V E BANKS DUE TO NON-RESERVE BANKS ... 3,1 8 3 .f 2 CASH IT E M S DUE TO RESERVE BANKS........... ..... -···· DUE FROM RESERVE BANKS_. __ t I 9 8,2 1 7 .9 7 ..... 7 5 4 .E 5 CURR EN CY-------·-·-·--·---·-·-·· 3, 0 6 9.0 0 CHECKS ON OT H ER BANKS- ! C/ D ' S, DEMAND...·-············································· C/ D'S, TIME ............................. ··························•··· 6 , 6 7 3 .9 5 C/ D ' S, FOR MONEY BORROWED ..... I I II GOLD SILVE R--····-··--··-··--•-· 1 0 1 .0 0 CERTIFIED CHECKS .......... 2,1 5 4.0 6 CASHIER' S CHECKS 1,4 4 1 .5 5 ······· RESERVED FOR INTEREST. ........... OTHER R ESOURCES _·-·---·--···--··· RESERVED FOR TAXES ......................... OTHER LIABILITIES............................. ..... I TOTAL. ............................................... ............... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 3 2,7 7 8 .6 5 -l~ TOTAL... ........................... ·································· 3 3 2,7 7 8 .6 i::; ~ "'j: pea rr=inu arem ·TI DEC 27 1915 - I·-,,n ~.•. - ,. ,--- r~l"'" V I.:= OFFICERS AND DIRECTORS .__. of --....✓ ~ p OFFICERS Preriden& Jt:t/~.......,__.. vL.~ ViuPmidenl$'. ~{]i'aL/) Caahier • ~~d) DIRECTORS ~~~ C K ~~- (?.~ £(?~~~ tf~~~ Jr.Ji A'd-rU&..;' https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ;J JrO .M.DAVIS, »AN,t cow.1111,s1011u l~me-Bank nf DeWi tt, DeWi~~. Arkansas Co. , Aaa'I Cashiers; 1 COPY OF PUBLISHED STATEMENT of ,, -rchant s 9 / armers B:mk, '.Jumas. Desha Co . , NOV 1 0 191 ~ AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 51,679 .81 CAPITAL STOCK..·-··········································· 45,000.00 LOANS ON REAL ESTATE·-·•-·········· 5 9,624.56 CERTIFIED SURPLUS'- - - - · · ,o O 0.0 0 LOANS ON COTTON·---···-···-·--·--········ UNDIVIDED PROFITS- ---·· 2,115 .65 OVERDRA F TS _ _ _ _ _ _ _ ! BILLS PAYABLE- - - - - · · · 20,000.00 BONDS AND SECURITIES ____ ···· 1,000.00 NOTES REDISCOUNTED .... -................... 2,000.00 FURNITURE AND F I XTURES_._ 2,000 .00 SAVINGS ACCOUNT$, _ _ _ _ , 1,310.7 .'.3 BANKING HOUSE ...·-·-·· - - - - 1 9,584 .70 TRUST FUNDS- -- OTHER REAL ESTATE _ _ __, 4,400.00 DIVIDENDS UNPAID- - - - • - ······················· ITEMS IN TRANSIT- - - · - - ··-··· INDIVIDUAL DEPOSITS........................... BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- -- DUE FROM NON-RESERV E BANKS DUE TO NON-RESERVE BANKS.... ---··- --···· 8 2 0.0 0 DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS ...... . 10,443 .9 7 C/ D'S, DEMAND, _ _ _ _ _ ...... CASH ITEMS,- - - - -- I CHECKS ON OTHER BANKS- -····· 1 2,705 .12 4 4 3.41 10,225.00 C/ D'S, FOR MONEY BORROWED ..... GOLD·- - - - · · - - - · - · - · - - - - 1 15.0 0 CERTIFIED CHECKS•- - - - - 1 1,219 .81 CASHIER' S CHECKS..................................... 8 6 5.5 2 RESERVED FOR INTEREST...·-········ SILVER,_ _ _ _ _ __ _ ---! OTHER RESOURCES-·--···-······ 4,127. 4 C/ D'S, Tl ME ...........·-··-·-·········---- CURRENCY- - - - - - - - 1 I 67,56 7.46 6 0 8.16 RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL . ............·-·-······································- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 5 1,8 7 8 ,.'.3 7 ~r TOTAL .................................................................. 1 5 1,8 7 8 .3 7 ':~ OFFICERS AND DIRECTORS of I. rchant s ?; ·armers Bank, Dum as , De ha Co., OFFICERS H. Thane Preside111 S. _... . 3..;..nl:s Vic• Preside111 Llo., d R. llyrne Jeff Burnett A11'I Cashier DIRECTORS D. o Parte H. Th8 ne J . U . Cox s. J. Bernhardt https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis !. • COPY OF PUBLISHED STATEMENT of ~eoples B nk of IeV~lls Bluff, DeVE lls Bluf! , ~rairie Co , A- ov 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS .. -..····-············ 3 7, 2 7 7 . , 5 CAPITAL STOCK-·-····-----·- 13,550.00 LOANS ON REAL ESTATE.•·•-··········· 9,743 .3 8 CERTIFIED SURPLUS ................................. 45.0 2 LOANS ON COTTON _ _ _ _ ........ UNDIVIDED PROFITS................................. OVERDRAFT$ _ _ _ _ _ _ _ ··· Bl LLS PAY ABLE-······--····---······ BONDS AND SEC U RITIES--·-·· 1, 0 34.0 9 NOTES REDISCOUNTEO ...-·--···-··· ·· FURNITURE AND FIXTURES--··· 2,100.00 SAVINGS ACCOUNTS·- - - - - - ·- BANKING HOUSE _ _ _ _ _ _ _ , 2,750.00 TRUST FUNDS---··••····················· OTHER REAL ESTATE- - - - - ! DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS, _ ___, 3 1,9 6 0 .6 9 BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS- - - - - - · · - 26,440.8 4 DUE FROM NON - RESERVE BANKS DUE TO NON-RESERVE BANKS ..... CASH ITEMS_. _ _ _ _ __ DUE FROM RESERVE BANKS·-···- 6 9 .7 8 DUE TO RESERVE BANKS ........... ..... 11,146 .12 C/ D ' S, DEMAND----··········-········· 1 C/ D'S, TIME _ _ _ _ _ __ CHECKS ON OTHER BANKS_···-·••·· 1, 8 47.36 4,316.0 0 C/ D'S, FOR MONEY BORROWED..... GOLO _ _ _ _ _ _ _ _ _ _ _ l 8 1 0.0 0 CERTIFIED CHECKS _ _ _ _ , SI LVER _ _ _ _ _ _ _ _ _ _ I 1,4 5 6 .9 9 CASHIER'S CH EC KS .........·-···········••·•········- 6 0.0 0 OTHER RESOURCES-------··-·····-- 3,300.00 RESERVED FOR INTEREST.............. 1 0 0.0 0 CURRENCY. · - · - · - · - · - - - - - RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL.. ............................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 4, 0 0 4 .1 1 ~~ TOTAL ...................................... ,.......................... 7 4, 0 0 4 .1 1 -l~ OFFICERS AND DIRECTORS of Peoples Ba~ of IeVa lls Bluff, DeVal ls Bluf1 , Prairie Co , A, . OFFICERS Preaidenl H , Fl:rnd V i ce Preaidenl ,l. A. . -:1 t,....,______ Caahier JNO. M.-. ..DA VIS NK co.11.111 1ssI01<•• DIRECTORS Y, H. ~ II. l:lJ and https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~nnc1,., ro .J.M.MnC1intock COPY OF PUBLISHED STATEMENT of J tate Ban. 0. DecatJr fs ca ur , Benton Co., fl,,- 191 AT THE CLOSE OF BUSINESS LIABILITIES I RESOURCES LOANS AND DISCOUNTS ...................... 15,702.10 CAPITAL STOCK............................................... 10,000 .00 LOANS ON REAL ESTATE ................. 3,480.00 CERTIFIED SURPLUS ............................... . 1,400.00 LOANS ON COTTON _ _ _ _ _ , UNDIVIDED PROFITS_............................... 6 4 6.0 6 OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE·---·····················••· BONDS AND SECURITIES- - · -·· 1,028.4 5 NOTES REDISCOUNTED ...·--············ ... FURNITURE AND FIXTURES- 1,800.00 SAVINGS ACCOUNTS·- - - - 1 BANKING HOUS"' - - - - - -1 1,625.0 0 TRUST FUNDS- - - - -········· OTHER REAL ESTAT~ " --- - - - 1 2,763.5 9 DIVIDENDS UNPAID- - - -······ ITEMS IN TRANSIT _ _ _ _ _ , 5 5 .0 0 ... INDIVIDUAL DEPOSITS,_ __ BILLS OF EXCHANGE PUBLIC FUNDS- - - - - - · ·· DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... I CASH ITEMS-- - - - - - - · · · · · •· 148.0 0 DUE TO RESERVE BANKS ........... ..... DUE FROM RESERVE BANKS ...... . 9,996.00 C/ D'S, DEMAND•- - - ··························· C/ D'S, TIME ..................................·-························· CHECKS ON OTHER BANKS ... - ..... CURRENCY- - - - - - - · · - · · · · 2,182.00 GOLD- - - - - - - - - - 1 6 4 0.0 0 SILVER- - - - - - - - - - ! 1,121.7 5 18,977.24 9,518.59 C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECK$, _ _ _ _ , CASHIER'S CHECKS, _ _ __ RESERVED FOR INTEREST_............ OTHER RESOURCES- - · - - - · · · · RESERVED FOR TAXES•- - - 1 OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 0, 5 4 1 .8 9 ,~ TOTAL .................. 4 0, 5 4 1 .8 9 ~" OFFICERS AND DIRECTORS of Stat e Ban ~ r Decatur, fe catur, Benton Co., OFFICERS /kfv~ - Ovt~ Preridenl Vice Preridenl Cashi er a,,i,~ 14.n~ - A81'1 Caahiu DIRECTORS 0,/v~/~- $ t'va-i ~ ~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~- COPY OF PUBLISHED STATEMENT of ell Counu' Bank, Danville, Yeli Co., 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 64, 674 .6 5 CAPITAL STOCK- - - ················ ...... LOANS ON REAL ESTATE ..- ........... 2 5 0.0 0 CERTIFIED SURPLUS ................................. LOANS ON COTTON ..·-····-··•···•·····--········ l I 25,000.00 UNDIVIDED PROFITS ................................. 2,410 .31 2 2, 0 0 0.0 0 OVERDRAFTS- · - - - - - - · ····· 2 3 1.5 7 BILLS PAYABLE---························ BONDS AND SECURITIES----·--····· 2,834.46 NOTES REDISCOUNTED ......................... F URNITURE AND FIXTURES--···· '.3,0 0 0.0 0 SAVINGS ACCOUNTS _ _ __ BANKING HOUSE _ _ _ _ _ _ , 3,000.00 TRUST FUNDS'----····················· .. OTHER REAL ESTATc.___ __ 1,300.00 DIVIDENDS UNPAID _ _ _ _ _ , ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS- - - · · 38,572.53 BILLS OF EXCHANGE PUBLIC FUNDS....- - - - - - · · 4,019.44 DUE FROM NON - RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS- - - - - · - - - - · · · 5 0.0 0 DUE TO RESERVE BANKS·-········ ·-·· DUE FROM RESERVE BANKS ...... 14,4 9 4 .31 C/ D'S, DEMAND-················----••· CHECKS ON OTHER BANKS ..·-······· 3 7.6 7 C/ D ' S, TIME .............................................................. 2,285.00 C/ D ' S, FOR MONEY BORROWED ..... 5 1 5.0 0 CERTIFIED CHECKS .................................... SILVER- - - - - - - - - · - - - · - - - · · ·· 1,327.38 CASHIER'S CHECKS ..................................... OTHER RESOURCES _····----····· 1,720 .20 RESERVED FOR INTEREST .............. CURRENCY _ _ _ _ _ _ _ __ GOLD.... _ _ _ _ _ _ _ _ __ 3,298.06 41 9 .9 0 RESERVED FOR TAXES- - - 1 OTHER LIABILITIES L___...!. T ~O.T !...:A ~L ' = = = = = = ··:::c·····=····= ·····;_:;;····::.:..··]__'9;,.._5.,_....,7'-'"-2-0...,___,?:;,.....4....,_._~~._•_ _ _...:. T...;:; O...c.. T c.o A =L.=· ····=·····cc····,c..c···-= ·····=·····~····-·····-· ····-····-·····-· ········-···· - -~9_ 5 ~, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7_2_ 0_._2_4_~ _;;-__, OFFICERS AND DIRECTORS of Yel l Coun t Lank, Danvil le, Yell Co., i OFFICERS 1,o0. ~~ % ~ CJ?~ Viet Prttidenl ~ ~~-~~~~~ Cashier DIRECTORS ioh·~<e Vf\ CA ~ ~c{~ ~4-,LL~ Oll eeo ~ Ge,<-<,~,(_/' of.1./K. (fue,,. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis u,.A'.-'-'\ JNO. M- 1?.1ov. o" COPY OF PUBLISHED STATEMENT of J ank of o~~Grce, Earl e, Gritte n en Co. , l~ov 1 o1915 AT THE CLOSE OF BUSINESS RESOURCES LOANS ANO DISCOUNTS ........... ... .... LOANS ON REAL ESTATE_......... ..... LIABILITIES 1 9 2, 2 0 0 .C 1 CAPITAL STOCK- -- ··················•····· 50,000.00 2 7, 3 6 0.0 0 CERTIFIED SURPLUS ............................... . 2,000.00 U ND IV IDE D PROF I TS-··············- ··············· 4,4 0 9 .6 7 LOANS ON COTTON- - -- ····· OVERDRAFTS·--·-·- - - - - - ··· 2, 0 6 .'.3 .3 3 BILLS PAYABLE _ _ _ __ __ , BONDS AND SECURITIES-·-·---····· 4,0 0 5.5 4 NOTES REDISCOUNTED .................._... _. FURNITURE AND FIXTURES--··· 4,000.00 SAVINGS ACCOUNTS _ BANKING HOUSE .._. _ _ _ _ _ _ OTHER REAL ESTATE- - - - 1 2,323.5 8 I DUE FROM RESERVE BANKS- ···- 1 CHECKS ON ° OTHER BANKS- - ····· CURRENCY 2,525.40 DIVIDENDS UNPAIO _ _ _ __ I 1 0 0.0 0 INDIVIDUAL DEPOSITS......·-·················- 94,828.48 PUBLIC FUNDS- - -- - - ··- 9 5,19 4 .11 1 5, 9 0 8.6 '.3 DUE TO NON-RESERVE BANKS .... .'.3 5 .1 9 145.2 2 DUE TO RESERVE BANKS................ 7.8 2 .'.3 .3 0 C/ D'S, DEMAND•- - - - - - ··· 1,998.84 C/ D'S, TIME- - - - - - - - 1 5,561.00 C/ D'S, FOR MONEY BORROWED..... BILLS OF EXCHANGE _ _ _ _ , CASH ITEMS _ _ _ _ _ _ _ I _ _ ······ TRUST FUNDS·- -- -- - ····· ITEMS IN TRANSIT _ _ _ _ _ , DUE FROM NON - RESERVE BANKS _ 15,000.00 4,143.00 CERTIFIED CHECKS- ··-·······..................... GOLD•- - - - - - - - - - · ···· SILVER- - - - · - - - - - - - - · · 4,0 8 4.5 2 CASHIER' S CHECKS..................................... OTHER RESOURCES'- - - -··· 1,1'.36 .2 5 RESERVED FOR INTEREST.............. '.3 7 4.9 7 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL. ......................................................... .... _ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 6 8 6 1 0 ,8 2 " TOTAL... ............... ............................................... 2 6 8, 6 1 0 .8 2 -~: • OFFICERS AND DIRECTORS of Bank of C ~,erce, Earle, Cr ittenden Co., P:d'. OFFICERS e~ ~-u&~~-CMA. Pruidsnl !'\-~·~ DIRECTORS ~-Q)~ Q. Q. fv~(MA_ h .vJL-.; ~ · https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of 'ank of El · i.. s, El~ins, ftsh1ngton Co ., Av QV 1 0 915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 3 8,6 5 9.5 7 CAPITAL STOCK .............................................. 10,000.00 LOANS ON REAL ESTATE ................. 5,650.00 CERTIFIED SURPLUS ............................. . 1 6 7.5 0 LOANS ON COTTON ..·-·•·-·····-·····-··-········ OVERDRAFTS _ _ _ _ _ __ , 1 7 3.5 2 UNDIVIDED PROFITS- - - - · · · 1,361.19 BILLS PAYABLE---'---··•···················•• 7,000.00 NOTES REDISCOUNTED .......................... BONDS AND SECURITIES·-·-·-······· FURNITURE A N D FIXTURES--··· 1,700.00 SAVINGS ACCOUNTS _ _ _ _ ····- BANKING HOUSE _ _ _ _ __ , 1,700.00 TRUST FUNDS _ _ _ _ _ __ , OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ INDIVIDUAL DEPOSITS- - -··- BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS _ _ _ _ _ _ ! DUE FROM NON-RESERV E BANKS DUE TO NON - RESERVE BANKS ..... CASH ITEMS- - - - - - - - · - · · ····· DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS ........ 5,725 .78 C/ D ' S, DEMAND ................................................ . CHECKS ON OTHER BANKS ..·-······· 15.0 0 C/ D'S, TIME- - - - - - · · · · · · · · · ····· CURRENCY---·-··-·--····---··- 2,365.00 C/ D'S, FOR MONEY BORROWED ..... ---- 2 5 2.5 0 CERTIFIED CHECKS- - - · • · · · · · ------···· 9 2 1.8 6 CASHIER'S CHECKS ......_ _ _ _ 1 GOLD----·--·----- -- SILVER- -- OTHER RESOURCES_. _ _ _ _ 8 0.0 0 8,862 .91 2 5,099 .86 16 4.6 2 4,587 .15 RESERVED FOR INTEREST.·--····-·· RESERVED FOR TAXES- - -1 0TH ER LIABILITIES......·-···················· ..... TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 7, 2 4 3 .2 3 -¾~ TOTAL ................................................................ 5 7 2 4 3 .2 3 -;~ OFFICERS AND DIRECTORS of OFFICERS Pruide,11 1' . A. \J o ' t 3 Vic• Prooidenl ,.1. l, • Aaa'I Cashi er DIRECTORS J. • • b.1. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1i th ...i ... COPY OF PUBLISHED STATEMENT of Ba:nk of b,_ ?.oO I ElPa so, White Co,, AT THE CLOSE OF BUSINESS RESOURCES 1181 0 l AO LIABILITIES I LOANS AND DISCOUNTS........... ........... 15,1 9 1 .8 3 CAPITAL STOCK ................................................ LOANS ON REAL ESTATE ........... ..... 6,4 3 0.5 6 CERTIFIED SURPLUS ................................ LOANS ON COTTON ...·-·-··-······-··-·•····· 3,0 7 5 ,6 2 UNDIVIDED PROFITS ........ 1 4 5 .0 7 OVERDRAFTS--·--·---- BONDS AND SECURITIES_··--·--•·· FURNITU RE AND FIXTURES- ... BANKING HOUSE BILLS PAYABLE 1 0,0 0 0.0 0 9 4 1 .8 6 ··············-.. ..... , 1, 2 5 0.0 0 NOTES REDISCOUNTED ......................... 1, 6 3 6.4 0 SAVINGS ACCOUNTS 1,7 8 4.6 ·0 TRUST FUNDS ·····-··············· .. OTHER REAL ESTATE DIVIDENDS UNPAID .................................... 2 5.0 0 ITEMS IN TRANSIT INDIVIDUAL DEPOSITS .... 1 9,5 1 6 .8 2 BILLS OF EXCHANGE PUBLIC FUNDS ............... ... DUE FROM NON-RESERVE BANKS ··---··· DUE TO NON-RESERVE BANKS..... CASH ITEMS DUE TO RESERVE BANKS................ I DUE FROM RESERVE BAN KS·-···· 3, 28 6 .2 1 CHECKS ON OTHER BAN KS_ ..... 3 46.2 5 C/ D'S, TIME CURRENCY 8 6 8.0 0 C/ D'S, FOR MONEY BORROWED ..... 7 5 .0 0 CERTIFIED CHECKS ....................... ·········•· GOLD..·-•-···-··-·· SILVER--····-··--···--- 2 7 5.8 5 ....... C/ D'S, DEMAND 4 1 2 .5 0 ...... CASHIER' S CHECKS ............. 9 6 9.2 1 RESERVED FOR INTEREST .............. OTHER R ESO U RC ES-·•·-··-··········--······· RESERVED FOR TAX ES .....-.................. OTHER LIABILITIES TOT AL ........·-··-·--····························••······•···· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 3,1 1 5 ,3 9 J"'. TOTAL._............... -········ ................ .. 3 311 1 5 .3 9 . ._ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bank o f ElP::i:.o, ElPaso, White Co., A k O F FICERS DIRECTORS COPY OF PUBLISHED STATEMENT of Jank of E., .... lc1nd, En ~land, Lo~ohe Co., A:rl, NOV ., AT THE CLOSE OF BUSINESS ri 1M1' L I ABILITIES RESOURCES 25,210 .91 CAPITAL STOCK ........ ......................... .................................. 25,000.00 LOANS ON REAL ESTATE ................... 43,930.08 CERTIFIED SURPLUS . ......................................... . 2,500.00 LOANS ON COTTON .............................................. 8,277.00 UNDIVIDED PROFITS. ..... ....... ........ ......... .............. 22,820.46 5 1.5 0 BILLS PAYABLE- - - - - · · · · ·· BONDS AND SECURITIES_....... --........ 10,789 .85 NOTES REDISCOUNTED .............................. . ...... FURNITURE AND F I XTURES __..... 1,0 0 0.0 0 SAVINGS ACCOUNTS .............................................. .. LOANS AND DISCOUNTS........................ ! OVERDRAFTS.......... _ ....... _ _ __ BANKING HOUSE .....- ....... _ _ _ _ _ .. TRUST FUNDS...................................................................... ... . OTHER REAL ESTATE _ _ _-! DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT_ _ _ ..... --..... INDIVIDUAL DEPOSITS ......................................... 7 6,913 .98 BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS ..... ........... .............................................................. 6,545.00 ' DUE FROM NON-RESERVE BANKS CASH ITE MS ___________ , DUE FROM RESERVE BA NKS...... DUE TO NON-RESERVE BANKS..... 4, 7 5 6 .:l. 9 DUE TO RESERVE BANKS ............... ...... 29,405.6 2 C/ D'S, DEMAND,_ _ _ _ _ ............ . C/ D'S, TIME. _ _ _ _ _ _ __ CHECKS ON OTHER BANKS .............. . CURRENCY. _ .....· - - - - - - - -1 GOLD....· - - -· - -- - - - - -• SIL VER _ _ _ _ _ ...... _ ..........- .... --........ 12,260.00 C/ D'S, FOR MONEY BORROWED ......... 6 5.0 0 CERTIFIED CHECKS ............................... . .................. 133,2 9 CASHIER'S CHECKS•- - - - · · · · . ·· 2,:1. 0 0.0 0 RESERVED FOR INTEREST................ .. OTHER RESOURCES- - - - - ···· RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL . . ....................................................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 3 5, 8 7 9 .4 4 ~} TOTAL .......................... . 1 3 5, 8 7 9 .4 4 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of 3a:nk of Ea L,.nd, Enpland , Lonoke Co., OFFICERS Au'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Bank of Eudora, Eudora, Chicot County, .Arkansas • • I NOV AT THE CLOSE OF BUSINESS LOANS AND DISCOUNTS ..·-··················· 1 8,9 5 5 .3 7 CAPITAL STOCK ...·-·········································· LOANS ON REAL EST ATE·-········ -···· 2 5,2 9 6 .1 8 CERTIFIED SURPLUS ................................. - LOANS ON COTTON ........·-······•···••·-········ 1 5 0.0 0 OVERDRAFTS __ ···-·· 3 2 5 .7 0 BILLS PAY AB LE .........·-···································· BONDS AND SECURITIES---······ 1,9 2 5 .7 7 NOTES REDISCOUNTED ........................ FURNITURE AND FIXTURES---··· 2,5 0 0.0 0 SAVINGS ACCOUNTS ................................. _ BANKING HOUS~ 7, 5 0 0.0 0 5 3 4 .9 3 DIVIDENDS UNPAID ... ··•··············-··········· ------- 2 8,5 2 3.0 0 INDIVIDUAL DEPOSITS. BILLS OF EXCHANGE PUBLIC FUNDS DUE FROM NO ~- RESERVE BANKS_ DUE TO NON-RESERVE BANKS.... [ C A SH ITEMS DUE FROM RESERVE BANKS ......_ CHECKS ON OTHER BAN K L _. I UNDIVIDED PROFITS ............................ ... 2 5,00 0.0 0 TRUST FUNDS ..................................................... OTHER REAL ESTATc- ITEMS IN TRANSIT U11!' LIABILITIES RESOURCES -······ · 1 fl CURRENCY._ GOLD· - · -·· SI L VER -··-···-··-···-··-·--··· ... 1 6 .'.3 1 DUE TO RESERVE BANKS ................ 4 1,6 6 5.0 0 C/ D'S, DEMAND ............................ ..................... 4 9 4.8 0 C/ D ' S, TIME ..................... 5,6 6 2.0 0 .............. 1 7, 9 6 9.2 1 3 5,2 3 6.8·8 C/ D ' S, FOR MONEY BORROWED..... 4 0 8.5 0 CERTIFIED CHECKS .......... ················•····· 2,5 0 4.4 6 CASHIER' S CHECKS. ·····•·· 1 4 0.0 7 RESERVED FOR INTEREST .............. OTHER RESOURCES---··-··--·-·--···· RESERVED FOR Tlfl.XES OTHER LIABILITIES TOTAL ............................................................... _ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 0 7, 4 0 4.0 9 " -;(' ········· TOTAL .................................-............................. 1 0 7. 4 0 4.0 9 -:~ OFFICERS AND DIRECTORS of Bank of Et.c1o ~· a, Eudor a, Chicoc Co . , Ar k OFFICERS w. Graves Preaiden& E. M. Sleeker Vice Preaiden& M.Ca.shioll Cashier B.M.Lamar Au'I Cashier DIRECTORS E. S. Hilliard H W Graves E. M,Sleeker E.F.stevens https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of 3ank of tJYe: a Spr i ~g s_ Eureka S0r ings, Carroll Co. , A ·k. AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS ANO DISCOUNTS........................ 44,528.42 CAPITAL STOCK- - - - - - , LOANS ON REAL ESTATE-··-···-······ 2 2 6.2 7 CERTIFIED SURPLUS ..·-······················· . . LOANS ON COTTON _ _ _ _ ······· 14 .0 2 4-, 7 5 0.0 0 1 6 9.6 2 BILLS PAYABLE- - - ······················· BONDS AND SECURITIES--··-·-······ 21 5 .8 7 NOTES REDISCOUNTED ......................... FURNITURE AND FIXTURES--··· 2,750.00 OTHER REAL ESTATE-·-···---···-·-· ITEMS IN TRANSIT _ _ _ _ _ 9 6 5 .7 0 DIVIDENDS UNPAID ....... _ __ INDIVIDUAL DEPOSITS _ _ _ .._ 1 DUE FRO M NON - RESERVE 3,508.48 SAVINGS ACCOUNTS ............_ __ TRUST FUNDS- - - - - -·· BILLS OF EXCHANGE _ _ _ _ , I UNDIVIDED PROFITS................................. OVERDRAFT$ _ _ _ _ _ _ _ , BANKING HOUSE _ _ _ _ _ _ , DUE TO NON-RESERVE BANKS..... 4 8 7 .9 0 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS·-····· 10,456.0 9 C/ D ' S, DEMAND................................................. CHECKS ON OTHER BANKS.·--······ 9 2 .9 0 C/ D ' S, TIME .........·----············- - - · · CURRENCY.- · - · · - - - - - - - - -1 2,752.00 C/ D ' S, FOR MONEY BORROWED ..... GOLD _ _ _ _ _ _ _ _ _ _ __ 1,400.00 CERTIFIED CHECKS- - - -··· 501.r.11 CASHIER' S CHECKS ........·-·························· CASH ITEMS _ _ _ _ _ _ _ , SILVER _ _ _ _ _ _ _ _ _ , 29,501.26 PUBLIC FUNDS- - - -··············· 15.3 5 BANKS 10,000.00 OTHER RESOURCE$ _ _ _ _ ···· 12,260 .12 4,4 9 6.0 0 3 1.2 5 RESERVED FOR INTEREST .............. RESERVED FOR TAXES- - - 1 OTHEF! LIABILITIES <t 1.___..!6-L..::_LL::,_-,_::5~6~ 1:..!..9~3~~:._;-_ L____!_ T~OT ..'.cA ~ •= = = = = = = · = ····=·· ···=····::::...·· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis - - ~6L4~.5.L...1.6.1......,i1,,_,,._.9~3...L._•~;f__1 _'__..!_ T~OT -'--'A~L ~ ..=· ····::.:::····::: ···:··=· · ===== ···: :··.'.· OFFICERS AND DIRECTORS of Bank of Euraka Springs, Eurek a S~rings, Carroll Co., OFFICERS 11 . Ulc1.y .. illis, Pruidenl V ice Pruidenl J ••• ,,illis, Caahi er Aaa'I Caahi er DIRECTORS r . CL,, •. ,illis. ,J .i'~ ·od Bel ton, B. ,~. Tweedy, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis J. • .,illis, COPY OF PUBLISHED STATEMENT of 1ank of Lv ~ing Ena]s Ev r ning S!1ade , 3harp Co, , f', AT THE CLOSE OF BUSINESS NOV RESOURCES l " 1915 LIABILITIES LOANS ANO DISCOUNTS ..·-··················· 2 O, 3 4 2 .3 9 CAPITAL STOCK- - - - - · · · · · · 10,0 0 O.(i) 0 LOANS ON REAL ESTATE--············· 1,115 .90 CERTIFIED SURPLUS.................·-············ 6 8 0.0 0 UNDIVIDED PROFITS................................. 1,780 .29 LOANS ON COTTON _ _ _ _ ····· .8 7 BILLS PAYABLE _ _ _ _ _ _ , BONDS AND SECURITIES-·-···-······ 3 0 3.0 0 NOTES REDISCOUNTEO ......................... FURNITURE AND FIXTURES·-·-···· 1,100.00 OVERDRAFTS_ _ _ _ _ __ 6 0 0.0 0 BANKING HOUSE __._ _ _ _ , SAVINGS ACCOUNTS ............ _ __ TRUST FUNDS- - - - - -·· OTHER REAL ESTATE-·--····- DIVIDENDS UNPAIO .............•··-····••············ ITEMS IN TRANSIT- - -·--·-· INDIVIDUAL DEPOSITS_ ___, 1,994.45 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - - - · · · 6,823.25 DUE FROM NON - RESERVE BANKS DUE TO NON-RESERVE BANKS..... cASH ITEMS _ _ _ _ _ __ DUE TO RESERVE BANKS................ 1 DUE FROM RESERVE BANKS-...... 1 1,465 .60 C/ D'S, DEMAND---··························· C/ D ' S, TIME _ _ _ _ _ __ CHECKS ON OTHER BANKs__.. i 2,472.00 C/ D'S, FOR MONEY BORROWED..... I GOLD ... 167.5 0 CERTIFIED CHECKS.................................... SI LVER _ · - · · · - · · · · - · - - - - - - - 1 710 .7 .'.3 CASHIER'S CHECKS-- - - - · · · · · 1 CURRENCY RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ _ _ _ , RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES ~2_7!.._!7_:•~9_,9~~~~_ ., L___T ~O ~T~A~L===·=·····=·····= ·····=·· ···= ·····=·· ···=····=··•-:..l___;:3:::....::::8'.L., https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ___'.__T~O~T~A~L=·····=· ···-:::: ···:·= ··· = = = =·=·····: !___3..!......18.:µ;,,2,__..1__ 77[_,_;;;_ , 9"......_;;z_9-::_;~_ _J OFFICERS AND DIRECTORS of Bank of E ~ing Shae , Evti ing S a d8, 3ha: p Co. , A,.-. OFFICERS Pr.,id1n1 111 Stok-,s. V iet Pruidenl w N M"tcalf , Ca,hier Au'I Ca,hi,r DIRECTORS A Edwards , GE Cr~ig, r at~svill~ & Ev ninr Shan~ II " ,i S l'/e s t mo r !'\ J a.nd , https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Citizens 1..)2,.,.1~. , E~g land, Lono ~a Co., ~ov , "' AT THE CLOSE OF BUSINESS RESOURCES 01 LIABILITIES LOANS AND DISCOUNT$ _ _........, 5 3,5 1 0 .7 0 CAPITAL STOCK---··········--········- 25,000.00 LOANS ON REAL ESTATE ........·-······ 23,412.24 CERTIFIED SURPLUS ................................. 4,500.00 LOANS ON COTTON ...·-············-·-··-········ 5 2, 3 9 0.0 0 UNDIVIDED PROFITS................................. 4,013 .1 3 .9 9 BILLS PAYABLE _ _ _ _ _ _. 45,000.00 BONDS AND SECURITIES-·-·---·-··· 5 9.2 5 NOTES REDISCOUNTED .... -................. .. FURNITURE AND F I XTURES·-······· 1,636.23 SAVINGS ACCOUNTS ..................................- BANKING Housi::_ _ _ _ __ , 4,000.00 TRUST FUNDS ..·--··-·············•··-························ OVERDRAFTS_ _ _ _ _ __ OTHER REAL ESTATc - =--- - - - - 1 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS._ _ _ , 111,150.18 PUBLIC FUNDS, _ _ _ _ _ _ , 11,691.71 I I BILLS OF EXCHANGE DUE FROM NON-RESERVE DUE TO NON - RESERVE BANKS .... BANKS 7 5.2 7 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS·-····· 57,781.8 9 C/ D'S, DEMAND- - - · · ··-····················· CHECKS ON OTHER BANKS- -··· 3,605.02 C/ D'S, TIME _ _ _ _ _ _ _ _ , CURRENCY- - - - - - - - - · · · · 2,750.00 C/ D'S, FOR MONEY BORROWED_._ GOLD- - - · -··- · - - - - - - · · · · 2 0.0 0 CERTIFIED CHECKS .................................... SILVER- - · · · - - - - - - - - · - 2,5 41.5 5 CASHIER'S CHECKS ..................................... CASH ITEMS- - - - - - - - · · ·· I I I I OTHER RESOURCES _ _ __ 16 4.9 0 2 6 3.2 2 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ __ OTHER LIABILITIES ., L____:. T_:,: O...!. T ~A!::. L ====·=····=·····=····'"' ·····=····'"'····c:..!-L-...:?;::.~_0~1:.z.·i. .7__::8:....::..3..:.. :. ,1 ::::.....4.:._.·_,''°_ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis __:___.T!..O~T.!...!A~ L=.:··:::::·· ·::.:::·····:··:::.:·· · "' _..:..:2::........::0--= 1..._,7..:........:8=--3--'-.1_4:.__,_~_ , ·;:;: ·····::.:::····:::::·····::.:::····=·····:.::::· ···= ·····::::;·· · ·=:: ····::.:::·····:.:...· OFFICERS AND DIRECTORS of Citiz ens o"'r , E~~land, LonoKe Co., Ar • OFFICERS J. ~. Hicks/ Preaiden, ' 't Harry ualloway. Vice Preaiden, J~ , C. J.,. i,.;merson. Aaa't Cashier DIRECTORS J. n • .l!,D~land, J. E • .M.. Faver, Harry Galloway/ .l!i. Hi eke • W• .r.1. n'ilson/ ) https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _.11~ oollll 11!10~•· COPY OF PUBLISHED STATEMENT of :lm Sprin, ::;tatEJ R:m lr Elm Sprin gs, shi ng uOn Co. ' C, J' 7'l AT THE CLOSE OF BUSINESS NOV, " RESOURCES 1 3,6 2 2.4 9 LOANS ON REAL ESTATE ................. 2,7 9 0 .0 0 LOANS ON COTTON -···-················-·-········· .6 9 BONDS AND SECURITIES---··-····· · ............... 6:7 5 0.0 0 CERTIFIED SURPLUS ...... ······················· 2 9 0.3 0 BILLS PAY ABLE···-·········•··-··············-······•······ NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES--······ 1,3 4 6 .9 9 SAVINGS ACCOUNTS ...................... BANKING HOUSE 1,20 1 .7 7 TRUST FUNDS ........ OTHER REAL ESTATE f CAPITAL STOCK UNDIVIDED PROFITS ................................. 0 VERD RA FT S-····•-·-···-·····-···-······-·--·--······· I LIABILITIES I LOANS AND DISCOUNTS ................. ..... 1M5 DIVIDENDS UNPAID -- ••>0000000 H ·-······· ITEMS IN TRANSIT INDIVIDUAL DEPOSITS .......................... _ BILLS OF EXCHANGE PUBLIC FUNDS...... 1 7.30 3.2 3 DUE FROM NON-RESERVE DUE TO NON-RESERVE BANKS.... BANKS ····- 1 8 8.4 6 DUE FROM RESERVE BANKS ........ 4,4 1 7 .8 7 CASH ITEMS CHECKS ON OTHER BAN KS·-······ CURRENCY _____ . GOLD SILVER OTHER RESOURCES DUE TO RESERVE BAN KS ...·-····· ..... C/ D'S, DEMAND--···················· C/ D ' S, TIME .....·-···• 4 2 5.0 0 C/ D'S, FOR MONEY BORROWED..... 1 5.0 0 CERTIFIED CH EC KS....·-······-·········•··•········ 4 9 3.1 1 CASHIER'S CHECKS ..................................... 2 0.0 0 RESERVED FOR INTEREST.............. 1 7 7 .8 5 RESERVED FOR TAXES ......................... OTHER LIABILITIES.................................. TOTAL.. .........·--····· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ····•····· ····- 2 4,5 2 1 .3 8 -3~ TOTAL................................................... ............ 2 .1.15 2 1 .3 8 ~} OFFICERS AND DIRECTORS of Elm Spri n~~ ~tate Bank, Elm Spr~ngs, Was hington Co . , Ark O FF ICERS Presidenl Kib Terry, Viet Presidenl R. F. Muat a in, Ca, hi•r DIRECTORS J.G.Sebber , Beybiiro . Pe ay , A. P . Murphy , Kib Terry, O. F.Hel ls t e rn . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ,..Banking Dep't COPY OF PUBLISHED STATEMENT of l°a!'me rs B•. ,~i , Emnr son, ~o umbia Co., INOV AT THE CLOSE OF BUSINESS RESOURCES 1 9,6 1 2.1 2 CAPITAL STOCK ................................................ LOANS ON REAL ESTATE ................. 2 1,8 5 9.2 5 CERTIFIED SURPLUS .....................·-········ LOANS ON COTTON .........·-·····-·····---········ 15,3 16.5 4 UNDIVIDED PROFITS 7 5.3 3 BONDS ANO SECURITIES-··-··--····· FURNITURE ANO FIXTURES- ... BANKING HOUSE.·-··· I ..... 8 0 0.0 0 SAVINGS ACCOUNTS ............................. ···- 8 0 0.0 0 TRUST FUNDS DIVIDENDS UNPAID 1 1.0 6 ····· .. INDIVIDUAL DEPOSITS ............................ BILLS OF EXCHANGE PUBLIC FUNDS DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... CASH ITEMS DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS-····- 6,6 1 3.5 7 CHECKS ON OTHER BAN KS·-···· 1 0 0.0 0 CURR EN CY·---·--·· .. 8 0.0 0 CERTIFIED CHECKS...................... ............ ···-··-··· 1 2 0.3 2 13.C6 I 39 7.5 2 CASHIER'S CHECKS 1,5 9 7.0 7 , 28 0.6 9 5,5 5 4.3 9 C/ D'S, TIME C/ D'S, FOR MONEY BORROWED..... OTHER RESOURCES_. 2 ····-···············•····· 2,256.0 0 l SILVER C/ D'S, DEMAND ···- ···- GOLD. 10,00 0.0 0 NOTES RE DISCOUNTED OTHER REAL ESTATE ITEMS IN TRANSIT 25,00 0.0 0 •·· BILLS PAYABLE 5.0 0 ;q Hf- LIABILITIES I LOANS AND DISCOUNTS OVERDRAFTS T /'I RESERVED FOR INTEREST.............. RESERVED FOR TAX ES ..........-............. OTHER LIABILITIES TOTA' https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ········ ····- 6 9.2 46.2 6 ····· ···•· ., ;,_• TOTAL .................. ............................................... 6 922 46.26 .. -:: OFFICERS AND DIRECTORS of f arme rs Ba· l· , Emtr so n, Columbia Co ., OFFICERS T.S.GRAYSON Preaidsnl W.J.MALOCH Vic• Preeidenl J.B.LEE Cashier Au'I Cashier DIRECTORS T.S.GRAYSON A.J.TRAMMEL W. J • Al.ALO CH E.W. W.1.\RHEN w.o.WINGFIELD c.w.JEAN J.A.MALOCH https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis J.B.LEE COPY OF PUBLISHED STATEMENT of 1ercha nts ~ Planterc Re~t, Eudora, Cnic ot Co., f, AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES , 1 2 6 .5 1 CAPITAL STOCK ......................................... ..... 0 .8 3 CERTIFIED SURPLUS.......................... ..... LOANS AND DISCOUNTS........................ 2 LOANS ON REAL ESTATE ................. 4 .1.,2 5 LOANS ON COTTON ...·-···••················-········ UNDIVIDED PROFITS............................ OVERDRAFTS __ ·-····-····-···-··--·--·-······ 8 1 4 .9 8 BILLS PAYABLE .........·-···································· BONDS ANO SECURITIES-----·-··· 1 7 7 .3 0 NOTES REDISCOUNTED .... -................... FURNITURE ANO F I XTURES- ...... 2,6 1 5.3 2 BANKING HOUSE_··-·- 7 0 0.0 0 4, 0 2 9 .9 7 SAVINGS ACCOUNTS ................................ TRUST FUNDS OTHER REAL ESTATE ························ DIVIDENDS UNPAID .......................... ....... ITEMS IN TRANSIT INDIVIDUAL DEPOSITS.. ······················- 4 6,1 7 2.0 6 BILLS OF EXCHANGE PUBLIC FUNDS 1 1,1 5 8 .5 7 DUE FROM NON - RESERVE BANKS CASH ITEMS ' .. 2 5, 0 0 0 .0 0 DUE FROM RESER V E BANKS ...... _ 1,3 8 8 .7 0 DUE TO NON - RESERVE BANKS .... 7 0 0.0 0 DUE TO RESERVE BANKS................ 1 6,5 7 7 .2 8 C/ D ' S, DEMAND .................................. _............... CHECKS ON OTHER BA N KS·-····· 1,0 3 7.0 3 C/ D ' S, TIME ...._ CURREN CY a , 3 1 5.0 0 C/ D ' S, FOR MONEY BORROWED..... 8 0.0 0 CERTIFIED CHECKS.................................... ·-- GOLD SILVER-·-···-···-·· 1,3 4 6 .7 0 CASHIER ' S CHECKS 9 2.66 1 2, 7 4 3,2 0 ............ 9 3 3 .1 9 RESERVED FOR INTEREST.·-·········· OTHER RESOUR CES--···--·----·····--··· RESERVED FOR TAX ES.•·······-···-········· OTHER LIABILITIES................................. ' TOTAL ................................................ ········· •···- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis " 1 0 0, 1 2 9 .6 5 -.~ TOTAL... ............... _.............................................. 1 0 0, 1 2 9 .6 5 ~: OFFICERS AND DIRECTORS of ;6I' Chants ~ flant ers Bank, Eudora , Chicot Co., O F FICERS . H.Stephenson Presidenl f :·:·::;-' . , ,.., A. Feibelman Cashier i..v,.-c;o~ S 11.s,o,:« F.F.Covington Aaa'l Cashier DIRECTORS ·,- . H. Stephenson u. A. Feibelman J . W. Griffin B.L . Ross 1: . Blue stein https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis J . S.Hall ~/ I/ . B. L.Ross . A.Fischel . ~ Vite Presidenl Cahn COPY OF PUBLISHED STATEMENT of ~r i t tenu ~ • untJ Bank & Trust Co., ~~rle , C i"•,·,r:aer. Co , Ar I NOV AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS.................... 3 6,9 4 3£ 3 CAPITAL STOCK _ _ _ ........................ LOANS ON REAL ESTATE ............... . 10,603 .0 7 CERTIFIED SURPLUS............................. OVERDRAFTS _ _ _ _ _ __ UNDIVIDED PROFITS,_ _ _ _ _ .__ 6 6.12 30,000.00 5 9 3 .6 6 2,6 2 2.5 8 BILLS PAYABLE ______ ,.................... BONDS AND SECURITIES_·-··-·-··-·-- 1,071.2 5 NOTES REDISCOUNTED ...................... . FURNITURE AND FIXTURES.... - ... 4,350.00 SAVINGS ACCOUNTS ................................ BANKING HOUSE _ _ _ _ _ _ I 9,150.00 TRUST FUNDS .. - OTHER REAL ESTATE- - · - · · - - 1,376.5 5 DIVIDENDS UNPAID ................................. 2,990 .42 -------···· ITEMS IN TRANSIT _ _ _ ·---···· INDIVIDUAL DEPOSITS _ ___, 50, 755 .12 BILLS OF EXCHANGE_. ___ _ __ PUBLIC FUNDS.........• - - - - - - 1 21,298.08 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS..... 3.0 0 DUE TO RESERVE BANKS..·-···--·•--·· DUE FROM RESERVE BANKS·-···- 3 8,229 .86 C/ D'S, DEMAND................................................. CHECKS ON OTHER BANKS..- .... 5 9 7 .6 5 C/ D'S, TIME-------·---··----·----·--··· CASH ITEMS_. _ _•_ _ _ __ I LIABILITIES I LOANS ON COTTON _·-·-----·····•-------······ .... I O 1915 I CURRENCY--·--·· ,oo 8.0 0 C/ D ' S, FOR MONEY BORROWED ..... GOLD ____________________ .. 1 5 2.5 0 CERTIFIED CHECKS ................................ SILVER------------------··---·-·--···--·· 2,84 7 .7 2 CASHIER'S CHECKS ............................. .... .. OTHER RESOURCES--·-·-·-···---·----· 12.7 8 RESERVED FOR INTEREST............ .. I 3,077.85 7 4.4 2 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES................................ TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 111, 4 1 2 .1 3 ~~ TOTAL................. 1 11, 4 1 2 .1 3 . ;~- OFFICERS AND DIRECTORS of Critt endc. i1 Co unty Bank & Tinus t Co ., Erle, Cr:ttenden Co., AY' OFFICERS Louis Barton , PreBideni E Reisinger , V i ce Presidenl Albert Horner , Cashier Ass' I Cashier DIRECTORS Loui!, Barton , 1<' I. Padi neJ J · F. L R~i singer , J. HEtrdiA , https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of rka"1sa s Vl'llle y· Ban"!.,:, 1 Fo rt S~ith, Sebastain Co., A i.• . AT THE CLOSE OF BUSINESS RESOURCES LIABILIT I ES 1 00,000.00 LOANS AND DISCOUNTS..................... 392,666 .10 CAPITAL STOCK............................................ LOANS ON REAL ESTATE .....·-·-······ 7 3, 0 3 0 .? 5 CERTIFIED SURPLUS, _ _ _ _ .. LOANS ON COTTON - - - - · -········· 2 6 0.0 0 UNDIVIDED PROFITS.............................. 11,344.0 7 OVERDRAFTS-----··· - - - - - - 7 8 8 .1 8 BILLS PAYABLE- - - - - -! 25,000.0 0 BONDS AND SECURITIES---·--···· 2,561 .94 NOTES REDISCOUNTED _ __ FURNITURE AND FIXTURES--··· SAVINGS ACCOUNTS _····- - -····- BANKING HOUSE _ _ _ _ _ _ , TRUST FUNDS ..· - · · · · · · · - - - - - ·· OTHER REAL ESTATE- - - - - ! DIVIDENDS UNPAID .....................·-············ ITEMS IN TRANSIT _ _ _ __ 5,2 0 7.5 .3 INDIVIDUAL DEPOSITS _ _ _ ···· BILLS OF EXCHANGE- - - - 1 PUBLIC FUNDS.......·---············· DUE FROM NON-RESERVE BANKS DUE TO NON - RESERVE BANKS ..... CASH ITEMS- · - · - - - - - - - · · · · DUE TO RESERVE BANKS ............... . 13 3,409 .92 11 (:\35 0.0 9 2 7, 19 9,3 1 1 4 , 2 6 0.5 7 DUE FROM RESERVE BANKS_..... 92,282.94 C/ D'S, DEMAND---····-····················· 3,705.0 0 CHECKS ON OTHER BANKS ...-...... . 9,894.8 1 C/ D'S, TIME- - - - - - - - - 1 30,871.2 5 CURRENCY- - - - - - - · · · 7.5 4 7.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD _ _ _ _ _ _ _ __ _ SILVER..·-•····-····-··------··- 4 7 2 .5 0 3,939.04 CERTIFIED CHECK$ _ _ _ _ _ , CASHIER'S CHECKS ....... .................. ........ 2,394.9 7 115.6 1 RESERVED FOR INTEREST_............ OTHER RESOURCE$ _ _ _ _ _ , RESERVED FOR TAXES ......................... OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 9 2, 6 5 0 .7 9 ~i- TOTAL ................................................................. 5 9 2 , 6 5 0 .7 9 ~:- OFFICERS AND DIRECTORS of Arkan sas Va l ~Jy Bank, Fort Sm~t h , 3obas a:n Co., OFFICERS John c. Gardner Presidenl c. B. Speer V ice Presidenl - G. E. Lenning Cashier Ass't Cashier DIRECTORS w. J. Echols James F. Read Jamee B. McDonnough Ru.dou lph Ney H. Moulton C. R. Breclcinredge https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Jank of ta"t~rn Ark anqa 2, Forres~ Ci~v , Saint irancis Co ., Ark AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND D I SCOUNTS ........................ 1 3 7,709.56 CAPITAL STOCK...................................... 30,000.00 LOANS ON REAL ESTATE-·-·-•······· 9, 7 8 3 .1 4 CERTIFIED SURPLUS ...._ _ __ 30,000.00 LOANS ON COTTON ...................................... 2,275.00 UNDIVIDED PROFITS..............-............... 2 3,9 8 9.0 2 OVERDRAFTS- -· · · - · · · - - - - - - 1 , 696 .36 BILLS PAYABLE- - - -··········- BONDS AND SECURITIES---·-·-··· 31,724.05 NOTES REDISCOUNTED .......................... FURNITURE AND F I XTURES·--··· 1,800.00 SAVINGS ACCOUNTS .................................... BANKING HOUS ► ------1 6,000.00 TRUST FUNDS- - - · - - -··· OTHER REAL ESTATE _ _ __. 6 7 3 .8 6 DIVIDENDS UNPAID .................................. ITEMS IN TRANSIT _ _ _ _ _ _ .. 2,246.63 BILLS OF EXCHANGE_ _ __ I DUE FROM NON-RESERVE INDIVIDUAL DEPOSITS _ _ _ , DUE TO NON - RESERVE BANKS.... I CASH ITEMS- · - - - - - - - · ·· 10 0 .9 3 DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANKS ...... _ 1 14,138 .67 C/ D'S, DEMAND.....· - - - - - · ······· CHECKS ON OTHER BANKS--··· 1,070.9 0 C/ D'S, TIME ...............·-··· ....................................... CURRENCY- - - - - - · -···--·- 18,725.00 C/ D'S, FOR MONEY BORROWED..... 4 8 0.0 0 CERTIFIED CHECKS- - - - · · · ··· 3,5 0 2.0 0 CASHIER' S CHECKS ................................... 7 9.0 0 RESERVED FOR INTEREST.............. GOLD_ _ _ _ _ _ _ _ __ SILVER _ _ _ _ _ _ _ _ _ , OTHER RESOURCES _ _ __ 211,372 .71 PUBLIC FUNDS ................................................. 3, 171 .31 BANKS 7.5 0 10, 0 0 0.0 0 2 9,8 0 7 .1 8 RESERVED FOR TAXES ........·-·············· OTHER LIABILITIES............................. .... . TOT AL ...·-··········-····-···-·····-··························- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 3 5.1 7 6 .4 1 -lE- TOTAL ................................................................ . 3 3 5, 1 7 6 .4 1 -lE- OFFICERS AND DIRECTORS of ~an k of E~~t 0rn Arkan sas, Forre st Ci t; , Saint fraDcis Co. , Ar OFFICERS Hiffffi.ffffl PreBide111 Hiiiti J ams HfflJfft.Ufflffl Fussell V ice Preeide111 • Beck r ( John • Alduson Cashi er J . T. Fondren A88'1 Cashi er W. ~. Campbell DIRECTORS J am a Fussell A. Becker John w. Alderson A. J . Vaccaro s. H. l4a.nn J . T. Fondren https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis E. P. Taylor W. 1. Campbell Joel E. Wynne COPY OF PUBLISHED STATEMENT of B~nk of F~rdyce, Fordyce, Dallas Co., ""v, AT THE CLOSE OF BUSINESS l • RESOURCES LOANS AND DISCOUNTS............... LOANS ON REAL ESTATE ...·-···--···· 238,877 .34 CAPITAL STOCK- --···················· 1 0 0,0 0 0.0 0 41,467.5 0 CERTIFIED SURPLUS _ _ __ 17. 0 0 0.0 0 UNDIVIDED PROFITS............................. . 5 2 1 .3 5 5,811.0 5 BILLS PAYABLE _ _ _ _ __ , BONDS AND SECURITIES-·----····· 6,812.90 NOT ES RED ISCOU NTED ...·-···················· FURNITURE AND FIXTURES--···· 2,250.00 SAVINGS ACCOUNTS ............ _ _ _ , BANKING HOUSE _ _ _ _ _ _ , 101" LIABILITIES LOANS ON COTTON .... ·---··••···-·········- ..... OVERDRAFTS _ _ _ _ _ __ r, 1 12,000.00 TRUST FUNDS _ _ _ _ _ _ ······ 3 7 0.0 0 11,19 0.6 7 25 9.4 c.. OTHER REAL ESTATE- - - - - l DIVIDENDS UNPAID .....· - - - · · · · ITEMS IN TRANSIT- - - - - - · - · · · INDIVIDUAL DEPOSITS _ ______, 13 2, 9 1 7.5 6 BILLS OF EXCHANGE--·-··--··-····· PUBLIC FUNDS .................................................... 17.30 7.3 5 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ..... 72,569.95 7 2.1 5 DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS-...... 11 4, 4 4 7 ,1 3 C/ D'S, DEMAND _ _ _ _ _ _ , CHECKS ON OTHER BANKS.-....... 2 8,Q 7 C/ D'S, TIME ......·-----············•· CURRENCY _ _ _ _ _ _ _ _ , 19,8 8 6.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD- - - - - - - - - - 1 8 9 2.5 0 SILVER.-·····-···-····-···-···-····-··--···---·-··- ... 2,272 .8 9 CASH ITEMS- - · - - - - - -1 81,8 9 1 .C 6 CERTIFIED CHECKS _ _ _ _ _ , CASHIER'S CHECKS---············· 210 .1 5 RESERVED FOR INTEREST............. OTHER RESOURCES __· - - - -···· RESERVED FOR TAXES ..........•............. OTHER LIABILITIES TOTAL. ...........,............................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 3 9, 5 2 7 .8 S -l~ TOTAL ............................................................... 4 3 9, 5 2 7 .8 3 -ll- OFFICERS AND DIRECTORS of &nk of Fvrd:; ce, Forlyce, Dallms Co., OFFICERS Presidenl E . A. ACRUMAN Vice President L. AMIS Cashier E . CI REWi'ON Au't Cashier DIRECTORS A. R. RAl KS c. E, A ID~D THO,! J. G. rATTILW r. L. L DR. F. E• TRllRSBLL B , Rir:KEY ., 11T . I DEDUAN F,. ITARRISON JNO. H. HAHP'1'0N T. COLLINS .... V. R. HARRIS T ;J'Tr, i4Y 11 Hr. J. 'T'. Ri11hardaon ha 'bee;n on., of our Di!'"3C tors unti 1 f w days a • o Wh13n hl3 tr - rlsferred alJ. hiA stoGk in this bank. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis I COPY OF PUBLISHED STATEMENT of .3ank of L,re,.,1an', Fo~eman, Li ~le Hiver Co . , A- 1•1 "rn5 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 3 4,0 5 4.16 CAPITAL STOCK_ · · · • · · - - - - - ' 20,000.00 LOANS ON REAL ESTATE ................. 25,000.00 CERTIFIED SURPLUS ............................... 5,000.00 LOANS ON COTTON ...·-···-•··········-····••········ ti, 1 4 5.2 6 UNDIVIDED PROFITS............................... 2,9 6 5 .1 2 0 VERD RA FT S-·----····-·····-··-····-·-·-·-•·•······ 1 0 6.1 5 BONDS AND SECURITIES--··--···· 6 0.6 0 FURNITURE AND FIXTURES--··· 2,000.00 SAVINGS ACCOUNTS, _ _ _ __ , 1,4 6 6.6 5 TRUST FUNDS- - - - - - - · · ···· BANKING HOusc-~- - - - - 1 OTHER REAL ESTATE _ _ _-! 't. - :i 1 r Ai < :, • I •, ,.. ( [ .- - D IVI DEN DS UNPAID ..............·-····-············ ' ; : ITEMS IN TRANSIT~ : ----1 INDIVIDUAL DEPOSITS- - -··' i i'-1.. , :.... E ; - , BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS} • ) c.- E r:.- - r - - ···· DUE FROM NON-RESERVE BANKS·- - - - - - - · · - ··· DUE TO NON-RESERVE BANKS .... j CASH ITEMS, _ _ _ _ _ _ _ , ~ I• DUE TO RESERVE BANKS................ I 2 :1.,5 0 0.0 0 B\Ll,..S !"A'(ABL~---···••·•················· '-' 8 6 7.8 0 l . I .r t.- 23,336.5 3 •.. DUE FROM RESERVE BANKS-·-··· 3,009.96 C/ D'~'. D_EMAN D ................................_,;·-.,··········· CHECKS ON OTHER BANKS.--•····· 3,072.09 ~ / P'S,, ,;~ME._........... .......................................... CURR EN CY....·-··--·-····-·-···-·-·····-·-···-···· 1,257.00 GOLD- - - - - - - - - - · · · 727.50 SILVER ..........·- - - - - - - · · - - · · · · · 1,117.3 3 3,886.00 CERTIFIED CHECKS ................................ ~ I I" 19 6.8 5 RESERVED FOR INTEREST .............. OTHER RE SOU RC ES·-··---·-•-····--······· /\ L :t - RESERVED FOR TAXES _ __ OTHER LIABILITIES TOTAL...............·--··························· ............... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 :,, B 8 4 .5 0 ~~ TOTAL .................. 7 6.8 8 4.5 0 :: OFFICERS AND DIRECTORS of Bank of F0r 0 man, Foreman, Li t ~le Ri ver Co ., A> OFFICERS /J -~ ~ ~~j Prniden& - ~ Caahier Au'I Cashier DIRECTORS ~rl~ a J -lrz4~d c{i ~~' WI~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ ____._e/:Q_~..._...,.~ . • COPY OF PUBLISHED STATEMENT of a,1k of L "Y]'.lin , Fr&nkiin, Izard Co., l\r' AT THE CLOSE OF BUSINESS RESOURCES I LOANS AND DISCOUNTS ........................ 1 8,5 6 7 .7 2 LOANS ON REAL ESTATE .... ........... 9 1 5.0 0 CAPITAL STOCK.................. ....................... LOANS ON COTTON ...·-···········•····-····- ···· 1 0,00 0.0 0 CERTIFIED SURPLUS .... .......... ··········•·· 5 0 0.0 0 UNDIVIDED PROFITS....... ·····-················ 9 4 9.3 3 0 VERD RAFTS _··-·-·-··--··--···--·---······ . 1 4 3.4 8 BONDS AND SEC UR ITI ES---·····-··-·· 3 4.5 0 NOTES REDISCOUNTED ......................... FURNITURE AND F I XTURES- .... 1,3 5 0.3 0 SAVINGS ACCOUNTS ............... ·····•·········· - BILLS PAYABLE ..... ··········•····"······················ 5 0 0.0 0 BANKING HOUSE--···· I' LIABILITIES TRUST FUNDS ·············•······· OTHER REAL ESTATE - - - · - · - - DIVIDENDS UNPAID ..... ······•·•·••····•············ ITEMS IN TRANSIT INDIVIDUAL DEPOSITS BILLS OF EXCHANGE 1,3 6 4.26 1 5,6 5 1.0 1 PUBLIC FUNDS I DUE FROM NON - RESERVE BANKS 5 0 9.5 4 DUE TO NON-RESERVE BANKS .... CASH ITEMS- · · - - ·--· -- ---·-···· DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANKS ........ 4,5 2 7 .1 4 CHECKS ON OTHER BAN KS-··-······ 6 1 4.0 0 CURR EN CY-·-····-··-···-·•·-·····-·-·····--··- ···· 1,2 0 5.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD.·-······-···-··-··--···-·-·---····-···--··-··••····· 2 5.0 0 CERTIFIED CHECKS ..... .............. ............. SILVER--·-·- 8 4.66 CASHIER' S CHECKS I C/ D'S, DEMAND ....................... .......................... C/ D'S, TIME ............................................................ • ....... 5 .1 2 RES~RVED FOR INTEREST .............. OTHER R ESOU RC ES _·--··-·---····· RESERVED FOR TAXES OTHER LIABILITIES TOT AL.. .... -..•...... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ··········••--·- 2 8,4 7 6 .3 4 ..,. TOTAL..·-·····••······ -· ·····•• 6 .6 2 ·•··········-········ 2 8,4 7 6,3 4 ~: OFFICERS AND DIRECTORS of 3ank of F ~nhlin, Franklin, Izard Co., Ar, OF F ICERS J. n. Smith Preaiden, W. C.Gaeton Vice Preaidenl T. W.Sirnpaen Caahier Au't Cashier DIRECTORS J. n. Sm 1. th H. Gaet•n " W . L.Ga ■ ten " R.J.Eate ■ .A.. F. Ba tterten Mel eurn, , Ark . Frank ) in , Ark. R . C . Ga ■ tan T.W.Simpa n https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis " COPY OF PUBLISHED STATEMENT of of Fulton, Fu.lton,Hempstead Co., Arkansas. Bank IHOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........................ 1 6,7 4 9 .9 2 CAPITAL STOCK...................................... ········ LOANS ON REAL EST ATE -·······- ...... 2 3,8 6 5 .3 5 CERTIFIED SURPLUS .............................. .. LOANS ON COTTON .___ ..... 7 3 .1 2 BO N DS AND SECURITIES---··-··-·· 7.5 0 FURNITURE AND F I XT U RES--···· 2,4 2 5.0 6 NOTES REDISCOUNTED ..................... __ SAVINGS ACCOUNTS ................................ BILLS O F EXCHAN G E INDIVIDUAL DEPOSITS ·- PUBLIC FUNDS ... I I CASH ITEMS- .. 69 0 .1 6 3,4 48 .1 0 CHECKS ON OTHER BANKS--······ 2 5.0 0 2,3 2 1 .7 7 C/ D ' S, DEMAND ................................... ···••·••·•···· C/ D'S, TIME ... ···············"············ CURRENCY 9 1 4.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD_. 3 47.5 0 CERTIFIED CHECKS.................................... I 1,5 3 4. 8 DUE TO RESERVE BANKS........... ._.. DUE FROM RESERVE BANKS ........ I 2 DUE TO NON - RESERVE BANKS .. -···· I ....................... DIVIDENDS UNPAID 1 1 8 .7 8 DUE FROM NO N -RESERVE BANKS - TRUST FUNDS OTHER REAL ESTATE _ _ _ .__ ITE M S I N TRANSI T ..................,..... BILLS PAYABLE -- BANKING HOUSE 1 7~1 2 5.0 0 UNDIVIDED PROFITS. ···················•··........ ·····---··-···-· OVE R DRA F TS __ . I LIABIL IT I E S I SILVER _ .. 1,0 2 2 .9 8 CASHIER' S CHECKS OTHER RESOURCES 3,2 77 .3 6 RESERVED FOR I NT ER EST-··-········ ............. 1 1,9 6 6.9 0 16 .2 8 RESERVED FOR TAX ES..·--············-···· . OTHER LIABILITIES I I TOT AL.. .... -·-·········· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ... J 5 2,9 6 4.8 3 ~-..- ... TOT AL..·-·····••······•·········· ··········-······················ 5 229 6 4 .8 3 ~: OFFICERS AND DIRECTORS of Ban k of Fu 1 t .rn , Fulton, Herup s tead Co. , A.,., OFFICERS Preridenl P +,tl .T , J . Vice Preridenl _r: . -I , Caahi er Aaa'I Cashier DIRECTORS zr • J. T. rton https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Fulton , " . n " ,...olumbu . 1, . " " COPY OF PUBLISHED STATEMENT of Ci tL. ens ,_; • n:-. , ? aye~t vi lle, Wa s~ing ton o. , A-~ IM>V IO 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 2 4,8 8 5 ,3 9 CAPITAL STOCK .............................................. LOANS ON REAL ESTATE·--··- ······ 10, 7 0 4 .7 5 CERTIFIED SURPLUS ...... _ __ LOANS ON COTTON ..·-···-····-···.. -·-···...... 2 5.4 8 OVERDRAFTS _ _ _ _ _ __ 1,9 6 2 .1 2 BILLS PAYABLE _ _ _ _ _ .., 2 8.0 0 1 41 .1 0 NOTES REDISCOUNTED _ __ FURNITURE A N D F I XTURES- 187.50 SAVINGS ACCOUNTS, _ __ _ ..,_ BANKING HOusi::~ - - - - -1 TRUST FUNDS .................................................. .. OTHER REAL ESTATi::~ _ ___, DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT_ INDIVIDUAL DEPOSITS.......................... .. _ _ ···-·--·· BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUND$. _ _ _ _ _ _ ... DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... 5 9 0.0 0 DUE TO RESERVE BANKS.............. DUE FROM RESERVE BANK$_ ..... 9,931.8 7 C/ D'S, DEMAND ................................... ............. . CHECKS ON OTHER BANKS. -..... 5.5 4 C/ D'S, TIME _ _ _ .._ _ _ _ _ , CASH I TE M S_ _ _ _ _ __ , CURRENCY _ _ _ _ _ _ _ _ , t GOLD.. _ __ __ . SILVER _ __ _ _ _ _ _ _ ... 2, 3 0 3.0 0 C/ D'S, FOR MONEY BORROWED..... 6 5.0 0 CERTIFIED CHECKS _ _ _ ....... 6 9 2 .8 1 OTHER RESOURCES _ _ _ _ _ , 5 0 0.0 0 UNDIVIDED PROFITS............................. .. BONDS AND SECURITIES ___ ...... ... 10,000.0 0 CASHIER' S CHECKS ...... _ 3 4,9 9 2 ,J 2 1,850.00 _ __ RESERVED FOR INTEREST.............. RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL. .. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 9, 3 3 2.4 4 ~" TOTAL.. ................ ............................................... 4 9, .3 3 2.4 4 i\ OFFICERS AND DIRECTORS of Cit izens i3e"'l:\, Fayettevi lle, Washing ton Co . , P,;:-'- OFFICERS J.C.'"hite Preridenl E , T,.NettJesbip Vice Preaidenl T.I. Abshier Cashier Au'I Cashier DIRECTORS J.C. "hi ta ~. r,, NAttl c ship J.L. itclle ll ··1. • Dowell _ __ _ _ Jay Fulbri ht . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of ~i tize ns ..:i~11h , for ~man, Little River Co. , p._-,.' INOV l AT THE CLOSE OF BUSINESS RESOURCES O1915 L IABILITIES I - - - - - - - - - - - - - - - - - - - - - - - - - ' - - - - -- - - - - - - - ~ - - - - - - -- - - -- -- LOANS AND DISCOUNTS ........................ 3 6,314 .12 CAPITAL STOCK............................................ . 15,000 .0 0 LOANS ON REA L ESTATE····-·-•••·••· 16,862.73 CERTIFIED SURPLUS'- - - -·· 15,000.00 LOANS ON COTTON .......·--····-··-····- ...... 11,300.00 UNDIVIDED PROFITS..............·-················ 5,176 .13 OVER DRAFTS _ _ _ _ ·-·-·--·-········ BILLS PAYABLE- - - - - · · · · · · BONDS AND SE CURITIES- - - ·-··· 1.5 0 F URNITURE AND F I XTURES---··· 1,230.00 SAVINGS ACCOUNTS _ BANKING HOUSE _ _ _ _ _ _ I 3, 0 0 0.0 0 TRUST FUNDS _ _ _ _ _ _ ····· NOTES REDISCOUNTED ....................... ,. _ _ _ ····· OTHER REAL ESTATE---·•-·--·· DIVIDENDS UNPAID ......_ __ ITEMS IN TRANSIT- - - - · - · · · INDIVIDUAL DEPOSITS _ _ _ 1 BILLS OF EXCHANGE-·-·-·-----····· PUBLIC FUNDS- - - ························· 1 2 3 .9 3 DUE FROM NON-RESERVE BANKS DUE TO NON - RESERVE BANKS.... 7 3 4.5 5 CASH ITEMS. - - · · - · - - - - - - - • DUE TO RESERVE BANKS.............. _ DUE FROM RESERVE BANKS ....... 19,671.92 CHECKS ON OTHER BANKS--····· 18 3.9 0 4 3,924.20 C/ D'S, DEMAND _ _ _ _ _ _ , C/ D'S, TIME ........................ _ _ _ __ 12,076.15 3,022.00 C/ O'S, FOR MONEY BORROWED..... GOLD _ _ _ _ _ _ _ _ _ ··-•··• 3 4 .'.3.5 0 CERTIFIED CHECKS _ _ _ _ _ , SILVER- - - - - - - - -- -···· 1,9 5 0 .16 CASHIER'S CHECKS ................................... 8 4 4.8 7 RESERVED FOR INTEREST-··-·····- 1,000.00 CURRENCY.__ ._ _ _ _ _ _ _ , OTHER RESOURCES _ ____ ·· - · · ·· RESERVED FOR TAXES _ __, OTHER LIABILITIES TOTAL ................................................ ,................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 9 3, 8 7 9 .8 3 ~~ TOTAL .................. 9 3 8 7 9 .8 3 ➔i- OFFICERS AND DIRECTORS of Citizens ] ?n \ , For0·nan, L... ttl e River Co ., AY' OFFICERS G Ce.nube Preridenl P P Idnd eay V ice Preridenl A Ca,hiu !"red. I"' :::_ tt Au' I Caahier DIRECTORS T' G C::..nq:be 11 Thoa Dollarhi e L.B • .Andereon R • • 1ind https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ JNO. M~ DAVIS A&NI( ~0.IIWliSIO.iftt COPY OF PUBLISHED STATEMENT of 'irst Sav_ g;:; Bark, •ayet,evill e, lashingGon Co., A,,· • INOV O1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 3,794.00 CAPITAL STOCK..................· - - - ··· 1 0,00 0.00 LOANS ON REAL ESTATE ........... ...... 8 7.5 3 9 .9 7 CERTIFIED SURPLUS .............................. . 5,000.00 LOANS ON COTTON- - - - - · · · · ···· UNDIVIDED PROFITS- - --··· 7 0 4.6 9 OVERDRAFTS- - - - - - - · ··· BILLS PAYABLE- - - - - · ····· 5,0 0 0.0 0 BONDS AND SECURITIES--·-···· NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES--··· SAVINGS ACCOUNTS-- - - - · · · ·- BANKING HOUSE _ _ _ _ __ TRUST FUNDS- - - - - - · · ···· OTHER REAL ESTATE _ _ __, 7 0 0.0 0 DIVIDENDS UNPAID _ _ _ __ ITEMS IN TRANSIT_ _ _ _ _ , INDIVIDUAL DEPOSITS, _ _ _-1 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ _ _ __ !I 77,7 13.6 3 DUE FROM NON-RESERVE DUE TO NON-RESERVE BANKS...• BANKS CASH ITEMS_. _ _ _ _ _ _ __ DUE FROM RESERVE BANKS ...... _ 3.5 0 DUE TO RESERVE BANKS........... ..... 7.18 0 .8 5 C/ D'S, DEMAND _ _ _ _ _ _ _ , CHECKS ON OTHER BANKS_ ..... . C/ D'S, TIME- CURRENCY- - - - - - - - ! C/D'S, FOR MONEY BORROWED..... GOLD..._ _ ._ _ _ _ _ _ _ _ _ , CERTIFIED CHECKS .................................... SI LVER·--·--·· · · · - - - - - - - - 1 CASHIER' S CHECKS- - -············· OTHER RESOURCES- - - - · - - · ··· RESERVED FOR INTEREST.·--········ - - - ····························· 8 0 0.0 0 RE.SERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOT AL ......·-·-······ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 9 9, 2 1 8 .3 2 ~~.. TOTAL ........................................ 9 9,2 1 8 .3 2 -:: https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Fir st Sav :n~~ Bank, Fayetteville, iash1ngton Co., j\,- if. OFFICERS DIRECTORS COPY OF PUBLISHED STATEMENT of 7ountain ~·11 Bank, Fount~in Hil l, Ashley Co ., AT THE CLOSE OF BUSINESS .' RESOURCES LIABILITIES I 10,000.0 0 LOANS AND DISCOUNTS..................... 6,686.24 CAPITAL STOCK.............................................. LOANS ON REAL ESTATE ................. 3,949.26 CERTIFIED SURPLUS............................ . 1,0 0 0.0 0 UNDIVIDED PROFITS,- - - - · · · 7 4 3.6 9 .38 2 .2 9 BILLS PAYABLE- - - - - · ····· 1,000.00 19 .4 0 NOTES REDISCOUNTED .....·-·····-·-···•·•·· 8 4 .3.0 7 SAVINGS ACCOUNTS_.................... ··········- 2,000.00 TRUST FUNDS.................·- - - -····· LOANS ON COTTON _ _ _ _ ······· OVERDRAFTS _ _ _ _ _ __ BONDS AND SECURITIES-·---···· FURNITURE AND FIXTURES- ... BANKING HOUSE _ _ _ _ _ _ , OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID.................................... ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ ··- BILLS OF EXCHANGE _ _ _ _ 1 PUBLIC FUNDS'- - - - - - ··- DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS..... CASH ITEMS-··--··----·--·---···· DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ 8, 576.84 CHECKS ON OTHER BANKS__ ..... GOLD _ _ _ _ _ ___ _ _ _ 1 SILVER- - - - - - - · - - - · · • - C/ D'S, DEMAND- - - - · · · · · ·········· C/ D'S, TIME ...............·-····· · -- - - ·· CURRENCY _ _ _ _ _ _ _ _ ._ 1,446.00 C/ D ' S, FOR MONEY BORROWED ..._ 45.0 0 CERTIFIED CHECKS _ _ _ _ , 3 2 5.5 9 10,09 8 .10 CASHIER'S CHECKS ..................................... 8 5 3.21 5 7 8 .6 9 RESERVED FOR INTEREST .............. OTHER RE SOU RC ES-·--···-····-·-·-······ RESERVED FOR TAXES ......................... OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 4, 2 7 3 .6 9 ·H· TOTAL-................ 2 4 , 2 7 3 .6 9 ~~ OFFICERS AND DIRECTORS of T 1. ;I .. vr s. ~ ~ount ain rJ-i J 1 Bank, Fount2i n Hi -~, Ash ey Co ., Ad OFFICERS E.W.Gates, Croseett,Ark,, Preaiden1 G.W.Meare, Fountain Hill Ark., Vice Preaidenl Leslie J.savage, Cashier John C.Riley, Au'I Caahier DIRECTORS E.W.Ga.tee, G.W.Mears. A.G.Pierce. L.W.Dillard •._ _ __ Leslie J.savage. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis " co•Juss10"• COPY OF PUBLISHED STATEMENT of . 'le llr oy Be. ,~ • lng Co • , Fayett eville, Washi~gton Co., A~ AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS............. ..... 2 8 5, 8 5 3 ,1 9 CAPITAL STOCK ...........· - - ---1 50,000.00 LOANS ON REAL ESTATE-···-- -·- 1 2 2, 7 9 8 ,7 9 CERTIFIED SURPLUS- - - - 1 15 0, 10 0.0 0 UNDIVIDED PROFITS................................. 20,503.5 6 LOANS ON COTTON _ _ _ _ ······ 2 8 5.6 5 OVERDRAFTS _ _ _ _ ·-··-·-·-···· BILLS PAYABLE---··-··-······-········ NOTES REDISCOUNTED .......................... BONDS AND SECURITIES---·---··-••· FURNITURE AND F I XTURES--·•• 1,626.20 SAVINGS ACCOUNTS _ _ _ _ .. BANKING HOUSE _ _ _ _ _ _ , 7.00 0.0 0 TRUST FUNDS _ _ _ _ _ __ 113,516.4 2 I OTHER REAL ESTATE.·---··-· DIVIDENDS UNPAID........· - - -··· ITEMS IN TRANSIT _ _ _ _ _ _ ··· INDIVIDUAL DEPOSITS- - - - 1 214,545.04 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS'- - - - -- ··· 91,8 41.7 3 DUE FROM NON - RESER V E BANKS CASH ITEM$ _ __ _ _ __ 99,212.76 DUE TO NON-RESERVE BANKS ..... DUE FROM RESERVE BANKS ........ 17 5,921.70 CHECKS ON OTHER BANKS--.... 2,087.52 C/ D'S, TIME ...... •·········-·-·························-·••··········· CURRENCY- - - - - - - - - · ··· 5,8 0 3.0 0 C/ D'S, FOR MONEY BORROWED..... C/ D'S, DEMAND---··················•·· 1 ,2 2 7.4 5 CERTIFIED CHECK$ _ _ _ _ , SILVER- - ··- · · - - -- - - - , 5 0 3 .3 1 CASHIER'S CHECKS- - - - GOLD_ _ __ _ _ _ _ _ _ _ 13 .4 2 DUE TO RESERVE BANKS ... -...... .... . 1 58,586.0 7 1 0,097.6 5 RESERVED FOR INTEREST.............. OTHER RESOURCE$ _ _ __ RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAi https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 0 9, 3 1 9 .5 7 ➔} TOTAL .................. _.............................................. 1 15.6 8 7 0 9, 3 1 9 .5 7 ~:, OFFICERS AND DIRECTORS of ,cllroy Bar ing Co., Fayett ville, Washiagton Co. A• Aaa'I Cashier i, I https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis l t"; • I'( - COPY OF PUBLISHED STATEMENT of ~lant ers 0ank & Tru. t Co ?or .L"est City, Saii.t t ]·rauci s Co. , .. 1, . AT THE CLOSE OF BUSINESS OV l O191 LIABILITIES RESOURCES LOANS AND DISCOUNTS _ ___, 58,527.5 8 CAPITAL STOCK ................................................ LOANS ON REAL ESTATE ................. 1 6,214.00 CERTIFIED SURPLUS........................... LOANS ON COTTON .....- .............................. 3,026 .92 UNDIVIDED PROFITS ............................... .. OVERDRAFTS_. _____ _ _ _ _ .. 2 8 3 .8 8 BILLS PAYABLE- - - - -... BONDS AND SECURITIES----·-· 5 6 1.3 3 NOTES REDISCOUNTED .......................... FURNITURE AND F I XTURES .... - ... 3,454.06 SAVINGS ACCOUNTS .................................. .. 2,467.23 DIVIDENDS UNPAID ................................ .. ITEMS IN TRANSIT- - - - - · - - INDIVIDUAL DEPOSITS........................... BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ _ _ _ _ ... DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS..... CASH ITEMS _ _ _ _ _ _ _ _ _ .... 3 4 8 .9 7 DUE TO RESERVE BANKS .............. .. DUE FROM RESERVE BANKS ........ 23,486.24 C/ D ' S, DEMAND _ _ _ _ .............. CHECKS ON OTHER BANK5 -..... 2,259 .28 C/ D'S, TIME _ _ _ _ _ .................... CURRENCY _ _ _ _ _ _ _ _ _ , 5,764.00 C/ D'S, FOR MONEY BORROWED..... ... _ .... _ _ _ _ _ __ .... 9 1.5 0 CERTIFIED CHECKS ................................. . SILVER _ _ _ _ _ _ _ _ _ .. 1,370.81 CASHIER' S CHECKS ..................................... OTHER RESOURCES _________ .... 2,050.00 RESERVED FOR INTEREST.............. GOLD.. _ 1,328.59 TRUST FUNDS _ _ _ _ _ __ BANKING HOUS~ - -----, OTHER REAL ESTATE- - - - < 3 4,375.0 0 7 3,691.0 9 9, 951.4 7 5 5 9 .6 5 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL.. ................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 1 9, 9 0 5 .8 0 ~~ TOTAL ................................................................ 1 1 9, 9 0 5 .8 0 ';I' OFFICERS AND DIRECTORS of 1lanters Ben~ &.Tru t Co ., f Forrest City , Saint Francis Co. , t: "r • OFFICERS br., er Pr111iden1 J , r,' , Srnaers Vice Pre•idenl H P . GJII:in CaBhier I •1 rs. t• . Gjlli r. Aaa'I Cashi er NO. M. DAVIS ~ COJUIIIS,Q~ DIRECTORS 0 !W i ·s T . !3 . GrN:>n 'l , 0 , r'i t ', ,- . t:. i ck https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C '71 .1 KC .t COPY OF PUBLISHED STATEMENT of "' tat e Ban: -,f Fouke, Fouke, ~il l er Co ., INOV l O191 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES 11,527 .30 CAPITAL STOCK- - - - - - 1 1 o,00 0.0 0 6,294.95 CERTIFIED SURPLUS ................................. 1,000.00 LOANS ON COTTON ......•...•........•............. UNDIVIDED PROFITS ............................... 9 2 2 .8 1 OVERDRAFTS_ · - - - - - - · · • · • · · · BILLS PAYABLE- - - - - - 1 BONDS AND SECURITIES_····-·-······ NOTES REDISCOUNTED _ _ _ , LOANS AND DISCOUNTS.....•...... ····•·••·I LOANS ON REAL ESTATE ....•........... FURNITURE AND FIXTURES-·-··· 1 , 220.0 7 SAVINGS ACCOUNTS •................................ BANKING HOusi= _ 2,283 .8 9 TRUST FUNDS _ _ _ _ _ _ _ .. _ _ _ _ _, OTHER REAL ESTATE- - - · - - DIVIDENDS UNPAID- - - - - 1 ITEMS IN TRANSIT- · - · - - - , INDIVIDUAL DEPOSITS.....•................... BILLS OF EXCHANGE- - - -1 PUBLIC FUNDS•- - - - - ··········•···· DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS _ _ _ _ _ _ _ _ DUE TO RESERVE BANKS ................ 1 DUE FROM RESERVE BANKS- ..... 4,691.42 C/ D ' S, DEMAND ..................................•............... CHECKS ON OTHER BANKS•.._ ..... CURRENCY _ _ _ _ _ _ _ _ C/ D'S, TIME •..· - - - - - - - 1 1 7 3 2.0 0 C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECKS ...................... ............ GOLD......•·-··-····· ·· · - - - - - - SILVER. •••.. _ _ 1 4,790 .19 _ _ _ _ _ _ _, 9 1 .1 3 CASHIER' S CHECKS- - -············· 12 7 .7 6 RESERVED FOR INTEREST•............ OTHER RESOURCES •• _ . _ __ RESERVED FOR TAXES._ _ _ , OTHER LIABILITIES.................................. TOTAL... ...................•......................................• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 6, 8 4 0 .7 6 ,J~ TOTAL... ............... ........... 2 6, 8 4 o.7 6 ➔t- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Stat e Banh of Fouke , Fou e , l• i ller Co • , A -k . OFFICERS rfZ»JZl~ ~ ~~£22;4~ Vice Preei denl vfY~ ~ Ass'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of ~-i:mk of a.:.1 L"tt, Gille i"t, Arxans as Co . , {J • 1 I NOV 1 n 1915 AT THE CLOSE OF BUSINESS RESOURC.ES LIABILITIES LOANS AND DISCOUNTS...... ................ 74,601 .98 LOANS ON REAL ESTATE_········ -·-· 9,786 .71 CAPITAL STOCK...................................... LOANS ON COTTON _ _ _ _ _ , 1,512 .36 OVERDRAFTS.·---·······----····· BONDS AND SECURITIES _ _ _··· CERTIFIED SURPLUS _ _ __ 4,000.00 UNDIVIDED PROFITS _ _ __ 1,5 7 4 .91 BILLS PAYABLE ................·-······················ ..... 10 0.0 0 SAVINGS ACCOUNT$. _ _ _ __ , BANKING HOUSE __ ._ _ _ _ _ , 4,307 .9 9 TRUST FUNDS.................................................... OTHER REAL ESTATE _ _ _-! 1,200.00 DIVIDENDS UNPAID- - - · · · ········· ITEMS IN TRANSIT _ _ __ .. 148.5 0 _ , INDIVIDUAL DEPOSIT$. _ _ _ , BILLS OF EXCHANGE _ _ _ _ , DUE FRO M NON-RESERVE BANKS CASH ITE JwJS _ _ _ _ _ _ _ __ DUE FROM RESERVE BANKS·-····· PUBLIC FUNDS- - - ························ 5 4.16 DUE TO NON - RESERVE BANKS ..... 148 .7 8 DUE TO RESERVE BANKS................ 3,58 7 .04 C/ D'S, DEMAND.................· - - -········ CHECKS ON OTHER BANK $.__.... CURRENCY _ _ _ _ _ _ _ _ _ _ ._ C/ D ' S, TIME- - - - - - - ·· 2,379.00 _______ OTHER RESOURCES- - - 49,067.02 1,407 .17 13,101.3 8 C/ D'S, FOR MONEY BORROWED..... GOLD._ _ _ _ __ _ _ _ __ SILVER _ __ 10,000.00 NOTES REDISCOUNTED ......._.............. . 2, 7 6 9.5 5 FURNITURE AND F I XTURES- 20,000 .00 CERTIFIED CHECKS................................ 1 1,551.5 :l. CASHIER'S CHECKS- - - - - - 1 2, 700 .10 RESERVED FOR INTEREST ..·-········· ···--···· RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL. ... ····-- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 0 1, 9 9 9 .0 8 ~~ TOT AL..·-············· ............................................ . 1 0 1, 9 9 9 .0 8 ;:- OFFICERS AND DIRECTORS of Ban k of G llwtt, Gille tt, Arkansas Co., fi,-·, OFFICERS J,H,Martin, Preaidenl A,M,Lowe, Vice Preaidenl H,E,Martin, Cashier C,H,Swinehart, AH'I Casllier DIRECTORS J,H,Martin A,M, Lawe, W W Lowe A,H,Richter, J,W,A,Norden, L,A,Black, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis F , E , Mart i n, COPY OF PUBLISHED STATEMENT of ~ank of G~ 11:,am, Ci 11 am, Sevier Co . , A.,,' INOVI O1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND D I SCOUNTS ......................... 21,0 8 3,3 9 LOANS ON REAL ESTATE ................. - . . . . _ 1,935.00 CAPITAL STOCK............................................................................. 12, 500.00 . . ..... 2 5 0.0 0 LOANS ON COTTON . . ....... . . -....................................... UNDIVIDED PROFITS. . . .................................................. . 8 3 9.9 9 OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE- - - - -··· 5,0 0 0.0 0 BONDS AND SECURITIES- ......- -.......... 8 5.7 5 FURNITURE A N D FIXTURES. - .... 1,400.00 CERTIFIED SURPLUS- -- NOTES REDISCOUNTED . . . . . .............................. . . SAVINGS ACCOUNTS ....................... ... . . . . ............. . BANKING House...__ _ _ _- ! 9 0 0.0 0 TRUST FUNDS _ _ _ _ ........ ............................... OTHER REAL ESTATE- - - - ! 7 2 5.0 0 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ ·. ·--... - . . . INDIVIDUAL DEPOSITS ............................... .... . BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS . --.. - - - - -..... DUE FROM NON-RESERVE BANKS DUE TO NON - RESERVE BANKS . . .. CASH ITEMS _ _ _ _ _ _ _ 1 DUE FROM RESERVE BANKS. ......... _ 41.9 0 DUE TO RESERVE BANKS ...................... 4, 445.15 C/ O'S, DEMAND _ _ _ _ _ __ 2 5.0 0 C/ D'S, TIME ............................... . . . . . . . . . . . . . . ............. ... . . . .. ... . . ..... . ........ .. CURRENCY- - - - - - - - 1 5 9 7.0 0 C/ D'S, FOR MONEY BORROWED ........ GOLD _ _ _ _ _ _ _ __ _ , 11 0.0 0 CERTIFIED CHECKS ....................· - - - 1 SILVER- - -- - - - - - - 1 11 9.0 7 CASHIER' S CHECKS _ _ _ ................. . CHECKS ON OTHER BANKS_ ........ 12,145.4 0 310.0 0 3 8 7.4 2 RESERVED FOR INTEREST................... . OTHER RESOURCES _ _ __ RESERVED FOR TAXES- --1 OTHER LIABILITIES ............................................. TOTAL......... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 1, 4 6 7 .2 6 ➔} TOTAL ...................................................... 3 4.4 5 3 1, 4 6 7 .2 6 ➔~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Bank o f. G· J l'iam , Ci llham, evi er Co., A.,,'- OFFICERS AH'I Caahier DIRECTORS COPY OF PUBLISHED STATEMENT of Jank of GL n~ ood , G enwood, Plke Co ., • 0 A"'· V 1 n 191 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 31,19 4 .11 CAPITAL STOCK _ _ _ _ __ , 15,000.00 LOANS ON REAL ESTATE·-·-········ 11,6 2 9.5 7 CERTIFIED SURPLUS .......·-·················· ... 2, 000.00 UNDIVIDED PROFITS................................. 1,153 .40 L OANS ON COTTON -·-•-····--····--········ OVERDRAFTS_ __ _ _ _ __ 111 .9 2 BILLS PAYABLE.·-··········································· BONDS AND SECURITIES-···--····· 6 6 6 .1 5 NOTES REDISCOUNTED _ __ FURNITURE AND F I XTURES·--··· 1,000.00 SAVINGS ACCOUNTS _ _ _ _ , BANKING HOUSE.·---···---·-·-- 2,500 .00 TRUST FUNDS- - - · · · · ························•• OTHER REAL ESTAT"' - -----< 7 5 0 .0 0 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS- - - · · - .'.3 .1,0 4 7 .3 8 BILLS OF EXCHAN G E PUBLIC FUNDS ..·-·················--- 7. 0 3 6 .3 9 DUE FROM NO N -RESERVE BANKS DUE TO NON-RESERVE BANKS ..... CASH ITE M S- - - - - - - - · · ·· DUE TO RESERVE BANKS................ I DUE FROM RESERVE BANKS ........ 13, 458 .29 C/ D ' S, DEMAND_·····-··············---··· CHECKS ON OTHER BANKS- ...... CURRENCY ··-·· ... GOLD SILVER OTHER RESOURCES_ .... 4,159 .4 7 C/ D ' S, TIME .....· - - - - - - ·· 1,850.00 C/ D'S, FOR MONEY BORROWED..... 8 5.0 0 CERTIFIED CHECKS- - - - · · · · 2 8 0 .4 8 CASHIER' S CHECKS---········· 2 2 0.0 0 RESERVED FOR INTEREST.............. 3 4 8 .8 8 RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 3, 7 4 5 .5 2 ➔} TOTAL .................. ............................................... 6 3, 7 4 5 .5 2 ~~· OFFICERS AND DIRECTORS of Sak of Gl 0 ~ ri OOd , Glenwood, Pi ke Co ., Ar lr. OFFICERS H. L. ·.ratkins Pruid•nl G.W.Tolleson Vic• Prerid•nl K. E, Hallman Cashier G.B. 'f'T ilson Au'I Cashier DIRECTORS H.L, Watkins .. B.Clement Y. . E.Hallma.n G. \'t. Tolleson R, Q. r, ° Clure T. E.Alford https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis G. ·w. i;,.risener G. i1. La.wl ss \'l . E. Taylor COPY OF PUBLISHED STATEMENT of Jank of Gr e'lJ, Grady , Lincoln Co., AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DJSCOUNTS.....-..·-············ 2 6, 588.03 CAPITAL STOCK _ _ _ _ __ LOANS ON REAL ESTATE ................. 12,403.0 3 CERTIFIED SURPLUS ............................... . LOANS ON COTTON ..·-····-·····-·-············ UNDIVIDED PROFITS........................... . OVERDRAFTS _ _ _ _ _ ·-····-·-········ BILLS PAYABLE- - - · · · · ···················· BONDS AND SECURITIES ___·-······ NOTES REDJSCOUNTED ....-··-···-········ .. FURNITURE AND F I XTURES-·-···· 1,6 0 5 .5 7 SA VJ N GS ACCOUNTS ...·-·······-···················- BANKING HOUSE_··--···------ 2,527 .18 TRUST FUNDS ................................................... OTHER REAL ESTAT"'" ~ -----1 DIVIDENDS UNPAID- - - - ···· ITEMS IN TRANSIT _ _ _,_ :· _ _ , INDIVIDUAL DEPOSITS _ ___, BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUND$ _ _ _ _ __ DUE FROM NON - RESERVE BANKS 1 CASH ITEM$ _ _ _ _ _ _ _ 7 5 2.8 4 DUE TO NON-RESERVE BANKS... 10.7 5 DUE TO RESERVE BANKS._ ............. 30,983.4 9 C/ D'S, DEMAND _ _ _ _ _ _ , 1 DUE FROM RESERVE BANKS·-···- CHECKS ON OTHER BANKS .. _ ... C/ D ' S, TIME .............·-···············••·••·························· CU RR EN CY----·-·-·-··-···--··--·-····· 1,205.00 C/ D'S, FOR MONEY BORROWED..... 5 5.0 0 CERTIFIED CHECKS- - - -····· 4 5.7 5 CASHIER' S CHECKS- - - - · · • · ··· GOLD_ _ _ _ _ _ __ _ _ 1 SILVER. - - - - - · · · · - - - -- - - , OTHER RESOURCES _ · · - - - - ··· 7 15,0 0 0.0 0 2, 065.6 0 55,598 .7 6 4,141.2 7 6 2.0 0 RESERVED FOR INTEREST .............. RESERVED FOR TAXES ......................... 0TH ER L IAB IL IT I ES ......·-···················· ..... TOTAL ................................................................ _ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 9.01 _7 6 8 7 6 ,6 4 _1_t - - --"-T~OT'-"A--'L-"'...-'--....._....._. ...._ _....._....._....._...._....._....._..._....._....._.... _ _ _7_c-~·''~8_7_6_.6_·_4_~_~_. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of 3ank of Gd• :y, Grady, Lincoln Co., :tl. Cashier Aaa'I Cashi•r DIRECTORS COPY OF PUBLISHED STATEMENT of 3ank of u.~vvtte, Gravc:: ·11"1.i"', &nion Co., :A·- I AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS..........•............ 5 7. 7 18 .6 3 CAPITAL STOCK...........· - -- ········· 25,000.00 LOANS ON REAL ESTATE .•.............. 4 4,866.04 CERTIFIED SURPLUS ............................. . 16,500.00 UNDIVIDED PROFITS- - -······ 3,194.50 LOANS ON COTTON _ _ _ _ ....... 136 .7 5 BILLS PAYABLE- - ---······ BONDS AND SECURITIES--··--·· 33 .1 5 NOTES REDISCOUNTED ....................... .. FURNITURE AND FIXTURES--··· 2,600.00 SAVINGS ACCOUNTS-- - - · ········· BANKING HOUSE _ _ _ _ _ _ , 2,000.00 TRUST FUNDS- - - · · ·························· OVERDRAFTS _ _ _ _ _ _ __ OTHER REAL ESTATE _ _ _-! DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS,_ __ BILLS OF EXCHANGE _ _ _ _ , I PUBLIC FUNDS- - - - - - · · · 5 1,583 .6 6 1,066 .6 4 DUE FRO M NON-RESERVE DUE TO NON - RESERVE BANKS...• BANKS CASH ITEMS _ _ _ _ _ _ _ _ , DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ....... 30,405 .6 7 CHECKS ON OTHER BANKS. -..... 4 2 3.4 0 C/ D'S, Tl ME ..... ••·······-·····---·············· CURRENCY _ _ _ _ _ __ _ ! 2,113.00 C/ D'S, FOR MONEY BORROWED ..... GOLD ..· - - - - - - - -- ·-···• 3,060.00 CERTIFIED CHECKS ...•............................... SILVER-····- · · - - - - - - - 1, 4 5 2 ,3 5 CASHIER 'S CHECKS- --············· OTHER RESOURCES _ _ _ _ _ , C/ D'S, DEMAND _ _ _ _ _ _ , 4 7. 4 6 4.11 RESERVED FOR INTEREST..•.......... RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL .. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 4 A., 8 0 8 .9 9 {~ TOTAL ................................................................. 1 4 4,8 O 8 .9 9 ~r OFFICERS AND DIRECTORS of B- nk of G1P ~tte, Grave~te, s~nt on Co. , :Arir OFFICERS J. T. Edmondson Pr88iden1 orou~h • T, ncV ice Pr88i denl (3 w. IT • Kindley Cashier Uthar Kinuloy A11't Cashier DIRECTORS J. T. ' onclaon D. T. Ro ,T . orough r. Dorsett c. w. Philo https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Witty .ougors COPY OF PUBLISHED STATEMENT of Ballk of Greenway, Greenway,Clay Co., Arkansas. INOV I O1915 AT THE CLOSE OF BUSINESS I RESOURCES LOANS AND DISCOUNTS ........................ 2 1,4 5 2.3 2 CAPITAL STOCK....................... .................... 1 0,00 0.0 0 LOANS ON REAL EST ATE ...·-····· ...... 2,1 9 9 .3 3 CERTIFIED SURPLUS ......... ··················· 1,2 6 5 .1 2 UNDIVIDED PROFITS ............................... 3 4 2 .2 9 LOANS ON COTTON ....................... ·-·-········· 3.2 1 BILLS PAYABLE .............................................. . BONDS AND SEC UR IT I ES---·····-······· 1 7 3.0 0 NOTES REDISCOUNTED ....................... . FURNITURE AND FIXTURES_ ... 1:7 0 0 .0 0 SAVINGS ACCOUNTS .................... ·········••·- BANKING HOUSE ___.. 2,0 0 0.0 0 TRUST FUNDS 2,0 0 0.0 0 DIVIDENDS UNPAID 0 VERD RAFTS-··-···----·····-···-···-··-·-·-···· -- OTHER REAL ESTATE ITEMS IN TRANSIT -- BILLS OF EXCHANGE I LIABILITIES 5 46.0 4 ·····-·············· .. INDIVIDUAL DEPOSITS .........·-············ ... 2 0,0 1 5.5 3 ....... 1,2 1 1.3 1 PUBLIC FUNDS .................... DUE FROM NON-RESERVE BANKS 6,0 0 0.0 0 DUE TO NON-RESERVE BANKS.... I DUE TO RESERVE BANKS ................ CASH ITEMS DUE FROM RESERVE BANKS·-···- 9,8 8 6.24 C/ D'S, DEMAND --••••w GOLD.___ ...... I SILVER _ .. 3,0 ~ 5 .8 3 C/ D'S, TIME ................... ····-···• ···················.. ,, ...... CHECKS ON OTHER BANKS- ...... CURRENCY ...................... 1,6 17.0 0 C/ D'S, FOR MONEY BORROWED ..... 1 7 2.5 0 CERTIFIED CHECKS ................................... 3 5 4.6 1 · CASHIER'S CH ECK S.........·-························· 2 1 4.1 7 RESERVED FOR INTEREST.............. OTHER RESOURCES RESERVED FOR TAXES ......................... OTHER LIABI LIT! ES TOTAL.. .... ••••••••••••••••••••H••P https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 2,1 0 4.2 5 .;~• ········•· TOTAL ..................•............................................. 4 ? l 1 0 4.2 5 ., ~\ OFFICERS AND DIRECTORS of Bank of GrP uway, Creenway, ClaJ Co., 0 OFFICERS II . G . Shannon Pr,aidenl S . A . , ard , Vice Pruidenl C . F . Brennccl•e Caahie, Au'I Cashier DIRECTORS Il . G. Shannon s . A. c. J . D. Matheney, w o ,as a nernbcr o~ this board sole his stocJ· on rec . Ward , F . !lrennccke n. .'. • .J . H. Overton 10th, 1915, and lis vacancy has not en fillrd 1ecausc the boar 1 fiilcd to eet at its re~ular ap ointed time in~ ce~her. • ~'f~ I G. ' . Sand https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis rs. • COPY OF PUBLISHED STATEMENT of ~ank o f G. '1.,:.,..,, ru bos, ~s:k o n Co., A" . INOV J o1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ ·1 8, 2 5 Q.j_ ~ CAPITAL STOCK ......................................... ..... 10,000.00 LOANS ON REAL ESTATE ..·-········· 1,043.9 7 CERTIFIED SURPLUS- - -··· 3,500.00 UNDIVIDED PROFITS.i.- .......................... 18 3.0 5 LOANS ON COTTON ................................... OVERDRAFTS·-···-···· · - - - - - • 7 6 2.2 8 BILLS PAYABLE ..·-·-···- - - - · ····· BONDS AND SECURITIES-·--········· 18 8.6 9 NOTES REDISCOUNTED _ _ _ I FURNITURE AND F I XTURES·-···· 1,4 7 5,6 6 SAVINGS ACCOUNTS ................................ .. BANKING HOUSE- - · · - - · - · - 1,596.10 TRUST FUNDS _ _ _ _ _ _ ··· OTHER REAL ESTATE _ _ _--< DIVIDENDS UNPAID- - -········· ITEMS IN T RANSIT- - - - · · · ··· INDIVIDUAL DEPOSITS.....•.................. BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - - - ··· DUE FROM NON - RESERVE BANKS 1,030.23 DUE TO NON-RESERVE BANKS .... CASH ITEMS- - - - - · - - · · - - · ·- 2 3 1.0 9 DUE TO RESERVE BANKS........... .... DUE FROM RESERVE BANKS ...... .. 12,749.8 6 C/ D'S, DEMAND- - - - - ········· CHECKS ON OTHER BANKS. -.... 3 0 4.2 9 C/ D'S, TIME- - - - - - - · · · · · · · · CURRENCY _ _ _ _ _ _ _ _ _ , 1,577.00 C/ D'S, FOR MONEY BORROWED..... GOLD _ _ _ _ _ _ _ _ _ _ , 10.0 0 CERTIFIED CHECKS·- - - - ··- SILVER _ _ _ _ _ _ _ _ _ _ _ , 8 7 7 .7 1 CASHIER' S CHECKS- - - · ············ OTHER RESOURCES _ _ _ _ _ , 21,794.22 5.0 0 6 1 4 .7 4 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES ===·=· ····= ·····= ····=· ···-:..!.__:,3~~6~,~Q___.9i'. -.'7!...:•~0:....:i:!:.. . :f'-:.:.·:_ __:__ L___ T ~O ~T~A!!::: L=·····=·····=····=- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _.2T~O~T~A.= L ·:::::·····:::::·····::::···:··:::.;:··= '===···:::::·····;:.'_··_ _3_ 6_,___,Q___::9_ 7_,_0_1_~_: __, OFFICERS AND DIRECTORS of Bank of G~ ubbs, Grubbs, Jackson Co., A,,., OFFICERS Mike Denton Preaide!II J. M. Ivy Vice Presidenl J • E • Wi 1 l i e.me Caahie, Au'I Cashier DIRECTORS Mike Denton J. M. Ivy J. E. Williams w. o. M:Uchell https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Gitizens u~ :"' , G ntry , Benton Co. , 0 I NOV 1 O1915 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 3 8,1 2 4.0 0 CAPITAL STOCK-··············-······························ 1 5, 0 0 -0.0 0 LOANS ON REAL ESTATE ................. 5,4 3 5.0 0 CERTIFIED SURPLUS...........·-··············· ... 1,0 0 0.0 0 UNDIVIDED PROFITS................................. :1.,7 0 '.3 .8 0 LOANS ON COTTON ...·-···-··--··········-······· OVERDRAFTS--····-··-·····-···-···-···-····-······ 17.? 5 BILLS PAYABLE ................................................ BONDS AND SECUR I TIES--·····--··· 1 2.5 0 NOTES RE DISCOUNTED .......................... FURNITURE AND FIXTURES--··· 9 0 0.0 0 SAVINGS ACCOUNTS ...·-····························- 5,0 0 0.0 0 BANKING HOUS"' I TRUST FUNDS.........._ OTHER REAL ESTATE DIVIDENDS UNPAID.................................... ITEMS IN TRANS I T INDIVIDUAL DEPOSITS..·-···············-···-· BILLS OF EXCHANGE PUBLIC FUNDS DUE FROM NON-RESER V E BANKS I I CASH ITEMS -·- I 8 5.8 9 DUE TO NON-RESERVE BANKS ..... DUE TO RESERVE BANKS................ .... DUE FROM RESERVE BANKS ....... 1 9,6 9 7.5 8 C/ D'S, DEMAND ................................................... CHECKS ON OTHER BANKS- ...... 1,1 7 2.4 0 C/ D ' S, TIME .............................................................. CURRENCY. 4,4 5 6.0 0 C/ D'S, FOR MONEY BORROWED..... 1 4 0.0 0 CERTIFIED CHECKS .................................... 1,1 0 6.6 7 CASHIER' S CHECKS ..................................... GOLD. SIL VER --··-·-·-··---·· 5 0,7 9 1.3 0 7, 4 8 0 .9 1 · RESERVED FOR INTEREST.....·-······ OTHER RESOURCES RESERVED FOR TAXES OTHER LIABILITIES TOT AL ............·-·--············-···-····-•············· ....• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 6.0 6 1.9 0 ;~ TOTAL..·-·········-··· ..... .................. 7 ,..,,o 6 1 .9 0 ~: OFFICERS AND DIRECTORS of Cit i zens 3P."lh, G~1try, Banton Co., OFFICERS R. H. Carl Preside111 J. G. Hennon Vice Preside111 J. N. Covey Au'I Cashier DIRECTORS R. H. Carl J. .r. Carl J. N. Cove J. G. Hennon E. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis c. Pickens. COPY OF PUBLISHED STATEMENT of Cl a r k Co u:,+y Ban t, Gurdon, Clar k Co . , Ar }- AT THE CLOSE OF BUSINESS •I RESOURCES LIABILITIES I LOANS AND DISCOUNTS ....... ............... 3 6,29 1 .7 5 CAPITAL STOCK ................. ··•·····••······ ........... LOANS ON REAL ESTATE ................ 1 7:8 2 6.4 2 CERTIFIED SURPLUS .............................. LOANS ON COTTON 1,2 7 5 .0 0 ·-···· 4 1 5.4 6 BONDS AND SECURITIES.-- ....·---.... 2, 0 1 4 .0 0 NOTES RE D I SCOUNTED............ ......... FURNITURE AND FIXTURES--... 1,5 0 0.0 0 SAVINGS ACCOUNTS ............................. BANKING HOUS"° BILLS PAYABLE TRUST FUNDS .................... --- 2 5, 00 0.0 0 1,0 8 6.0 0 1 4 8.5 3 UNDIVIDED PROFITS ............................ ...... OVERDRAFTS_.. __..__..._._ Nov , nrn1s ················••···· ···•···· OTHER REAL ESTATE DIVIDENDS UNPAID ........ ·······•················· ITEMS IN TRANSIT INDIVIDUAL DEPOSITS .......................... 5 0,4 3 8 ,3 3 PUBLIC FUNDS ................................................... 5 1 .8 2 BILLS OF EXCHANGE _.... DUE FROM NON-RESERVE BANKS ___ CASH ITEMS DUE TO NON-RESERVE BANKS ... DUE TO RESERVE BANKS .. ··•···•-··•· ' DUE FROM RESERVE BANKS ........ 1 6,8 7 5 .1 6 CHECKS ON OTHER BANKS___ .. . 1 4 9.0 8 CURRENCY .. 3,4 1 1.0 0 6 0 .0 0 GOLD..._. C/ D'S, DEMAND ....................... ·············-····· C/ D'S, TIME .................. C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECKS ................................ SI L VER..........- ·----...- ......._.. __ .. _____ ..___ .... 1,2 9 5.2 7 CASHIER'S CHECKS ....................... .... ...... OTHER RESOURCES 2, 6 2 1.5 4 RESERVED FOR INTEREST ...... ...... -- ······· 7. 0 1 0.0 0 ············ RESERVED FOR TAXES OTHER LIABILITIES............... ············ ····· TOTAL. 0000000000 00.. 0 00 00.. , 00000oooo••••••" · •••··• •• ••· " •"• ' • •• M https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 317 3 4 .6 8 ~; TOTAL. .......................... ·-------··························· 8 32 7 3 4 .6 8 ..." . OFFICERS: AND 'D IRECTORS' of Clar k Co unty Bank, Gurdon, Clark Co . , Ar - • ')ec . 24th, 1915 . OFFICERS J.n . currn1an, Preside111 Jas.G.Clark: Vice President R.C.Chilcls, Cashier Jno·.r.t.Purcell Aaa'I Ca shier· :dIRECTORS" J.H.Cuffman, C.V.McDaniel, Jas.G.Clark, J.C.Lip co mb, R.C.Child, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of .,.,armors B.:n , Greenwood, eoasiain Co., Ar:: . NOV ., AT THE CLOSE OF BUSINESS 5 4,9 0 8 .7 6 LOANS AND DISCOUNTS 1915 LIABILITIES I RESOURCES n CAPITAL STOCI< ...... 2 5,0 0 0.0 0 LOANS ON REAL EST ATE ••... _. •.... 9,2 0 0.2 8 CERTIFIED SURPLUS....................•......... . 7.5 0 0.0 0 LOANS ON COTTON -·--········-······-·-········ 4 7 0 .7 8 UNDIVIDED PROFITS ................................. 3,7 2 3.8 7 3.8 9 OVERDRAFTS BILLS PAYABLE ·-····················· BONDS AND SECURITIES- - ··· 9 2.9 0 NOTES REDISCOU NTED....................... .. FURNITURE AND FIXTURES--··· 2,1 4 8.4 3 SAVINGS ACCOUNTS ................................... BANKING HOUSE 3,7 0 0.0 0 TRUST FUNDS................................................... 5 0 0.0 0 OTHER REAL ESTATE DIVIDENDS UNPAID ...... ... ITEMS IN TRANSIT INDIVIDUAL DEPOSITS ··- 5 .1,8 7 3,3 8 BILLS OF EXCHANGE PUBLIC FUNDS ·······-· 9,1 3 0.6 9 DUE FROM NON-RESERVE BANKS ···-- ... CASH ITEMS I 6,5 3 5.2 5 DUE TO NON-RESERVE BANKS ..... 1,5 5 7.9 7 DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANKS ...... 31,6 44.0 6 C/ D ' S, DEMAND CHECKS ON OTHER BAN KS·--······ 5 5 7.8 7 C/ D'S, TIME ............. 3,8 0 6.0 0 CURRENCY GOLD SILVER - -·--·-···· 13,9 0 5.0 .................... C/ D'S, FOR MONEY BORROWED ..... 39 0.0 0 CERTIFIED CHECKS ...·-····· 5 8 6.5 7 CASHIER' S CHECKS 1,9 6 9.7 4 RESERVED FOR INTEREST .............. OTHER RESOURCES-··--··-···-·---····· RESERVED FOR TAXES ....._.................. OTHER LIABILITIES ....• .,,._ TOTAL ....• ....................... ----~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 16, 1 0 2 .7 6 " TOTAL .................................................................. 1 1611 0 2 .7 6 ~~ OFFICERS AND DIRECTORS of F r mers Bc:.nk , Gre enwo o , · Sebastain Co ., k t OFFICERS Geo . c. Packard Preride111 c. R . OWens V ice Preridenl w. N. Wilkinson Cashier None AH'I Cashier DIRECTORS w. J . Echols w. Geo . L. Seaman c. :Packard Frank P . Holland R. H. McConnell https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis W. N. Wilkinson B. L. ware c. R. Owens COPY OF PUBLISHED STATEMENT of arm_rs & Merchants Ba~k , Gr e1. L1res·c, Car roll Co. , Ark. NOV 1 D 1915 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNT..,__ ., _ __, LIABILITIES 35,325.18 CAPITAL STOCK- - - - - · · · · · 20,000.00 5,523 .1 8 CERTIFIED SURPLUS _ _ __ 2,000.00 LOANS ON REAL ESTATE·-····-····- UNDIVIDED PROFITS...............·-·············· LOANS ON COTTON·--··-······-···-··-········ .'.3 2 OVERDRAFT$ _ _ _ _ _ _ _ , BO N DS AND SECURITIES_·-·-·--•··· BILLS PAYABLE _ _ _ _ _ _ , 1 0,000.00 NOTES REDISCOUNTED .....·-··-············· F URNITURE AND FIXTURES-··-··· 1,500.00 SAVINGS ACCOUNTS ...................... ··········- BANKING HOU S E _ _ _ _ _ _ , 2,500.00 TRUST FUNDS- - - - - - · · · OTHER REAL ESTATE _ _ __, DIVIDENDS UNPAID _ _ __ ITEMS IN TRANS I T _ _ _ _ _ , INDIVIDUAL DEPOSITS.....-.... ············- BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - - - · · - DUE FROM NON ·RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS- - - - - - - · · · 5.8 2 DUE TO RESERVE BANKS ........... ..... DUE FROM RESERVE BANKS ....-- 14, 621.46 C/ D'S, DEMAND- - - - - - 1 CHECKS ON OTHER BANKS--····· 2.5 0 C/ D'S, TIME .........·-····-----···········•·· CURRENCY _ _ _ _ _ _ _ _ , 1,340.00 C/ D'S, FOR MONEY BORROWED ..... GOLD _ _ _ _ _ _ _ _ __ 1, '.3 6 5.0 0 CERTIFIED CHECKS _ _ _ _ , 1,172.68 CASHIER' S CHECKS----······· SILVE R _ _ _ _ _ _ _ _ _ 6 :1..7 8 1 161.8 2 OTHER RESOURCES _ _ _ _ _ , 30,187.58 2,268.60 RESERVED FOR INTEREST.............. RESERVED FOR TAXES·- - - 1 OTHER LIABILITIES TOTAL. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 l!, 5 1 7 .9 6 ~: TOTAi 6 4, 5 1 7 .9 6 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Farmers & M "chants Bank, e. Greea Forest , Carroll Co. , Ark. DIRECTORS COPY OF PUBLISHED STATEMENT of First Bank, Griffit hville , White Co ., Arkansas . 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 2,3 9 3 .7 7 CAPITAL STOCK ........................................ LOANS ON REAL ESTATE -·-··-······ 3,13 3 .0 7 CERTIFIED SURPLUS ............... _ LOANS ON COTTON ..·-··-···-··-·-·•-········ UNDIVIDED PROFITS......................... OVERDRAFTS _ _ _ _ __ BILLS PAYABLE _ __ BONDS AND SECURITIES_·--··-·-···· NOTES REDISCOUNTED ................... FURNITURE AND FIXTURES---··· BANKING HOUSE _ _ _ _ _ _ , 1,000.0 0 2, 0 0 0.0 0 12.5 8 SAVINGS ACCOUNTS ................. 8 5 5 .1 3 TRUST FUNDS _ _ __ OTHER REAL ESTATE.·-·---···-···· DIVIDENDS UNPAID ITEMS IN TRANSIT _ _ _ _ _ 1 INDIVIDUAL DEPOSITS............................ 15,519 .5 3 BILLS OF EXCHANGE PUBLIC FUNDS.................................................. . 9 6 5.3 3 II DUE FROM NON-RESERVE BANKS- - - - - - - - ; 2, 92 9 .7 4 DUE TO NON-RESERVE BANKS .... CASH I TEMS _ _ _ _ _ _ _ _ , DUE FROM RESERVE BANKS·-···- DUE TO RESERVE BANKS........... ..... 6,870.4 6 C/ D ' S, DEMAND ....................... ........................ CHECKS ON OT H ER BANKS._ CURRENCY ___________ C/ D ' S, TIME ........................................·-··················· 1,366.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD._ _ _ _ _ _ _ _ _ _ , SILVER-··-·---···-······---··---·· - · - - - OTHER RESOURCES _ _ _ _ _ , CERTIFIED CHECKS .................. 3 0 2 .9 1 CASHIER'S CHECKS ...... ............................ . 14.0 1 RESERVED FOR INTEREST .............. 3 6 7 .6 5 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES ................................ TOTAL ........................................................... ... . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 8, 8 6 5 .o 9 -li' TOTAL ................................................................. 1 8, 8 6 5.0 9 ➔l- OFFICERS AND DIRECTORS of first Ban Gri ffit~vi lle , Whita Co., OFFICERS Jas.A.Neaville Preaide111 .A.Riner Vice Pruide111 B.F.Grissom Caahi er Au'I Cashi er DIRECTORS · Jas.A.Neaville Griffithville, Ark. lf.A.Riner tt " A..J.Smith " " https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of ~zard Cou~~Y Ban , Guion, I zard Co. , AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES 14,091.3 7 LOANS AND DISCOUNTS.........·-············ CAPITAL STOCK........................ _ _ _ , 1 ,0 0 0.0 0 LOANS ON REAL ESTATE ...·-··········· CERTIFIED SURPLUS ................................. 5 0 8.4 5 LOANS ON COTTON _ _ __ UNDIVIDED PROFITS.......... - ..................... 5 0 3 .8 9 • OVERDRAFTS _ _ _ _ _ __ 3 4 .9 5 BILLS PAYABLE _ _ _ __ NOTES REDISCOUNTED .._................... . BONDS AND SECURITIES----·-···· FURNITURE AND FIXTURES--···· 1,412 .33 SA VI NGS ACCOUNTS ............·-···················- BANKING HOus _ _ _ _ __ , 1,487.5 0 TRUST FUNDS _ _ _ _ _ __ , OTHER REAL ESTATc.__ _---1 DIVIDENDS UNPAID _ _ _ __ , ITEMS IN TRANSIT_ _ __ I NDIVIDUAL DEPOSITS _ _---! BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS,_ _ _ _ _ _ , DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ __ DUE TO NON-RESERVE BANKS.... I CASH ITEMS _ _ _ _ _ __ , 18 5 .1 0 DUE TO RESERVE BANKS.........- ..... 1 1,149.41 C/ D'S, DEMAND _ _ _ _ _ _ _ , 19,591 .6 9 I DUE FROM RESERVE BANKS ...... . C/D'S, TIME _ _ _ _ _ _ _ _ , CHECKS ON OTHER BANKS·--····· CURRENCY _ _ _ _ _ _ __ 1,021.0 0 2 0.0 0 2 0 2 .3 7 OTHER RESOURCES _ __ C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECKS _ __ CASHIER'S CHECKS..................................... RESERVED FOR INTEREST-·-········· RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL ....- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL .................. 2 9 6 0 4 .0 3 ~:- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Izard Cour, +1T Bank, Gui on, Izard Co., OFFICERS em~ • • ' Pruidenl 1 ~ 'denl Au't Cashier DIRECTORS ~ ) \ COPY OF PUBLISHED STATEMENT of .\erchante ·'arm ers B ~'I· Gurdo r., Clark Jo., kl"lr IIOV 1 n191 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........................ LIABILITIES 26,858 .8 5 LOANS ON REAL ESTATE.·-····•···· LOANS ON COTTON .•·-·--···-···-·········· OVERDRAFTS _ _ _ _ _ ___ ........ CERTIFIED SURPLUS- - - - ··· 9, 0 9 4 .9 5 9 5 3 ,2 2 UNDIVIDED PROFITS_ _ _ 1 , 3 5 0 .0 0 4 8 2 .5 1 _ BILLS PAYABLE- -- - --1 NOTES REDISCOUNTED _ _ _ I BONDS AND SECURITIES·-·-······ FURNITURE AND F I XTURES •. - .... CAPITAL STOCK..........•.....· - - - · ·· 2, 7 42.50 SAVINGS ACCOUNTS ................................. BANKING HOUSE _ _ _ _ _ _ _ r TRUST FUNDS _ OTHER REAL ESTATE _ _ _-! DIVIDENDS UNPAID- - --··· 40.0 0 ITEMS IN TRANSIT- - - - ·--···· INDIVIDUAL DEPOSITS..................... .. .. 39, 808 .0 7 BILLS OF EXCHANGE _ _ ___, PUBLIC FUNDS- - - - - - ··· DUE FROM NON - RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH tTEMS- - - - - - -····· DUE TO RESERVE BANKS ................ ______I DUE FROM RESERVE BANKS ....... 1 2,90 7 .04 CHECKS ON OTHER BANKS ... - ...... 3 .7 0 C/D'S, TIME ....· - -- - - · · · · · ········· 2,5 7 2 .0 0 C/ D'S, FOR MONEY BORROWED ..... CURRENCY _ _ __ _ __ _ , I GOLD SILVER- - · · · - · - - -- - -- - • 8 5.0 0 1 , 6 6 3 ,3 2 C/ D'S, DEMAND _ _ _ _ _ _ _ , CERTIFIED CHECKS'- - - - -1 2 0 0.0 0 CASHIER'S CHECKS'- --····--······· RESERVED FOR INTEREST .............. OTHER RESOURCES _ __ _ _ , ' RESERVED FOR TAXES- -- , OTHER LIABILITIES.....•...................... ..... TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 6, 8 8 0 .5 8 :: TOTAL .................. 5 6 8 8 0 .5 8 :1~ ... OFFICERS AND DIRECTORS of ~e rch ant s ~ Farmer s Bank, Gurdo n, Clark Co ., Av.'· . OFFICERS John M. Keys Preride,11 I. H. Seller W. s. Hear i n Vice Prerideiu •I(. Rupert A. Stewart Cashier Ass'I Cashier ~ DIRECTORS R• • Stewart w. J. Capps VI. E. Grac i e A. H. Koerner Dr. c. w. N. W. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis McClai n cCloud ~ .:.? -~O· ~ \:"' ~\0~ V>- ·~•"· · o~ c;, COPY OF PUBLISHED STATEMENT . a, 1ebaa t a in St te Ba~t, Greenw0od, e abt a1n Co., Ar • AT THE CLOSE OF BUSINESS 1 ,, LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ CAPITAL STOCK.................· - - --1 LOANS ON REAL ESTATE ................. 15,510.5 8 LOANS ON COTTON ...................................... OVERDRAFTS'- - - - - - - · · 20,000.00 CERTIFIED SURPLUS _ _ __ 2, 0 5 0.0 0 4 3 4 .0 3 UNDIVIDED PROFITS................................. 1,233 .9 5 3 6.5 0 BILLS PAYABLE- - - - - · · ···· BONDS AND SECURITIE S.................... I 191 NOTES REDISCOUNTED ......................... FURNITURE AND FIXTURES- ..... 2,000 .00 SAVINGS ACCOUNTS ................................... BANKING HOUSE _ _ _ _ _ _ , 2, 0 0 0 .0 0 TRUST FUNDS- - - - - -·· .. OTHER REAL ESTATE _ _ _-! ,8 9 8 .9 0 DIVIDENDS UNPAID- - - - ITEMS IN TRANSIT_ ....... _..... - ........ --·· INDIVIDUAL DEPOSITS _ _ _ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - - -·· 11 0.0 0 .'.3 L!.,155 .21 1 0, 9 2 1 .::1- 6 DUE FROM NON .. RESERVE DUE TO NON-RESERVE BANKS .... BANKS 2 0 1 .1 9 DUE TO RESERVE BANKS ............... . DUE FROM RESERVE BANKS ........ 20,622 .30 C/D'S, DEMAND_ _ _ _ _ _ , CHECKS ON OTHER BANKS ........... . 4 2 .9 9 CASH ITEMS ... - ...··-·-·.... - - - - - 1 C/D'S, TIM-E- - --·······---1 5, 3 6 1.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD- - - - - - - - - - 1 7 9 5.0 0 CERTIFIED CHECKS_.._··········..················ SILVER..............· - - - - - - - · ····· 4 0 0.6 6 CASHIER'S CHECKS ...................................• CURRENCY _ _ _ _ _ _ __ OTHER RESOURCES_·-···•··•· ..·· ............ . 13,477 . 0 0 RESERVED FOR INTEREST .............. RESERVED FOR TAXES, _ __ OTHER LIABILITIES................................ TOTAL .................................. 1 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL........................ 8 1 , 9 4 8 .1 2 ~~ OFFICERS AND DIRECTORS of Se bas tai n 8t~te Bark , Greenw"od, Seoastain Co., OFFICERS Chas. E. Osborn Prellide111 T. A. Norr is Vice Prellide111 W. C. Davie Caahier Alta Blaylock Au't Cashier DIRECTORS Chas. E. Osborn T. A. No rris • C. Davis Paul Little c. R. Owsley Ezra Heeter Fred MoC ord https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of ~rkansas 1rust Co., Hot Springs, Ga land Co. , A,- AT THE CLOSE OF BUSINESS T n LIABILITIES RESOURCES I 1 00,000.00 LOANS AND DISCOUNTS ......--········· 1 8 5, 1 0 9 .7 3 CAPITAL STOCK...................... LOANS ON REAL ESTATE.·-·-·········· 1 4 3, 2 5 6 ,8 7 CERTIFIED SURPLUS _ _ __ 5 0,0 0 0.0 0 LOANS ON COTTON _ __ UNDIVIDED PROFIT~- - - 21,973 .'20 OVERDRAFTS _ _ _ _ __ BILLS PAYABLE ...·-····-·····-···························· BONDS AND SECURITIES----······ 11,001 .61 NOTES REDISCOUNTED ........................ . FURNITURE AND FIXTURES--·-· 14,392 .84 SAVINGS ACCOUNT$, _ __ BANKING HOUSE _ _ _ _ _ _ t 30,203 .89 TRUST FUNDS _ _ _ __ OTHER REAL ESTATE _ _ _--! 2,462 .00 INDIVIDUAL DEPOSITS _ __ BILLS OF EXC HAN GE _ __ PUBLIC FUNDS...... _ _ __ DUE FROM NON-RESERVE BANKS- - - - - - - - 1 DUE TO NON-RESERVE BANKS .... I 1,280 .88 DUE FROM RESERVE BANKS- ... . 4 :, 7 2 3.0 9 CHECKS ON OTHER BANKS- .... . 1,144.4 5 , CURRENCY _ _ _ __ SI LVER - - - · · - - · · - - - - - - - - 1 OTHER RESOURCE$ _ _ _ __ 2 5,8 7 8.5 2 DIVJDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ r ! CASH lTEMS _ _ _ _ __ i I 1915 2 0 0,9 0 0 .3 5 2 6 2 .C 7 DUE TO RESERVE BANKS................ C/ D'S, DEMAND ......•···--·····--- 24,651 .14 C/ D'S, TIME _ _ _ _ __ 9 ,9 1 7 .7 0 31,338 .00 C/ D'S, FOR MONEY BORROWED ..._ 8 5.0 0 CERTIFIED CHECKS ................................... . 111.7 5 CASHIER'S CHECK$, _ __ 5 0 3.5 6 3,371 .25 52,947.25 RESERVED FOR INTEREST.............. 3,984 .32 RESERVED FOR TAXES, _ _ _ , 4,113 .( 5 OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 2 3, 2 9 6 .8 6 .. TOTAL..._............. 5 2 3, 2 9 6 .e 6 ~~ OFFICERS AND DIRECTORS of \ kans as :'...-1_1 st Co. , Ho+ Springs, Garland Co., .lh•l·. O FF ICERS DIR E CTORS f1_a_ . ~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Bank of li. an\.l Pn.iri.e HazeD, ~ra~rle Co., 1\"(":· AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS.......... 2 0 , 3 9 6.5 2 CAPITAL STOCK- - - - - LOANS ON REAL ESTATE ...... 32,633 .6 0 CERTIFIED SURPLUS............................... 6, 310 .4 2 UNDIVIDED PROFITS, _ __ 2,1 2 1.4 1 LOANS ON COTTON _ _ __ 2 5 0.0 0 OVERDRAFTS ..••.....•..•.. _ _ __ BILLS PAYABLE .................• _ __ NOTES REDISCOUNTED ......................... . BONDS AND SECURITIES·····•·•··-······ FURNITURE ANO FIXTURES- .... 1,0 0 0.0 0 SAVINGS ACCOUNTS ...........•...................... BANl<ING HOUSE _ _ _ _ _ _ , 5,500.0 0 TRUST FUNDS _ _ _ _ __ OTHER REAL ESTATc.__ _---1 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT- - · · - · - - -, INDIVIDUAL DEPOSITS ................•......... BILLS OF EXCHANGE- - - - 1 PUBLIC FUNDS ..........•............· - - -! DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _~ DUE TO NON-RESERVE BANKS ... 1,694.70 CASH ITEMS _ _ _ _ _ __ I 4 7.2 0 8 ,3 2 CHECKS ON OTHER BANKS ..•-•···· 9 7 7 .0 0 C/D'S, TIME ................•..••.•... _ _ _ _ , CURRENCY _ _ _ _ _ _ __ 9 5 0.0 4 C/ D'S, FOR MONEY BORROWED ..... GOLD _ _ _ _ _ _ _ __ 6.1., 9 0 4 .6 3 DUE TO RESERVE BANKS.•............. DUE FROM RESERVE BANKS ..... . SILVER •..•....• _ _ _ _ _ _ __ 2 5, 0 0 0.0 0 C/ D'S, DEMAND _ _ _ __ 1 2,323 .17 CERTIFIED CHECKS _ __ 1 6 3 6 .1 6 CASHIER'S CHECK$ _ __ 5 8 6 .7 1 RESERVED FOR INTEREST .............. OTHER RESOURCES ..•..•·---···-········· RESERVED FOR TAXES, _ __ OTHER LIABILITIES................................ TOTAL ......•.•....... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 111, 2 4 6 .3 4 ;( TOTAL ................................................. . 1 1 1, 2 4 6 .3 4 .;~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of B~nk of G18 d Prair'e , Hazen, ?rairio Co.: Arl~. OFFICERS A. J. BARlUC'.L''.r Preaidsnl V ice Preaidenl HAHHY YOPP Cashi er C. C. AYCOCK AH'I Cashi,r DIRECTORS A. J. Barr tt }';d C. W. lilk•n cour~k • B•tzner James Steck COPY OF PUBLISHED STATEMENT of Bank of H1rrpton, Hamp~on, Galhoun Go., 'J\.1' :lr AT THE CLOSE OF BUSINESS V RESOURCES LIABILITIES I LOANS ANO DISCOUNTS........................ 30,7 1 5.3 8 CAPITAL STOCK ........·-·························· ......... 15,00 0.0 0 LOANS ON REAL EST ATE -......... ..... 19,5 0 1.6 7 CERTIFIED SURPLUS .......... ········•··········· 8 0 0.0 0 UNDIVIDED PROFITS........... -············•····· 5 8 6. 3 LOANS ON COTTON ....... OVERDRAFTS_··-·-· ........ 1.6 7 BONDS AND SECURITIES- ·-···-•····· 1,9 77 .6 6 NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES·-··- 2,2 5 0.0 0 SAVINGS ACCOUNTS .......... - ...................... - 4,00 0.0 0 TRUST FUNDS BANKING HOUSE BILLS PAYABLE OTHER REAL ESTATc- ········••·············· ·······-··········••·•• DIVIDENDS UNPAID __ ... 3 9,6 7 7 .4 3 B.ILLS OF EXCHANGE ...·-·-··-·-····-···· PUBLIC FUNDS ................................................... 1 4,7 3 9.6 5 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... ITEMS IN TRANSIT ., I CASH ITEMS DUE FROM RESERVE BANKS-..... I v v INDIVIDUAL DEPOSITS 3.5 5 DUE TO RESERVE BANKS ................ 1 5,4 7 9 .1 2 C/ D'S, DEM AND .....·-·-····························-········· 3,0 5 8.0 0 C/ D'S, FOR MONEY BORROWED ..... .... 3 3 5.0 0 CERTIFIED CHECKS ................................... ··-··-·-···· 30 4 .3 4 CASHIER'S CHECKS ..................................... l cuRRENCY GOLD.----· I SILVER 5,1 0 4.3 4 C/ D'S, TIME ........•····-··············· CHECKS ON OTHER BAN KS·--····· 7 1 8 .5 4 RESERVED FOR INTEREST.............. OTHER R ESO U RC ES.·-····--····---··-···· RESERVED FOR TAXES TOTAL ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ·······•···•··•··- 7 6,6 2 6 .'.3 9 .." I OTHER LIABILITIES ·····•···· TOT AL ..·-··········-············ ......... 7 5.6 2 6,3 2 .,;- OFFICERS AND DIRECTORS of Ban k of H~mpton, Hampuon, Calhoun Co., './i l}r • OFFICERS I. L. Furlow PreBidenl D. l!' . /ilaon V i ce PreBidenl n. n. Wood Cashier Ass't Cashier DIRECTORS w. C. Riberw.ak w. L . Furlow C• .:3 . D. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis • •Cu.in lil on • c. 1 . Pool W. C. Dunn COPY OF PUBLISHED STATEMENT of cank of Har+ford, Hartford, Sebast~in Co. , AT THE CLOSE OF BUSINESS 191 LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 9 ,2 2 5.0 6 CAPITAL STOC.,."-- - - - -··· 32,500.00 LOANS ON REAL ESTATE ................. 1 9,620.24 CERTIFIED SURPLUS ............................... . 7.5 0 0.0 0 LOANS ON COTTON _ _ _ _ ······ 3 5 2 ,3 2 UNDIVIDED PROFITS................................. 5,4 9 9.0 5 OVERDRAFTS _ _ _ _ _ __ 5 2. 4 -···-··-··· 8 0 4.9 8 FURNITURE AND F I XTURES_ ... 2,750.00 BONDS AND SECURITIES- NOTES REDISCOUNTED ...............·-····· ·· SAVINGS ACCOUNTS _ _ __ 20,450.00 DIVIDENDS UNPAID.-...... _____. ITEMS IN TRANSIT- - - · · - - · · · INDIVIDUAL DEPOSITS _ _ _ J 71,2 0 3 .1 0 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ _ _ _ _ _ _ _ 10, 3 0 6 ,3 3 DUE FROM NON-RESERVE i 14,800.00 TRUST FUNDS ................................................... .. BANKING HOUSE--·-----·--··-- OTHER REAL ESTATE- - - -··-··· BILLS PAYABLE _ _ _ _ _ __ BANKS t CASH tTEMS, _ _ _ _ _ __ DUE FROM RESERVE BANKS-...... 42 .? 0 DUE TO NON-RESERVE BANKS .. 2 7 0.0 9 DUE TO RESERVE BANKS.............. .. 1 3, 0 4 1.3 9 C/ D'S, DEMAND ..·-··----····---- ... C/ D'S, TIME-- - - - - - - · - CHECKS ON OTHER BANKS- ·-····· 4,753.00 C/ D'S, FOR MONEY BORROWED..... GOLD·- - - -·- - - - - - - ···· 6 2 2.5 0 CERTIFIED CHECKS .................................... SILVER-.. ---- ·•·-••-- - - - - · -.. ·· 1,745.31 CASHIER'S CHECKS ..................................... CURRENCY _ _ _ _ _ _ _ _ , 1 , 8 3 7.9 5 2,083.6 0 RESERVED FOR INTEREST...·-········ OTHER RESOURCES-··-----·---···· RESERVED FOR TAXES- - - 1 OTHER LIABILITIES .................................. TOTAL... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 6 2. 7 3 0 .0 3 -;~ TOTAL._............................................................... 1 6 2, 7 3 0 .o 3 ~: OFFICERS A ND DIRECTORS of 1, Dnn k of HLrtford, Hartford, Sebastdin Co. , Al b". OFFICERS _ ____.. Wm.J!c___Ki__nle..._.y , ,__ _ _ __ PreBidenl a.A.Brooke Vice Presidenl Carey Halbrook Cashier NQ . E.B.Wilbourn Au't Cashier D I REC T O RS Wm Mc Kinley a.A.Brooke Carey Helbroak R.J.Barr Er E.B.Jtnes W.H.Miellmier https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ,A: l'f.l • DAVIS , tl1' c;o )l.11.111!110 COPY OF PUBLISHED STATEMENT of :Jank of tan, Ha:r tman, Jolitlso:.-. l,O., AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 27,061.04 LOANS ON REAL ESTATE _......... ...... 4,263.99 LOANS ON COTTON ...·-··-··············--·········· 11 5 .7 5 UNDIVIDED PROFITS ............................. OVERDRAFT$ _ _ _ _ _ _ _ __ 6 3 5.2 8 BILLS PAYABLE- - - ···-···-·············· 2, 287.25 SAVINGS ACCOUNTS _ __ BANKING HOUSE·-·-·--· - - - - , 1,951.42 TRUST FUNDS- OTHER REAL ESTATE- - · · -··-··· 1,449.50 DIVIDENDS UNPAID _ __ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ _ _ __ ' DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _--! 1 DUE FROM RESERVE BANKS ........ CHECKS ON OTHER BANK$_ ..... I CURRENCY _ _ _ _ _ _ _ _ . 10,067 .74 _ INDIVIDUAL DEPOSITS _ _---l CASH ITEMS_ ·- ·- - - - - - - - 1,973 .86 --···························· ITEMS IN TRANSIT- - - - -1 17. 5 6 7 .3 0 2,679.6 7 DUE TO NON-RESERVE BANKS .... 1 I CERTIFIED SURPLUS.......................... . F URNITURE AND FIXTURES_ .•.... I 10,000.00 NOTES REDISCOUNTED ......•........•...... BONDS AND SECURITIES-·····--··· I CAPITAL STOCK •........................................... 315.0 0 3,482.00 3 6 4.5 4 1,167.00 DUE TO RESERVE BANKS ................ C/ D'S, DEMAND _ _ __ C/ D'S, TIME ...... _ _ _ __ 2,026.4 7 C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECKS .............. . 1,688.02 CASHIER'S CHECKS..................................... 4 6 5 .7 5 RESERVED FOR INTEREST.............. OTHER RESOURCES-·--·-·-·--········ RESERVED FOR TAXES·-·-················ OTHER LIABILITIES............................. TOTAL ....................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 4 7 8 0 .7 9 -;;- TOTAL ................. . 4 4 7 8 o., 9 -;;- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Ban k of H~rt~an, Hartman, Johnson Co., Ark OFFICERS Cashier Aas't Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Bank of Hatfield, Hatfie d, .t'Ol.{ Co., INOV, AT THE CLOSE OF BUSINESS I RESOURCES LOANS AND DISCOUNTS...•-····-············ 38, 351.41 LOANS ON REAL ESTATE·--·- ······ 5 7 5.0 0 LIABILITIES CAPITAL STOCK...· - · · · - · - - - - - • 5,0 0 0.0 0 CERTIFIED SURPLUS _ _ __ 4,000.00 UNDIVIDED PROFITS.............................. . 1,263 .72 16.7 7 BILLS PAYABLE _ _ _ _ _ _ _ , 8,000.00 BONDS AND SECURITIES---···-····· 5 9 1.3 5 NOTES REDISCOUNTED ......·-····............ FURNITURE AND FIXTURES-·-···· 1,200.00 SAVINGS ACCOUNTS ............................ . BANKING HOUSE... · - · · · - - - -• 1,300.00 TRUST FUNDS _ _ _ _ _ _ ·•·•· LOANS ON COTTON --···················-············ OVERDRAFTS _______~ _ OTHER REAL ESTATE _ _ _...; ITEMS IN TRANSIT _________ , I 1915 DIVIDENDS UNPAID _ _ _ ........... 2.0 0 INDIVIDUAL DEPOSITS............................ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS ................... _ __ DUE FROM NON-RESERVE BANKS_ _ _ _ _ _ _ _ ···· DUE TO NON-RESERVE BANKS.... CASH ITEMS-·-·-------···--···· DUE TO RESERVE BANKS........... .. .. DUE FROM RESERVE BANKS ........ 4,156.7 5 C/ D'S, DEMAND- - - - · · · · ··········· f CHECKS ON OTHER BANKS.--•·· 1,4 9 9.6 7 C/ D'S, Tl ME ... _..........................· - - -·· l cuRRENcv _ _ _ _ _ _ _ _ , 7 4 8.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD ...·-·----···-····- · · - - - - - - · · ········ 2 5 0.0 0 CERTIFIED CHECKS _ _ _ ········ SILVER __· · · · · - - · · - - - - - - · · · 5 13.6 2 CASHIER'S CHECKS---··········· OTHER RESOURCES _ _ _ _ _ _ , 24,535.8 2 5, 1 7 5.5 0 2 2 9.5 3 RESERVED FOR INTEREST.............. RESERVED FOR TAXES .....-.................. OTHER LIABILITIES ,__4_ 9.. ,_ c. 2_0_ 4_ .5_ 7_ •:r_____:..T-=..OT-'--'A'-'-'L=··=·····=c.····•······ .......•············-························· '--__:.. T -=.. OT -'--'A '-'-'L=··=····-=····=····=-··•=-··=·····=·····=·····=····=···•=····=····:..:::· •··:c..· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 9, 2 0 4.5 7 ~;" OFFICERS AND DIRECTORS of Bank of HQ+field, Hatfie d, Polk Co., OFFICERS .. r., r Presidsnl J. Vic• Pr,sidenl L. Aas'l Cashier DIRECTORS T. • • https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis over J. ro - - - -G. vio o. G ten H. Johnson .... ~• .Je:ly COPY OF PUBLISHED STATEMENT of 3ank of navs.na, Havana, Yell Co. , (Private Bank) ,/\ ,,,, l'\• • 1 AT THE CLOSE OF BUSINESS RESOURCES 9, 5 0 4. 6 1 LOANS ON REAL EST ATE-·-············ 3 0,9 5 1.2 8 LOANS ON COTTON I LIABILITIES I LOANS AND DISCOUNTS......·-············••· ········· 5,00 0.0 0 CERTIFIED SURPLUS ..... ·····················•···· 2 8, 00 0 .0 0 UNDIVIDED PROFITS.......................... ····· 1,5 7 0 .6 7 CAPITAL STOCK-········-··· ---···· n 1915 OVERDRAFTS 1 2 5 .1 8 BILLS PAY ABLE--··-·-·····-·-······-···-······· .... BONDS AND SECURITIES--·-··-······ 8 2 3 .6 0 NOTES REDISCOUNTED ......................... F URNITURE AND FIXTURES-·-···· 1,5 0 0.0 0 SAVINGS ACCOUNTS ........·-·········-·········· BANKING HOUSE 1,0 0 0 .0 0 TRUST FUNDS ........·-······································-· OTHER REAL ESTATE_ DIVIDENDS UNPAID.................................... ITE MS IN T R ANSIT INDIVIDUAL DEPOSITS BILLS OF EXC H ANGE PUBLIC FUNDS .................................................. DUE FROM NON-RESERVE BANKS ···-··-· .... DUE TO NON-RESERVE BANKS ..... CASH ITEMS DUE TO RESERVE BAN KS ..·-······ ..... ··- 2 ,5 3 1 .1 3 1,4 6 1 .8 0 I I DUE FROM RESERVE BANKS ........ 1 ,6 4 2 .1 2 C/ D'S, DEMAND .................................................. CHECKS ON OTHER BANKS--····· C/ D'S, TIME CUR R ENCY C/ D'S, FOR MONEY BORROWED ..... ·- GOLD ·-·········· ? ~, 8 6 .7 5 CERTIFIED CHECKS .................................... I S I L VE R CASHIER'S CHECKS 1 0 1 .7 8 OTHER RESOURCES ·- 9 7 1 .7 2 RESERVED FOR INTEREST............ RESERVED FOR TAXES OTHER LIABILITIES.................................. TOTAL ................ . ···········- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 3, 5 3 5 ,3 2 ~: TOTAL ........................... ..... 6 3,5 3 5 ,3 2 .... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of 3 nk of h.:,vi;ina, H~ ana, Yell Co., (Private Ban·k) Ark. COPY OF PUBLISHED STATEMENT of 3ank of I-' ync s, Hayn es , Le0 l..,·, O • , Ar:· l o 19J AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCourhs,- - - 1 LOANS ON REAL ESTATE·-·····•··•- LIABILITIES 19,865.20 CAP1TAL STOCK...........· - - -- 1 5,250.00 1,000.0 0 CERTIFIED SURPLUS ................................. 3,211.24 LOANS ON COTTON _ __ OVERDRAFTS _ _ _ _ _ __ UNDIVIDED PROFITS............................... .. 5 .7 9 BILLS PAYABLE _ _ _ __ NOTES REDISCOUNTED ....................... BONDS AND SECURITIES_.·--·-·· FURNITURE AND FIXTURES.-.... 1,300.0 0 SAVINGS ACCOUNTS, _ _ __ _! BANKING HOUSE _ _ _ _ _-l TRUST FUNDS _ _ __ OTHER REAL ESTATE _ _ __, DIVIDENDS UNPAID ...... .......................... .. ITEMS IN TRANSIT _ _ _ _ _ I INDIVIDUAL DEPOSITS-_ __ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ _ _ __ DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ _ ! 3,9 .'.3 8.4 4 ' DUE FROM RESERVE BANKS........ 17. 4 4 7 .3 3 DUE TO RESERVE BANKS .......-....... 1 , 5 2 8 .0 8 C/ D'S, DEMAND ................................................... C/ D'S, TIME. _ _ _ _ _ __ CHECKS ON OTHER BANKS..·-···· · CURRENCY _ _ _ _ _ _ _ _ , 14,4 26 .7 3 DUE TO NON-RESERVE BANKS .... CASH ITEMS _ _ _ _ _ __ I , 38 4 .0 0 3,12 6 ,3 3 C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECKS, _ __ 4 41 .1 2 CASHIER'S CHECK$, _ __ 1.0 0 RESERVED FOR INTEREST .............. OTHER RESOURCES, _ __ RESERVED FOR TAXES'- - - 1 OTHER LIABILITIES.............................. .. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 4 4 6 2 .6 3 ~~ TOTAL .. _ ............ 4 4 4 6 2 .6 3 ~;- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bank of He. nss, :Jaynes, Lee Co. , Ar· , OFFICERS ~~-~ ~ 1 Vic• Pr ..idenl ~ c..~ o/ ~ • ,;,ii ,~ ,.i~ Aas't Cashier DIRECTORS ·•"o COPY OF PUBLISHED STATEMENT of 3arik o f Haze::-i, Hazen Prairie 00., NOV l n 191 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS....·-···-·········•·· 24,280.48 CAPITAL STOCK---····•••··········•··•··· LOANS ON REAL ESTATE ..·-···---·· 5,986.10 CERTIFIED SURPLUS ................................. LOANS ON COTTON _ _ _ __ UNDIVIDED PROFITS............................... - OVERDRA F TS _ _ _ _ _ _ _ . 394.01 BILLS PAYABLE _ _ _ _ _ _ , BONDS AND SECURITIES-··--·- -···· 2 9 6.1 3 NOTES REDISCOUNTED ...............·-·-·· OTHER REAL ESTATE-·---·--···-· 7.5 0 0.0 0 TRUST FUNDS-- - - - - - · · 1 0 0 .0 0 DIVIDENDS UNPAID- - - - · · · · · ITEMS IN TRANSIT- - - - · · - _ INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - - - · • DUE FROM NON-RESERVE BANKS 1,507.62 DUE TO NON-RESERVE BANKS.... CASH ITEMS _ _ _ _ _ _ _ , 2,759 .83 DUE TO RESERVE BANKS·-············· 6 0 1.2 4 C/ D'S, DEMAND................................................... I DUE FROM RESERVE BANKS- ..... I CHECKS C/ D'S, TIME _ _ _ _ _ _ _ _ , ON OTHER BANKS--··- I CURRENCV_ _ _ _ _ _ _ _ 1 1,2 0 4.0 0 GOLQ _ _ _ _ _ _ _ _ ···· 0TH ER RESOURCES-···-·-··--···-···· 7.5 0 0.0 0 21,6 0 9,3 7 8 3 4.0 6 2,359 .89 C/ D'S, FOR MONEY BORROWED ..._ I SILVER _ _ _ _ _ _ _ __ 7 1 0.4 8 SAVINGS ACCOUNTS ............ _ __ FURNITURE AND FIXTURES --··•· BANKING HOUSE _ _ _ _ _ _ , 16, 3 0 0.0 0 CE RT IF I ED CH EC KS-·-······························· 8 8 3.4 3 CASHIER'S CHECKS ..........-......................... 3,801 .71 RESERVED FOR INTEREST .............. .7 5 RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 49,314.5 5 ➔} TOT AL ...........•······-····-····················-·····•············ 14 9, 3 1 4 .5 5 ~( OFFICERS AND DIRECTORS of Ba .k o f H.;.ze"l Hazen , Prai ie Go., Arl· . OFFICERS A. J. Screeton Preridenl V ice Preridenl H.A.Houston Cashier TNQ. M. DA VIS Ass't Cashier DIRECTORS A.,J.Scr eton T.T.Viete S. D.B rr J.M. Zike J. I. Smith https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Ji; GOj(J(jn10 ' COPY OF PUBLISHED STATEMENT of ~:l,lt.k of il~· r.,se, Hi~a s se, dBhtOL Co., (Not Incor por ated ) ~rk AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS........................, 6,925 .3 5 CAPITAL STOCK.............................................._ 5,000.0 0 LOANS ON REAL ESTATE ...·-···-······ 5,456.2 CERTIFIED SURPLUS, _ _ __ 1,5 0 0.0 0 UNDIVIDED PROFITS- - - · · · · 1,054.40 LOANS ON COTTON _ _ _ _ ······· 5 5.4 0 OVERDRAFTS _ _ _ _ _ _ _ ··· BONDS AND SECURITIES_·-----·· BILLS PAYABLE _ _ _ _ _ _ , NOTES REDISCOUNTED ....................... F URNITURE ANO FIXTURES- .... 1,196.00 SAVINGS ACCOUNTS- - - · · · · · · ·· BANKING HOUSE _ _ _ _. __ 1,417.06 TRUST FUNDS _ _ _ _ _ _ ···· OTHER REAL ESTATE _ _ __, DIVIDENDS UNPAID ......... ........................ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS-_ _ _ , I BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS _ _ _ _ _ _ ··· DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ _ , DUE TO NON-RESERVE BANKS.... CASH ITEMS _ _ _ _ _ _ _ , DUE TO RESERVE BANKS·-···-········ I I DUE FROM RESERVE BANKS-...... 5,4 5 8.0 7 CHECKS ON OTHER BANKS.--•··· 45.18 I C/ D'S, DEMANO ...•-··•·•··••··••······························· C/ D'S, TIME _ _ _ _ _ __ CURRENCY 9 6 3.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD- - - - - - - - - - · ····· 4 0 1.0 0 CE RT I Fl ED CH EC KS....·--··························· 4 3 .7 6 CASHIER'S CHECKS-- - - · ··········- SILVER _ _ _ _ _ _ _ _ _ _ , 4 RESERVED FOR INTEREST .............. OTHER RESOURCES- - - - - - ···· RESERVED FOR TAXES- - - 1 OTHER LIABILITIES L TOTAL . _.__ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ;t.1,610.38 2 2, 3 6 1 .1 0 ~(- TOTAL ................................................................. 3,196 .32 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bi.nk of H:wr. ..,se, Hi~asse, ~eu~on Co., ( Not Incorporated) q~--·-- ~ Ar 1 OFFICERS /e?a--r,k_ __ - Prsaidenl c:?2rrLL Vice PreBidtnl c"(-2 . i ~ Cashi er ~~ DIRECTORS ;\ • COPY OF PUBLISHED STATEMENT of Jank of Holly Grove , Ho l l y Grovd, ~onroe Co., AT THE CLOSE OF BUSINESS OV l " RESOURCES V LIABILITIES I LOANS AND DISCOUNTS........................ 8 6,3 1 3 •....I '.3 CAPITAL STOCK.................. LOANS ON REAL EST A TE ..·-······ ··-- 20,4 3 7.4 4 CERTIFIED SURPLUS ··•·· 1 5,00 0.0 0 15,00 0.0 0 LOANS ON COTTON ....-............ ····-··-········ UNDIVIDED PROFITS................. .............. 6,8 1 5.2 9 OVERDRAFTS BILLS PAYABL.,. 5,00 0.0 0 ...... BONDS AND SECURITIES-··-··-·-······ 1,5 0 0.0 0 NOTES RE DISCOUNTED.·-····················· F URNITURE AND F I XTURES- .... 2,40 0.0 0 SAVINGS ACCOUNTS...·-····-·····················•• BANKING HOUSE 3,0 0 0.0 0 TRUST FUNDS ....................... ····························· OTHER REAL ESTATE- - - · · - 10,8 5 0.0 0 DIVIDENDS UNPAID 5,5 7 0.5 3 .. ' ITEMS IN TRANSIT_···-·- --··- ·-··· INDIVIDUAL DEPOSITS.......................... . BILLS OF EXCHANGE PUBLIC FUNDS ...... DUE FROM NON - RESERVE BANKS 1,5 0 0.0 0 6 8 1.1 6 DUE TO RESERVE BANKS·-············· I DUE FROM RESERVE BANKS ....-.. 4 6,4 7 5.26 CHECKS ON OTHER BANKS·-······ 1 0 8 .1 5 -····· GOLD...·-····- · SILVER OTHER RESOURCES 9,9 1 1.4 7 DUE TO NON-RESERVE BANKS .... CASH ITEMS CURRENCY.• 6 C/ D'S, DEMAND ................................................... C/ D ' S, TIME ·······- 6 1,2 9 1.5 6 4,79 1.0 0 C/ D'S, FOR MONEY BORROWED ..... 1 6 5.0 0 CERTIFIED CHECKS .................................... 6 2.0 0 2,40 8.0 3 CASHIER ' S CHECKS..................................... 6 16.6 0 RESERVED FOR INTEREST .............. --·••·· RESERVED FOR TAXES OTHER LIABILITIES TOT AL ............... -.......................................... ....• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 7 9,9 48.6 1 ,.•:. ·········• TOTAL ................................................................ 1 '.Z 2, 2 48.6 l ~: https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Lan k of Grove, Holly Grove, fuonroe Co . , H0lJ$ OFFICERS king De p 't Aas'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of 3ank of hv~Dtio, lwratio, Scvi ·• Co., INnv, " . AT THE CLOSE OF BUSINESS RESOURCES I - LIABILITIES LOANS ANO DISCOUNTS........................ . ., 3 9 .3 5 3 0,- CAPITAL STOCK ...·-·········································· 2 5,00 0.0 0 LOANS ON REAL EST A TE ..·-····· ...... 2 3,5 4 1.0 6 CERTIFIED SURPLUS ...·-··•·····•-•·········· .. . 2,4 0 0.0 0 LOANS ON COTTON ·-·-··········-··-·····-········ UNDIVIDED PRO FITS.·-···························· 2,2 3 4.5 2 OVERDRAFTS BILLS PAYABLE BONDS AND SECURITIES-·-·-·-······ 1,0 0 4.0 6 .... NOTES RE DISCOUNTED .............. ....... F URNITURE AND F I XTURES_ .... SAVINGS ACCOUNTS·-·-··························· BANKING HOUSE ..·-··· TRUST FUNDS ........................ ························•··• 5 0 0.0 0 OTHER REAL ESTATE. ITEMS IN TRANSIT DIVIDENDS UNPAID ---·· PUBLIC FUNDS I DUE FROM NON-RESERVE BANKS .. 3 2 6 .7 3 DUE FROM RESERVE BANKS.-.... 2 8,4 7 5.2 8 I CHECKS I CURRENCY I GOLD .._. SILVER ···-·······- 1.0 0 DUE TO RESERVE BANKS................ C/ D'S, DEMAND ON OTHER BAN KS·-····- I 5 7.9 7 4 .4 3 DUE TO NON-RESERVE BANKS.. I CASH ITEMS ... INDIVIDUAL DEPOSITS 2,2 3 2.6 5 BILLS OF EXCHANGE I 1n11.. ... ........................... C/ D'S, TIME ............ 4,29 4.0 0 C/ D'S, FOR MONEY BORROWED..... 1,4 9 7 .7 5 CERTIFIED CH EC KS ...·-························•·· 1 ' ,z 18.5 CASHIER'S CHECKS ..................................... .;.) A. 5,4 3 4 .8 5 28 4.6 2 RESERVED FOR INTEREST.............. OTHER RESOURCES-····---·-···-··--····· RESERVED FOR TAXES OTHER LIABILITIES.............................. ... TOTAL __________________________________________ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis I .. 9 3, 3 2 9A 2 " TOTAL ................................................................. 9 313 2 9.4 2 ~: https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bank of Hurl>tio, Hor atio , Sevier Co., O FF ICERS DIRECTORS COPY OF PUBLISHED STATEMENT of 3ank of hvuston, Housto1, fer-rJ Co., Nov., AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........................ LIABILITIES 5,500.00 LOANS ON REAL ESTATE.-........... CERTIFIED SURPLUS ................................. LOANS ON COTTON ........................- .......... UNDIVIDED PROFITS ...................... OVERDRAFTS _ _ _ _ _ _ _ , BILLS PAYABLE _ _ _ __ BONDS AND SECURITIES_. __ ......... NOTES REDISCOUNTED ...................... . FURNITURE AND FIXTURES--··· BANKING HOUSE _ _ _ _ _-! OTHER REAL ESTAT ~ 7 5 0.0 0 1,200.00 ----1 SAVINGS ACCOUNTS _ _ _ __ , TRUST FUNDS _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS, _ _ _ _ , Bl LLS OF EXCHANGE ......- ............·-···· PUBLIC FUNDS................................................. . DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ _1 DUE TO NON-RESERVE BANKS.... CASH ITEMS _ _ _ _ _ _ __ 11,409.48 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ - ,6 0 3.2 6 CHECKS ON OTHER BANKS- ..... 4 7 2.5 4 CURRENCY _ _ _ __ 4,550.00 DIVIDENDS UNPAID ................................ . I I CAPITAL STOCK............................................. 1,146.00 C/ D'S, DEMAND .................· - - - - 1 C/ D'S, TIME ........................ _ _ __ 1 0 0.0 0 C/ D'S, FOR MONEY BORROWED ..... CERTIFIED CHECKS _ _ _ _ _ , OTHER RESOURCES _ _ _ _ _ , 1 0 4.2 7 CASHIER'S CHECKS..................................... 1,159.4 6 RESERVED FOR INTEREST.·-········ RESERVED FOR TAXES- -- 1 OTHER LIABILITIES TOT AL ...............- .............................. ··············- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 6, 9 3 5 .5 3 -;} TOTAL .................................................................. 8 7 6.0 5 1 ,9 3 5 .5 3 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bank of Hoston, .,,.ous · on , Parry Co., OFFICERS { ~ Preaidenl ~ Au'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Bank of hv Yi&, Hoxie, L~wrence Co., OV l n 19fr, AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS ........................ 24,426 .76 CAPITAL STOCK.- - - · ······················· LOANS ON REAL ESTATE ................. 15,606.36 CERTIFIED SURPLUS.............................. . 6 2 .3 7 BILLS PAYABLE- - - · ···········•··········· 12 0 0 0.0 0 BONDS AND SECURITIES-·--···-·-···· 1,4 9 4.4 0 NOTES REDISCOUNTED ....................... . 3,300.00 FURNITURE AND FIXTURES--·- 2,600.00 SAVIN GS ACCOUNTS ..........·--···················• BANKING HOUSE _ _ _ _ _ _ t 7.2 5 0.0 0 TRUST FUN OS ........-.......................................... OTHER REAL ESTATE _ _ __, 3,650.00 DIVIDENDS UNPAID _ _ __ OVERDRAFTS_. _ _ _ _ _ __ I :L,3 0 2.8 0 UNDIVIDED PROFITS................................ . LOANS ON COTTON ..· - - - · · · ···· ITEMS JN TRANSIT- - - - - t INDIVIDUAL DEPOSITS _ _ _ .. 41,277.03 Bl LLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS .........._······---···· 37.0 2 DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ __ I 2,601.03 DUE TO NON-RESERVE BANKS.... 5 3.0 0 DUE TO RESERVE BANKS............... . I 15,673.8 3 C/ D'S, DEMAND ................................................... I 12.5 0 ' 1 0,00 0 .0 0 I CASH ITEM$,_ _ _ _ _ _ _ , DUE FROM RESERVE BANKS ........ CHECKS ON OTHER BANKS.·--····· CURRENCY.·- - · - - - - - - C/D'S, TIME ................. ················-························ 2,088.00 C/ D'S, FOR MONEY BORROWED ..... 6 0.0 0 OT HER RESOURCES _ _ _ _ _ , 8,3 3 8,2 0 CERTIFIED CHECKS .................... 1,1 8 4 .3 '.3 CASHIER'S CHECKS..................................... 9 4.5 0 RESERVED FOR INTEREST.............. 5 6 1.2 2 RESERVED FOR TAXES, _ _ _ 1 OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 6,8 5 7.0 8 ~i' TOTAL ............................. 40 .8 1 7 5 8 5 7.0 8 ~: OFFICERS AND DIRECTORS of Banktnsf Dep't , i.:v .5ank of liuvi , >-foxie, La rence Co., OFFICERS J . ~. .Pringle , Preside111 -; . P . 1 ichardson , Vice Preside111 A. • Cashier "'; o y ,.rnolcl , Au'I Cashier DIRECTORS J. =~. 7rin[lC , ::r:1 . .:cc raw , A. . :, ichn.rd"'on, J. • • .A lbri--ht . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis - 1::"Y'I. 1.--:::--;-,•-.-,..~,--' '··.,, --· 0. COPY OF PUBLISHED STATEMENT of Dank of Hu kr, Hu,,ter, oct.t·ur ~ Co. , VI O1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS.........·-·········-· 24,281 .33 CAPITAL STOCK- - - ························ 1 2,975.00 LOANS ON REAL ESTATE ._.............. 7:2 0 8 ,3 5 CERTIFIED SURPLUS- - -········· 127 .1 6 UNDIVIDED PROFITS .............................. . 1,0 9 1.0 0 BILLS PAYABLE- - - - -····· 10,0 2 5.0 0 LOANS ON COTTON _ _ _ __ 15.7 7 OVERDRAFTS _ _ _ _ _ __ BONDS A N D SECURITIES_·-·---· NOTES REDISCOUNTED ...·-··-··-·-····- ·· 7 4 0.0 4 FURNITURE AND F I XTURES_._ SAVIN GS ACCOUNTS...............·-········....... BANKING HOUSE- - - - · · - · - - · · TRUST FUNDS ............................ ..................... .. OTHER REAL ESTATE _ _ _..., DIVIDENDS UNPAID...... _ _ __ ITEMS IN TRANSIT _ _ _ _ _ INDIVIDUAL DEPOSITS _ _ _ _ 1 BILLS OF EXC H ANGcc.___ __ DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ __ CASH ITEMS _ _ _ _ _ _ _ , DUE FROM RESERVE BANKS __._ PUBLIC FUNDS _ _ _ _ _ _ ! 2 .61 DUE TO NON-RESERVE BANKS .... 6 8 .8 5 DUE TO RESERVE BANKS.·-······· ·.... 3,831.46 C/ D'S, DEMAND _ _ _ _ _ _ , C/ D'S, TIME _ _ _ _ _ __ CHECKS ON OTHER BANKS--···· CURRENCY._ _ _ _ _ _ _ _ , 12,858.45 8 7 9 .0 0 C/ D'S, FOR MONEY BORROWED..... 40.0 0 CERTIFIED CHECKS _ _ _ _ _ , 100.71 CASHIER'S CHECKS-- - - 9 1.5 1 RESERVED FOR INTEREST .............. OTHER RESOURCES_·-·---··-··-·-···· RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL ............. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 7, 1 6 8 .:1. 2 ➔:- TOT AL .................. ................................................ 3 7, 1 6 8 .1 2 ➔~ OFFICERS AND DIRECTORS of Eank of Hunt :..r, Hur 11er, fo ocUui... Co., OFFICERS ~ Aaa'I Caahier DIRECTORS -:ii. (fl ' ~ a/4 IL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of rad1ey IJ-.,1nty Br,n:i{, Hermivag0, cir~a ley Co., k··. NOV J AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS, _ _ _ , 26,216 .85 CAPITAL STOC,~ - - - - - 20,000.00 LOANS ON REAL ESTATE---··--•··· 2 7.8 1.'.3 .16 CERTIFIED SURPLUS ............................... 3,000.00 LOANS ON COTTON ...·--··-··-········-··········· 12,950.00 UNDIVIDED PROFITS............................... 1,.'.3 0 6 .2 6 OVERDRAFTS _ _ _ _ _ _ _ , 9, 4 BILLS PAYABLE _ _ __ BONDS AND SECURITIES----·-·· 6 0 6.4 9 NOTES REDISCOUNTED.·-·-·-······-···· FURN ITURE AND FIXTURES- ...... 1,5 6 2.5 0 SAVINGS ACCOUNTS ............ ·-··················- BANKING HOUSE·--····-·--·----····-···- 5, 500.0 0 TRUST FUNDS ............................... OTHER REAL ESTATE _ _ __, 7 9 0.0 0 ITEMS IN TRANSIT _ _ _ _ _ , I Bl LLS OF EXCHANGE _ _ _ _ , DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ __ 1, 000.00 CASH ITEMS, _ _ _ _ _ __ I DIVIDENDS UNPAID _ _ __ INDIVIDUAL DEPOSITS _ __ 35,844. 1 PUBLIC FUNDS· - - - · ······················· 2 7.132 .71 DUE TO NON-RESERVE BANKS .... DUE TO RESERVE BANKS................ I DUE FROM RESERVE BANKS--·- 1 '3,8 9 8.1 9 CHECKS ON OTHER BANKS--····· 5.0 2 CURRENCY _ _ _ _ _ _ __ C/ D'S, DEMAND· _ _ _ _ __ C/ D'S, TIME _ _ _ _ __ 2,215.00 C/ D'S, FOR MONEY BORROWED..... 2 4 5.0 0 CERTIFIED CHECKS ...............................•.• '.3 8 9.0 5 CASH .IER'S CHECK$ _ _ __ RESERVED FOR INTEREST.............. OTHER RESOURCES _ __ RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL. .......·-·······-··················· 9 6, 2 Q 1 .0 --~~----~==='-'--- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3,5 .'.3 8.4 4 Q ~~ TOTAL ................................................................. 3,477 .7 5 1,901.4 3 OFFICERS AND DIRECTORS of Bradley uvnty ~ank, Hermitag e, Sradley Co. , Av ~~. OFFICERS A. E. Baker PreBidenl R. W. Carnle y Vice PreBiden& Guy St ephenson Cashier E. met '., e Phillips Ass'I Cashier DIRECTORS W.B . Reas ons X M. A. ,Ja ckson XX J . P . Lansdale J . A. Turner R. H. r/a t eon A. E. Baker R. . Ca.rnle y. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Calho un Cv 11ty Bon . Harre11, 1.,alnom1 Co., A-' AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS..........- ............ 29,857.51 CAPITAL STOCK......_ _ _ __ 15,0 0 0.0 0 LOANS ON REAL ESTATE·-·············· 7 5 0.8 3 CERTIFIED SURPLUS ............................ 4,553.5 6 LOANS ON COTTON -..·-·--···-- ···-···-········ UNDIVIDED PROFITS .............................. . 2,029.23 OVERDRAFTS-··-····-··--- BILLS PAYABLE _ __ -- BONDS AND SECURITIES.--···-·····•· FURNITURE AND FIXTURES- ... BANKING HOUSE I 410.4 2 NOTES REDISCOUNTED ....................... 1,000.00 SAVINGS ACCOUNTS ................................... 2,606.44 TRUST FUNDS _ _ _ __ _ OTHER REAL ESTATE _ _ _--! DIVIDENDS UNPAID _ __ I T EMS tN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ __ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUND$, _ _ _ _ __ DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ ___, DUE TO NON-RESERVE BANKS.... CASH lTEMS _ _ _ _ _ _ _ , DUE TO RESERVE BANKS................ I DUE FROM RESERVE BANKS........ I CHECKS ON 10,480 .76 23,559.8 7 C/ D'S, DEMAND _ _ _ ........................... C/D'S, TIME ......... OTHER BANKS·--···· CURRENCY _ _ _ _ _ _ _ _ , ! 6 4 7.0 0 C/ D'S, FOR MONEY BORROWED..... 18 0.0 0 CERTIFIED CHECKS _ __ 4 0 1.4 0 CASHIER'S CHECK$ _ _ __ 9 8 3.0 6 2 0 8.6 4 RESERVED FOR INTEREST-............ OTHER RESOURCES- - · - - - - · -··· RESERVED FOR TAXES- - -1 OTHER LIABILITIES TOT AL ...- .......- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 6 '.3 3 4 .3 6 ~E- TOTAL ... -................... 4 6, 3 3 4.3 6 ~I" • OFFICERS AND DIRECTORS of Calho un Covnty Bank, Harrel~, Calhoun Co., J\,Y' L OFFICERS E.T.Collina Presiden& B.W.Harrell Vice PreJ denl .J N Q . B. H.Wood Cashier None Ass'I Cashier DIRECTORS E.T.6ollins B.W. Harrell B.H.Wood G.W.Wood * E• Jones. ,•I "'Deceased. ( Died. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis on Nov. 27th. I9 I5) ,x ,i'Yi • DAVIS , 11111: GOMJl:ISS lOlltftl COPY OF PUBLISHED STATEMENT of ':i Liz ens B" ' Harrison, Boone Co., AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS- - - - - 1 LOANS ON REAL ESTATE-·-··-·-··· LIABILITIES 1 50,876.60 CAPITAL STOCK- - - · · ····················- 3 7.0 0 0.0 0 41,488.46 CE RT I FI ED SURPLUS ...·-····-··················· . 20,000.00 LOANS ON COTTON _ _ _ __ UNDIVIDED PROFITS _ __ OVERDRAFTS _ _ _ _ _ __ 9 6 .5 0 BONDS AND SECURITIES----·-· 1,999.41 NOTES REDISCOUNTED ....·---········-···· F URNITURE AND FIXTURES- 1,600.00 SAVINGS ACCOUNTS _ _ __ -----t 5,000 .00 TRUST FUNDS................................................. OTHER REAL ESTATE _ _ __, 4 5 4.0 0 BANKING HOUS ~ ... BILLS PAYABLE._ __ 13,158 .30 DIVIDENDS UNPAID _ _ __ 2 4 7. 2 5 8 .0 0 ITEMS IN TRANSIT_ _ _ __ INDIVIDUAL DEPOSITS _ ____, BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ _ _ __ 176 .6 2 DUE TO NON-RESERVE BANKS .... 5 9 1 .0 7 DUE FROM NON-RESER V E BANKS _ _ _ _ _ _ _ __ CASH I TEMS _ _ _ _ _ _ _ , t DUE I 2,651.20 FROM RESERVE BANKS-·-·· CHECKS ON OTHER BANKS_ ... c ·uRRENCY_ _ _ _ _ _ _ _ I 8 9 .13 DUE TO RESERVE BANKS................ 1 3 ,5 2 3 .1 5 C/ D'S, DEMAND- ··-···-·-·---- 1,140 .93 C/ D'S, TIME ............ - - - - - - 1 6,109.00 4 3,364.02 C/ D'S, FOR MONEY BORROWED ..... 6,830 .00 CERTIFIED CHECK$, _ _ __ 1,992.03 CASHIER' S CHECKS _ __ RESERVED FOR INTEREST.............. OTHER RESOURCES•- - - - - 1 RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL ................• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 6 4, 1 9 9 .2 1 i f- TOTAL .................................................................. 3 6 4 1 9 9 .2 1 1~ OFFICERS AND DIRECTORS of Citizens - art , Harr ison , Boone Co., Ar OFFICERS . tiLLJAX Cashi er p ~ Au'I Cashier DIRECTORS ~ ~ ~_:__~~ ~ _/',. _ ----H--1'</tZzLLl? - https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Clebur ne Co nty Bank, Heber Spri ngs, Ll~ burne Co., Ar' AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS....................._. LOANS ON REAL ESTATE ........... .... .. 1 4 LIABILITIES , 8 2 6 ,2 1 5,872.75 LOANS ON COTTON ..........-........·--···....... .. CAPITAL STOCK-...................................... CERTIFIED SURPLUS .............................. . 3 0 0.0 0 UNDIVIDED PROFITS ................................. 9 4 5 .6 2 30,000.00 OVERDRAFTS_.. ____.. _....... _ __ 6 12.4 3 BILLS PAYABLE _ _ _ ........................ BONDS AND SECURITIES-··-·--··· ... 19 5.0 9 NOTES REDISCOUNTED ..................... .. FURNITURE AND FIXTURES--··· 4,323.23 BANKING HOUSE _ _ __ _ _, OTHER REAL ESTATE _ _ _ -! 19,073.6 1 4 0 0.0 0 SAVINGS ACCOUNTS _ __ TRUST FUND$ _ _ _ _ __ DIVIDENDS UNPAID ....................-.............. ITEMS IN TRANSIT _ __ INDIVIDUAL DEPOSIT$ _ __ BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS_ _ _ ........................... I DUEBANKS FROM NON-RESERVE _ _ _ __ _ _ _ DUE TO NON-RESERVE BANKS ... 146.8 8 DUE FROM RESERVE BANKS........ 5 7.3 5 3 .9 2 125,083.8 3 9 2 .7 5 DUE TO RESERVE BANKS............... . C/ D'S, DEMAND ............................................... .. 3 4,6 2 9 .7 5 C/ D'S, Tl ME ................ _............................................ CHECKS ON OTHER BANKS .... -...... CURRENCY._ _ _ _ _ __ 50,000.00 7,114.00 C/ D'S, FOR MONEY BORROWED ..... 1,475.00 CERTIFIED CHECKS ................. 1,2 0 3.5 9 CASHIER'S CHECKS...... _ _ _ 2,544 .16 RESERVED FOR INTEREST ............ .. OTHER RESOURCES _ _ _ _ _ , RESERVED FOR TAXES- - -1 OTHER LIABILITIES TOTAL ...·--· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 4 4, 5 9 6 .1 1 ~; TOT AL .................................................................. 2 4 4 5 9 6 .1 1 ~} https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Cl burne "() _.1t y Bank, 1 He ber ~p rings, Cle trne Co., Ar1- OFFICERS DIRECTORS COPY OF PUBLISHED STATEMENT of Farmers ~~nk of Hardy, :lardy, Sharp Co., Ark . AT THE CLOSE OF BUSINESS NOV RESOURCES LIABILITIES LOANS AND DISCOUNTS ....................... 2 9,377 .38 LOANS ON REAL ESTATE ...·-··········· 2,335.00 .! LOANS ON COTTON --··················-············ OVERDRAFTS _ _ __ 1 n 191fi 7 7 .3 7 CAPITAL STOCK............................ 7. 5 0 0.0 0 CERTIFIED SURPLUS ........ 7: 5 0 0.0 0 UNDIVIDED PROFITS ................................ . 2, 022 .5 9 BILLS PAYABLE ................... _ __ NOTES REDISCOUNTED ....................... BONDS AND SECURITIES--···--······· FURNITURE AND FIXTURES- -··· 1,424.4 8 SAVINGS ACCOUNTS _ __ BANKING HOUSE _ _ _ _ _ _ , 2, 4 9 8.0 9 TRUST FUNDS .........·-················-······················ OTHER REAL ESTATE _ _ __, DIVIDENDS UNPAID ...... _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS.........·-··-······•··-· 43, 6 44.0 3 PUBLIC FUNDS, _ _ _ _ _ _ , 5 9 2.2 7 I BILLS I OF EXCHANGE . DUE FROM NON-RESERVE DUE TO NON-RESERVE BANKS.... BANKS CASH ITEMS _ _ _ _ _ _ _ , 3 3.6 0 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS........ 2 2,415.A 2 C/ D'S, DEMAND ................................................... I C/ D'S, TIME ....................................................... CHECKS ON OTHER BANKS ............ CUR REN CY- - - - · · - - ··-·--···-···· 2 , 555 .00 C/ D'S, FOR MONEY BORROWED ..... 1,180.0 0 CERTIFIED CHECKS .................................... 9 4 7 .1 0 CASHIER'S CHECKS ..................................... RESERVED FOR INTEREST...·-········ OT H ER RESOURCES---·-·-- ·-----•·••· RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL ... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 2, 8 4 3 .4 4 ~~ TOTAL......................... 1,5 8 4.5 5 6 2 8 4 3 .4 4 '"ir OFFICERS AND DIRECTORS of 7 rme rs :an. of Hardy, Har--y, Sharp C:J., Ark. OFFICERS DIRECTORS ~..A.Ji ,tn.~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~-~ ~ ,,,,__,, COPY OF PUBLISHED STATEMENT of Farmers Bank, Harris on, Boone Co ., Arkansas. 1915 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS................ . LOANS ON REAL ESTATE·-·-············ LIABILITIES 3 8, 3 0 5.7 7 7,909.46 LOANS ON COTTON ....·-·-····-·--- 31 4 .0 0 UNDIVIDED PROFITS.................... 5 0 0.2 7 49 ,3 5 • BONDS AND SECURITIES-··---·· 18 1.6 4 FURNITURE AND FIXTURES·--··· 2,961.00 SAVINGS ACCOUNTS _ __ BANKING HOUSE _ __ 3,7 00 .00 TRUST FUNDS .........·-·············--- NOTES REDISCOUNTED ........................ . DIVIDENDS UNPAID _ _ _ __ ITEMS IN TRANSIT _ _ __ INDIVIDUAL DEPOSITS ....................... BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS ..................... _ __ DUE FROM NON-RESERVE BANKS--·-·· _ _ _ _ __ DUE TO NON-RESERVE BANKS .... CASH ITEMS--··---·····-··--··-·--·--···· DUE TO RESERVE BANKS...... DUE FROM RESERVE BANKS ........ 2 2, '.3 5 7 .o 6 CHECKS ON OTHER BANKS ...·-······ 9 8 8 .8 0 i I BILLS PAYABLE .......................................... OTHER REAL ESTATE _ _ __, I CURRENCY.___ . GOLD ...· - · - · · · - · · · - - - · · - - - - - - OTHER RESOURCES--·----·--·-···· 1,357.00 2 7, 000.00 CERTIFIED SURPLUS .............................. . OVERDRAFTS-·-.,,--·----·-··--·---··-··· I I CAPITAL STOCK............. 44,720.4 7 C/ D'S, DEMAND C/ D'S, TIME ......................................................... 5,951.00 C/ D'S, FOR MONEY BORROWED ..... 1 3 5.0 0 CERTIFIED CHECKS _ _ __ 5 4 0.6 6 CASHIER'S CHECK$ _ __ RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL ................................................................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL. .................................. 7 B,""-8 5 7 4 -;;- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of :'armer s Ea.., '., He,,: L • s on, Boom: Co., Ark. OFFICERS ;;z;;dddb . D A•••t Cashier ,,,_____,_~U..U...ULC u JNO. M. DA VI S. IIU<IC C:OlllUllS IONU DIRECTORS JJ~ -~ ~ ~ 21m~/ COPY OF PUBLISHED STATEMENT of • Ji'qr mers and • ·ere 'l.nts Bank, Runtsv 11 e, :!adison Co., Arkan St' c: • AT THE CLOSE OF BUSINESS RESOURCES LIABILI T IES LOANS AND DISCOUNTS.......... 50,812.5 9 CAPITAL STOCK.......................................... LOANS ON REAL ESTATE ...... 25,4 .'.3 6.4 2 CERTIFIED SURPLUS ............................. . UNDIVIDED PROFITS............................ .. LOANS ON COT TON ............••···-·······-· OVERDRAFTS _ _ _ _ __ 3 2 7 .6 8 BILLS PAYABLE _ _ __ BONDS AND SECURITIES--··-·-······ 2,2 6 4.0 7 NOTES REDISCOUNTED ........... F URNITURE AND F IXTURES-·-···· 2, 3 5 4.5 2 SAVINGS ACCOUNTS ................................... BANKING HOUSE _ _ __ 3,000.00 TRUST FUNDS _ _ _ __ OTHER REAL ESTATE _ _ _.... '.3,2 5 9.8 0 DIVIDENDS UNPAID ...... _ __ I ITEMS IN TRANSIT _ _ _ __ ! BILLS OF EXCHANGE _ _ _ _ ! lj DUE FROM RESERVE BANKS .. ·-·- I CHECKS ON OTHER BANKS..·-····· CURRENCY _ _ _ _ _ __ 11,528.8 0 ---···--··-··-······· OTHER RESOURCES, _ _ _ _ _ , 1 41.0 0 DUE TO RESERVE BANKS ................ '.3, 7 8 4 .7 0 C/ D ' S, DEMAND................................................ C/ D ' S, TIME,_ _ _ _ __ 1,5 1.'.3.0 0 0 PUBLIC FUNDS _ _ _ _ __ DUE TO NON - RESERVE BANKS ... CASH IT EMS·--··-·-·-··--·----1 5,0 O 0.0 1 ,6 19.6 5 I DUE FROM NON-RESERVE BANKS 3 5 2.24 INDIVIDUAL DEPOSITS... _....... -......._.... I I 25,000.00 1, 8 24.12 13,449.19 C/ D'S, FOR MONEY BORROWED ..... 3 6 0.0 0 CERTIFIED CHECKS ............................... 5 4 4.4 9 CASHIER'S CHECKS ..................................... RESERVED FOR INTEREST ............ _ RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOT AL .............................................................. -. 2 4.2 7 7 3, 7 9 8 .2 7 -li- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ;:'c;..rmers l- ~, rchants Bank, Ht. tsville, ll.tl-.1ison Co., Ar' DAVIS, J N 0 · M~ Wit c;o1u,11ss1oll DIRECTORS -------- COPY OF PUBLISHED STATEMENT of Fa~rrers Sa ·: ~gs Bank Trust Co., Han burg, . shley Co. , & Al :·. INOV I O191 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES 50,000 .00 LOANS AND DISCOUNTS .......... 5 3,6 8 0.81 CAPITAL STOCK................. LOANS ON REAL ESTATE ..• 67,500.00 CERTIFIED SURPLUS............................ . 8,000.00 UNDIVIDED PROFITS ............................ 3,5 0 3 ,7 9 BILLS PAYABLE _ _ _ __ 7, 500.00 LOANS ON COTTON ....•....•.....•.........• 8 .01 OVERDRAFTS _ _ __ BONDS AND SECURITIES •.•••• ·-······ 3,449 .25 NOTES REDISCOUNTED ....................... FURNITURE AND FIXTURES·-··· 2,3 8 8,3 7 SAVINGS ACCOUNTS .................................... BANKING HOUSE _ _ _ _ _ _ , 4,000.0 0 TRUST FUNDS- - - · - - - OTHER REAL ESTATE _ _ _-! ITEMS IN TRANSIT _ _ _ _ _ , DIVIDENDS UNPAID _ _ __ 2 4 7.5 7 BILLS OF EXCHANGE- - - - 1 NON-RESERVE BANKS _ _ _ _ _ __ -f ! CASH ITEMS _ _ _ _ _ _ _ _ I I DUE FROM RESERVE BANKS ....... i CHECKS ON OTHER BANKS.-...... . CURRENCY. OTHER RESOURCES _ _ __ INDIVIDUAL DEPOSITS _ _ _ ! 59,596.01 PUBLIC FUNDS •.•.•.•. _ _ __ 15,068.06 DUE TO NON-RESERVE BANKS ... 5 19.0 7 23,616.4 9 6 5 4.1 0 2,892.00 DUE TO RESERVE BANKS ........... ..... C/ D'S, DEMAND............................................ C/ D ' S, TIME 18, 19 4.5 3 C/ D'S, FOR MONEY BORROWED ..... 5 6 2.5 0 CERTIFIED CHECKS ..................... 1,451.78 CASHIER'S CHECKS ...................... 3,000.00 RESERVED FOR INTEREST .............. 2,107.56 RESERVED FOR TAXES _ __ OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 6 3 9 6 9 .9 5 i'; TOTAL .............................................................. 1 6 3, 9 6 9 .9 5 ~'; OFFIC ERS AND DIREC TORS of :.:'c,;1.rme rs L1v::..ig s Bank & Trus.t Co . , Han ur~, ½Shley Cb., OFFICER S a. P . Georg Presiden& Vice PreBidenl Fr Lk, N. Pugh Cashier C.J.Bro wn ABB't Cashier DIRECTO RS G. P. George s. O. Sav ge A.H.Wi lson L.T.Mu rphy Fran-, N. Pugh https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Guaranty In~n & Trust Co .. H~,ena, Phillis Co., .Ark NOV AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 11,056 .00 CAPITAL STOCK-··········- - - - 50,000.00 LOANS ON REAL ESTATE.·--··········· 2 6,595.38 CERTIFIED SURPLUS ..... _ __ 2,000.00 5,000.00 LOANS ON COTTON ...............·--····--·· BONDS AND SECURITIES_·--····· FURNITURE AND FIXTURES- ... 2 0, 3 5 2 .6 5 2,000.00 NOTES RE DISCOUNT ED ...........·-········· SA VIN GS ACCOUNTS ............·-··················- TRUST FUNDS ............ BANKING HOUSE·-··- · - - - - - - • OTHER REAL ESTATE _ _ _-! 4 7 5.7 7 INDIVIDUAL DEPOSITS _ _---< BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS ................. _ _ __ 7, 889 .19 CASH ITEMS _ _ _ _ _ _ _ , I DUE FROM RESERVE BANKS ..._._ DUE TO NON-RESERVE BANKS.... DUE TO RESERVE BANKS._............. 3,030 .44 C/ D ' S, DEM AND .....·-···························· C/ D'S, TIME ............................................ CHECKS ON OTHER BANKS .. ·-······· CURRENCY _ _ _ _. _ __ 2 5,092.51 DIVIDENDS UNPAID ................................... ITEMS IN TRANSIT _ __ D U E FROM NON-RESERVE BANKS _ _ _ _ _ _ __ 4 9 5 .4 4 UNDIVIDED PROFITS. BILLS PAYABLE ................ _ __ OVER DRAFTS _ _ _ _ ··--·-·-······. I 1 1,235.00 C/ D'S, FOR MONEY BORROWED ..... CERTIFIED CHECKS .................................... 101.1 7 OTHER RESOURCES·-··-··--····---······ 1,500.00 CASHIER' S CHECKS _ _ __ RESERVED FOR INTEREST ..·-········· RESERVED FOR TAXES _ _ _ , 1647.6 5 OTHER LIABILITIES............................. ..... TOT AL ............·-··•······························ ............. . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 9 2 3 5.6 0 -~ TOTAL ................................................ 7 2 3 5 .6 0 1i' OFFICERS AND DIRECTORS of G a anty L~~ & Trust Co • . Ee:~na, Philli~ e Co,, Ark- OFFICERS E. S. READY Pruide111 A . n . T.AlHlER V i ce Preaide111 AUDERSON "-..._., Secretary. E. R. CRUL. DIRECTORS E. S. READY A. U. T.AllnER JITO . I • LIOORE A. W. C..Al.1PBELL E . R . CRIB.:. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis HENRY P • .AlrDERSOlT COPY OF PUBLISHED STATEMENT of H&cke tt c ·t y Ban~, Hacke+t City, Ge.Jc.stai n Co. , fn '· . NOV 1 n 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES 13,530.5 5 CAPITAL STOCK.................................... 1 0, 0 00 .00 4,3 0 9.6 9 CERTIFIED SURPLUS ......................... 5,000.00 LOANS ON COTTON _ _ __ UNDIVIDED PROFITS.......................... . 2,071.09 OVERDRAFTS __· - - - · · - - - - BILLS PAYABLE _ _ __ BONDS AND SECURITIES--····-···· ... NOTES REDISCOUNTED ........................ .. LOANS AND DISCOUNTS........................ LOANS ON REAL ESTATE ....... FURNITURE AND FIXTURES·-·-··· 2,50 0 .0 0 TRUST FUNDS ............ _ _ _ __ BANKING HOUSE· - - · · - - - - • OTHER REAL ESTATE--··---- 175 .00 DIVIDENDS UNPAID _ __ ITEMS IN TRANSIT _ __ INDIVIDUAL DEPOSITS, _ _ _ , BILLS OF EXCHANGE _ _ _ _ , 1 3 5 2.11 SAVINGS ACCOUNTS ................................. 17,898.83 3 2 7 .8 7 PUBLIC FUNDS _ _ _ _ __ I DUE FROM NON-RESERVE BANKS- - - - - - - - - - 1 I CASH ITEMS DUE FROM RESERVE BANK$_...... CHECKS ON OTHER BANKS .. - ...... CURRENCY _ _ _ __ OTHER RESOURCES _ _ __ DUE TO NON-RESERVE BANKS..... 1 2 3.3 0 7, 889.31 148.0 0 3,412.00 DUE TO RESERVE BANKS ................ C/ D'S, DEMAND ................................ -......... C/ D'S, FOR MONEY BORROWED ..... 11 7.5 0 CERTIFIED CHECKS .................. 2 3 2.4 3 CASHIER'S CHECK$ _ __ 6,849 .6 9 2,412.00 C/ D'S, TIME ............................................... 1,225 .5 7 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES...................-... _....... TOT AL ......... - .... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 9, 2 8 7 .4 7 -l: TOTAL .................. 3 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of :lc..ckett '.; 't. ~· Bank, Hacke-' t City, be°Jf.stc..in Co., A• OFFICERS DIRECTORS COPY OF PUBLISHED STATEMENT of rfamburg Hamb 11·g , Ashley L.:o • , Ark V 1 n 1915 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 101,269.96 LOANS ON REAL ESTATE ................. 3 4,216 .32 5 CERTIFIED SURPLUS .......................... . 1 2,500.00 LOANS ON COTTON _··-····-··········-······ UNDIVIDED PROFITS................... 0 VERD RAFTS ...·-····- ····-··----····-·-·--········· BILLS PAYABLE ................................................ BONDS AND SECURITIES- -- ·-····· 1,962.6 1 NOTES REDISCOUNTED ......................... FURNITURE AND FIXTURES---··· 2,082 .6 2 SAVINGS ACCOUNTS .................................. 0.0 0 7, 620.4 8 TRUST FUNDS, _ _ _ _ __ BANKING HOUSE _ _ __ OTHER REAL ESTATE- - - - ! o, 0 0 CAPITAL STOCK .............................................. 4,245 .71 DIVIDENDS UNPAID...... _ __ 4 7 2 .3 0 INDIVIDUAL DEPOSITS..........................• 7 7.1 3 4.2 0 I BILLS OF EXCHANGE _ _ _ _ 1 PUBLIC FUND$ _ _ _ _ __ 1 ,8 4 4.0 5 II DUE TO NON-RESERVE BANKS..... ITEMS IN TRANSIT _ __ DUE FROM NON-RESERVE I I BANKS DUE TO RESERVE BANKS........... ..... CASH ITEMS_ DUE FROM RESERVE BANKS ........ CHECKS ON OTHER BANKS·-- ····· CURRENCY _ _ _ __ 3 3, 688 .70 C/ D'S, DEMAND ................................................. 8 2 4 .7 7 C/ D'S, TIME ........................... 4,166.00 2 0,059.26 C/ D'S, FOR MONEY BORROWED ..... 2 7 5.0 0 CERTIFIED CHECKS ..................... 9 5 4.0 0 CASHIER'S CHECKS ..................................... RESERVED FOR INTEREST .............. OT H ER RE SOU RC ES -···-·-··--·-- -··-··· RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 8 4 1 5 7 .9 9 ~~ TOTAL... ............................................................ 1 8 4 1 5 7 .9 OFFICERS AND DIRECTORS of iambu rg Bard-, Hambu,g , Ashle ;y Co., A k. OFFICERS J . P . Blanks Presidenl 'fl. L. Blanks Vice Presidenl B .o. Jackson Cashier • ,I . Baird Ass'I Cashier DIRECTORS J. P . Blanks , TT . . Blanks n . :~ . Jatson - - - - - ---- ____ J . W. Sim~s _o_ n _ _ __ son. Jno. D. Currie Jr. , https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Harr isbu:~ 3tate Bunk , Hn.rris burg, .:iin3ett Co ., Ar". AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS.......... LOANS ON REAL ESTATE ................. LIABILITIES 1 .'.35,817.0 0 17, 360.00 5 1 4 .'.3 3 BONDS AND SECURITIES-·--·-····· FURNITURE AND FIXTURES--··· 25,000.0 0 CERTIFIED SURPLUS................................. 2 2,000.00 5,0 3 0 ,3 5 BILLS PAYABLE- - - · ······················· 30, 000.00 NOTES REDISCOUNTED ....................... .. 1,913.2 5 SAVINGS ACCOUNTS ................. BANKING HOUSE _ _ _ _ _ _ , TRUST FUNDS _ _ _ _ __ OTHER REAL ESTATE- - - - - ! DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSIT$ _ __ I BILLS 2,976.54 UNDIVIDED PROFITS.......................... . LOANS ON COTTON ...·-··-···· 0 VERD RAFTS ...·-·••-····-········-···--·-·····-···· CAPITAL STOCK .......................... OF EXCHANGE _ _ _ _ , 7 6,705 .4 4 --, 3 9 7 .2 4 PUBLIC FUND$ _ _ __ ' DUE FROM NON- RESERVE t \ CASH ITEMS _ _ _ _ _ _ _ 1 DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANKS ........ C/ D'S, DEMAND ................................................. CHECKS ON OTHER BANKS.·-······· C/ D'S, TIME .......................................................... CURRENCY _ _ _ __ RESOURCES _ _ __ 5 3 9 .3 9 DUE TO NON-RESERVE BANKS .... BANKS 2,917.00 23,381 .78 C/ D'S, FOR MONEY BORROWED ..... 9 0.0 0 CERTIFIED CHECKS ....................... . 15 0.0 0 2 4 3.2 7 CASHIER'S CHECKS ....................·-··· 2 0 0.8 3 2,500.88 RESERVED FOR INTEREST .............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL.... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 8 9, 2 6 4.4 7 -:: TOTAL ................................................................. 1 8 2 6 4 .4 7 ~~ OFFICERS AND DIRECTORS of Harri s bu_~ ~~ate Bank, • u2rris burg, ~Jin~e t t Co ., Ar1.c OFFICE R S J. G. Ga.nt. P reaidenl G·. T. Ga.rvey, Vice P residenl Thoe.Flournoy, Cashier Sa.m A. La.ti m r, Au't Cashier DIRECTO RS J .'1. Ga.nt - - J. - J.J. _ rdia, G. T. Ga.rvey, John Ar atrong, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis . Rook• T ho ■ Jr. Flournoy, COPY OF PUBLISHED STATEMENT of 1~mpstea~ unty Bank, Hope Hem ste~d lo,, n Ark . ' AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 1 71,900.26 CAPITAL STOCK ................................................ 5 0,0 0 0.0 0 LOANS ON REAL ESTATE ... -........... 20,122.56 CERTIFIED SURPLUS ............................... . 12,000.00 LOANS ON COTTON _ _ __ UNDIVIDED PROFITS,_ _ __ OVERDRAFTS _ _ __ BILLS PAYABLE---····-·················· BONDS AND SECURITIES--···---····· 3,402 .64 NOTES REDISCOUNTED ....................... FURNITURE AND F I XTURES--··· 4,000.00 SAVIN GS ACCOUNTS ........·-··········-······· BANKING HOU S E _ _ _ _ _ 1 OTHER REAL ESTATE _ _ __, 20,000.00 100,000.00 4 7~4 6 6 .8 9 TRUST FUNDS _ _ _ _ _ _ 1 8 0 0.0 0 DIVIDENDS UNPAID _ __ ITEMS tN TRANSIT _ __ BILLS OF EXCHANGE _ _ _ _ , 3,144 .64 1 2 7.8 6 2.0 7 INDIVIDUAL DEPOSITS _ ____, 1 2),51 0.3 0 PUBLIC FUNDS,_ _ _ _ _ _ , 51,609.54 I DUE FRO M NON-RESERVE BANKS_ _ _ _ _ _ __ 2,628.08 ' CASH ITEMS, _ _ _ _ _ _ _ , I DUE TO NON-RESERVE BANKS.... 3,880 .87 DUE TO RESERVE BANKS........... .... . DUE FROM RESERVE BANKS-..... 41,837 .68 CHECKS ON OT H ER BANKS._...... 6 4 5 .7 6 C/ D ' S, TIME- - - - - - - 1 CURRENCY- - - - - - - - 1 9,678.00 C/ D 'S, FOR MONEY BORROWED ..... 1,162.5 0 CERTIFIED CHECKS .................... 16 3 .91 SILVER ...·-·-·-·· - · - - - - - - 4,223 .31 CASHIER'S CHECKS ..................... 1,671.88 OTHER RESOURCES, _ _ __ 3,929.26 RESERVED FOR INTEREST--········ IGOLO .. _ __ C/ D ' S, DEMAND .................. _ __ 15,624.48 119.61 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES.................................. TOTAL ................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 1 2, 1 9 2 .1 2 ~( TOTAL .................. 4 1 2 1 2.1 2 {; OFFICERS AND DIRECTORS of '1-.,mps t eaC:: c, ,.mty Bank , Hore , Hem stead Co., Ark. OFFICERS W. Y. Presidenl Fost K. G. McRae Vice Preside,11 Chas. B. Foster ' . M.DAVIS IU.HK C:0.llMrss10, Cashier W. B. Oglesby Ass't Cashier DIRECTORS w. Y. Foster Chas. B. Foster K. G, McBae Steve Carrigan w. F. Bridewell J, H. Wallace https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Johns. Gibson ------W....-B. Ogl.e..s.h_ _ __ COPY OF PUBLISHED STATEMENT of 1ope Sav ~, cr~ Bank & Trust Co., Hope , lJe1,1yste ad Co. , A- AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........ 40,438.58 CAPITAJ.. STOCK.............................................. 25,000 .00 LOANS ON REAL E STATE .•- ..... ...... 59,847 .18 CERTIFIED SURPLUS _ _ __ 28,000.00 LOANS ON COTTON _ _ __ 7 2,100.5 7 UNDIVIDED PROFITS................................. 19 6 .1 ~- OVERDRA F TS·-·····•···- · · - - - BILLS PAYABLE---········••·············· 7 5,000.00 BO N DS AND S E CURITIES_ NOTES REDISCOUNTED ....................... .. .••....... FURNITURE AND FIXTURES--···· SAVINGS ACCOUNTS ............................. BANKING HOU S E _ _ __ TRUST FUNDS _ _ _ ._ __ OTHER REAL ESTATE----···-·····- 10 1.0 0 ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ __ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS·---························•·· DUE FROM NON-RESERVE BANKS_ _ _ _ __ CASH ITEMS _ _ _ _ __ DUE FROM RESERVE BANKS ....... DUE TO NON-RESERVE BANKS .... 3 .3 4 15,153.68 DUE TO RESERVE BANKS...........•... C/ D ' S, DEMAND......_ _ _ __ C/ D 'S, TIME _ _ _ _ _ __ CHECKS ON OTHER BANKS ..- ..... CURRENCY·-·· - - · · · - · - · - - - DIVIDENDS UNPAID..... _ __ 2,111.00 C/ D'S, FOR MONEY BORROWED ..... CERTIFIED CHECKS .•...•............................ 0TH ER RESOURCES •..·--·--·······•·· 4,481 .88 CASHIER'S CHECKS ..................................... 2,415 .56 RESERVED FOR INTEREST .............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES................................ . TOTAL ..........•............................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 19 6 6 5 2 .7 TOTAL... ............................................ 69,456 .65 OFFICERS AND DIRECTORS of T1ope Sav :..no-c- Bank & Trust Co ., Hope, h8mpstead Co ., Ar k . OFFICERS Jas. H. Mccollum, Preaidenl s. R. Oglesby, and P.A. Tharp, Vice Preaiden, Je.s.s.e..-..N . Riley, Secretory G:,,.,.., & Treas. Ass'I Cashier DIRECTORS Jas. H. Mccollum, P.A. Th arp, J. J. Ward , Jesse N. Riley. ----- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis s. R. Oglesby, --~f~_s. A■ Greening, L. Betts, COPY OF PUBLISHED STATEMENT of Sav ., Trust & Gua ranty Co., t "pr in gs, l,2. land C::i ., :, Security Bank ) A Mu t Spri1 q h AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS .................. ........................ . 133,020.6 5 CAPITAL STOCK . . . . . . . . . . . .......... . . . . . . . . . . . . . ................................. LOANS ON REAL ESTATE .......... .................. 2 4 '.3, 3 8 4 .7 6 CERTIFIED SURPLUS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 7 5,000.00 LOANS ON COTTON _ _ _ _ _ , UNDIVIDED PROFITS,_ _ __ 20,371 .7 7 OVERDRAFTS _ _ _ __ BILLS PAYABLE _ _ _ . . . ...................... . . . . . . . . . . BONDS AND SECURITIES_ . __ . . . 1 "4,9 0 5.8 5 NOTES REDISCOUNTED ................_ .................. . . . FURNITURE AND FIXTURES __ . . _ SAVINGS ACCOUNTS ................................ . . . . . . . . . . . . . . . . . BANKING HOUSE ...._ .............. ...... _ _ _ , TRUST FUNDS . . . . . . . . . . . . . . . . . . . . . . . ........ . . . . . . . . . . . . . . . ............... . OTHER REAL ESTAT ,____ _ _, 12,153.26 DIVIDENDS UNPAID _ _ __ 110.0 0 ITEMS IN TRANSIT 10 0,000.00 INDIVIDUAL DEPOSITS _ __ BILLS OF EXCHANGE _ _ _ _ , 1 6,312.5 5 6 16.5 3 6 2.0 0 17 4,8 5 0 .7 3 PUBLIC FUNDS . . . . . . . . . . . . . . . . . . . . . . . . . _ __ I I DUE FROM NON-RESERVE BANK~ - - - - - ---1 DUE TO NON-RESERVE BANKS . . . 2,472 .12 I DUE FROM RESERVE BANKS . .... . . .. DUE TO RESERVE BANKS ...................... . . . . . 7 6,161.20 C/ D'S, DEMAND . . . . . . . . . . . . . . . . . . _ __ 1,554.88 27,667 .89 I I CHECKS ON OTHER BANK$__ . . . I CURRENCY _ _ _ __ _ _ _! 3 1 0 3,5 5 '.3 .7 6 2,241.5 8 C/ D'S, TIME _ _ _ _ _ _ _ , o, 2 '.3 4.0 0 C/ D'S, FOR MONEY BORROWED . . . . . 9 5.0 0 CERTIFIED CHECKS ........................................ . . . . . . . . . . . . . . . . 16 6 .6 6 CASHIER'S CHECKS, _ __ 2 8 2 .8 0 6, 7 6 1.1 5 RESERVED FOR INTEREST. . . . . . . . . . . . . . OTHER RESOURCES _ _ __ RESERVED FOR TAXES _ __ OTHER LIABILITIES TOTAL . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ...................... ................ . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 2 1 5 '.3 9 .5 7 ➔~ TOTAL . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ............................................... . . . . . . . . . 110 0.0 0 5 2 1,5 3 9 .5 7 -:'o OFFICERS AND DIRECTORS of 1,'.) t Spril ..... Q 3r-v., Trus t & Guaran ty Co . , hct rprin gb, u~ lan~ CJ . , ~Security Bank) A k. OFFICERS Ed. H. Johnson Presidenl Howard P. Collings, Vice Presidenl John B. Foote, Cashier Ass't Cashier DIRECTORS J. w. Corrington, L. D. Co..... o~p.....e....r.-.,~ - - - - -- S. P._c_o_llings,_ _______ Howard P. Collings, Chas. R. Birnbaum, Ed. H. Johnson, Chas. M. c. Tombler, __________E_._N_. Roth, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis c. Sparks, COPY OF PUBLISHED STATEMENT of Huntingtcn :tate Bank, Hunti ngt0n, SebasLa 1n Co., I\ ,,.k Nov 1 n 19 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS.................. . LOANS ON REAL ESTATE .......... LIABILITIES 2 6, 18 4 .9 2 CAPITAL STOCK.... 7, 7 5 2 .1 9 2,000.00 UNDIVIDED PROFITS, _ _ __ 2,391 .1 4 2 7 1 .6 0 OVERDRAFTS _ _ _ _ _ _ _ ., 14.4 4 BILLS PAYABLE _ _ __ BONDS AND SECURITIES_····-····· 2 5.4 0 NOTES REDISCOUNTED .......................... FURNITURE AND F I XTURES-··-···· 2,9 7 .'.3.2 0 SAVINGS ACCOUNTS. BANKING HOUSE.. _ _ __ 4,0 0 0.0 0 TRUST FUNDS .......................... 7 1 5 .7 3 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , I BILLS OF INDIVIDUAL DEPOSITS _ __ EXCHANGE DUE FROM NON-RESERVE BANKS, _ _ _ _ _ __ ! CASH ITEMS _ _ _ _ _ _ __ 26,810 .7 7 I PUBLIC FUNDS. _ _ _ _ __ 2,0 0 0.0 07.0 0 4,4 9 0.4 7 DUE TO NON-RESERVE BANKS ..... DUE TO RESERVE BANKS........ DUE FROM RESERVE BANKS.-..... 8,8 3 5 .7 7 C/ D'S, DEMAND---·························· CHECKS ON OTHER BANKS·--····· 19 .71 C/ D'S, TIME----································ 2,503 .00 C/ D'S, FOR MONEY BORROWED ..... 1,725.00 CERTIFIED CHECKS _ __ CURRENCY._ _ _ _ _ _ _ _ , o,o O 0.0 0 CERTIFIED SURPLUS............................. . LOANS ON COTTON _ _ _ _ _ , OTHER REAL ESTATE- - - · - - 1 6 7 4 .3 3 10,397.8 1 1,572.10 CASHIER'S CHECKS ..................................... RESERVED FOR INTEREST ......... . OTHER RE SOU RC ES--·-·-···-·-·-···-······· RESERVED FOR TAXES .........·-············· 40.0 0 OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 7, 7 0 2 .2 9 ~~ TOTAL ................ . 5 OFFICERS AND DIRECTORS of ~unt ingt cn ctate Bank , Hunt i nst0n, Se bas~a1n Co., rk OFFICERS ,., . L . sem:mn President C.C.Gruves V ice Prosidenl G. R. Holb r ook Cashier J .1 .Him:dns Ass'I Cashier DIRECTORS W.L. Seornan G.K.Di:xon c . c . Graves C .c r.'oor,son L C Packard https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis G . R . ;fo7 brool: COPY OF PUBLISHED STATEMENT of Intersta te Janking & Trust Co., i lena, Ph1L.1ps Co., AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........... 3 0 0,0 9 3A 8 CAPITAL STOCK................................................ 200,000.00 LOANS ON REAL ESTATE .......·-····-· 2 8 8,6 5 8 ,3 0 CERTIFIED SURPLUS .....................·-······· · 100,000.00 62,155 .72 LOANS ON COTTON _ _ __ UNDIVIDED PROFI.T S- - - -1 OVERDRAFTS·-·-··--···--··-··-··-·-···-·······• 31 .6 7 BONDS AND SECURITIES--·--······ 9,547 .70 NOTES REDISCOUNTED ....................... . FURNITURE AND F I XTURES--··· 4,40 .'.3 .6 5 SAVINGS ACCOUNTS ...·-··- - -, BANKING HOUSE _ _ _ _ _ _ BILLS PAYABLE ...................................... 5, 7 5 0.0 0 INDIVIDUAL DEPOSITS _ __ 4 5, 0 8 0.0 8 105.83 DUE TO NON-RESERVE BANKS..... 15,857.5 7 145 .7 0 DUE TO RESERVE BANKS........... ..... I I CHECKS ON OTHER BANKS·-····· CURRENCY·-··- · . OTHER RESOURCES- - - - - - · -···· 225,646.2 9 PUBLIC FUNDS................................................ . BILLS OF EXCHANGE- - - - • DUE FROM RESERVE BANKS........ 107,737 .38 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , DUE FROM NON-RESERVE BANKS, _ _ _ _ _ _ __, 39,548.5 0 TRUST FUNDS.................................................... 1 OTHER REAL ESTATE· - - -··-· 2 4,9 0 0.0 9 114, 7 8 5.41 2,421 .72 C/ D ' S, DEMAND ........................................... C/ D ' S, TIME ............ _ _ _ _ __ 18, 7 86 .00 C/ D'S, FOR MONEY BORROWED ..... 7 1 0.0 0 CERTIFIED CHECKS .................................. 10,530.11 CASHIER'S CHECKS-- - - - - ! 7 8,94 RESERVED FOR INTEREST.............. RESERVED FOR TAXES- 59,222.42 211.9 0 --1 OTHER LIABILITIES .......................·-········ TOTAL ............. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 1 8 2 0 4 .2 3 ;" TOTAL .................. . 8 1 8, 2 0 4 .2 .'.3 ~~ OFFICERS AND DIRECTORS of Inters ta .., ~J.nk:ing & Trust Co., lena , chi~~ips Co., k OFFICERS Pruid•nl s. c. Moore V ico Proriden, C S Fit trick Cashie r ston A u 'I Cashier DIRECTORS s. Seelig S c s. i. . Mundt Moore Jacob Fink B. Seelig https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of iarc hant 1 Planters Bank & Trust Co ., Har·isburg, Poinsett Co., A •• AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES 68,991.4 9 CAPITAL STOCK...................... LOANS ON REAL ESTATE·-····-······-· 16,127 .18 CERTIFIED SURPLUS ............................. . 1,0 0 0.0 0 UNDIVIDED PROFITS ................................. 2,488.41 LOANS ON COTTON .·-·-·-····- OVERDRAFTS _ _ _ __ 2 3 8.9 7 BILLS PAYABLE _ _ _ __ BONDS AND SECURITIES-·-·-··-··· 3,403.2 1 NOTES REDISCOUNTED ....................... FURNITURE AND FIXTURES--···· 1,315.00 SAVINGS ACCOUNTS ................................... BANKING HOUSE. · - - · - · - - - - 1 5,000.00 TRUST FUND$ _ _ __ 2 o,o O 0.0 0 21.0 0 1,55 8.45 OTHER REAL ESTATE _ _ __. DIVIDENDS UNPAID ................................. ITEMS IN TRANSIT _ _ _ _ _ ! INDIVIDUAL DEPOSIT$ _ __ 43,113.6 3 BILLS OF EXCHANGE_ _ __ PUBLIC FUND$ _ _ _ _ __ , 0 9 1.5 8 DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ __ DUE TO NON-RESERVE BANKS.... CASH ITEM$ __ .______ __ I DUE FROM RESERVE BANKS ........ II 50,000.00 LOANS AND DISCOUNTS...... 6 0.5 5 DUE TO RESERVE BANKS ................ 2 9, 18 0.1 8 C/ D'S, DEMAND ................................................... CHECKS ON OTHER BANKS- ...... C/ D ' S, TIME----······························· 3,777.00 ---··-··--·---·----1 5,110.29 C/ D'S, FOR MONEY BORROWED ..... 6 5.0 0 CERTIFIED CHECKS- - - - -1 1,281 .22 CASHIER'S CHECKS ..................................... 5 6.4 4 RESERVED FOR INTEREST .............. OTHER RESOURCES _ · - · - - - - RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES.................................. TOTAL ................................................................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 2 9 4 3 9 .8 0 ➔:- TOTAL. ........... 1 2 9, 4 3 9 .8 0 ~~ OFFICERS AND DIRECTORS of .. erchant ., ~ Planters Ba.t1k l'c Trus t Co. , HG. r is burg. Pui..set,t Co. , O FF ICERS J . E. Vanbeber P reaidenl S A Bettis Vice P reaidenl M H Frayser ~-----Cashier MM Griffi n A u't Ca shier DIRECTORS J E Vanbeber WA Smith -------- N T Whitaker SA Bettis RE Hare U H Frayser J A Bradsher Joe Hall JC DaTiS https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis A Correct COPY OF PUBLISHED STATEMENT of ~8rch ant s Planters Bank, HJm~~r ey, Arkan0ns Co., ~ ov 1 n 191 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS....... LIABILITIES 4 5,9 6 0.A 1 CAPITAL STOCK........................................ 1 5,000.0 0 CERTIFIED SURPLUS _ _ __ LOANS ON REAL ESTATE·-·············· LOANS ON COTTON _ _ _ _ _ , 2,000 .00 UNDIVIDED PROFIT$, _ _ __ OVER DRAFTS _ _ _ _ ···- -····-···•···· 1,071.8 1 BILLS PAYABLE---·······•················ BONDS AND SECURITIES.--····-······ 1 6 9.5 0 FURNITURE AND F I XTURES--···· 1, 8 0 0.0 0 SAVINGS ACCOUNTS _ _ __ BANKING HOUSE ..·-·····--·-·--·---· 3,700.00 TRUST FUNDS- 2 7. 5 0 0 .0 0 2,150 .0 0 NOTES REDISCOUNTED ......... _........... . --··························· OTHER REAL ESTATE _ _ _--/ DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ __ 25,216.6 7 1,073 .4 1 PUBLIC FUND$ _ _ __ BILLS OF EXCHANGE-·--·---·-···· I NON-RESERVE BANKS _ _ _ _ _ __ 3 5 5 .2 5 CASH ITEMS _ _ _ _ _ __ DUE TO NON-RESERVE BANKS .... DUE TO RESERVE BANKS...... DUE FROM RESERVE BANKS._ .... 8,5 9 2 .1 7 C/ D'S, DEMAND............................ CHECKS ON OTHER BANKS_··-····· 3,607.26 C/ D'S, TIME .................._ _ __ CURRENCY _ _ _ _ _ __ 2,418.00 C/ D'S, FOR MONEY BORROWED..... 5.0 0 CERTIFIED CHECKS.................................. 3 9 6 .3 7 OTHER RESOURCES_·-------·-······· 1,170.55 2 0.0 0 CASHIER'S CHECK$ _ _ __ 2 8 6.24 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 71 24632 i~ TOTAL .................. . 7 1,2 4 6 .3 2 -:r https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of I ,,er ciant s e- Planters Bank, Hump' rey, Arkans&s C0., Arr OFFICERS V i ce President Aas't Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Peoples Bank , Harrison,Boone Co ., Arkansas . AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ..... 9 3, 6 0 4 .0 7 CAPITAL STOCK.. LOANS ON REAL ESTATE .............. _. 18,458.06 CERTIFIED SURPLUS ............. 2,850.00 LOANS ON COTTON ..·-····-····-·····-··-········ 5 8 .7 8 UNDIVIDED PROFITS....... . 5,450 .4 7 OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE _ _ __ BONDS AND SECURITIES_·-··--····· 3,000.00 13,910.91 NOTES REDISCOUNTED ................... FURNITURE A N D F I XTURES- .... 1,9 9 8.0 0 SAVINGS ACCOUNTS _ _ __ BANKING HOUSE _ _ __ 6,000.00 TRUST FUNDS----··········•················ - OTHER REAL ESTATE _ _ _-! 3 8 5.0 0 INDIVIDUAL DEPOSITS....................... BILLS OF EXCHANGE-·--·-·---····-···· PUBLIC FUNDS ..._ _ _ __ 1,0 0 S).O 0 CASH ITEMS __ .. DUE FROM RESERVE BANKS ........ I CHECKS ON OTHER BANKS--···· I CURRENCY._ _ _ __ 13,600.00 14,540.72 2,417 .61 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT--------··---·· NON-RESERVE BANKS _ _ _ _ _ _ _ __ 25,000.00 9 5,225 .8 3 DUE TO NON-RESERVE BANKS ... DUE TO RESERVE BANl<S 16,318.45 C/ D'S, DEMAND ............................................ 4,785 .85 C/ D ' S, TIME ............................. 1,851.0 0 C/ D'S, FOR MONEY BORROWED..... 5,530.00 CERTIFIED CHECKS .................................... 1,222.8 5 CASHIER'S CHECKS _ _ __ 8,240.5 3 7 9 7.8 1 RESERVED FOR INTEREST .............. OTHER RESOURCES _ _ __ RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL ............................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 6 8 1 2 2 .9 7 ~r TOT AL ..·-·························· ................................ 168,122.9 7 ~" OFFICERS AND DIRECTORS of Peoples Bank Harrison, one County, Arkansas. OFFICERS W.J . lzy:ers . Preride,11 W.H.Cecil . Vi ce Preridenl F. W. Ma:x'I.Ve]l . Caahier ,I.\'1. Mag1 ey . AH'I Caahier DIRECTORS W.J .M;)rers W.R.Cecil. J . L. Sims. F. w.:ua.xwe 11 . J . w.:n1ag1 ey . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Chas . zoech. _ _ _A ......_.,.,:r Jlalt.e_r_s-·-- - - - - - ,J . N.Milum . COPY OF PUBLISHED STATEMENT of eoplee 13ank, Holly GroTe,Monroe Co , , Arkansas. ov 1 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........................ LOANS ON REAL EST ATE --........... 2 ,0 8 1.5 0 CAPITAL STOCK............ ............................ . ,0 4 3.5 5 CERTIFIED SURPLUS .......... UNDIVIDED PROFITS, _ __ 0 VERD RAFTS _·-·-···-···• ..... _...._ .._ ..._ ....... . 3 2.0 4 BILLS PAYABLE ...... _ __ BONDS AND SECURITIES- ..·-······ 5 '.3 .5 0 NOTES REDISCOUNTED ....................... . FURNITURE AND F I XTURES _ ... 2,119 .8 6 SAVINGS ACCOUNTS .................................. . BANKING HOUSE._ __ TRUST FUNDS ......................................... OTHER REAL ESTAT ~ D I VIDENDS UNPAID ............ _ ___.. ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE ...- PUBLIC FUNDS ............................. .....- ............ D U E FROM NON - RESERVE BANKS I. ITEMS, _ _ _ _ _ _ _ , 191 LIABILITIES LOANS ON COTTON ........................ _ ......... . I CASH fl 15,000.0 0 2 , 650.00 3 3 1.5 0 5,000.00 '.3 9 7 .4 7 23,597.0 5 2,6 9 5 .9 9 DUE TO NON-RESERVE BANKS .... 2 .0 0 DUE TO RESERVE BANKS................ 11,166 .7 9 C/ D ' S, DEMAND ...... _ _ _ _ _ _ , I f DUE FROM RESERVE BANKS ....... I I CHECKS ON C/ D'S, TIME .......................................................... .. OTHER BANKS_ ........ . CURRENCY..- · · · - - - - - - 2,776.0 0 3, 2 6 1.5 2 C/ D ' S, FOR MONEY BORROWED ..... 170.0 0 CERTIFIED CHECKS............ SI L VER ....._ ....................... - .............................. - ......... 1,103.3 7 CASHIER'S CHECKS .............. OTHER RESOURCES ............--....- .. -····· 2 5 .0 0 10 2 .8 5 RESERVED FOR INTEREST .............. RESERVED FOR TAXES ......................... OTHER LIABILITIES................................. TOTA https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 53036 TOTAL ............................................................... . 5 3, 0 3 6 .3 8 7: OFFICERS AND DIRECTORS of Peo ples Bar,;:, Holl.v rov e, Monroe Co., Ark cfY OFFICERS Rudolph Abramson Prellidenl Geo.W.Johnson Vice Pre•idenl Ca Hawkins Cashier Rue Abramson Ass't Cashier DIRECTORS Rudolph Abramson C.G.Kerr Geo.W.Jo)rnson ~------- Rue Abramson =-==-='------- s.seelig lf.A.Johnson B.Seeli s.c.Moore https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Cay Hawkins COPY OF PUBLISHED STATEMENT of ::: t-Oples . ., ., · Llg s Bank & Trust Co. , Helena, P _l lips Co . , Ar·. ov AT THE CLOSE OF BUSINESS RESOURCES fJ 19 LIABILITIES 4 4 2,5 6 2.14 CAPITAL STOCK.............................................. 75,000 .00 LOANS ON REAL ESTATE •.......•...... 57,319.15 CERTI Fl ED SURPLUS ......... _ ................... . 15,000.00 LOANS ON COTTON ...••...•...·-····-·········· 23,583.40 UNDIVIDED PROFITS ............ OVERDRAFTS·-··-··----··--·-······ . 1,202.08 BILLS PAYABLE _ _ _ __ BONDS AND SECURITIES ..•.•..... _ ..... 6,150.54 NOTES REDISCOUNTED ......................... LOANS AND DISCOUNTS .............. . FURNITURE AND F I XTURES- ... 1.0 0 SAVINGS ACCOUNTS _ _ __ · ITEMS IN TRANSIT _ __ 23,503.44 4 6 5.1 7 INDIVIDUAL DEPOSITS _ __ PUBLIC FUNDS _ _ _ _ __ NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ..... 4 2 .94 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ....... 65,816 .89 C/ D'S, DEMAND---··························· CHECKS ON OTHER BANKS.·-····· 1,6 8 1.2 3 CURRENCY _ _ _ _ _ __ OTHER RESOURCES-•·-· ·-·-··-······ 12 9,2 5 2 .91 DIVIDENDS UNPAID _ _ __ BILLS OF EXCHANGE _ _ __, CASH lTEMS _ _ _ _ _ __ A. TRUST FUNDS .................................................... BANKING HOUSE..· - · · · - - - - - 1 OTHER REAL ESTATE- - - - i 8,542 .7 2 4 8, 2 8 2.91 90,676.45 3,219.51 71,688.8 9 C/ D'S, TIME ........................ _ __ 13,521.00 C/ D'S, FOR MONEY BORROWED ..... 7 8 0.0 0 CERTIFIED CHECKS .................................... 4,860.10 CASHIER ' S CHECKS ..................................... 1 7 4 .3 3 RESERVED FOR INTEREST....•........ RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL. ....................•........................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 4166 3.4 1 * TOTAL ..................................... 6 4 1, 6 6 3 .4 1 ➔ f- OFFICERS AND DIRECTORS of : oople s ~ <1 " .:. ,1gs Bank & Trust Co., Helena, PHil l ips Co ., A~" OFFICERS John s.A.Wooten, M.E.Weat, Banki Vice President _ _Gilbert Yae.g~~r--..,____ DEC Cashier i NO. M. DA V I S. ffl( C:OIC IIIH!Ol(ft Ass't Cashier DIRECTORS Jno I Moore. -8....A.Wooten, v....____ A_.li.__T_anne½ - - - - - - - - M.E. West, Active V .P E.M.AllA-n--...,- - - - - - - - - Lee P endergr .......a....s""'a4,- - - - - ~ o_r_ _____ _ _ G. Quarles, R.E.Chew, Jr. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of ~0m· i ty ., :. & ~rust Co., l~l nn , Philli Cc., AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES 311,671.83 CAPITAL STOCK.................................... LOANS ON REAL ESTATE ................. 313,443.67 CERTIFIED SURPLUS .......................... 4 0,0 0 0.0 0 UNDIVIDED PROFITS ................................. 14,916.26 LOANS ON COTTON ..·-···-···········-·-· 2 9 4 .3 3 BILLS PAYABLE- - - ·······················• BONDS AND SECURITIES--··-·-··-··· 5, '.3 13 .96 NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES- ....... , 4,040 .69 SAVINGS ACCOUNTS .............. OVERDRAFTS, _ _ _ _ _ __ OTHER REAL ESTATE------·--·· 2 4,469.92 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , BILLS OF EXCHANGE- - - - 1 3 1 7, 8 :l. 1 .1 8 PUBLIC FUNDS, _ _ _ _ __ 140,467.17 DUE FROM NON-RESERVE DUE TO NON-RESERVE BANKS .... BAN KS-•·-·-··· CASH ITEMS, _ _ _ _ _ __ 12 5.0 0 INDIVIDUAL DEPOSITS ........................... I ,5 5 2 .7 0 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ...... .. 6 5,795.53 C/ D'S, DEMAND---·······•··················· CHECKS ON OTHER BANKS .......... 12,701.84 C/ D'S, TIME .............................................................. CURRENCY _ _ _ _ _ _ __ 14,700.00 C/ D'S, FOR MONEY BORROWED ..... OTHER RESOURCES _ _ __ 80,608.6 1 TRUST FUNDS _ _ _ _ __ BANKING HOUSE _ _ _ _ _ _ , ! 100,000.00 LOANS AND DISCOUNTS ........................ 4,100.00 CERTIFIED CHECKS .................. 9,203 .92 CASHIER'S CHECKS, _ _ __ 2,034 .92 RESERVED FOR INTEREST .............. 47,925.00 1 9, 3 6 4.6 9 RESERVED FOR TAXES ......................... OTHER LIABILITIES TOT AL .............................................................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 6 7 7 7 0 .6 1 ~~ TOTAL.. ................................................................ 7 6 7. 7 7 0 .6 1 ~~ OFFICERS AND DIRECTORS of 3ecurity B~nk & Trus t Co., Hel .na, Phillips Co., Ark . OFFICERS Ban sc E. lloore President . - n - r......... ,-J Jos L olomon NO. M. DA VIS, Vice Pre,idenl JIAJIIC CO.IUI.IHIOJID Uetx Ass'I Cashier DIRECTORS E. D Uo re J ': Clapton C G Kir. --~J~ll Emanuel Levy os Jarman S C v1oore S Strau https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ··-a-r_e_______ olomon Lee Pendergr Jos L COPY OF PUBLISHED STATEMENT of valley B ,,1r, Hindsvi lle, Madiuon Co., Ark NOV J I) 191 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 2 8,141.02 LOANS ON REAL ESTATE_··-··········· 6,074 .70 CAPITAL STOCK _ __ 10,000.0 0 CE RT I FI ED SU RP LU S.. •-······················· 1,250.00 LOANS ON COTTON ..·-····· UNDIVIDED PROFITS ......... 1,441.40 OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE _ __ 2, 000.0 0 BONDS AND SECURITIES--··-·-······ NOTES REDISCOUNTED ...............·-······ FURNITURE AND FIXTURES·--··· 1,500.00 SAVINGS ACCOUNTS ................. BANKING HOUSE· - - · · - · - - - - , 2,500.00 TRUST FUNDS _ _ _ _ ·················-·· .. OTHER REAL ESTATE·-----·---··· 3 5 1.2 5 DIVIDENDS UNPAID...... _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS...._ __ BILLS OF EXCHANGE --·----·-·-···· PUBLIC FUNDS· - · · · - - - - - DUE FROM NON - RESERVE BANKS _ _ _ __ _ __ DUE TO NON-RESERVE BANKS .... II CASH ITEMS_. _ _ _ _ _ _ , l DUE FROM RESERVE BANKS ........ I r CHECKS ON OTHER BANKS--···· CURRENCY _ _ _ _ _ _ _ _ , -----···-···-·····---··· 2 8,717.0 7 DUE TO RESERVE BANKS...·-···-····· 1 6,6 8 9 .13 C/ D'S, DEMAND ................................................... 3 2 .3 5 C/ D'S, TIME ..................... _ __ 4 41.0 0 C/ D'S, FOR MONEY BORROWED..... 4 2 0.0 0 CERTIFIED CHECKS......... 2 2 0.3 3 CASHIER' S CHECK$ _ __ 12,961.31 RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ _ _ _ ! RESERVED FOR TAXES ......................... OTHER LIABILITIES TOT AL.•... - •............•....................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 --. 3 6 9 7 8 ~~ TOTAL ................................................................. 5 6, 3 6 9 .7 8 -?~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ·1a1 ley Bc..,1k' Hind ~,v il le , ,1adison Co .,. A.,,.;. DIRECTORS COPY OF PUBLISHED STATEMENT of People s _.;,n.r, Imboden, Lawratlc~ Co., Arlr ov 1 ,, m,. AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS _ _ _ , 31,478.43 CAPITAL STOCK _ _ _ _ __ LOANS ON REAL ESTATE ..·-············ 18, 702.4 7 CERTI Fl ED SURPLUS ........... LOANS ON COTTON _ _ __ OVERDRAFTS _ _ _ _ _ _ _ , UNDIVIDED PROFITS................................. 15.0 9 BILLS PAYABLE _ _ __ BONDS AND SECURITIES--··-••··· 1,368.46 NOTES REDISCOUNTED ....................... . FURNITURE AND FIXTURES-·-···· 1,440.00 SAVINGS ACCOUNTS ................................... BANKING HOUSE _ _ _ _ _ _ , 5,000.00 TRUST FUNDS _ _ __ OTHER REAL ESTATE- - - - 1 12,0 6 7,'.3 6 20,775.00 7 0 0.0 0 2,657.82 10,000.00 DIVIDENDS UNPAID ................................... ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSIT$. _ __ BILLS OF EXCHANGE _ _ _ _ , 50,200.6 9 PUBLIC FUNDS _ _ _ _ __ I DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _--r DUE TO NON-RESERVE BANKS.... CASH ITEMS _ _ _ _ _ _ _ l DUE TO RESERVE BANKS......._.. .... I I I DUE FROM RESERVE BANKS.·-···· 20,180 .8 7 C/ D'S, DEMAND- SILVER _ _ _ _ _ _ _ __ - ··························· C/ D ' S, TIME ............ _ _ _ _ __ CHECKS ON OTHER BANKS- ...... CURRENCY _ _ _ _ _ _ __ - 3,445.00 C/ D ' S, FOR MONEY BORROWED..... 2 2 5.0 0 CERTIFIED CHECKS.................................... 6 9 9.5 7 CASHIER'S CHECKS..................................._ RESERVED FOR INTEREST .............. OTHER RESOURCES ...... _ __ RESERVED FOR TAXES _ _ _ , OTHER LI AB I LIT I ES .....·-················-··· ..... TOTAL .................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 9 4 6 2 2.2 5 ~~ TOT AL-·······••······ 9,723.06 5 6 5.6 /9):~r ; ;ul:~r o u~~~[S OFFICERS AND DIRECTORS of JNO. M. DA VIS, .,,. Pe op l es I: k, Imb~d en, Lawrence Co., Ar k OFFICERS T .J .Sharum. Presidenl A.T.Wilson. V ice President J A Hill Cashier R.O.Rainwater. Ass't Cashier DIRECTORS T .J .Sharu • Walnut ~id A.T.Wilson. T.J.Wileon. " fl M.F. Henderson. J.B.Peeblee. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Sitka Ark. e Ark ■ 4NI( C:OIUCIISfOHII COPY OF PUBLISHED STATEMENT of American~ Jst Co., Jo~esboro, Craighead Co,, p' ' AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 12 2,8 9 4.24 CAPITAL STOCK ..................... 75,000.00 LOANS ON REAL ESTATE ................. 160,046.72 CERTIFIED SURPLUS ......... 2 0,0 0 0.0 0 LOANS ON COTTON._ _ __ UNDIVIDED PROFITS- - - - 1 OVERDRAFTS _ _ _ _ _ _ _ __ BILLS PAYABLE._ _ __ BONDS AND SECURITIES..... _ .. _····· 3,819 .31 NOTES REDISCOUNTED 36,600.00 F URNITURE AND F I XTURES_ ... 6,300.00 SAVINGS ACCOUNTS _ __ 74,426.87 BANKING HOUSE._ _ _ _ _ _ , TRUST FUNDS _ _ _ _ __ OTHER REAL ESTAT cc__ ___, DIVIDENDS UNPAID ....... _ __ ITEMS IN TRANSIT_ ..... _. _ __ INDIVIDUAL DEPOSITS. _ BILLS OF EXCHANGE I 9,110.43 _ _ I PUBLIC FUNDS, _ _ __ DUE FROM NON .. RESERVE BANKS,_ _ _ _ _ __ 3,041.32 CASH ITEMS _ _ _ _ _ _ _ , I DUE TO RESERVE BANKS................ 7 , 131.7 3 C/ D'S, DEMAND- - - · · · · ················•······ CHECKS ON OTHER BANKS.•-······ 1,4 5 8 .1 9 C/ D'S, TIME ............................................................ 6,643.00 C/ D'S, FOR MONEY BORROWED..... GOLD _ _ _ _ _ _ _ _ __ 4 9, 7 7 5 ,3 2 DUE TO NON-RESERVE BANKS.... DUE FROM RESERVE BANKS ...... . I CURRENCY.......... _ _ _ _ __ 65,027.64 6 2 0.0 0 SILVE R _ _ _ _ _ _ _ _ _ _ , 1,532.06 OTHER RESOURCES ..........- -.................. 7 0.4 5 43,026 .74 CERTIFIED CHECKS ................. CASHIER'S CHECKS _ __ RESERVED FOR INTEREST .............. 3'6 5.0 1 9,225.01 RESERVED FOR TAXES _ __ OTHER LIABILITIES .................................. ~..::.::::...,__--=3c_;:c8:...:2~5~ 5::-..:7__,:. ::0__.::o2:.. _~(·_____,._T-'<-OT.:..;A:..:.:L=:.··:::::····=············ ...........................•.................. L----=. T..::: O....:.. T .c..: A.= L.::::····:::::··..:::: ····..=·-::::;·····::::: ····::::;··•··=····::::;·····c:::····:;;...··· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 8 2, 5 5 7 .0 2 ~; OFFICERS AND DIRECTORS of :, 11 erican "'r·1.,t Co. , Jo•esboro, Cruighe ad Co., A ·Jc . OFFICERS V ic• President ~. Cashier ~ Aaa't Cashier DIRECTORS \&· ~ c.& . 1 1 ~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Bank of J i ,t:r, Joine · , Missisinppi Co., /\rlr AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS ........... LIABILITIES 17, 830 .94 CAPITAL STOCK ........................ LOANS ON REAL ESTATE ........... ...... 7 6 7 .1 9 U ND IV I DE D PROF I TS ......·-······-··········· ... OVERDRAFTS _ _ _ _ ···-·-···•········ 4 2 5 .3 5 BILLS PAYABLE .......................................... BONDS AND SECURITIES-··--···•·· 1 2 6.5 3 NOTES REDISCOUNTED .................... FURNITURE AND FIXTURES--·-··· 1,828 .16 BANKING HOUSE -·--···-····-··-·---·--···- 6 8 0.3 8 DIVIDENDS UNPAID....... _ __ INDIVIDUAL DEPOSITS..... _.... BILLS OF EXCHANGE_ __ PUBLIC FUNDS ................................................. . 1,918.76 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS-..... 3 5 6 .6 7 CHECKS ON OTHER BANKS-··-····· 2.0 0 C/ D'S, DEMAND _ _ __ C/ D'S, TIME _ _ _ _ __ 1,535.00 C/ D'S, FOR MONEY BORROWED..... OTHER RESOURCES _ _ __ 4,857.06 CERTIFIED CHECKS .......... GOLD ..· - - - · - - - - - - - - - SILVER _ _ _ _ _ _ _ _ _ , 9,696.98 DUE TO NON-RESERVE BANKS... CASH lTEMS _ _ _ _ __ CURRENCY. 2,5 8 4.1 7 TRUST FUNDS ............................... ITEMS IN TRANSIT _ _ _ _ _ i ' 9 13.4 1 SAVINGS ACCOUNTS .................................... ----1 DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ _ , I CERTI Fl ED SURPLUS ....................·-····•·· . LOANS ON COTTON _ __ OTHER REAL ESTAT ~ 9,350.00 1,615.6 5 CASHIER'S CHECKS _ _ __ 31 4 .9 9 RESERVED FOR INTEREST .............. RESERVED FOR TAXES._ _ _ , OTHER LIABILITIES TOTAL ...... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 7. 4 0 1.6 2 ~~ TOTAL ................................................................. 2 7. 4 0 1.6 2 ~~ OFFICERS AND DIRECTORS of Bank of J"ir1.;r, Joiner, tis&1s&1ipi Co., Ark . OFFICERS S. lph Pr,sidenl J.P. 'ilson Vice Presidenl J .A.lv.siok Cashier Della Gaines ABB't Cashier DIRECTORS J .F. ilson J .• A.Musick Della Gaines https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of ~ank of Zon~dboro, Jo~esboro, Craighead Co., AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS ........... LOANS ON REAL ESTATE ... ·-··········· LOANS ON COTTON __·-····-·····-----···· LIABILITIES 6 6 0,8 2 0.1 7 CAPITAL STOCK............................................ 1 5 O, O O 0.0 0 86,442 .10 CERTI Fl ED SURPLUS .............................. 1 50,000.00 . UNDIVIDED PROFITS,_ _ __ OVERDRAFTS _ _ _ _ ··--·----·····- 1 7 5 .8 1 BONDS AND SECURITIES-···--···-······ 7 2,604 .08 NOTES REDISCOUNTED ....................... FURNITURE AND F I XTURES- ....... 12,000.00 SAVINGS ACCOUNTS .................................. _ BANKING HOUSE _ _ __ 40,000.00 TRUST FUNDS·- - - · - - - -1 BILLS PAYABLE _ __ OTHER REAL ESTATc.__ _---l 5,000.0 O DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT __•·-·-···-·-·-··-··-·· 1, 1 87.03 INDIVIDUAL 'DEPOSITS ..................... PUBLIC FUND$. _ _ _ _ __ BILLS OF EXCHANGE-·-···---·-·-· : DUE FROM NON-RESERVE I BANKS I CASH ITEMS __· · - · - - - - - DUE FROM RESERVE BANKS .... I I, CHECKS ON OTHER BANKS_ ..... . CURRENCY_.._ _ _ _ _ _ _ __ DUE TO NON-RESERVE BANKS .... 11,073.76 1 80,150.07 C/ D'S, DEMAND................................................. 4,589.85 C/ D'S, TIME ............ _ _ _ _ _ _ , C/ D ' S, FOR MONEY BORROWED ..... GO L D ·····-····-·-············-··•··-•··-·•·-···-··-·-···---······ 4,200.00 CERTIFIED CHECKS .................................. SILVER ...·-··•··•···-····-·-·-··-··-··--·····--······-·-··· 4, 7 7 8 .8 1 CASHIER'S CHECKS ..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 10,000.00 24,711 .97 3 7 3, 013 .9 1 5,874 .3 9 12 6,908.60 DUE TO RESERVE BANKS.............. 23,142.00 0TH ER RESOURCES _···--·-·----······ 13,526 .46 1 51, 7 1 7 .7 4 314 .2 2 RESERVED FOR INTEREST .............. RESERVED FOR TAXES- - - 1 OTHER LIABILITIES................... 9 6 ,3 9 ,. · ~.• . .... . . r· . ,,_ ,('~ ....... t fr£i~ OFFICERS AND DIRECTORS of NO. M. DAVIS ,------------------------, /i .A ·k . OFFICERS T. Lane Preridenl w. H. Cate V i ce Preridenl V C Pettie Cashier w. Lane , Jr . T. Aaa'I Caahier DIRECTORS H. T. Lane J. c. Hawthorne T. J • ..i:llis V. C. Pettie H. A. Jones https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L. A. Ritter lt . - - -- I. ~IC COJJUtJUJCJkQ ✓ Jank of J o~~3boro, Jo , esboro , Cra ighe ad Co . , w. • L. i::>tringer S . .Da cus COPY OF PUBLISHED STATEMENT of Farme rs _ V~rchant s Bank, Judsoni a , White Co., Ark. AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS ........... LIABILITIES .3 6,2 9 6.5 6 CAPITAL STOCK........................ . 15,000.00 , I LOANS ON REAL ESTATE ..... 14,326.30 CERTI Fl ED SURPLUS . ............................ . • LOANS ON COTTON _ _ __ OVERDRAFTS _ _ _ _ _ __ , -:- r 2 0 0.0 0 UNDIVIDED PROFITS,_ _ __ 9 4.5 7 BONDS AND SECURITIES- - - · .3 6 9.2 5 FURNITURE AND FIXTURES_ ..... 2,500.00 BILLS PAYABLE _ _ _ __ NOTES REDISCOUNTED _ __ SAVINGS ACCOUNTS ............................... . TRUST FUNDS ............ BANKING HOUSE-·-····-·----- ' OTHER REAL ESTATE _ _ _..., DIVIDENDS UNPAID .................................... ITEMS IN " TRANSJT____.._.i___·--··· INDIVIDUAL DEPOSITS _ _ _~ . ' BILLS OF EXCHANGE _ _ _ _ , .3 7, 712 .41 t PUBLIC FUNDS _ _ _ _ _ __ ! ' [ NON-RESERVE DUE TO NON-RESERVE BANKS .. -:, CASH ITEMS, _ _ _ _ _ _ _ _ , • CHECKS ON OTHER BANKS.·--· I• CURRENCY·- · - - - -- - - -! I . I GOLJ? . SILVER....·-···•···-····--·--- - - - OT H ER RESOURCES-····-·--···-····-··-········ ' \ DUE TO RESERVE BANKS ........... ..... ' • I DUE FROM RESERVE BANKS ........ - 8,244.04 C/ D'S, DEMAND•- - - · · ························· 4.8 7 C/ D'S, TIME ............ - - - - - 2,969.00 C/ D ' S, FOR MONEY BORROWED..... . -. 'S .. :: ; 8 7.5 0 11,817.41 2 4 2.1 5 CERTIFIED CHECKS, _ __ 1,100.88 CASHIER'S CHECK$, _ __ 8 0 0.5 6 RESERVED FOR INTEREST.............. . I ' \ . ,, RESERVED FOR TAXES·- - - 1 OTHER LIABILITIES TOTAL........... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 6, 7 9 2 .9 3 ~~ TOTAL .................... 6 6, 7 9 2 .9 3 ~;" OFFICERS AND DIRECTORS of Farme rs ~ ~- rchant s Bank, Jud·on i a , White Co., OFFICERS A. W. Henson Preaidenl r . W. II . L . Voodyard nr . Jno . S, . !. astland Vice Pre•idenl _ L.J....._Lm, d ermi lk Cashier NO.. M. DAVIS L. W:ert Wish HI( Au't Cashier COJUtru1ol . . DIRECTORS A. W. llenson- - - - - -- - Harry Jlunsalrnr 'lr . W. H . L . Wood ard wE ryr . Jno . S . East l and __.I FQrbe-e..S ,,,,___ _ _ _ __ .n..a..._r4p.uec.Jr.________ . C . Rhm J.R.Bozarth W. F . Bauer Jno . A. Henson J N•.A .lialler https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Jonesborv T: ust Co .. Jone sbor o, c.~ighead Co., Ar'-{. Nnv ., ,, AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS ........ . LOANS ON REAL ESTATE ....... rn, LIABILITIES 259,846 .11 7 7,399.00 CAPITAL STOCK. ................................. 7 8, 200.00 CERT! Fl ED SURPLUS............................. . 68,000.00 3 3 4.4 7 LOANS ON COTTON ...·-··········-·········-·····•·· UNDIVIDED PROFIT$, _ __ 0 VERD RA FT S-·-·--····-···---···-··--··-········ BILLS PAYABLE .............................................. 4 5,000.00 11,600.00 BONDS AND SECURITIES_._·····--····· 9 0 2.5 6 NOTES REDISCOUNTED _ ______, FURNITURE AND FIXTURES_ .... 3, 1 5 0.0 0 SAVINGS ACCOUNTS ................................... BANKING HOUSE- - · · · - - - - r OTHER REAL ESTATE--·-···-- ITEMS IN TRANSIT _ _ _ _ _ 1 v 10,000.00 TRUST FUNDS _ _ _ ._ __ 5,8 5 0.0 0 7, 9 8 5,6 6 DIVIDENDS UNPAID _ _ __ 6 5 0.2 5 INDIVIDUAL DEPOSITS.............·- ······ BILLS OF EXCHANGE-·--····-·--·-··-···· 127, 029.41 PUBLIC FUNDS .............................................. I DUE FROM NON-RESERVE BANKS _ _ _ _ __ CASH ITEMS _ _ _ _ _ _ ··--···-·-···· 2 4 8 .6 .'.3 DUE FROM RESERVE BANKS ....... . 6 9, 3 2 3.5 4 CHECKS ON OTHER BANKS .. _..... . 2,785 .93 C/ D'S, TIME ................................... CURRENCY 9, 7 1 8.0 0 C/ D ' S, FOR MONEY BORROWED ..... 3,360.00 CERTIFIED CHECK$ _ _ __ 3,0 9 9.14 CASHIER'S CHECKS ............_ __ I ! GOLD _ _ _ _ _ _ _ _ __ I DUE TO NON-RESERVE BANKS ... SILVER _ _ _ _ _ _ _ _ _ , 54,214 .84 DUE TO RESERVE BANKS ................ C/ D'S, DEMAND ................ 5 3,968.78 RESERVED FOR INTEREST...... -...... OTHER RESOURCES _ _ __ RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTA https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 4 6 3 3 3 .1 6 ~, TOTAL. ................. 4 4 6, 3 S 3 .1 6 ~, OFFICERS AND DIRECTORS of J nesboro ! iust Co ,, J ,n esboro, Cra ighead Co., Ar OFFICERS G. W.Puryear Presidenl Gordon Matthews Vice Presidenl E.J.Uaaon ~0.P. Secy J.W.Armatron 8 A u ' t ~,K DAVIS, J N 0 · M •AN"i;o1ut1a!l1011u u8C Y DIRECTORS G.W.Puryear E.J.Md..eOn Gordon ~:1.tthe;,-vs J.F.Mason Thuf;l.:Surresa W.8.F.llia J.M.Johnson B.G.Lynch H.A.Stroud https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of , ,erchant~ ~ ?armers Bnnk, Junc tiovi City, Union Co., A- { AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES 25,000.00 LOANS AND DISCOUNTS.........·-····· .. ····· 55,359.50 CAPITAL STOCK---························ LOANS ON REAL ESTATE _··-··········· 38,949.44 CERTIFIED SURPLUS ...... _ __ 3,000.00 LOANS ON COTTON ....·-···-··-·····-·········· 5,963.63 UNDIVIDED PROFIT$ _ __ 4,225.8 9 6 5 8 .7 7 OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE _ _ _ _ _ _ _ ! BONDS AND SECURITI.ES-----····· 8 .3.9 7 NOTES REDISCOUNTED ...L .............. . FURNITURE AND F I XTURES- ....... 1,500.00 SAVINGS ACCOUNTS ............................... . BANKING HOUSE. · - · · - - - - - > 3,400.00 TRUST FUNDS ..................................................... OTHER REAL ESTATE- - - - ! 3,968.00 DIVIDENDS UNPAID ...........·············-········· ITEMS IN TRANSIT _ _ _ __ I BILLS INDIVIDUAL DEPOSITS,_ _- - l PUBLIC FUNDS _ _ _ _ __ OF EXCHANGE _ _ _ _ , 107, 717.7 3 , I DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ __ DUE TO NON-RESERVE BANKS .... CASH ITEMS _ _ _ _ _ _ _ , DUE TO RESERVE BANKS ................ f DUE FROM RESERVE BANKS ........ I 3 6,085 .7 6 C/ D ' S, DEMAND...............·-·····················-·········· 3 8 6.1 5 C/ D'S, TIME .............................................................. 6,281.00 C/ D'S, FOR MONEY BORROWED..... 4 3 0.0 0 CERTIFIED CHECKS .................................... 1,265.12 CASHIER'S CHECKS ..................................... I CHECKS ON OTHER BANKS·-······ I CURRENCY I GOLD.·--···-..··-·-· I SILVER _ _ _ _ _ _ _ _ _ , 13,157.5 2 1,230.20 RESERVED FOR INTEREST .............. OTHER RESOURCES _ _ __ RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 5 4, 3 3 1.3 4 ;~ "" _ ···.::::····.::::···=====-.....1......-1...~,__....;_.....J........,......1.....!±.....!.! TOTAL........•··•···::.::. __l S T A 'I .1, 0 " A ~, K h. I: S A S Eank De:r:c.r',,,ment 0 0 0 Lit '..,le Roe!: , Arkr..ns:1s . Decem ber 17th , 1915. 'IO "'h.L!. ,/\Irr AD ESSED : your ins ti tuticn , c.n:l. .·et: _ t is 1, -C 't":. ~ o us b:,, next mai l. SB'li' inclu e in cur annua l re::-o· t . Yours very truly , Jno . _i. Davis , ~u ~.e --4 ~ 0 ALef-- (?;L~ cZ~~~ £ ~ o< P~ ~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis #~ ~ P.~ ~~~ ~ --6;4 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ~erchant 3 k Parmers Bank, J uncti_~ Ci t y, Union Co , Ar{ OFFICERS President Vice Preaidenl t ..... Cashier Ass'I Cashier • . ~ "o.♦, ~'01r. DIRECTORS COPY OF PUBLISHED STATEMENT of Ne ton c ~1~~Y Bank, J as per, Newton Co,, Arr. AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS .............. LOANS ON REAL ESTATE.·---··-···· 34, 811.18 4, 683.46 LOANS ON COTTON ....·---······-····-·· CAPITAL STOCK. ........................................ 1 o,o O 0 .0 0 CERTIFIED SURPLUS ................................. 3,000.0 0 UNDIVIDED PROFITS..... .......................... 1,241.6 9 OVERDRAFTS _ _ _ _ _ __ 2 8 5 .6 3 BONDS AND SECURITIES_···-·-·· 1,6 5 1 .3 4 NOTES REDISCOUNTED .. •·······-··········· FURNITURE AND FIXTURES- ..... . 1,0 0 0.0 0 SAVINGS ACCOUNTS BANKING HOUSE- - · - · - - · - - - 1 1,550.0 0 TRUST FUNDS'---··•····················· OTHER REAL ESTATE _ _ _~ 3,0 2 2.11 DIVIDENDS UNPAID ................................ BIL LS PAY ABLE ..·-·······-··- ······························ ITEMS IN TRANSIT--·------·--·· INDIVIDUAL DEPOSITS ........................ . 40,124 .7 8 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS...... _ _ __ 13,915.8 0 DUE FROM NON-RESERVE BANKS _ _ _ _ _ __ DUE TO NON-RESERVE BANKS.... CASH ITEMS---·--·- - - - -1 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ 19,435 .6 9 C/ D'S, TIME ....................................................... CHECKS ON OTHER BANKS-·-···· CURRENCY _ _ _ _ _ _ _ _ , GOLD._ _ _ _ _ _ _ _ __ SILVER --·· - · - · · · · · - - - - - - C/ D'S , DEMAND ............................................... . 3,095.00 5 9 7.3 5 1,5 1 0.5 1 3, 3 6 0.0 0 C/ D ' S, FOR MONEY BORROWED ..... CERTIFIED CHECKS................. CASHIER'S CHECKS, _ __ RESERVED FOR INTEREST............. . OTHER RESOURCES _ _ _ __ RESERVED FOR TAXES ......................... OTHER LIABILITIES TOT AL ...............•-········-····-················ ............. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 71 6 4 2 .2 7 7} TOTAL .................................................................. 7 1, 6 4 2 .2 7 ';i° https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ~ewton Cu1ntJ Bank , Ja"p er, Newton Co., A.rk OFFICERS Presidenl 't Vice Presidenl ~ <AL:21~ A88't Cashier DIRECTORS ,pJ-ic,\0\,.,,. j ~0- • ti~ ~ co COPY OF PUBLISHED STATEMENT of Union Bar ~ Trust Co., Jun ction City, U11ion Co., Ark. l O191b AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 103,298.06 LOANS ON REAL ESTATE ..·-····-··•-· 1,414.5 9 CERTIFIED SURPLUS .......................... 5,000.00 LOANS ON COTTON .. _ __ 2,900.00 UNDIVIDED PROFITS.............................. . 3,674.99 OVERDRAFTS._. _ _ _ __ BONDS AND SECURITIES----·-·-··· 143.2 5 BANKING HOUSE _ _ _ _ _ _ , TRUST FUNDS,_ _ __ 1,088 .74 INDIVIDUAL DEPOSITS....... BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS _ _ _ _ _~ 9 0.0 4 DUE TO NON-RESERVE BANKS.... 1 7 5.81 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS--·· 7, 085.25 C/ D'S, DEMAND---··························· CHECKS ON OTHER BANKS·-······· 4 7 1.8 8 CURRENCY _ _ _ _ _ __ 2,567.00 OTHER RESOURCES _. _ __ 34,840 .3 7 1,023 .32 3,513.00 C/ D'S, FOR MONEY BORROWED..... 4 5 6.2 0 CASHIER' S CHECKS ..................................._ 5,745 .98 RESERVED FOR INTEREST .............. OTHER LIABILITIES ...................-........ ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1,2 5 2.5 0 C/ D'S, TIME ................ RESERVED FOR TAXES ......................... TOT AL.. .............·-···--·····-······························•···- ,o O 0.0 0 CERTIFIED CHECKS ........ . GOLD ..........·-····-·········-······---- SILVER- · - - - - - - - - - 1 2 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ __ CASH ITEMS _ _ _ _ _ __ 50,000.00 NOTES REDISCOUNTED .......................... SAVINGS ACCOUNTS .................. . DUE FROM NON-RESERVE BANKS _ _ _ _ __ I BILLS PAYABLE ....................................... FURNITURE AND FIXTURES- .... OTHER REAL ESTATE----··-·-·--· I CAPITAL STOCK...................... 1 2 5 4 3 6 .8 0 ,~ TOTAL. ............................................................... 132.62 OFFICERS AND DIRECTORS of Union Ba~~" Trust Co., J uncti o~ City, Union Co., Ar>k OFFICERS Presidenl J . r. Bn 'J. Vice PreBidenl G. G. G TLI ·G, Cashier ll N , Ass't Cashier DIRECTORS J. J. G. G. GATLING . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis lNO. -M. DAVI S HIC 'Ct.llMlHlO' COPY OF PUBLISHED STATEMENT of Jank of ·ir,<->ston, Kingrton, Madison Co, , A~nk , AT THE CLOSE OF BUSINESS RESOURCES 15, 318 ,3 4 LOANS AND DISCOUNTS........... LOANS ON REAL ESTATE·-·-···-····•· OVERDRAFT S _ _ _ _ _ _ _ , BILLS PAYABLE ......................... • SAVINGS ACCOUNTS ................................... BANKING HOUSE _ _ _ _ _ _ , 1,200.00 TRUST FUNDS ............................ OT HER REAL ESTATE _ _ _-l 1,2 3 0.0 0 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ __ INDIVIDUAL DEPOSITS...·-·················•··- BILLS OF EXCHANGE _ __ PUBLIC FUNDS............................................ DUE FROM NON-RESER V E BANKS _ _ _ _ _ _ _ _ , DUE TO NON-RESERVE BANKS.... CASH I TEMS _ _ _ _ _ _ _ _ , DUE TO RESERVE BANKS .........- .... II DUE FROM RESERVE BANKS ...... . CHECKS ON OTHER BANKS- 20,837 .9 5 ..... CURRENCY _ _ _ _ _ _ _ _ , GOLD _ _ __ 2 5 9 .8 2 NOTES REDISCOUNTED ......................... 1,500.00 ... 10,000.00 CERTIFIED SURPLUS ............................... . UNDIVIDED PROFITS............................... FURNITURE AND F I XTURES- II 8,491.89 CAPITAL STOCK........................................... LOANS ON COTTON _·-····-·-·······-··-·· BONDS AND SECURITIES-··-····-··••·· I LIABILITIES C/ D'S, DEMAND ................................................. 2 4, 2 1 8 .'.3 5 1 5, 7 15.3 1 C/ D ' S, TIME ......---··························•····· 1,224.00 C/ D'S, FOR MONEY BORROWED ..... 170.0 0 CERTIFIED CHECKS ..·•··-············· 2 21 .3 0 CASHIER'S CHECKS _ _ __ RESERVED FOR INTEREST .............. OTHER RESOURCES _ _ _ __ RESERVED FOR TAXES ......................... OTHER LIABILITIES TOT AL ..... •·-····-········································· ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 0 1 9 3 .4 8 ~:- TOTAL... ............................................... 5 O, 1 9 3 .4 8 ~~ OFFICERS AND DIRECTORS of 3 nk of K·~~dton, Kin •ton, Madison Co., Ark O FF ICERS J. N. Bunch PreBidenl Tom Ha;rgis V i ce PreBidenl Wm. 1 . Bunc= - - - - cashi•• ep' t A. B. Bunch Ass'I Cashier iJ DIR E CTORS M.NI: COJ0Wts 1oi'11C" Tom Hargis' - - - - - - - - C· n. fl . B. J3.u.n.ch- _ _ _ __ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Boydston !fil JNO. M. DAV rs l Wm.L. Bunch COPY OF PUBLISHED STATEMENT of ,.,bel, Kr~bel, Glay ~o., .dank of Ark . AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS....................... . 20,196.87 CAPITAL STOCK................................................ 5,575.00 LOANS ON REAL ESTATE ................. 7 6 7.0 9 CERTIFIED SURPLUS ............................... . 3,966.08 LOANS ON COTTON _ _ __ UNDIVIDED PROFITS,_ _ __ 1 0 5 ,3 5 OVERDRAFTS _ _ _ _ _ __ I I BONDS AND SECURITIES_···---·-···· 3 4 .7 0 FURNITURE AND F I XTURES--···· 1,221.90 SAVINGS ACCOUNTS _ _ __ BANKING HOUSE·- - - - - 1 1,500.00 TRUST FUNDS- - - ············•·········---- NOTES REDISCOUNTED ......................... . OTHER REAL ESTATE· - - · - DIVIDENDS UNPAID ....................·-·······---· ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS, _ _ _ _ _ _ , DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ... CASH ITEMS _ _ _ _ _ __ I DUE FROM RESERVE BANK$ __ _ CHECKS ON OTHER BANKS- ..... I CURRENCY _ _ _ _ ._ _ _ _ , I 2,500.00 BILLS PAYABLE _ __ GOLD.. ·-·-· I SILVER..·--··········· · - - - - - _ _ 3,0 4 5 ,3 5 DUE TO RESERVE BANKS........... ..... 11,028.7 7 C/ D'S, DEMAND ................................................... 8 4.2 7 C/ D'S, TIME ............. •-························••···•················ 1,586.00 C/ D'S, FOR MONEY BORROWED..... 15.0 0 CE RTI Fl ED CH EC KS .......... - ........................ 3 4 2.9 0 CASHIER' S CHECKS ..................................... 2 5,169.65 8 4 3.5 5 1,084.18 7 8 9 .7 4 RESERVED FOR INTEREST.............. OTHER RESOURCES, _ _ __ RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES .............................. . TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 9 9 2 8.2 0 ~(" TOTAL ................................................................. 3 9 9 2 8.2 0 ~(, OFFICERS AND DIRECTORS of 3ank of r;n'.) te l, Kn ibel, Clay Co., Ark. OFFICERS Joseph s Vice President • C. Sellmeyer Bonktn D~p·t Cashier l:9f5 : · Ass'I Cashier .! No_ :M. DA v rs " co,u11ss10' DIRECTORS Brown F . J. Sellmeyer ,Iosepb Se11meyer H. C. bellrr.eyer https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of vlevelan· Ci unty Bank, KiL~sland, c~ e ~land Co., A... i._ . AT THE CLOSE OF BUSINESS 10191 RESOURCES LIABILITIES LOANS ANO DISCOUNTS ........................ 47, 451.7 9 CAPITAL STOCK.....· - - - - - 30,000.00 LOANS ON REAL ESTATE _··-··········· 23,700.00 CERTIFIED SURPLUS............................. 4,4 3 0,3 2 LOANS ON COTTON __··- - - - 1 UNDIVIDED PROFITS- - - - 1 OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE ................................-..... BONDS ANO SECURITIES ______ ··· 1,716.87 NOTES REOISCOUNTED- - - - 1 FURNITURE ANO FIXTURES---··· 1,452.2 5 SAVINGS ACCOUNTS ........................ . BANKING HOUSE._. _ _ __ , 1,304.32 TRUST FUNDS _ _ _ _ __ OTHER REAL ESTATE _ _ _-! 3 5 2.5 0 DIVIDENDS UNPAID ...... _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS......................... _ BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS, _ _ _ _ __ I DUEBANKS FROM NON-RESERVE _ _ _ _ _ __ ; CASH ITEMS _ _ __ __ DUE FROM RESERVE BANKS ...... _ DUE TO RESERVE BANKS........... .... 40,692 .36 CHECKS ON OTHER BANKS--····· CURRENCY _ _ _ _ _ _ _ _ , C/ D'S, DEMAND _ _ __ C/ D'S, TIME- - - - - - - - - 1 2,247.00 C/ D'S, FOR MONEY BORROWED_... 8 3 0.0 0 CERTIFIED CHECKS ................................... 1, 7 0 3 .6 7 OTHER RESOURCES _ _ __ 9.0 0 CASHIER'S CHECKS- - - - RESERVED FOR INTEREST.............. RESERVED FOR TAXES, _ __ OTHER LIABILITIES............................ . TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 65,923.5 8 DUE TO NON-RESERVE BANKS ... I I 19 6.0 0 121,459.76-¾!- TOTAL .................. _ 20,610,3 8 2 9 9.4 8 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Cleve lan~ r. un ty Bank, Kin:sl and, C1e1oland Co., A-· I( . Vice President f/i>f JJ;,,nz /4,, Cashier (J . m er!/: d l J A••'t Cashier , , M. DAVIS ~'MC /;oQll'S10• COPY OF PUBLISHED STATEMENT of Farmers ~ 1 ~rchants Bank, 1ensett, ~h it e Co., Ark 0 AT THE CLOSE OF BUSINESS RESOURCES 1 fl LIABILITIES LOANS AND DISCOUNTS........................ 11,0 0 0 ,3 3 LOANS ON REAL ESTATE ................. 3, 7 9 4.3 0 2 7 5.0 0 CAPITAL STOCK.................................... 9,0 0 0.0 0 CERTIFIED SURPLUS ........................... . UNDIVIDED PROFITS................................. 4 8 4 .6 5 OVERDRAFT$ _ _ _ _ __ BIL LS PAY ABLE ................·-·····················••··· .. 3,000.0 0 BONDS AND SECURITIES---··-··•-·· NOTES REDISCOUNTED ...........·-········· · LOANS ON COTTON _ _ __ ... 1,762.00 SAVINGS ACCOUNTS ............................... . BANKING HOUSE _ _ _ _ _- l 2,000.00 TRUST FUNDS....................-............................. FURNITURE AND FIXTURES- OTHER REAL ESTATE- - - - < DIVIDENDS UNPAID .................................. ITEMS IN TRANSIT _ _ _ _ _ ! INDIVIDUAL DEPOSITS ...................... Bl LLS OF EXCKANGE-··--·-·-·--·-· PUBLIC FUNDS...........:......... _ __ DUE FROM NON-RESERVE BANKS- - - - - - - - ! DUE TO NON-RESERVE BANKS ... CASH ITEMS _ _ _ _ _ __ DUE TO RESERVE BANKS................ I DUE FROM RESERVE BANKS ...... . ,2 0 9 .2 8 C/ D ' S, DEMAND............................................. . C/ D'S, TIME _ _ _ __ CHECKS ON OTHER BANKS._..... 2 CURRENCY.._ _ _ _ _ _ _ _ _ , 8 5 6.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD _ _ _ _ _ _ _ _ _ _ _ , 45.0 0 CERTIFIED CHECKS .................................... SIL VER..·-··-···-····--···-··- - - - - 1 2 0 0,2 6 CASHIER'S CHECKS ..................................... I 13,08 0.2 5 OTHER RESOURCES---·-·······-··-···· 1 2 .2 1 3 6 5.0 6 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES ................. TOTAL=·· · ===·····=·····=···-=·····=······= ·····=· ····"'-.J··l..--.....:.:. 2 ....:6:.z. 1 :_4..:....;.. 2::_:•:::. 1 _ 7:.._ , r_ 1.= https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis = .. .,~. . =. . . =.... =. . .= ... ____.:__....! T~O:.!.. TA~L = ...=..... =..... =.•··=··· · ·=·····=·····:.:...·_ '--"1!e.. . 4:. .::! . .2:=•1:.......!.. 7_,__: _, ___!:,: 2 ::..._:6~ 1 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Farmers c:,, M .cchants Bank, 'ens ett, Wn1te Co., Ar OFFICERS Vice President -~:.~ ~ Sonk#nn "• -VJ)'t A,a'I Cashier DIRECTORS .TNo. M. DAVrs •<lff.tr c:o ""'-1101,_, COPY OF PUBLISHED STATEMENT of Bank of c~~ ~cBl Arkansas, LJnoke , Lono~~ C ., Ark AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS ..·-·····-············ 5 8,3 8 0.98 CAPITAL STOCK .................. LOANS ON REAL ESTATE _.............. 3 3,3 6 9.4 0 CERTIFIED SURPLUS........ ······················ 1 5,0 0 0.0 0 UNDIVIDED PROFITS ........................... .... 4,1 8 4 .4 5 LOANS ON COTTON -·-···-····-··-··--····•··· I OVERDRAFTS 5 1 0.5 5 BILLS PAYABLE BONDS AND SECURITIES--···-•··•··· 5 6 8.0 9 NOTES RE DISCOUNTED .................. .... 1,8 0 0.0 0 SAVINGS ACCOUNTS ....... ......................... 2,5 0 0.0 0 TRUST FUNDS FURNITURE AND F I XTURES- ... BANKING HOUSE OTHER REAL ESTATE ... BILLS ··- ... 2 3 0.0 0 DUE FROM RESERVE BANKS ........ 7 4,9 0 2 .7 6 CHECKS ON OTHER BANKS_ ..... 2 7 6.66 C/ D'S, TIME .............................. .............................. ··--·------···-···- 5,9 0 7.0 0 C/ D ' S, FOR MONEY BORROWED..... ···•-··-·-·--········· 2 5.0 0 CERTIFIED CHECKS .................................... ··-···-···-------····· 9 9 2.7 2 CASHIER'S CHECKS..................................._ CURRENCY GOLD. SILVER 1 1 :1.,2 7 8 .9 7 3,9 9 9 ,7 4 DUE TO NON-RESERVE BANKS .... I ·1 PUBLIC FUNDS ........................ DUE FROM NON - RESERVE BANKS CASH ITEMS 2 5,0 0 0.0 0 ··················-·· INDIVIDUAL DEPOSITS.................... ····- I OF EXCHANGE ··············•········· 2 0,0 0 0.0 0 DIVIDENDS UNPAID.................................... ITEMS IN TRANSIT I ...... DUE TO RESERVE BAN KS·-······- ..... C/ D'S, DEMAND ···········•····· RESERVED FOR INTEREST .............. OTHER RESOURCES RESERVED FOR TAXES OTHER LIABILITIES....................... ········· TOTAL ·····························- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 7 9,4 6 3 .1 6 -;,. TOTAL. ............................................................... 1 7 q . L1. F. , .1 F. -lE- OFFICERS A ND DIRECTORS of 3ank of c~~trel Arkansas, Lrnok e, Lonoke Co, 9 ,lrk OFF IC ERS Daniel R.Boone, Presidenl Pat H.Wbeat Banking Dep't V ice Presidenl EE~ w.T. Oouch Cashier JNO. M. DA VIS . No 94111[ "0.1(,MIJISJOife. Aas't Cashier DI RECTO RS n.R.Boone W,Y.Bransford,.__ ____ w.T. Couch T.M.Fletche~r'-1--- - - - - - Pat H.Wheat https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis D.M.Boone COPY OF . PUBLISHED STATEMENT of Jank of c~~Jdrce, Litt 1 e Rock, 2ul&ski Co., A- •• AT THE CLOSE OF BUSINESS RESOURCES LOANS ANO DISCOUNTS.... 1,389,001.8 9 CAPITAL STOCK................................................ 5 4,5 3 4 ,8 7 LOANS ON REAL ESTATE ................. CERTIFIED SURPLUS........... 1 0 0, 0 0 Q,0 Q 2 0, 0 0 0.0 Q UND I VIDED PROFITS_ _ _ 2 5 7, 2 9 1 .8 1 2 4 4 .2 2 BILLS PAYABLE ---······-·-······•······ 200,000.00 B ONDS AND SECURITIES_·-····-···•··· 7 4 4.5 0 NOTES REDISCOUNTEO .... -..············-·· FURNITURE AND F IXTURES_·-···· 19,489 .24 SAVINGS ACCOUNTS................................. . LOANS ON COTTON __ ···-····-··--··-··'·· 2 9 0, '.3 0 5 ,7 1 0 VERD RA F TS ... ·--·-··•-··--··-···--···--·-······ BANKING HOUSE_·-·····--- 1 08,606 .82 OTHER REAL EST ATE _ _ __. ITE N(S IN TRANSIT-·-·-----1 BILLS OF EXCHANGE _ _ _ _ , i D U EBANKS F ROM NON - RESER V E _ _ _ _ _ _ _ __ I I CASH ITE M S- - · · • · - - - - 2 22,500.00 DIVIDENDS UNPAID _ __ 5, 7, 19 INDIVIDUAL DEPOSITS.......................... 2.4 5 97,787 .82 PUBLIC FUNDS_ _ _ _ _ _ _ 8,6 0 2 .1 7 DUE TO NON-RESERVE BANKS ... 1 7,091.00 DUE TO RESERVE BANKS............ -.. 380,607 .98 CHECKS ON OTHER BANKS_ ..... . 8 1,6 3 4.5 7 C/ D ' S, TIME-········-····-·------ 216,370.00 C/ O' S, FOR MONEY BORROWED ..... GOLO _ _ _ _ _ _ _ _ _ _ I 11,800.00 CERTIFIED CHECKS .................................... Sf LVE R -··-····-·-·····---- 10,933.02 CASHIER ' S CHECKS ................................... CURRENCY 1 3 2, 7 1 0 ,7 5 TRUST FUNDS _ _ _ _ _ __ DUE FROM RESERVE BANKS-..... i I LIABILI T IES C/ D ' S, DEMAND.................. 581,486.83 5, 0 0 0.0 0 1, 4 2 8, 6 9 5 .4 9 213,9 3 '.3.0 1 1,150.00 2 7.1 7 8.3 7 RESERVED FOR INTEREST .............. OTHER RESOURCE S- · - · - · - - - • RESERVED FOR TAXES ...·-····-···········- OTHER LIABILITIES TOT AL ...·-····-·········································· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .. 6 .2 6 ..,~ TOTAL. .............................................................. 2,967.4 4 6,2 6 i~ OFFICERS A ND DIRECTORS of oank of Com~Jrce , Litt:e Rock , Pulas ki Co ., A OFFICERS Mr. Hermnn _.K...,ah_,,,n.,._______ P reBidenl Mr . George 1. Rogers , Mr . _s. L . Kahn V i ce Presidenl J!r. 7i. B. Curti Cashier :Mr. T . w.Aas'IKirkwood Cashi er DIREC T OR S L. B. L eig_~- -- - -- H. L. Remmel , Hannan Kahn Louis Koers GeoreA ~. Rogers Joseph L ons B. L. Kahn A.G . Kahn z. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis B. Curtis COPY OF PUBLISHED STATEMENT of 3ank of I.c l City, Lak ~ City, Crai6head Co., Ar}. OV 1 0 l!J AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES 60,218.96 CAPITAL STOCK................................................ LOANS ON REAL ESTATE·--···-······ 1 1,400.00 CERT I Fl ED SURPLUS ....................... 2,000.00 UNDIVIDED PROFITS.......................... 4,120 .33 7, 000.00 LOANS ON COTTON ·--··-···--·-·- 4 2 5.0 0 OVERDRAFTS- - · · - - - · - - - I 20,000.00 LOANS AND DISCOUNTS ....·-················· BONDS AND SECURITIES- - - ····· 6.0 0 FURNITURE AND FIXTURES. -... 3, 0 0 5.0 0 BANKING HOUSE- · - · - - - -• 3, 0 0 BILLS PAYABLE ...... _ _ __ NOTES REDISCOUNTED ....................... SAVINGS ACCOUNTS, _ _ _ _ , o.o 0 TRUST FUNDS ................................................. . OTHER REAL ESTATE· - - - - - 1 DIVIDENDS UNPAID ................................. . ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS _ _____, 74,780 .15 PUBLIC FUNDS..· - · · • • · - · - - - - 6 3,5 8 0.2 9 BILLS OF EXCHANGE _ _ _ _ , I DUE I 1 FROM NON-RESERVE BANKS- - - - - - - · - ( 6,000.00 [ CASH tTEMS _ _ _ _ _ _ _ , 5 9.21 I I DUE FROM RESERVE BANKS.·-···· 7 2,2 5 8 ,2 9 CURRENCY _ _ _ _ _ _ __ DUE TO RESERVE BANKS........... C/ D'S, DEMAND ...... _ _ __ C/ D'S, TIME ..................- - - - - CHECKS ON OTHER BANKS.·-···· I I DUE TO NON-.RESERVE BANKS.... 2,762 .00 C/ D'S, FOR MONEY BORROWED ..... GOLD._ _ _ _ _ _ _ _ _ _ _ , 5 '.3 5 .0 0 CERTIFIED CHECKS.................................... SILVER._ · · • - · · · - · - - - - - 6 .3 0 .9 4 CASHIER'S CHECKS ............................... OTHER RESOURCES, _ _ __ 2,819.63 RESERVED FOR INTEREST.............. RESERVED FOR TAXES•- - - ' - 1 OTHER LIABILITIES.............. TOTAL .............................................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL ................................................................. 1 6 7, 3 0 0 .4 0 -;f OFFICERS AND DIRECTORS of dank of Leko City, LaA City, Craighead Co. , Ar- ·. OFFICERS W.B.Armstrong PreBidenl P.J.Springer V i ce President E.M.Stotts Cashi er J . Q. Armstrong Ass't Cashier DIRECTORS , .B . Armstrong P.J.S:pringer E .M.St otts J.M.Payne . W.Spencer https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of 3ank of La~ar, Johnson Co., Arl<. AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 4 3,204.64 CAPITAL STOCK _ _ _ __ 15,000.00 LOANS ON REAL ESTATE·---·--···· 15,917 .84 CERTI Fl ED SURPLUS ........... 10,000.00 LOANS ON COTTON .. ·-······-···-······- ··········· UNDIVIDED PROFITS........................... ... OVERDRAFTS_····--···-·····-·-··----·-········ BILLS PAYABLE ---························ BONDS AND SECURITIES- - --··-·· NOTES REDISCOUNTED .........·-·-········· F URNITURE AND FIXTURES- .... SAVINGS ACCOUNTS ....................... BANKING HOUSE _ _ _ _ _ _ r TRUST FUNDS................................................... . OTHER REAL ESTATE _ _ _, 6 3 3 .7 0 DIVIDENDS UNPAID ................................... ITEMS IN TRANSIT- - - - - r INDIVIDUAL DEPOSITS........................... BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS...._ _ _ _ __ DUE FROM NON-RESERVE BANKS- - - - - - - -r 5,000.00 CASH ITEMS _ _ _ _ _ __ I DUE FROM RESERVE BANKS- ...... GOLD.__ SILVER._ OTHER RESOURCES- - - - - · · · · 46,651 .81 2 7 0.4 4 DUE TO NON-RESERVE BANKS.... DUE TO RESERVE BANKS ................ 23,016.5 8 C/ D'S, DEMAND ......................................... C/ D'S, TIME _ _ _ __ CHECKS ON OTHER BANKS- ..... . CURRENCY _ _ _ _ _ _ _ _ , '.3 8 8 .1 7 2,674.00 5 5.0 0 19,356.01 C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECKS........................ . 1,126.1 5 CASHIER'S CHECKS.................................... . 10 2.5 0 RESERVED FOR INTEREST .............. 6 3 .9 8 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES............ . TOT AL ............................•.........- .......... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 9 17.'.30.41 ~{- TOTAL. ................................................................ 9 1,7 3 0 .4 1 :~ OFFICERS AND DIRECTORS of J c::l.nk of La,:~ ... c, Lar:.a r , Johns on Co., OFFICERS P. F. WINNINGHAM. Presidenl J. .M. :METCALF. Vice Preside111 J. o. RAGON. Cashier J. w. HAWKINS DIRECTORS J.M. METCALF. J. O. RAGON. 'N. G. WEEKS. A. E. CAROTHERS. FRED LOESEKAN. J. E. CAREY. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis - !9j½ E~~~:!fil ,fNO, M. DAVIS Au'I Cashier P. F. WINNINGHAM, Banking Oep't •-ANK COllll·IU I O - COPY OF PUBLISHED STATEMENT of 3ank of L~n: Hill, ~ead Hill, oon e Co., Ar•- AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........................ LOANS ON REAL ESTATE ...•............ LIABILITIES 48,713.27 6,946 .63 LOANS ON COTTON •..•............•....•..... OVERDRAFTS~··---·····--········· BONDS AND SECURITIES- ····-······ FURNITURE AND F I XTURES--··· BANKING HOUSE _ _ __ 48 .6 0 47 .10 1,200.00 1,250.00 CAPITAL STOCK _ _ _ __ 1,0 5 0.0 0 UNDIVIDED PROFITS............................ 1,6 5 4.4 7 BILLS PAYABLE .......................................... NOTES REDISCOUNTED .......................... SAVINGS ACCOUNTS ...... _ __ TRUST FUNDS........................ DIVIDENDS UNPAID ................................. . ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS.. ··················•··•) DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _---! ! CASH ITEMS _ _ _ _ _ __ I ' DUE FROM RESERVE BANKS.•..... I CHECKS ON OTHER BANKS_ ...... CURRENCY _ _ _ __ GOLD SILVER _ _ _ _ _ _ __ : 38,956.25 '. PUBLIC FUNDS, _ _ _ _ __ 16,701.6 0 o,o O 0.0 0 CERTIFIED SURPLUS _ __ OTHER REAL ESTATE _ _ _--! BILLS OF EXCHANGE _ _ _ _ , 1 25,428 .78 DUE TO NON-RESERVE BANKS .... DUE TO RESERVE BANKS .. 5,930 .99 124.65 7 6 5.0 0 C/ D'S, DEMAND .......................................... •1'. .3 I C/ D'S, TIME .•............... _ _ _ __ 5,054 .32 C/ D'S, FOR MONEY BORROWED..... .3 . E. 3 0 0.0 0 CERTIFIED CHECKS ............................. 347.16 CASHIER' S CHECKS ..................................... I. r,. : · 2 '.3 1.1 8 RESERVED FOR INTEREST .............. OTHER RESOURCES--··-·····-·-······ RESERVED FOR TAXES ..........•............. OTHER LIABILITIES TOTAL .......................,......................... . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 2 3 7 5.0 0 i: TOTAL ................................................................ 8 2, 3 7 5.0 0 ;~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis t su-v-rsV OFFICERS AND DIRECTORS of ..... ,,,..,....,. . - - - - - - - - - - - - - - - - - - - _ _ ,J NO. M. DA VIS 3ank of LeQ~ Hill, read Hill, Boone Co., Ar OFFICERS Presidenl Cashier U .d ~ A88't Cashi er DIRECTORS ~ COPY OF PUBLISHED STATEMENT of Bank of ~~~-nto, Lepant o, Poinse tt ~o., Ark . I NOV 1 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 30,617.46 LOANS ON REAL ESTATE ..·-·-···--·· 5,5 55.00 CAPITAL STOCK................................................ UNDIVIDED PROFITS................................. OVERDRAFTS_ _ _ _ __ 1 41 .7 0 BILLS PAYABLE _ _ __ BONDS ANO SECURITIES- ..·--··-··· 2 6 2 .3 6 NOTES REDISCOUNTED .................... FURNITURE ANO F I XTURES-·-··- 2,113 .14 SAVINGS ACCOUNTS ................. BANKING HOUSE _ _ _ _ _-! 4,2 9 5 .1 0 TRUST FUNDS _ _ _ _ __ OTHER REAL ESTATE-·--·-·--···-···· DIVIDENDS UNPAID ..... ............................ ITEMS IN TRANSIT _ __ INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE- - - -• PUBLIC FUNDS...... _ _ _ __ DUE FRO M NO N -RESERV E BANKS _ _ _ _ _ _ _ _ , DUE TO NON-RESERVE BANKS ... CASH ITEM S_ _ _ _ _ _ _ ! DUE TO RESERVE BANKS ................ CHECKS ON OTHER BANKS ..--·· 23,687 .06 6,010.00 GOL □.-----·-------- 1 9 5 .0 0 SILVER _ _ _ _ _ _ _ _ _ , 1,1 3 5.J~ 3 OTHER RESOURCES--·-··--- -·-····· 3,594.50 57,843.94 1,309.75 C/ O'S, DEMAND ................................................. 16.0 7 CURRENCY _ _ _ _ _ _ _ _ , ,40 ·0.00 CERTIFIED SURPLUS ............................... LOANS ON COTTON ..·-·····-···-··-·-·-········ DUE FROM RESERVE BANKS·-···- 1915 C/ D'S, Tl M E .........................·-··· · - - - -1 3,190.00 C/ O'S, FOR MONEY BORROWED..... CERTIFIED CHECKS ........... CASHIER'S CHECK$ _ _ __ 3 4 3.5 9 1,9 3 3 ,7 2 RESERVED FOR INTEREST .............. RESERVED FOR TAXES,_ __ OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 4 2 7 1 .91 ~~ TOT AL..·-············•-·········•···•································ 74,271.9 1 ;~ OFFICERS AND DIRECTORS of Bank of Lep1nto, Lepanto, Po ins ett Co,, Ark. OFFICERS Presidenl ,- c, • • !,CC V ice Preside111 r. Cashier ,..Bont< lng Dep't ~ ~ECU29 1915 ~ Ass't Cashier JNO. M.JIA~"DA VIS , 1,0IUU$~10NU DIRECTORS J • • Co ".go C ) . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis )m i.el COPY OF PUBLISHED STATEMENT of i.3ank of :..: nco ln, Lin co l n, Washing Lon Co. , Ar • AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS.-................... .. 36,965.26 LOANS ON REAL ESTATE.·-············· 8,204.00 LOANS ON COTTON ...·-···-·····-·--·-········ OVERDRAFTS _ _ _ _ _ _ __ 6 5 .7 0 BONDS AND SECURITIES·---·--···· CAPITAL STOCK- · · · · - - - -- CERTI Fl ED SURPLUS ..... ········-················ 1 0 0.0 0 UNDIVIDED PROFITS............................... 8 5 7 .6 3 BILLS PAYABLE---····-··-·············· NOTES REDISCOUNTED ...·-··········-·· FURNITURE AND FIXTURES- .... 1,700 .00 SAVINGS ACCOUNTS ................................. BANKING HOUSE _ _ _ _ _-! 1,800.00 TRUST FUNDS _ _ _ _ __ OTHER REAL ESTATE _ _ __. 9,376.00 DIVIDENDS UNPAID ...... _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS .. BILLS OF EXCHANGE _ _ __ , PUBLIC FUNDS ................................................... DUE FROM NON-RESER V E BANKS _ _ _ _ _ _ __ DUE TO NON-RESERVE BANKS.... DUE FROM RESERVE BANKS ...... CHECKS ON OTHER BANKS- ..... CURRENCY _ _ _ _ _ _ __ GOLD _ _ _ _ _ _ _ __ I 1 0,000.00 2 2 6.3 8 DUE TO RESERVE BANKS................ 17,25 0 .7 5 C/ D'S, DEMAND ............................................... . 2 2 7.5 5 C/ D'S, Tl ME -····················-······---- 1 , 549.00 C/ D'S, FOR MONEY BORROWED ..... 10.0 0 CERTIFIED CHECKS .....-.. ......................... SILVER- - · · · - - - - - - 4 7 3 .3 5 CASHIER' S CHECK$ _ _ __ OTHER RESOURCES _ _ _ __ , 2 7 0.0 0 RESERVED FOR INTEREST .............. 41,921 .38 2 9 0 .8 3 2 4,9 4 8 .1 5 RESERVED FOR TAXES ......................... OTHER LIABILITIES.................................. TOT AL..... -·-····-·····-·························--········ ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 8 11 7 .9 9 ~; TOTAL... ............... ............................................ 7 8 1 1 1 7 .9 9 •:t- OFFICERS AND DIRECTORS of Bank of :;_,;"lAoln, Lincoln , Wa shington Co., Ark . OFFICERS Presidenl T.N.English,acting Vice Presidenl T. L. IcColloch Cashier Ass't Cashier DIRECTORS W. S .Moore T.N.English F.P.Earle W.P.Fay https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T.N.English COPY OF PUBLISHED STATEMENT of :ank of Lv~1 ~sburg, Loc~esburg, Ssvie Co., Ar· I N V 1 r, 1.Q 1r; AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........................ LIABILITIES 6 3,890 .93 LOANS ON REAL ESTATE--··-····-· LOANS ON COTTON ..·--·--····-··-·--········ 1,2 .'.3 4.8 0 OVERDRAFTS _ _ _ _ _ _ _ ! CAPITAL STOCK......_ _ __ CERTIFIED SURPLUS, _ _ __ 7.5 0 0.0 0 UNDIVIDED PROFITS ................................ 3,323 .16 BILLS PAYABLE _ _ _ __ BONDS AND SECURITIES _____ . 1,367.00 NOTES REDISCOUNTED ....................... . FURNITURE AND FIXTURES--··· 2,500.00 SAVINGS ACCOUNTS ................................. _ BANKING HOUSE._ _ _ __ 3,000.00 TRUST FUNDS _ _ _ _ __ OTHER REAL ESTATE _ _ ___, DIVIDENDS UNPAID .................................... ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS, _ _ _ ! BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS _ _ _ _ __ DUE FROM NON-RESERVE BANKS- - - · · - - - - - - 1 DUE TO NON-RESERVE BANKS.... CASH ITEMS- - - - - - - 1 DUE TO RESERVE BANKS·-············· DUE FROM RESERVE BANKS-...... 10,076.48 CHECKS ON OTHER BANKS·--·-·· 5 8 3 .7 6 CURRENCY _ _ _ _ _ _ _ _ , GOLD _ _ _ _ _ _ _ _ __ OTHER RESOURCES-··---··---···· 25,000.00 C/ D'S, DEMAND .................................................. . 2,500.00 3 3, 7 9.9 8 127 .2 7 11,4 5 4.8 .'.3 C/ D'S, TIME _ .........,_ _ _ _ __ 6,937.00 C/ D'S, FOR MONEY BORROWED..... 6 9 5.0 0 CERTIFIED CHECKS ..........· - - - : 5 .'.3 9 .91 CASHIER'S CHECK$ _ _ __ 2 12.62 RESERVED FOR INTEREST .............. 7 5 2.2 6 RESERVED FOR TAXES'- - - 1 OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL ............................. 9 1037.5 0 ~: OFFICERS AND DIRECTORS of ~ank of L~ }vsburg , Loc}d s burg, Se~1er Co., Ar . OFFICERS R A Gilliam Presidenl '' L Norwood Vice Presidenl RS Hunsucker =---=c.-=--=---Cashier Gm.st er Ste el Ass't Cashier DIRECTORS R A Gilliam M L iJor wood WC Park ,ill Ste e l Jno T I,ock9 '!i'rank Steel https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ,J 111 Hunsucker COPY OF PUBLISHED STATEMENT of Bank of :oYl :i\:e , Lon~ ke, Lonoke Co. , Ark AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 6 5,6 5 2.5 7 LOANS ON REAL ESTATE ................. 5, 3 2 8 .'.3 5 LOANS ON COTTON .................. . OVERDRAFTS_ .. _ _ _ _ __ 51.2 9 BONDS AND SECURITIES __ .......... .. FURNITURE AND FIXTURES--... 1,400.00 I 3,5 0 0.0 0 UNDIVIDED PROFITS................................. 2,492 .99 BILLS PAYABLE _ _ _ ........................ 25,000.00 SAVINGS ACCOUNTS ................................ TRUST FUND$, _ _ __ 3,319.82 DIVIDENDS UNPAID............ INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE- .- -.... -. PUBLIC FUNDS _ _ _ _ __ DUE FROM NON-RESERVE BANKS _ _ _ _ _ .._ __ I I I CERTIFIED SURPLUS ............................... ITEMS IN TRANSIT _ _ __ DUE FROM RESERVE BANKS........ CHECKS ON OTHER BANKS..._ ..... CURRENCY GOLD.......... - ... .......................... _....... I SILVER ..._ ... _ _ _ _ _ _ _ _ _ , OTHER RESOURCES ......... - ....................... 2 0,0 0 0.0 0 NOTES REDISCOUNTED ....................... .. BANKING HOUSE _ _ _ _ _ _ , OTHER REAL ESTATE _ _ ___, CAPITAL STOCK _ __ 6 2,3 8 7.5 9 1,155.5 2 DUE TO NON-RESERVE BANKS ..... 314.4 3 DUE TO RESERVE BANKS.............. .. 34,769.95 C/ D'S, DEMAND ..............................'. .................... 173.4 1 .1.,2 0 3.0 0 3 0.0 0 274.01 l1.,4 6 2.2 7 C/ D'S, Tl M E .............................. _ _ _ _ 1 5,443.00 C/ D'S, FOR MONEY BORROWED ..... CERTIFIED CHECKS ............ CASHIER'S CHECK$ _ __ RESERVED FOR INTEREST............ .. RESERVED FOR TAXES _ __ OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL .................. . 1 1 9, 9 7 9 .1 0 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Jank of L ri 0ke , Lonnk , Lono e ~o , Ad JNO. M. DA VIS. ■ ANK C:OJOOIS510H•• A,a'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Bank o f ;:,o • 11 , Lowell, Benton Co., Ark AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS ANO DISCOUNTS....................... '?, 6 3 6.5 0 CAPITAL STOCK _ _ _ _ __ LOANS ON REAL ESTATE ..•............. 3,680.00 CERTIFIED SURPLUS ......................-......... LOANS ON COTTON .•••..........•................... UNDIVIDED PROFITS ................................. OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE---•··•···-··············· BONDS AND SECURITIES----···-······ NOTES REDISCOUNTED ............ -.•....... FURNITURE ANO FIXTURES- ...... . 2,142.00 SAVINGS ACCOUNTS ............ . BANKING HOUSE _ _ _ _ _- ! 1,725.00 TRUST FUNOS _ _ _ _ ·····•·········-····· 10,000.0 0 OTHER REAL ESTATE _ _ _-1 DIVIDENDS UNPAID _ __ __ ITEMS IN TRANSIT _ __ INDIVIDUAL DEPOSITS ............................ 14,109 .48 PUBLIC FUNDS- - - - - - - 1 4 4 3.4 2 BILLS OF EXCHANGE _ _ __ I DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ __ DUE TO NON-RESERVE BANKS .... CASH ITEMS _ _ _ _ _ __ DUE TO RESERVE BANKS........... ..... 9,286 .97 f DUE FROM RESERVE BANKS ...... . C/ D'S, DEMANO _ _ _ _ _ _ _ I C/ D ' S, TIME ... _ _ _ _ __ CHECKS ON OTHER BANKS·-····· CURRENCY _ _ _ _ _ _ _ _ ! GOL0 _ _ _ _ _ _ _ _ _ _ _ 1 I ' SILVER- · - · · · - · - - - - - OTHER RESOURCES _ _ _ _ _ , 1,400.00 9 0 0.') 0 C/ D'S, FOR MONEY BORROWED ..... 10.0 0 CERTIFIED CHECKS •.......... _ _ _ , 4 9 0.7 3 CASHIER' S CHECKS _ __ 8 1 .7 0 RESERVED FOR INTEREST .............. RESERVED FOR TAXES- - -1 OTHER LIABILITIES TOTAL. ........•. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 52 4 5 2.9 0 ~~ TOTAL................................................................ . 2 5, 4 5 2 ,9 0 ~~ OFFICERS AND DIRECTORS of Bank of Lomell, Lowe"l, Benton Co., Ark. OFFICERS Claii.:f..eT . Farrar. Presidenl Banking Dcp't A.C.M1yes * · Vice lresidenl J.H.Barr. Cashier JNO. M.UNI( DACOlt.llllSIOfld VIS A.a.Mayes* Ass't Cashier DIRECTORS Claire Farrar. AC Ma el! J.H.Barr. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis W.J. I,,a~n~grJ~e~y,...._______ R T.M~C l i ton_ _ _ __ COPY OF PUBLISHED STATEMENT of 3ankers 7 ,,, t. Co. , Little Rock, Pu1a ok1 Co., AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES - - - - - - - - - - - - - - - - - - - - - - - - - - - ' - - - - - - - - - - - - - - - - - -- - - - -- -LOANS ANO DISCOUNTS ...................... 3 2 2, 2 8 4 ,7 4 LOANS ON REAL ESTATE.·--··-······· 2 3,5 9 7.5 6 CERTIFIED SURPLUS ................................. LOANS ON COTTON _·-···-·-·---···--········ 15,950.00 UN DIV I DE D PRO FITS.......·-······················· 318.2 9 OVERDRAFTS _ _ _ _ _ __ CAPITAL STOCK _ _ _ __ 1 ,9 11.6 FURNITURE AND F I XTURES--··· 22,482 .72 SAVINGS ACCOUNTS, _ _ __ BANKING HOUSE.________ , 9 7. 6 6 4 .7 4 TRUST FUNDS _ _ _ _ __ 45,226 .6 2 BILLS OF EXCHANGE _ _ _ _ , INDIVIDUAL DEPOSITS _ ____, PUBLIC FUND$, _ _ __ DUE FROM NON-RESERVE BANKS_ _ _ _ _ _ _ __ CASH ITEMS, _ _ _ _ _ __ NOTES REDISCOUNTED ....................... . 3 9,164 .76 DIVIDENDS UNPAID ...... _ __ OTHER REAL ESTATE- - -··--·· ITEMS IN TRANSIT _ _ _ _ _ , 3,350 .8 6 BILLS PAYABLE _ _ _ _ __ , BONDS AND SECURITIES--·--···· · .1. 250,000.00 DUE TO NON-RESERVE BANKS ... 1,1 4 0 .9 0 16 0,9 6 0.4 8 5,000.00 202,655 .8 4 DUE TO RESERVE BANKS............... I ! DUE FROM RESERVE BANKS........ II CHECKS ON OTHER BANKS·-··· · · cuRRENCY _ _ _ _ _ _ __ 1 05, 597.46 4,609.42 C/ D'S, TIME _ _ _ _ _ _ _ _ , 31,599.00 C/ D'S, FOR MONEY BORROWED..... 707.50 CERTIFIED CHECKS-········ · - - - GOLD ......----··-·····-····-··--·---- SILVER --··· · - - - - - - - - 1 C/ D'S, DEMAND· _ _ __ 3,030.26 CASHIER'S CHECK$, _ _ __ 29,810 .8 1 1 7 8 .1 0 RESERVED FOR INTEREST .............. OTHER RESOURCES _ _ __ • RESERVED FOR TAXES, _ __ OTHER LIABILITIES _ _T~ O!..! T~A'-=L.=·····=··--===-···=· ····=-··=·····=·•··=··-..!__:::::: 6 ..:.9::..__::i 1 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 2 Q ,8 5 ~~ TOTAL.·-··································•·•························ 6 9 1, 1 2 0 .8 5 ~~ - https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Jc1.nker s ': ·, 1 c, Co. , Litt~e Ro ck, ?ul&ski Co., OFFICERS H. L. Remmel Presidenl c. s. . c. ...,, McCain, G. Ribenack, . Donaghey V ice Presideiu S T. L. Bond Treasurer. ........ Paul Remmel Aas't Secretary. DIRECTORS H. L. Remme l Geo. . . c. J. s. . Donaghey •r • C. S. McCain --- Ribenack Gordon H. Campbell Cargile Jas. G. Clark R. F. Drummond s. Chas. G. Henry Tucker Sam Frauenthal COPY OF PUBLISHED STATEMENT of Blue Sto4a 3ank, La~ar, Jonn~on Co., A;•k. AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 2 1,9 9 4.5 8 LOANS ON REAL ESTATE--·-·······-· 6,000.00 2 2.0 0 ... BANKING HOUSE _ _ _ _ _ _ , CERTIFIED SURPLUS ............................ BILLS PAYABLE _ _ _ _ _ _ , NOTES REDISCOUNTED .......................... BONDS AND SECURITIES---·-······· F URNITURE AND F I XTURES- 1,800.00 SAVINGS ACCOUNTS _ _ __ 2,500.00 TRUST FUNDS .................................................... OTHER REAL ESTATE_ _ _-< DIVIDENDS UNPAID _ _ _ __ ITEMS IN TRANSIT _ __ INDIVIDUAL DEPOSITS ............................ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUND$,_ _ _ _ __ DUE FROM NON-RESERVE BANKS _ _ _ _ __ DUE TO NON-RESERVE BANKS.... CASH I TE M S _ _ _ _ _ _ _ _ , DUE TO RESERVE BANKS............-.. DUE FROM RESERVE BANKS ........ CHECKS ON OTHER BANKS·-···· 8,313.22 19 1.5 0 C/ D ' S, TIME _ _ _ _ __ 1,570.00 C/ D'S, FOR MONEY BORROWED..... GOLD_ _ _ _ _ _ _ _ __ 5.0 0 CERTIFIED CHECKS .................................... 6 7 5 .7 4 2 1,400 .68 2 0.0 5 C/ D'S, DEMAND ................................................... CURRENCY _ _ _ _ _ _ __ SILVER- - · · · - - - - - - - - 20,000.00 UNDIVIDED PROFITS........................... . LOANS ON COTTON _········-········-··-··········· OVERDRAFTS _ _ _ _ __ CAPITAL STOCK ............ _ _ __ 1,130.55 • CASHIER'S CHECK$ _ _ _ __ RESERVED FOR INTEREST.............. OTHER RESOURCES--·-·-·-··-····-···· RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL ................................................ ... . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 3, 0 7 2.0 4 i} TOTAL .................. _.............................................. 5 2 0 .7 6 4 3, 0 7 2 .o 4 ~~ OFFICERS AND DIRECTORS of Blue StoLe 3dnk, La~ar, John son Co., Ark OFFICERS G.T.C!ZOET PreBidenl ,J • H. SIMPSON Vice President ARTHUR BRADLEY Cashier Ass'I Cashier DIRECTORS L.A1f.AR AR • G. T. CAZORT JNO. nms l . F. l .UX https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis UOOBE IPlE L.AU - - - -- DO LUTHE VILLE •• SILEX •• COPY OF PUBLISHED STATEMENT of ~dntral ~an~ & Trust Co,, Little Ro ck, PulaJki Go., Ark 1 n 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND D I SCOUNTS .............. 45,187 .7 5 CAPITAL STOCK......................... LOANS ON REAL ESTATE_········-··- 3 O, 1 4 9 .7 7 CERTIFIED SURPLUS _ __ LOANS ON COTTON _ _ __ 2 5,000.00 UNDIVIDED PROFIT$ _ _ __ OVERDR A F T S-··-- - - -- - 11 0.2 9 BONDS AND SECURITIES- -·-·-······· 1,136.21 NOTES REDISCOUNTED ............ . FURNITURE AND F I XTURES- .... 3,677 .11 SAVINGS ACCOUNT$ _ _ __ BILLS PAYABLE _ _ _ _ _ __ 1 _ _ _ _, 2 5 0.0 0 TRUST FUNDS _ _ _ _ _ __ OTHER REAL ESTATE- - - - l 1,010 .7 3 DIVIDENDS UNPAID .................................... ITEMS IN TRANSIT _ _ _ _ _ ! 6 2.2 5 BANKING HOUSE _ _ 1 30,026 .79 I INDIVIDUAL DEPOSITS _ __ 32,744.31 BILLS OF EXCHANGE-·--·--·-··-···· PUBLIC FUND$, _ _ _ _ __ 1,5 0 0.0 0 DUE FRO M NON·RESERVE BANKS _ _ _ _ _ _ __ DUE TO NON - RESERVE BANKS..... 6 5 5 .9 4 CASH ITE M $ _ __ _ __ DUE TO RESERVE BANKS................ DUE FROM R ESERVE BANKS...... _ 1,822.36 C/ D ' S, DEMAND ...·-·······- _ __ CHECKS ON OTHER BANKS·-····· 1,116 .7 7 C/ D ' S, TIME ....·•··· · · · · · · · · · - - - - -1 CURRENCY. 1,735.00 C/ D ' S, FOR MONEY BORROWED..... 15 0.0 0 OTHER RESOURCES _ __ __ 1 CERTIFIED CHECKS...·-······ - - 5 5 0.0 0 - 1 1,490.47 CASH I ER'S CHECKS ..................... 1,306 .33 RESERVED FOR INTEREST....-........ 3 9.8 8 RESERVED FOR TAXES ........................ . OTHER LIABILITIES TOT AL ...·--·····························•······•················- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 9 8 6 0 .9 8 -?~· TOTAL .................. ............................................... 8 9, 8 6 0 .9 8 ,: OFFICERS AND DIRECTORS of Cantra l :an~ & Trust Co ., Li ttle ao ck , Pulaski Co., /\rk OFFICERS Mr.Thoe. w. Mattin l Prelliden& Dr. Wm. A. Snodgrass V ice Prelliden& eanktna Ocp't .Mr . T. E, Hale Act ing Caahi er Mr . T. E. Hale Aaa'I Caahier DAVIS . JNO · M .,.,.K ,01u1.1n1011•• DIRECTORS T. W. Mattingly T Wm. A. Snod rass Jno, E, Dorou_h_ ~ - - - - - F. A. Snodgress H. Otto Weideman Joe Jung E. E. Walden https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis B s. Ford Turner. COPY OF PUBLISHED STATEMENT of Chicot E&nk & Trust Co., La ke v; llage, Cliicot Co., Art AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS............... LOANS ON REAL ESTATE ..·-····-······ LIABILITIES 66,112.64 1 29,831 .71 LOANS ON COTTON ...·-····-·····-··-····-···· 41.2 3 OVERDRAFTS CAPITAL STOCK ............................................. . CERTIFIED SURPLUS................................. 9,0 0 0 .0 0 UNDIVIDED PROFITS............................... 1,3 5 5 .1 5 BILLS PAYABLE _ _ _ __ BONDS AND SECURITIES--··--······ 2,538.0 5 NOTES REDISCOUNTED .................:..... . FURNITURE AND FIXTURES __ .. 2,000.00 SAVINGS ACCOUNTS ...... _ __ BANKING HOUSE _ _ _ _ _ _ , '5,000.00 TRUST FUNDS _ _ _ _ __ OTHER REAL ESTATE- - - - l 5,8 0 7 .3 7 DIVIDENDS UNPAID......_ __ · ITEMS IN TRANSIT---··--···-·-··· 6 9 2.5 1 BILLS OF EXCHANGE_ _ _ _ , DUE FROM NON-RESERVE BANK$ _ _ _ _ _ _ _ _ , CASH ITEMS_ 7,800 .00 ... ! DUE FROM RESERVE BANKS...... . f CHECKS ON OTHER BANKS·--····· CURRENCY _ _ _ _ _ __ 85,000.00 3,296.2 18 0 ,3 8 INDIVIDUAL DEPOSITS- - - - - 1 95, 84 1.0 0 PUBLIC FUNDS ... _ _ __ 5 2,664.75 DUE TO NON-RESERVE BANKS.... DUE TO RESERVE BANKS ........... ..... 3 9,9 6 2.4 7 40.20 4,253.00 GOLD- - - - - · - - - - - - - - 1 8 5.0 0 SIL VE R-··-····-···-··--·--···-···· · - · - - - -I 2,341.86 OTHER RESOURCES _ _ __ C/ D'S, DEMAND _ _ _ _ _ _ , C/ D'S, TIME ............ _ _ _ _ _ __ 19,8 6 2.21 C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECK$, _ _ __ CASHIER'S CHECKS ............. . 30 6.2 7 RESERVED FOR INTEREST-··-······· RESERVED FOR TAXES _ __ OTHER LIABILITIES TOT AL .....·-······· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 6 7 5 0 6.0 4 {; TOTAL .................. 2 6 7. 5 0 6.0 4 -l~ OFFICE RS A ND DIRE CTORS of Chicot Trust Co. , Lak ~ v·11ag, C1icct Co., Bt.i'Jlr :;; Ar'r OFFICERS p,,.idenl ,L B . SIMMS V ice Pruident Caahier ,..'B A11't Caahier \)t ~ :_:.:;.., DIRECTOR S HENRY THA..~- - - - - ,T. ,T. MC . C https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -VlS, I .. D 1\)lllli:!>lo• ~ J ,. .0 . M .JUJ'll H. E. COOK COPY OF PUBLISHED STATEMENT of Citizens a~k o Lavaca. Lava~a, Sebasia~n Co., -~--k IQV J O 1915 - -----=~====-============= ======================= AT THE CLOSE OF BUSINESS I RESOURCES 28,091 .72 CAPITAL STOC.,."-- - - - ·.. ·· .. 25,000.00 CERTIFIED SURPLUS- - - - · · 3 0 1.5 8 9 5 0.0 0 UNDIVIDED PROFITS............................... .. 1 7 9 .7 2 5 4.4 5 BILLS PAYABLE _ _ _ _ _ ... 1 2 2.5 4 NOTES REDISCOUNTED .......................... ... 1,592.00 SAVINGS ACCOUNTS .............................. . . BANKING HOus~ ~ -------- 1,887 .88 TRUST FUNDS _ _ _ _ _ _ ..... OTHER REAL ESTATE _ _ __. 4 7 5.0 0 DIVIDENDS UNPAID- - - - · · · · · LOANS AND DISCOUNTS.......... _.......... .. LOANS ON REAL ESTATE _......... -.... LOANS ON COTTON ... _ ............. - ............... OVERDRAFTS...... _ _ _ _ __ BONDS AND SECURITIES- ................. FURNITURE AND FIXTURES- ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS, _ _ _ .. _ I BILLS OF EXCHANGE _ _ __ DUE TO NON-RESERVE BANKS .... 3 5.9 0 DUE TO RESERVE BANKS .............. .. DUE FROM RESERVE BANKS ........ 5,060.23 C/ D ' S, DEMAND _ _ _ ........................... CHECKS ON OTHER BANKS..- ...... 3 6 9.2 4 C/ D'S, Tl ME ...........·- - - -..- ......... CURRENCY _ _ _ _ _ _ _ ... _ 1,314.00 C/ D'S, FOR MONEY BORROWED ..... CASH I TE M S _ _ _ _ _ __ ! I I 1,?. 0 2.0 0 CERTIFIED CHECKS ................................ .. GOLD...- - - :... SILVER- - - - - - - - - 1 13,410.11 PUBLIC FUNDS ...... _ _ _ __ DUE FROM NON-RESERVE BANKS I I LIABILITIES 140.4 5 CASHIER'S CHECKS- - - - RESERVED FOR INTEREST .............. OTHER RESOURCES _ _ __ RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL ......... - https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 O O 9 3.4 1 ~r TOTAL ................................................................ 4 0 0 9 3.4 1 ➔} https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8q k;n, OFFICERS AND DIRECTORS of D~ 't RZfrfY[D - - - - - - - - - - - - - - - - - - - , J N 0. M. DAV rs ,~ .- Cit izens 8qnk of Lavaca, Lava ~a, Sebas tain Co., Ark DIRECTORS .LlHK eo11..111,s;o~a. COPY OF PUBLISHED STATEMENT of C~tizens n•estrnent & Security Co . , L:t,l e Rock, ?Jlask i Co., A.,.·,:.. AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 8 6, 0 8 4.5 0 CAPITAL STOCK .............................................. LOANS ON REAL ESTATE ..·-·-········ 8 7.8 8 7.2 8 CERTIFIED SURPLUS ................................. UNDIVIDED PROFITS........... LOANS ON COTTON .... _. ········-··-········-· OVERDRAFTS _ _ _ _ · - - - 1 8 7 1.9 8 BONDS AND SECURITIES---····-····-- 3,0 '.3 5,6 0 F URNITURE AND FIXTURES--··· 11,147.12 BILLS PAYABLE _ _ _ _ _ _ ! 5,239.61 53,000.00 NOTES REDISCOUNTED ...................... . SAVINGS ACCOUNTS _ __ BANKING HOUSE .. _ .... OTHER R EAL ESTAT ~ 75,000 .0 0 5 9,6 9 8.6 3 TRUST FUNDS ........................... ......................... _ ___, 4 4,854.34 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ __ INDIVIDUAL DEPOSITS ........................ I BILLS OF EXCHANGE _ _ _ _ , D U E FROM NON-RESERVE BANKS- - - - - - - - - · · 1,021.0 7 PUBLIC FUND$ _ _ _ _ _ _ , 7 3,4 9 5.5 5 1,756.43 DUE TO NON-RESERVE BANKS .... 17.7 5 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANK S........ 3 0,1'.38.6 4 C/ D'S, DEMAND- - - ··························· 5,000.0 0 CHECKS ON OTHER BANKS· -····· 2,399 .62 C/ D ' S, Tl ME .....· - · • · · - - - -- - 7.9 8 9.3 3 CURRENCY- - - · - - - - - ! 4,915.00 C/ D'S, FOR MONEY BORROWED ..... 1 2 0.0 0 CERTIFIED CHECKS .................................... 8 6 0.3 9 CASHIER'S CHECKS ..................................... 9, 3 0 2,3 '.3 RESERVED FOR INTEREST-............ I CASH ITEMS- - · - · - - - - - GOLD._ _ _ _ _ _ _ _ _ _ __ RESOURCES _ __ 1,476.0 7 RESERVED FOR TAXES- - -1 OTHER LIABILITIES ............................. TOT A L... .......-.................................... ............... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 8 2 6 5 5 .6 2 ➔1- TOTAL............................................................... 2 8 2, 6 5 5 .6 2 -l~ OFF ICERS A ND DIRECTORS of ~·tiz ens stment & S .cuEity Co ., Lit le Roe , ~l~ski Co., T~ , ti.· OFFICERS ---- - Bebert E---W-..i~ P,eaid•n1 E. T R V ice Preaide,u ----J. F. Len.e~n~,ca,hier Cla.y E. Smith Au'I Caahier • R. W. Pe rter, Tre,surer. D IRECTOR S Rebert E. __w~1:.,_.._ _ __ E. T. Re&Y~ .r. F. Lenen, B. w. Pe rter.., Cl~ E. Smith, Will HtffIM.n, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis --------- COPY OF PUBLISHED STATEMENT of Citizens State Bank, Lake Village, Chicot County. AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........................ LIABILITIES 2 5, 8 80.33 53,445 .6 1 CAPITAL STOCK.................................... 3 O, 7 5 0.0 0 LOANS ON REAL ESTATE ................. CERTIFIED SURPLUS ............................... 2,000.00 LOANS ON COTTON _ _ __ UNDIVIDED PROFITS ................................. 3, 6 9 3.5 2 6 5 1 .3 0 OVERDRAFT S _ _ _ _ _ __ BILLS PAYABLE _ _ __ BONDS AND SEC U RITIES-·-·-·····.. 2,243 .4 6 NOTES REDISCOUNTED ...................... . FU RNITU RE A N D F I XT U RES- ... 2, 1 8 6 .32 SAVINGS ACCOUNTS .................................._ BANKING HOUSE.·-·····-·-·--·-···-- 4,6 1 7.5 0 TRUST FUNDS ................................................... . OTHER REAL ESTATE _ _ 4,0 0 0.0 0 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANS I T _ __ 2 2 1 .5 0 BI L LS OF EXCH AN GE _ _ __ INDIVIDUAL DEPOSITS .... 2 8, 52 2 .5 6 PUBLIC FUNDS _ _ _ _ __ 33, 88 7 ,9 5 I I DUEB~~~~ NON - RESE~-~-~ --·-····· CASH ITE M S_ ~ - - - - - DUE FRO M RESERVE BANKS ........ DUE TO NON - RESERVE BANKS.... 3 2 9 .8 3 7, 824 .2 2 DUE TO RESERVE BANKS................ ~D~, DEMAND _ _ __ C/ D ' S, TIME _ _ _ _ _ __ CHECKS ON OTHER BANKS.·-······ CURRENCY.·--··- - - - - - - r 6 0 .0 0 3,115.00 C/ D ' S, FOR MONEY BORROWED..... 7 5.0 0 CERTIFIED CHECKS .................................... 1 , 2 6 1 ,3 0 CASHIER'S CHECKS ..................................... 6,777.0 0 160 ,3 4 RESERVED FOR INTEREST ...-. OTHER RESOURCES------··-···-···-········ RESERVED FOR TAXES _ __, OTHER LIABILITIES ............................. ..... TOTAL ................................. . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 0 5, 8 5 1 .3 7 ·): TOTAL... ............... 1 0 5 8 5 1 .3 7 ~:- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ~it izens ~tate Bank, Lalrn 11 i lla ge , Chicot Co ., Ar·- .IIS BANK IS T'1UST co· O/ ERGED INTO THE CHICOT BAN. & JJ~Y . OFFICERS Presidenl V ice President Cashier , Ass't Cashier DIRECTORS J N 0. M i.AB~lJ~~~u COPY OF PUBLISHED STATEMENT of F~ m rs 4 ~e1chants B nk, London, ?cp3 Co,, Ar ·. n 191!, AT THE CLOSE OF BUSINESS RESOURCES LIABILI T IES LOANS AND DISCOUNTS ........................ 7, 0 7 0,3 5 LOANS ON REAL ESTATE_............... 3 0 0.0 0 1.4 2 OVERDRAFTS- - - - · · - - · - - · · · ···· 1.6 9 BILLS PAYABLE---························ NOTES REDISCOUNTED ..........•....... .. . BONDS AND SECURITIES-----·--···· 1,0 0 0.0 0 FURNITURE AND F I XTURES- ..... SAVINGS ACCOUNTS .................................. BANKING HOUSE _ _ _ _ _ _ , TRUST FUNDS----·················· OTHER REAL ESTATE _ _ _-l DIVIDENDS UNPAID- - - - · · · ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS............................ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS•- - - - - - · ·· DUE FROM NON·RESERVE BANKS _ _ _ _ _ _ __ 1,577.0 5 I CASH ITEMS _ _ _ _ _ _ _ _ _ _ I I CERTIFIED SURPLUS _ _ __ UNDIVIDED PROFITS............................... LOANS ON COTTON ...·-·····-····-·····-·•-··· .. I CAPITAL STOCK.............................................. 11,235.0 9 DUE TO NON.RESERVE BANKS..... DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS ...... 5,365 .70 C/ D ' S, DEMAND- - - - · · · ·················· CHECKS ON OTHER BANKS---···· 9 1.0 7 C/ D'S, TIME ..•··········································-············•· CURRENCY ..·------·····--········· 1,446 .00 C/ D'S, FOR MONEY BORROWED ..... 2 0.0 0 CE RT IFIE D CH EC KS·-·······--•·••·····-······· ··· 3 '.3 7 .'.3 5 CASHIER'S CHECKS---············· GOLD SILVER·-·-·····-···-···-·-----····-·-·---, 5 4 0.6 9 2 8 1.4 7 RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ __ RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES .................................. TOTAL _.......... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 Z2 0 8,9 4 ~; TOTAL. ................................... .......................... 1 Z2 o 8 .9 4 ~: https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of fa mer s & 1c.1 chants Bank , London, PopJ Ass't Cashier DI R ECTORS ---- o., f NO. M._.." .. DAc"B11111tas VIS1011-w• , COPY OF PUBLISHED STATEMENT of G6rman TL uQv Co., Li~tl n Rock, Pul~ ki Co., Ar· - 'DV 1 n 19 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS...................... 14 3,9 3 4.a 7 CAPITAL STOCK---························ 250,000.00 LOANS ON REAL ESTATE ............... 1 5 , 9 6 9.1 0 CERTIFIED SURPLUS- - - ········· 40,000.00 UNDIVIDED PROFITS............................... 10,087.7 0 LOANS ON COTTON __···-··············--······ OVERDRAFTS _ _ _ _ _ _ _ __ 18 4.4 0 BILLS PAYABLE- - - - - · ···· BONDS AND SECURITIES-·-·-····· 2 2 9,5 9 2.11 NOTES REDISCOUNTED ....................... . 7,500.00 SAVINGS ACCOUNTS ................................. FURNITURE AND FIXTURES- ... BANKING HOUS"" ------, OTHER REAL ESTATE- - - - ! 130,4.31.3 4 TRUST FUNDS- --················•············· 12,602.90 DIVIDENDS UNPAID- - --···· ITEMS IN TRANSIT _ _ _ _ _ .. INDIVIDUAL DEPOSITS,_ _ _ ... 125,306.33 BILLS OF EXCHANGE-·--··-··-···· PUBLIC FUNDS·- - - - · · · · · ·········· 29,496.6 5 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ... CASH ITEMS- · - - - - - - - 1 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ 7 4,2 0 4.6 7 C/ D'S, DEMAND ................................................. CHECKS ON OTHER BANKS- •...... C/ D ' S, TIME- - - - - - -·· 17, 3 .'3 9,2 9 25,000 .00 CURRENCY _ _ _ _ _ _ _ _ , 1,680.00 C/ D'S, FOR MONEY BORROWED..... GOLD- - - - - - - - - - - 1 16 7.5 0 CERTIFIED CHECKS.................................. SILVER. · - · · - · · - - - - - - - 1 4 2 9.5 0 CASHIER'S CHECKS---·········-· OTHER RESOURCES- - - · - - - 2 2 5 .1 9 RESERVED FOR INTEREST.............. 1,8 2 8.5 '.3 RESERVED FOR TAXES,_ __ OTHER LIABILITIES.................................. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 2 9, 4 8 9 .8 4 ~~ TOTAL .................. 629,489 8 4 * OFFICERS A ND DIRECTORS of :Lrman T .u~v Co., Littl Ro ck, FulasKi Co ., J\r1· OFFICERS J. n. Gol amo:n - P residenl Ed Cornish - J .F. alker -r: .v; .nishtsellv ice PresidentS J . F. Walker - r,; J~ R.W.Rightsell- Sec'y . rr: .c. Tunnah Ass't &iii Sec'y. D IRECTOR S J. D. Goldman- FA Cornish- a , P. Robin son- J . F. \7alk_e_r_-_ _ _ _ _ __ Ad Hamberg- _L__B...._~~ ......... it-b~-=-- - - - - - - - uoor - .; .F. to'dlghborough- U. B. A.lex 1': , Keith- Ike K8'1'l ner - Haley M. Bennett- G. H. t~on - https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ?!. B. SANDEnS n.W. RIGH'l'SELL . COPY OF PUBLISHED STATEMENT of ask er-l'ih..:r..:.s Bank & Tr'ust Co., L!~~ 1 e Rock, 2u1~ski Co., P. · ' AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I LOANS ANO DISCOUNTS ....·-················· 1 5 2,46 5.46 LOANS ON REAL ESTATE ................. 9 1,0 1 9 .9 9 CAPITAL $TOCK ................................................ 6,0 9 5 ,7 0 CERTIFIED SURPLUS .............................. LOANS ON COTTON ...·-·····-····-···--•-····· 1 00,00 0.0 0 UNDIVIDED PROFITS........................... 2 1 1.3 3 OVERDRAFTS_·-·-···-···---·-··-··-··-·-··•···· BILLS PAYABLE ··············-·•·····" BONDS AND SECURITIES_·-···· 1,8 2 6.66 NOTES REDISCOUNTED ........................ FURNITURE ANO FIXTURES- 3,7 5 4 .1 2 SAVINGS ACCOUNTS .............................. ···• 2 2,7 1 0.1 5 ---····-·- TRUST FUNDS ................................................ ... 25,5 6 1.5 4 OTHER REAL ESTATE- -·-··-· DIVIDENDS UNPAID ............................... ... ITEMS IN TRANSIT INDIVIDUAL DEPOSITS BANKING HOUSE BILLS ... OF EXCHANGE .. 8 5,5 3 8.2 4 PUBLIC FUNDS........·--····································• 1 1 2,4 9 3.5 2 I DUE I FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... -·· --------····· 30 8 .9 0 FROM RESERVE BANKS........ 9 1,5 7 6.2 7 CHECKS ON OTHER BANKS·-····· 4,4 1 7.0 5 CASH ITEMS __ . t DUE DUE TO RESERVE BANKS ........... .. C/ D ' S, DEMAND ...·-········•··· 2 0 0.0 0 .. 1 1,2 0 0.0 0 C/ D ' S, TIME .................. 1 5,0 8 7.0 0 CURRENCY ......... C/ D 'S, FOR MONEY BORROWED ..... .... 4 0.0 0 SILVER -·--···-··-···-···-···-····---···--·-··--··- 2,5 2 8 .4 7 CASHIER'S CH EC KS ..................·-················ 6 7 1.0 8 RESERVED FOR INTEREST.............. GOLD ·-·- OTHER RESOURCES -········ CERTIFIED CHECKS....................... 1 0 7.1 8 RESERVED FOR TAXES OTHER LIABILITIES ..... . TOTAL .............................................................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 6 3,9 0 6,3 3 ~£, TOTAL ............................................................... 3 6 3,9 0 6 .3 3 " OFFICERS AND DIRECTORS of Laaker-AA .o Bank & Trus t Co., L:vL 8 Rock ?u~aski Co., 7 A I O FF ICERS Harry La aker Presidenl Emmet Morris V ice Presidenl R• w• Newel~~ l Secretary Henry L;1sker mm, Treasurer DIRECTORS Harr y Lasker Emme t Morris R. W. Newell Henry L~a~s_k_e_r______ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of L0noke c~ ,-ty Bank, Lonoke, LJ .1.oke Co., Ar· AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 1 19,791.32 CAPITAL STOCK---··•···················· 20,000.00 LOANS ON REAL ESTATE.·-·········· 26,648 .79 CERTI Fl ED SURPLUS •....................•.•..... 10,0 0 0 .0 0 UNDIVIDED PROFITS ................................ 11,9 0 5.8 9 LOANS ON COTTON ..·-···----1 Ir OVERDRA FTS _ _ _ _ _ __ 13 9 .9 9 BILLS PAYABLE- - -·········••···-·•- · BONDS AND SECURITIES-·--······· 8 '.3 5.5 4 NOTES REDISCOUNTED ....................... F URNITU R E AND FIXTURES_ ... 1,000.00 SAVINGS ACCOUNT$. _ _ __ BANKING HOUS ~ - - - - - t 4,000.00 TRUST FUND$ _ _ _ ._ __ OTHER REAL ESTATE _ _ _-< 2,024.46 DIVIDENDS UNPAID.. _ __ ITEMS IN TRANSIT _ _ _ _ _ ! INDIVIDUAL DEPOSIT$ _ __ 7 9, 7 9 7.4 3 BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS ......_ _ _ __ 8 4,4 1 5.0 7 DUE FROM NON-RESERVE BANK$_ _ _ _ _ _ __ DUE TO NON-RESERVE BANKS ... C A SH ITE M S_. _ _ _ __ I DUE FROM RESERVE BANKS- ..... I II 9 0.5 2 DUE TO RESERVE BANKS ........... ..... 46,253 .9 7 C/ D'S, DEMAND ................................................... CHECKS ON OTHER BANKS ......... . 2,500.00 C/ D ' S, TIME _ _ _ _ _ __ CURRENCY. _ _ _ _ _ _ _ _ , 5,530.00 C/ D'S, FOR MONEY BORROWED ..... 5,193.50 CERTIFIED CHECKS ................... GOLD ...·-·············-···-··· SILVER _ _ _ _ _ __ • 1,4 9 7 ,3 0 CASHIER ' S CHECK$ _ __ RESERVED FOR INTEREST.............. OTHER RESOURCE$ _ _ __ RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 11 3 1 1 .8 9 ';;' TOTAL ................................................................. 2 11, 3 1 1 .8 9 -;~• OFFICERS AND DIRECTORS of Lonoke Ccur t y Bank , Lonoke, Lo noke Co., Ar · OFFICERS ..,. _,. . Presidenl 0 l' V ice Preside,11 Caahier 1 ... ♦ - I""\ ' ·,,... V - J.. • ABB'I Caahier DIRECTORS ... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis • ,.J • COPY OF PUBLISHED STATEMENT of Luxora B~n~ i ilg Co., I,.uxora, ~lississ1p 1n L:o,, ArlL I Nuv' 1 o19 5 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 34,093 .69 CAPITAL STOCK..............._ __ LOANS ON REAL ESTATE ................. 40,930.34 CERTIFIED SURPLUS ................................. 7,5 0 0.0 0 UNDIVIDED PROFITS............ 3,648.83 LOANS ON COTTON .................- ............ 1,257 .96 BILLS PAYABLE- - - · ······················· BONDS AND SECURITIES ........·-·-····· 47.4 5 NOTES REDISCOUNTED .......................... FURNITURE AND F I XTURES .......... 2, 7 7 5 ,7 1 SAVINGS ACCOUNTS ................ BANKING HOUSE _ _ _ _ _ _ , 4,700.00 TRUST FUND$ _ _ __ OTHER REAL ESTATE- - - - ! 9 2 2.4 2 OVERDRAF T S._....._ _ _ __ 15,000.00 DIVIDENDS UNPAID...... _ _ __ ITEMS IN TRANSIT- .... _ _ _ _ , INDIVIDUAL DEPOSITS............................ Bl LLS OF EXCHANGE _ _ _ _ , PUBLIC FUND$, _ _ _ _ __ I 15,000.00 6 4,6 9 2.7 3 8,283.40 DUE FROM NON-RESERVE DUE TO NON-RESERVE BANKS.... BANKS CASH ITEMS __ .... - ........._ _ _ _ _ , DUE FROM RESERVE BANKS ........ DUE TO RESERVE BANKS................ 2 9,030.23 C/ D'S, DEMAND- - - - - - 1 C/ D ' S, TIME .................• - - - CHECKS ON OTHER BANKS·-···· CURRENCY... GOLD _ _ _ _ _ _ _ _ __ I SILVER ..... - · · -·- - - - - - - 1 8 5 5.0 0 C/ D'S, FOR MONEY BORROWED ..... 7 0.0 0 CERTIFIED CHECKS .................................... '.3, 4 9 9 .7 7 CASHIER'S CHECKS ..................................... 4,057.6 1 RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ __ RESERVED FOR TAXES- - - 1 OTHER LIABILITIES............ TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 1 8 1 8 2 .5 7 7~ TOTAL .................. . 11 8, 1 8 2.5 7 ';<" OFFICERS AND DIRECTORS of JNO. M. DA VIS 114N« C:OIUIIISIO'U ~uxora B~ ~·ae Co., Luxor~, · is siss 1ppi Go., Arie OFFICERS T John B.Driver , Sr., V ict Prtaidtnl --J.M.Lan-d.~:.uulCashitr DIRECTORS J . G. S ann - - - - -- - John B. Driver,Sr. H.P .Liston https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 COPY OF PUBLISHED STATEMENT of ~ercanti~e :rust Co . , Little ~ock, Pulask i Co. , A!"k AT THE CLOSE OF BUSINESS NOV 1 O1915 RESOURCES LIABILITIES 300,000.00 LOANS AND DISCOUNTS...•................... 3 7 9, 2 6 1.4 2 CAPITAL STOCK. ....................... LOANS ON REAL ESTATE ..·--········· 3 0 O, 0 6 5 .3 5 CERTIFIED SURPLUS ................................ 20,000.00 UNDIVIDED PROFITS .................. . 39,961 .92 LOANS ON COTTON ...·-··········-········· OVERDRAFTS __ ._ _ __ 1,492.67 BILLS PAYABLE _ __ BONDS AND SECURITIES--············ 131, 3 9 6.5 3 NOTES REDISCOUNTED ....................... • FURNITURE AND FIXTURES •..•.... 10,.0 0 0.0 0 SAVINGS ACCOUNTS .................................. . TRUST FUNDS _ _ _ _ __ BANKING HOUSE _ _ _ __ , OTHER REAL ESTATE·----··-· 2,094.87 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT-----····-···· 1,128. 2 INDIVIDUAL DEPOSITS ......................... BILLS OF EXCHANGE _ __ DUE FROM NON - RESER V E BANKS _ _ _ _ _ __ PUBLIC FUNDS........................... _ __ 33,366.20 DUE TO NON-RESERVE BANKS .... CASH ITEMS--··---···-·--·---···· 1,012.33 DUE TO RESERVE BANKS ........... ..... DUE FROM RESERVE BANKS ........ 1 8 5,1 4 6.9 2 CHECKS ON OTHER BANKS.·-····· 7,720.11 CURRENCY _ _ _ _ _ __ 36,478.00 C/ D ' S, DEMAND ............................................ . C/ D ' S, TIME _ _ _ _ _ __ 2 7 5,599.78 2 ?., 0 8 2 .6 4 3 8 4,3 8 2.4 7 2 7.9 2 0.31 2 7.12 7.4 5 8 6 4.2 9 C/ D 'S, FOR MONEY BORROWED ..... 2 0 5.5 0 GOLD ..·-··-··-······-• - ·--·-·--·-·-···-···•··· 4,000.00 CERTIFIED CHECKS ........ SILVER - - - - - - · · - - · - - · · · 3,761.90 CASHIER ' S CHECK$ _ _ __ 5,4 0 0,21 RESERVED FOR INTEREST.............. 5,006 .13 RESERVED FOR TAXES........................ . 2,963 .44 OTHER LIABILITIES ................................. . 5 6 3.3 8 OTHER RESOURCES _ _ __ TOTAL...... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 15,152.40 1112077 .52* TOTAL. ........... . 1.1 1 2, 0 7 7 .5 2 ,~ OFFICE RS A ND DIRECTORS of iarc antil a ~rust Co. Lit tl ~o ck, Fulas~i C0., Ark . O FF I CERS Heiman r1x:1,xzmhp11 Jla.x P resiclenl w. L. Hemingway, Vice Preaiclenl F. J. Schmu.tz, W. P. Feild Seoreta;rx ~ c. w. L. Hemingway, Treasurer, S'. c. Banking B. Maxwell, Assistant Secretary, ep't Cou~istant Treasurer, .TNO. M.11 DA VIS . #-HI( CO.IIMISSI Ol'n D IREC T OR S Max Heiman w. w. ~ ' - " t""i_..f__f...._t_ _ _ _ _ _ __ F. W, Tucker, 1. ID!,Y H. M. Trieber c. L. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis W. P. Feil....._._ _ _ _ _ _ __ Wilson G. B. Rose s. W. L. Hemingwa.y, Thom:pscn W. E. Hemingwq, _A.._ Bri zzo lara., A. D. Goldman COPY OF PUBLISHED STATEMENT of : eoples ,;:;c. . . . '. &. Loan Co ., Lewis ville, LaFay etco Co., AT THE CLOSE OF BUSINESS - RESOURCES I LIABILITIES LOANS AND DISCOUNTS..................... 5 8,7 8 8 .7 2 CAPITAL STOCK.............................................. LOANS ON REAL ESTATE ........... ..... 1 7,1 1 4 .9 9 CERTIFIED SURPLUS ........................... LOANS ON COTTON -·-···-·····-·····-···· ······ ,00 0.0 0 UNDIVIDED PROFITS ........... ·····-·············· '.2,4 3 1 .7 4 ..... 10,00 0.0 0 ... 29 0.4 5 BONDS AND SECURITIES-·-···-······· 1,4 2 3.0 2 NOTES RE DISCOUNTED .......................... FURNITURE A N D FI XTURES--··· '.3, 0 2 1 .6 5 SAVINGS ACCOUNTS .................................... BANKING HOUSE.·--··-·-·--·--·-·······-··· 5,1 1 2.5 4 TRUST FUNDS ................................................... .. OVERDRA F TS BILLS PAYABLE OTHER REAL ESTATE DIVIDENDS UNPAID.................................... ITEMS IN T RANSIT ...... BILLS OF EXCHANGE INDIVIDUAL DEPOSITS............................ 3 8, 2 0 9 .8 7 ......... 2 .1.,8 0 6.0 1 PUBLIC FUNDS ! DUE ! 3 0,00 0.0 0 FROM NON - RESERVE BANKS 1 5,8 1 5.6 6 DUE TO NON-RESERVE BANKS.... DUE TO RESERVE BANKS ................ CASH ITE M S I I I 5,1 3 6 .7 0 C/ D'S, DEMAND ................................................... CHECKS ON OTHER BANKS--····· 2,3 3 3 .7 2 C/ D'S, TIME .................. CURRENCY 2,8 0 0.0 0 C/ D'S, FOR MONEY BORROWED ..... DUE FRO M RESERVE BAN KS·-···- I I I ------- GOLD... __ SILVER .. 8 2 .5 0 CERTIFIED CHECKS 4 5 3 .7 8 CASHIER'S CHECKS 6 0 4.6 4 RESERVED FOR INTEREST.............. 1,2 1 6.6 3 ........... 3 1 4 .1 2 I OTHER R ESQ U RC ES-····-·-··-···---····· RESERVED FOR TAXES OTHER LIABILITIES TOTAL ................................................................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 12,9 7 8 .3 7 ~~ .......... TOTAL.................. .............. ···················•·····•······ ' 1 :l. 2,2 7_ 8 ,3 7 ➔C' OFFICERS AND DIRECTORS of c:ople s £e"''· & Loan Co •. Lewis~i l'e, LaFayet te Co,, OFFICERS W.D.Stewart PreBidenl G. w.Dobson Vice President _ ---1L..l). Ha rreJ Cashier B.S.Montgomery Au't Cashier DIRECTORS w.D.Stewart G.G.Boyett J.B. B:nrton Vi .B.Nash https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis N.D.Harre COPY OF PUBLISHED STATEMENT of ieo ples ;:;;1,, :ngs Bauk, Littl e Rock, Pulaa~i Co., /\rlr AT THE CLOSE OF BUSINESS NOV 1 O 1915 LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 2 4 2,684 .84 CAPITAL STOCK.........·-·· · - · - - - LOANS ON REAL ESTATE ..·--····-···· 1 20,031 .11 CERTIFIED SURPLUS ............................... . 1 2,500.00 UNDIVIDED PROFITS.....................:......... :1 .7, 4 0 0..2 Z LOANS ON COTTON _ _ _ _ _ I 1,000 .95 BILLS PAYABLE- - - - --1 BONDS AND SECURITIES--·--······ 41,534.40 NOTES REDISCOUNTED .......................... FURNITURE AND F I XTURES·-·•···· 7,771 .63 OVERDRAFTS _ _ _ _ __ I BANKING HOUS"' - -----t 2 0, 7 7 1 .3 5 TRUST FUNDS ...........·----········· .. OTHER REAL ESTATE· - - - - · · 17.614.34 DIVIDENDS UNPAID-···· - - - · · · 13 1,0 0 9.5 0 1 O, 7 7 5 .21 ITEMS IN TRANSIT _ _ __ INDIVIDUAL DEPOSITS............................ 283,831.45 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS·- - - - - • · · · · 2 6:8 8 9 .10 DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ DUE TO NON-RESERVE BANKS .... ~ I CASH ITEMS- - -·- - - - · · · 6 3-.4 0 DUE TO RESERVE BANKS............... . DUE FROM RESERVE BANKS-...... 1 23,094 .66 C/ D'S, DEMAND .................· - - - ········· ON OTHER BANKS-·-···· 3,279 .80 C/ D'S, TIME ..·-············ · - - - - -···· CURRENCY-----·····-·----····· 1 5,985 .00 C/ D'S, FOR MONEY BORROWED..... GOLD ... ·-·--···-···-····-··------ 9,325.00 CERTIFIED CHECKS .................................. 1.5 0 SILVER _ · - · - · · - · · - - - - - - - r 2,375 .49 CASHIER'S CHECKS ............ _ _ _ , 4 43.4 0 OTHER RESOURCES _ _ • _ _ _··· 3 5 5.4 0 t CHECKS 1 SAVINGS ACCOUNTS ............................ 1 00,000 .00 23, 036 .99 RESERVED FOR INTEREST.............. RESERVED FOR TAXES ........................ . _ _ _ _ _ _ _ _ _ _ __J__ _ _ _ _ _ _ _ _ _ _L O:_T~H~E~R~L:.!_l~A~B~IL:.!_l.:_T~IE:..':S= = =·: : :· · .:::.····~·_ _ _ _ _ _ _ _ _ __ TOT AL ..........- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 0 5, 8 8 7 .3 7 ~!- TOTAL ................................................................. . .6 -0 5 . 8"8'7 '.'.3 7 •:-1<' J OFFICERS AND DIRECTORS of -eoples S2vi~gs Bank, Littl e Rock , Pulaski Co,, Arlr OFFICERS w. E. Lenon. PreBideni ' B. Bodemann. 8 Vice PreBidenl A. J. eroer. Cashi er Ass'I Cashier DIRECTORS • E. Lenon. Be E. Bradshaw. B. Bodemann https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis . ._, Q • M •at..NK co u 111%S 10 "' •• J ,l" 11 COPY OF PUBLISHED STATEMENT of Sout hern Trust Coi:npa.ey, Litt le Rock, Pulaski Co., Arkansas . AT THE CLOSE OF BUSINESS NOY l o 1915 RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 855,846.20 CAPITAL STOCK ........................................ . 500,000.00 LOANS ON REAL ESTATE -·-··········· 3 3 2,0 0 2 .9 5 CERTIFIED SURPLUS .............................. 100,000.00 LOANS ON COTTON _ _ __ UNDIVIDED PROFITS............................. 1,764.6 6 OVERDRAFTS,_ _ _ _ _ __ BONDS AND SECURITIES. - - ······ 31,572.2 9 FURNITURE AND F I XTURES _ ..•... 2 BILLS PAYABLE _ _ _ __ NOTES REDISCOUNTED _ ___, o,o O 0.0 0 SAVINGS ACCOUNTS ................. BANKING HOUSE _ _ _ _ _ , 2 3 1,000.00 OTHER REAL ESTATE _ _ _-! 4 ,303.40 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT--··-·--·-···--··-·· 15,976 .12 INDIVIDUAL DEPOSITS ............................ I BILLS 5 6,164.44 TRUST FUNDS _ __ PUBLIC FUNDS... _ _ _ __ OF EXCHANGE- - - - 1 3 0 4,860 .14 54,302 .19 2 0.0 0 539,296.06 78,074 .77 I DUE FROM NON-RESERVE BANK$ _ _ _ _ _ _ _ I j DUE FROM RESERVE BANKS •..... I 2 91,4 9 4.4 4 C/ D ' S, DEMAND _ _ _ _ __ CHECKS ON OTHER BANKS-·-···· 15,6 8 5.0 0 C/ D'S, TIME .............................................................. CURRENCY _ _ _ _ _ __ 26,905.00 C/ D'S, FOR MONEY BORROWED ..... GOLD..•.. _ _ _ _ _ _ _ __ SILVER •..•.....• _ _ _ __ OTHER RESOURCES _ _ __ 4,868 .10 8,187 .94 CASHIER'S CHECKS ..................................... 9,430.36 10,907 .7 7 RESERVED FOR INTEREST .............. OTHER LIABILITIES ................................. . =====.:.::.:...!.-=1 ~L.S_J3, 0 4 5 .7 7 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 117,046.0 9 CERTIFIED CHECKS, _ _ __ 4 0 0.0 0 RESERVED FOR TAXES _ _ _ , L-~ T ::'... OT ~ A~L=····=·· 115,456.0 9 DUE TO RESERVE BANKS CASH lTEMS.·-·--·····-··-·-··-····-···· I I DUE TO NON-RESERVE BANKS .. 4 ')i' TOTAL ............................................................... 2, 127.5 3 ,4 0 0.0 0 1) 8 8 8. 0 4 5 .7 7 -lh OFFICERS AND DIRECTORS of Jou t hern ~~aat Co., Li ttle ~o ck, Pulaski Co., Ark . O FF ICERS J. R. Vinson, A. C. Read, C. G. Price. Vice Preeide111 J. C • Conwa~Y...-..-.~--==cashie, =Secretary. T.{j-: DAV1 S J NO. M •""K c:o1111111ss 1r-,.•• Embree. -Asst. Secretary. Ass'I Cashier DIRECTORS M. B. Sanders, c. G. Price, A. c. red Ressner, Sr., c. J . M. Myers, R. J. R. Vinson c. c. H. s. Spivey, Read Bright, Kavanaush, A. J. Wilson, J. H. Stanley, c. R. Ledbetter, w. J. c. D. Cammack, Conway, T. G. Empree, J . J. Kress, P . D. Scott, Jr . ' J . H. Estes. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Union Tr..;z.+ ~).... , - - -- . -·· .. .. -·-· -- - -··· .. Little Rock , Pula JKi Co., Ar ·I AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS............. ,, .. • I V J O191 8 4 8,8 8 4.0 9 250,000.00 2 4 7: 7 3 2.9 6 CERTIFIED SURPLUS .............................. . .. 1... ;_ ., ~ ~ 39,820.00 15 0,000.00 88,647 .9 7 1,663.02 BO('lpS AND SEC_URITIES_·-··-··- F URNITURE AND F·\I XTURES--··· ~ . "'. :- 7 6,8 9 3.5 5 5,125.00 SAVINGS ACCOUNTS ............... .= ..!_ 7 5 3, 6 2 0.7 2 66,341 .3 4 11 8,026 .72 1, 2 4 7 .0 0 OTHER REAL L ESTATE·-·---·-· . D1 VIDE;,ND~. U~PAID.......................... . 1 ITEMS IN T RA~ SIT_·--····=-··--·•· INDl".'l~!Jf+ DE~QSIT~S·r'·· ;·;-·····: ···· 5 4 5,3 3 8.5 8 BILLS OF EXCHANGE _ _ __ PUBLIC, Fll.N p. s ......F.......... r·····c················· 2 9, 6 1 8 .5 4 DUE TO NOll/·R!='.SERVE BANKS .... 14,000.00 '. DUE FROM NON - RESERVE •BAN KS _ _ _ _.••..-····--··· 1,860.67 .J 7 9 3.5 3 DUE FROM RESERVE BANKS •..•.. •• :._. ... - DUI¥ T? r~f;SERVE BANKS................ 5 0 ,0 .'.3 1 .9 6 94,639.5 5 I I c~~ ~ Ks ON OTHER BANKS ..·-····· I CURF!ENCV._ _ _ __ 16,506.3 5 95,376.00 GOLD ...... _ _ _ _ _ _ _ _ _ , 5 1,3 0 2.5 0 ·--------1 1,307.7 8 SILVER. .......•....... OTHER RESOURCES .•....••·-········-····· TOTAL ........................................................ ... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C/ D_' S, FOi\ MONEY ~ORROWED ..... , , ~ •I • ~ .. . 176 .3 2 34,970.89 CASHIER'S CHECKS ..................... . f'1 _ :: I ~, ~.·- 2 9,154.3 0 RESERVED FOR INTEREST .............. 11,045.9 3 : 2,0 4 ,2 9 5.0 2 -¾~ • _j. ~- RESERVED FOR TAXES _ _ _ , 5,714.80 OTHER LIABILITIES.................................. 8,749 .9 7 TOTAL. ................................ .................. 2, 0 4 8, 2 9 5.0 2 -l~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Unio n Tr i..-,+ -:;o. Littl e Rock , Pu1adXi Co., Ark .f NO. M. DA VIS •.tNIC C:Oklf1•s10~•11 DIRECTORS ~ .. ~ w~ lt/? ~ e. COPY OF PUBLISHED STATEMENT of ·:;, B. Wo1'-h ~.a Co,, Litt le P~ck, Pulaski Co., Ar1r. AT THE CLOSE OF BUSINESS NO/ RESOURCES o 191 ,; LOANS ANO DISCOUNTS ........... ........... 6 0 9,6 6 1 .7 6 CAPITAL STOCK............................................. . 1 00,00 0.0 0 LOANS ON REAL ESTATE ................. 1 7 2,2 3 2 .9 8 CERTIFIED SURPLUS ................................. 3 00,00 0.0 0 UNDIVIDED PROFITS................................. 5 3,6 8 1.82 BILLS PAYABLE 8 5,0 0 0.0 0 -··---·-········· 4,7 9 3.8 4 BONDS AND SECURITIES----··••··· 3 0,0 2 5.0 6 OVERDRAFTS..•• ..... NOTES REDISCOUNTED .. ············•··· ·•· FURNITURE AND FIXTURES--··•· SAVINGS ACCOUNTS ...... ····-·•·················•· .. BANKING HOUSE_·--· TRUST FUNDS ............ 1 0 8,7 0 8.0 3 OTHER REAL ESTATE ·········•·· DIVIDENDS UNPAID ......... .......... ············• 4 1 4,8 3 2,3 9 PUBLIC FUNDS................................................... 1 9,9 5 2 .3 1 DUE TO NON-RESERVE BANKS... . f>,6 3 6.0 3 1 4,9 0 4.9 5 DUE TO RESERVE BANKS................ 8 3 7.2 8 1 2 0,5 .'.3 3 .7 9 C/ D'S, DEMAND ................................................... 1,.'.3 7 7 .3 9 BILLS OF EXCHANGE DUE FROM NON-RESERVE BANKS I CASH ITEMS DUE FRO M RESERVE BANKS ...... 5 2, 0 6 4 .3 6 INDIVIDUAL DEPOSITS ............. ···········- ITEMS I N TRANSIT I .L LIABILITIES LOANS ON COTTON ...- .................•..... ...... t 1 6 .1 9 96,7 48 .2 6 CHECKS ON OTHER BANKS_ ..... 2 2,3 2 CURRENCY 42,00 0.0 0 C/ D'S, FOR MONEY BORROWED..... 6 6 0.0 0 CERTIFIED CHECKS ............................ ...... 1 3 0.0 0 ........ ,2 7 0.5 4 GOLD ··-·--·· -----··· C/ D ' S, TIME .............. --··· 5,1 3 6.1 5 CASHIER'S CHECKS OTHER RESOURCES ...- - -·-· - - ---· 3,7 9 2 .8 5 RESERVED FOR INTEREST.............. SILVER_ •. RESERVED FOR TAXES OTHER LIABILITIES ; TOTAL... .......................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 1 '3 ~ 1 I, ? Q Q -:~ ····• TOTAL... ............... ..................... ························ 1 13 6 : 1 5 2 .9 q -;~ OFFICERS AND DIRECTORS of 'l, B. Wo 1th .1 Co., Li t tle Rr~k, ~ulask Co., Ar O FF IC ERS y GORDO P ruide111 B. THnUSTOU Cashier T. G. B GG A,a'I Ca ahi ,r DI REC TO R S GOIIDOll I . PEAY B. ~HRUS'l?O.! T. G. BRAGG https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis DAVIS JNO. M.94NK co•1Ul!IIOl'H COPY OF PUBLISHED STATEMENT of Bank of La~~zine, Magaz•ne, Logan Co., Ark AT THE CLOSE OF BUSINESS . - RESOURCES I LOANS AND DISCOUNTS ........................ 3 3,7 2 2.4 7 CAPITAL STOCK ................................................ LOANS ON REAL ESTATE ................. 4,3 5 0.0 0 CERTIFIED SURPLUS ................................ LOANS ON COTTON .................- .................. UNDIVIDED PROFITS............................ ... ·•· 2 1.5 0 BONDS AND SECURITIES............- ..... 1,1 3 0.4 8 NOTES REDISCOUNTED ....................... F URNITURE AND F I XTURES- 1,5 0 0.0 0 SAVINGS ACCOUNTS ................................... BANKING HOU S E 2,5 0 0.0 0 TRUST FUNDS OTHER REAL EST ATE--·--·---·· 2,6 0 0.0 0 DIVIDENDS UNPAID OVERDRAFTS ITEMS IN T RANSIT I ... BILLS OF EXCHANGE • 1 3 8.2 8 ......... 5 6,3 7 1.6 8 PUBLIC FUNDS DUE TO NON-RESERVE BANKS... I -·••· 9 3 3.0 6 DUE TO RESERVE BANKS ........... ..... DUE FROM RESERVE BANKS ....... 2 4,6 8 4.92 C/ D'S, DEMAND ......................... ····••·················· CASH ITEMS 36 1.0 0 ···························•· INDIVIDUAL DEPOSITS ·---·· 12,5 0 0.0 0 5,00 0.0 0 BILLS PAYABLE DUE FROM NON-RESERVE BANKS I LIABILITIES I I 'I CHECKS I ON OTHER BAN KS.·-·····1 CURRENCY II -----~ GOLD.....___ 3,9 7 2.0 0 C/ D ' S, FOR MONEY BORROWED..... 1 7 5.0 0 CERTIFIED CHECKS .................................... 1,0 0 5 .5 1 SILVER .......·-···-· CASHIER' S CHECKS 9 6 4.6 2 OTHER RESOURCES 3,1 7 4 .1 9 C/ D'S, TIME ............ ..... _ 14.4 1 RESERVED FOR INTEREST.............. RESERVED FOR TAXES OTHER LIABILITIES -··· ....• • TOTAL. .. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ····~ 77 5 5 9.5 6 -:E- TOTAL .................. ...................... 77.5 5 9.5 6 ~~ OFFICERS AND DIRECTORS of ~ank of L2~ ~ine, iagaz'ne, Logan C0., Ark. " https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OF F ICERS ,•·· \ \ DIRECTORS ...... ' . COPY OF PUBLISHED STATEMENT of 3ank of tal vorn, Malvern , Hot Sprln~ Co., Ark. AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ...................... 12 8,3 3 7,3 5 CAPITAL STOCK ............................................ 50,000.00 LOANS ON REAL ESTATE ... •-·-······· 4 0,6 7 6.5 6 CERTIFIED SURPLUS ............................... . 20,000.00 UNDIVIDED PROFITS.............................. . LOANS ON COTTON ....·-··-·····-····---········ 2 6 5.6 9 OVERDRAFTS _ _ _ _ _ __ BONDS AND SECURITIES-•··---·-·-··· FURNITURE AND FIXTURES- 1,302.51 ... BANKING HOUSE _ _ _ _ _ _ , BILLS PAYABLE- - - - - - - 1 NOTES REDISCOUNTED ...................... . SAVINGS ACCOUNTS ....................... ·········- 5,000.00 TRUST FUNDS- - - - - - · · · · OTHER REAL ESTATE _ _ _--! DIVIDENDS UNPAID ...............·-················· ITEMS IN TRANSIT _ _ _ _ _ ! INDIVIDUAL DEPOSITS- - - · · ·· 9 5,9 7 0,2 0 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS ....................................... ........ 1.96 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... ,I I 4 7.4 0 DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS.·-··- 53,226.5 2 C/ D'S, DEMAND----····••··············· CHECKS ON OTHER BANKS.·-······ 2,277.5 0 C/ D'S, TIME .................·---·············· IICURRENCY._ 8,318.00 C/ D'S, FOR MONEY BORROWED ..... I GOLD 2,035.00 CERTIFIED CHECKS ............ _ __ 1,376.66 CASHIER'S CHECl<S...................... . II 3,417.44 CASH ITEMS-·-·· SI L VER ..·-·•·-····-···-····--···--··-·····--·-··-···· OTHER RESOURCES._ _ _ _ _ _ , 7 3, 4 7 3 .5 9 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ _ _ , -------.,..------'------ - - -- - --, OTHER ' - -: L j_ !___.::::2~4:...:?::::_,J!.:8:::'....!6::'......:3::..•:::1:......,::9:...._,r_ _:___ _.! T~O~T~A..= L ::::·····:::::·-·:::::-·===:.:::-·:=····:::::····;;;;;·····~··:::.._·- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis LIABILITIES _._ T~OT .!..:A~L=:··::::: ····=····································•······················ 2 4 2, 8 6 3 .1 9 ~;' OFFICERS AND DIRECTORS of i3ank of ,a 7 ·orn, Malverr. , Hot 8pr in· Co., Ark, I ' OFFICERS Ass't Cashier DIRECTORS £/f~ ~ pf;;Jt: https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ,t COPY OF PUBLISHED STATEMENT of Ja!'lk of : .c'1..'.la, Manila, ~ississippi Go., NOV 1 0 191 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 23,380 .11 CAPITAL STOCK .............................................. 15,000.00 LOANS ON REAL ESTATE_......... -.... 8,599 .00 CERTIFIED SURPLUS ................................. 2,366.62 UNDIVIDED PROFITS................................. 8 0 5.2 6 BILLS PAYABLE- - - - -...... 4,000.00 LOANS ON COTTON ._ _ _ _ ...... OVERDRAFTS. _ _ _ _ _ __ 1,6 2 6,3 3 BONDS AND SECURITIES-·---...... NOTES REDISCOUNTED ....................... . FURNITURE AND FIXTURES- .... 1,107.00 SAVINGS ACCOUNTS ................................. . BANKING HOUSE _ _ _ _ _ _ , 3, 250.00 :)"RUST FUNDS _ _ _ _ ..................... .. OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID ................................ .. ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS, _ ____, 3 1,2 3 2.8 7 BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS ...................... _ _ _ .. _ 6 8 .4 6 II DUE FROM NON-RESERVE I .... DUE TO NON-RESERVE BANKS .. . CASH ITEMS __ .. _. _ _ _ _ _ _ .... .. DUE TO RESERVE BANKS ............ .. BANKS DUE FROM RESERVE BANKS ...... _ I 9,931.4 2 C/ D'S, DEMAND, _ _ _ ........................... CHECKS ON OTHER BANKS_ ..... 3 8 7.9 2 CURRENCY _ _ _ _ _ _ _ _ _ 5,833 .00 C/ D'S, FOR MONEY BORROWED ..... GOLD·- - - - - - - - - - - 1 10.0 0 CERTIFIED CHECKS .......................... ........ 1,057.94 CASHIER'S CHECKS ..................................... I • OTHER RESOURCES _ _ _ _ _ , C/ D'S, TIME. _ _ _ _ _ __ 1 , 2 2 6 .3 6 4 8 3.1 5 RESERVED FOR INTEREST .............. RESERVED FOR TAXES ......................... OTHER LIABILITIES = . . .=. . .=. . = . . ====....::..::...= . '-,,L__........!. T.:::!. O..!... T !:!. A :::: L .= ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -.!..__ = . . .:.:.,=....=. . .=.....=....=. . .=. . .=. .= . . .=. . ·:. :.:::::c.. '------'5.!....!:5~,...,.1~8c...::::2:.,_,7L.....!:.2~"l-~ _.:::: 5 _;5~,•L:1~8,:...::2:.,:•.,!..7...:_2~"l..:.. (- _:__........!. T.:::!.O..!... T!:!.A::::L.= ..... _1 OFFICERS AND DIRECTORS of ~&nk of tar>:la, Manjla, • is s i s sipp1 co., Ark . OFFICERS E . L. Caraway Presidenl J.M . Hutton V ice Presidenl H.W.Cowan Cashier Ass'I Cashier DIRECTORS Sam Le-..ine, Jake Rica , E.L . Caraway , J. M Hutton H. 'I . Cowan , https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of 8ank of ken~field, Mansfield, Sebastai~ Co., AT THE CLOSE OF BUSINESS RESOURCES I 1 1 9, 5 2 5.5 2 CAPITAL STOCK .................................... ·········· 2 5,00 0 .0 0 LOANS ON REAL EST A TE- ....•..••.. CERTIFIED SURPLUS ................................ 2 5,0 0 0.0 0 LOANS ON COTTON --····-··-·····-·········· UNDIVIDED PROFITS ............................ ... 12,8 2 2 .6 1 OVERDRAFTS __ ·--· BILLS PAY ABLE-······-········--············· .. BONDS AND SECURITIES---···· NOTES REDISCOUNTED .......................... LOANS AND DISCOUNTS........................ FURNITURE AND FIXTURES·-··· 2,3 9 9.4 0 SAVINGS ACCOUNTS .................................... BANKING HOUSE 4,8 0 0.0 0 TRUST FUNDS ..........•......................................... OTHER REAL ESTATE 1,6 2 '.3 .2 5 DIVIDENDS UNPAID .................................... ITEMS IN TRANSIT BILLS I OF EXCHANGE-·--·-··-···· DUE FROM NON - RESERVE BANKS INDIVIDUAL DEPOSITS.••-················· 6 8,8 7 1 .2 9 PUBLIC FUNDS 11,1 3 6 .1 9 ······················· 1,5 3 9 .8 3 DUE TO NON-RESERVE BANKS... .. 1,9 3 4.0 8 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS_. __ 3 7,0 3 4 .6 9 CASH ITEMS I I LIABILITIES CHECKS ON OTHER BAN KS- GOLD SILVER C/ D'S, TIME ..... CURRENCY ···-·--·····--··--·-··· OTHER RESOURCES C/ D'S, DEMAND ··············-··· 4,8 3 2.0 0 C/ D'S, FOR MONEY BORROWED ..... 9 47.5 0 CERTIFIED CHECKS .................................... 5 7 1.0 3 CASHIER'S CHECKS ..................................... 1 2 .2 4 RESERVED FOR INTEREST.............. 3 2,0 2 9 .9 0 35 9.5 5 RESERVED FOR TAXES ......................... OTHER LIABILITIES -·······• I I I TOTAL .......••....•....•......................•............... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 7 512 1 9 .5 4 ~r TOTAL ................................................................ 1 7 5,2 1 9.5 4 ➔~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of :-ank of f..ensfield, Mansf e:a, Sebastait Co., Ark OFFICERS PreBidenl Vice Presiclenl Cashier Ass'I Cashier DIRECTORS · . L. Seaman Fort Smith . Ar . 'J . C. Graves .T. 11 • Grf1.ve P • 4 • llo dbe s u.ckard t t COPY OF PUBLISHED STATEMENT of a~uk of ~ar ~anna , 1~'lrianna, J.Je e Co. , Ar k. ~ov 1 o 1 AT THE CLOSE OF BUSINESS RESOURCES 90,38 3 .66 CAPITAL STOCK ............ -·-···-··•···········•····•· LOANS ON REAL ESTATE ............... _ 2 6,0 7 9.0 3 CERTIFIED SURPLUS. .............. ···········-·· 2,0 3 1.26 LOANS ON COTTON ·-----···········-··-···-··· 3 0,00 0.0 0 UNDIVIDED PROFITS ................................. 3,7 8 1.9 5 5 6 4 .6 5 BILLS PAYABLE ................................................ 20,00 0.0 0 NOTES RE DISCOUNTED.......·-··············· 5,00 0.0 0 -··--····· ·· BONDS AND SEC UR IT I ES---·····-····· F URNITURE A N D FIXT U RES--··· 2,8 8 8.24 SAVINGS ACCOUNTS BANKING HOUS E._ .... 9,1 0 5.4 0 TRUST FUNDS 6 4 4.5 0 OTHER REAL ESTATE ITEMS IN TRANSIT ------ BILLS OF EXCHANGE DUE FROM NON-RESER~ BANKS ·······- DIVIDENDS UNPAID INDIVIDUAL DEPOSITS ··- 72,8 0 2 .3 1 PUBLIC FUNDS.................... ···- 6,0 3 4 .2 0 .... 8 2 .9 1 DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS ...... _ 30,0 5 0 .9 2 CHECKS ON OTHER BAN KS-·-······ 7 4 0 .8 9 GOLD.·-·-··--··-···-·-·· ··-·-··•··• SI L VE R-·-····-···-····----··· OTHER RESOURCES 2 0,9 8 1.4 7 ············· DUE TO NON - RESERVE BANKS.... CURRENCY I 6 9,00 0.0 0 6,1 7 0 .8 1 CASH ITEMS-·--·-·- I LIABILI T IES I LOANS AND DISCOUNTS ........................ OVERDR A F T S ~ C/ D'S, DEMAND ............ .... .......................... C/ D ' S; TIME ...................... ····•· ·········-··················· 4,0 0 7.0 0 C/ D ' S, FOR MONEY BORROWED ..!.. 3 0 5.0 0 CERTIFIED CHECKS .................................... 3,1 3 7.5 9 CASHIER'S CHECKS ..................................... 4,3 0 8.0 0 2 2 1 .4 1 RESERVED FOR INTEREST.............. ....... RESERVED FOR TAXES OTHER LIABILITIES.................................. TOT AL .........·-······································· ··········- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 0 4,1 6 0.6 0 it TOTAL .................................................................. .,~ 2 0 4,1 Q 0.6 0 " OFFICERS AND DIRECTORS of ::3ank of .la!":.anna, l' ri anna , ee Co., Ark. OFFICERS Max. D. Miller Presidenl Dr. o. L. Williamson Vice Preeidenl Huh Mixon Ca•hier ✓ A88'1 Ca•hier DIRECTORS Max.D. Miller D. L. Griffis Dr. O. L. Williamscm_________ _ F • . N. Bu~k=ex________ J, R. Felton P. 2. Turner J. T. Robertson H. Jacob Shaul https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis s. Mixon COPY OF PUBLISHED STATEMENT of bank of f'.u2·1 .. d duke , Man: d uke, r c:ec "' Co • , Ark INOV I O1915 AT THE CLOSE OF BUSINESS RESOURCES 2 4,9 5 2.0 7 CAPITAL STOCK.............................................. . 15,000.00 LOANS ON REAL ESTATE ...•---·-· 14,9 5 7,4 9 CERTIFIED SURPLUS ................................. 1,577.94 LOANS ON COTTON ...................................... UNDIVIDED PROFITS ................................. OVERDRAFTS _ _ ·- -·--···-·---········ BILLS PAYABLE _ _ _ _ __ , BONDS AND SEC URITIES..... _·-·-··· 1 2 6.5 7 FURNITURE AND F I XTURES---·•· 1,100.00 SAVINGS ACCOUNTS ................................... BANKING HOUSE.·--·- - - - -1 3,150 .00 TRUST FUNDS ........................ ......................... . 6 0 0.0 0 DIVIDENDS UNPAID- - - · ········ INDIVIDUAL DEPOSITS ..................... BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS, _ _ _ _ __ DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ... 21,4 5 3 .7 2 5,375.8 9 DUE TO RESERVE BANKS................ l DUE FROM RESERVE BANKS ....._ 9,173 .5 3 1 ~ C/ D ' S, DEMAND .... •···················---··· 4 .1 0 C/ D ' S, TIME---··································· 1,928.00 C/ D'S, FOR MONEY BORROWED ..... 2 0.0 0 CERTIFIED CHECKS- - - ······ 1 1,636.5 9 CASHIER' S CHECKS ................................... OTHER RESOURCES_. _ _ _ _ , 9. 1 RESERVED FOR INTEREST.............. CHECKS ON OTHER BANKS .. ·-···· CURRENCY _ _ _ _ _ _ __ I GOLD- - - - - - - - - - ··-····· · SILVER _ _ _ _ _ _ _ _ _ _ 9,0 0 0.0 0 NOTES REDISCOUNTED ....................... ITEMS IN TRANSIT _ _ _ _ _ 1 [ CASH ITEMS_. _ _ _ _ _ _ _ _ _ I LIABILITIES LOANS AND DISCOUNTS........................ OTHER REAL ESTATE _ _ _.... i I 4,8 9 0.0 0 5 0 0.21 I RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOT AL...,.... -.................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 7. 7 9 7 .7 6 i~ TOTAL ............................................................. 5 7. 7 9 7 .7 6 i( https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ~ank of .. J.!'1 ••~.duke, Marn.-:.duke, Jr,:;euc Co., A..~k OFFICERS ~ Ass't Cashier DIRECTORS ----, COPY OF PUBLISHED STATEMENT of Bank of L,e.::vell, Marve:1, Phillips Co,, OV 1 0 191r AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS...................... 61,858 .62 CAPITAL STOCK.............................................. LOANS ON REAL ESTATE -·-····•-·-· 10,539.4 5 CERTIFIED SURPLUS, _ _ __ 5,0 0 0.0 0 LOANS ON COTTON _ _ _ _ ······ 10,329.19 UNDIVIDED PROFITS............................. 4,9 3 j,.5 3 OVERDRAFTS--·-···----·-··-·-······ 2 5 0.7 8 BILLS PAYABLE- - - - -······ 8,000.00 BONDS AND SECURITIES·-··-··•··· 6,744.40 NOTES REDISCOUNTED .......................• FURNITURE AND F I XTURES--··· 2,734.00 SAVINGS ACCOUNTS _ _ _ _ ._ BANKING HOUSE _ _ _ _ _ _ , 2,350.00 TRUST FUNDS- - - - - · · · · · · · · .. OTHER REAL ESTATE _ _ _-!. 2,110.00 DIVIDENDS UNPAID ................................. ITEMS IN TRANSIT- - · - · · - - · · INDIVIDUAL DEPOSITS _ _ _ ···· BILLS OF EXCHANGE _ _ _ _ , 3,640.10 PUBLIC FUNDS ................. ........................ DUE FROM NON-RESERVE BANKS 8,606 .15 DUE TO NON-RESERVE BANKS .... CASH ITEML_ _ _ _ _ _ _ _ _ , 1 20,000.00 10.0 0 88, 584.95 5,2 0 4.:l. 6 DUE TO RESERVE BANKS .............. . I DUE FROM RESERVE BANKS-···- I CHECKS 20,836.87 C/ D'S, DEMAND ......... _ _ _ __ C/ D'S, TIME ........................................................... . ON OTHER BANKS·--···- 3,549.00 C/ D'S, FOR MONEY BORROWED ..... 3 6 3.0 0 CERTIFIED CHECKS .................................... SILVER ___ ···-····-···-·--·-··----··· 2,091.86 CASHIER'S CHECKS .................................. OTHER RESOURCES _ _ _ _ .. 14.22 RESERVED FOR INTEREST......•...... CURRENCY- - - - - - - · ·GOLD _ _ _ _ _ _ _ _ __ I II RESERVED FOR TAXES ......................... OTHER LIABILITIES TOTAL ................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 3 6 0 1 7 .6 4 {~ TOT AL.·-···············•··············-······························ 313.5 5 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of 3 nk of r.:arall, ~arve' 1., Phill.i s Co., DIRECTORS COPY OF PUBLISHED STATEMENT of 3ank of i'.'.a:r·1ard , Maynard, Ranctol~h Co., Ark . INOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES I 2 ,8 9 0.9 5 LOANS ANO DISCOUNT"' LOANS ON COTTON ...... CAPITAL STOCK •.............. 2 4 5.0 0 LOANS ON REAL EST ATE .•.............. UNDIVIDED PROFITS.................. ............. 5 2.ff. 4 BILLS PAYABLE BONDS AND SECURITIES---·-··· ·-·-- I 9 0 0.0 0 SAVINGS ACCOUNTS ................................... 1,5 3 4.26 TRUST FUNDS ................................................ ... OTHER REAL ESTATE DIVIDENDS UNPAID ITEMS IN TRANSIT ___ INDIVIDUAL DEPOSITS I I ·-····-·····-•······ ,00 0.0 0 1,2 0 0.0 0 1 6 2.'1. 4 2, 0 0 0.0 0 NOTES RED I SCO UN TE 0 .................- ... FURNITURE AND FIXTURES--··· BILLS OF EXCHANGE ···•·• CERTIFIED SURPLUS ............................... .. OVERDRAFTS_._ BANKING HOUSE LIABILITIES PUBLIC FUNDS .........•....... 2 0,8 7 ... DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS. ... CASH ITEMS DUE TO RESERVE BANKS........... ..... s .n 4 9 3 .7 9 i I DUE FROM RESERVE BANKS ...... 5,9 5 6.4 4 CHECKS ON OTHER BAN KS.. ·-····· 2 0 8.4 6 C/ D'S, TIME CURRENCY 6 2 1.0 0 C/ D'S, FOR MONEY BORROWED ..... I GOLD 1 2 5.0 0 CERTIFIED CHECKS ................................... i SILVER 5 1 6 .8 1 CASHIER'S CHECKS I I II C/ D'S, DEMAND..•---··· ........ .. ·•·········- 7 1 8.8 9 RESERVED FOR INTEREST .............. OTHER RE SOU RC ES·-··-··-···--·--·-••·----- RESERVEb FOR TAXES .....•...•............. OTHER LIABILITIES............................... .. TOTAL ......................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis I 3 120 5 0.3 6 ~;- TOTAL .............................................................. 3 1.0 5 0 ,3 6 .. 'tl"' https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Ja;,1k of 1..a~• .ard , Maynar?, Randolph Co., Ark . OFFICERS Presidenl f OZll.~/ ;<~ Vice Presidenl ZI._~ ZJJfJ!~ Cashier ~ Ass't Cashier DIRECTORS f f I I r I COPY OF PUBLISHED STATEMENT of 3ank of -cl0ourne, MeltJurne, Izaru Co., . AT THE CLOSE OF BUSINESS NOV 1 O19 15 - I RESOURCES LOANS AND D I SCOUNTS-...................... 2 5,7 1 1.0 4 LOANS ON REAL ESTATE-·-·········· 5,20 0 .0 0 CERTIFIED SURPLUS LOANS ON COTTON .....·-·········-·--··-········ 4,9 9 2 .6 6 UNDIVIDED PROFITS .. ·············•···-········ OVERDRAFTS ........ 2 4 1.2 1 - LIABI LITJ ES CAPITAL STOCK......................... ..................... BILLS PAYABLE ...... 1 0, 00 0 .0 0 5,00 0.0 0 8 .3 8 ............ BONDS AND SECURITIES--·--······ 1,2 2 8 .6 4 NOTES RED I SCO U NT ED...·--················· FURNITURE AND FI XT U RES- ... 1, 5 0 0.0 0 SAVINGS ACCOUNTS ................................... BANKING HOUSE.·--·····-·-·----··---·-- :t, 0 0 0 .0 0 TRUST FUNDS ........................... ..... ····-·········· OTHER REAL ESTA TE ____ . _ DIVIDENDS UNPAID ITE M S IN TRANSIT INDIVIDUAL DEPOSITS 3 5,0 8 1.3 0 BILLS OF EXCHANGE----·- - - -···· PUBLIC FUNDS ............................................. ·--- 1 9,5 2 1 .1 3 DUE FROM NON-RESERVE BANKS--·-· DUE TO NON-RESERVE BANKS .... CASH I TE M S ,. _______ ......... DUE TO RESERVE BANKS................ I DUE FROM RESERVE BANKS·-···- 25,6 9 3 .8 3 C/ D ' S, DEMAND ................................... .............. C/ D'S, TIME ....................................... ···••···•·········· CHECKS ON OTHER BAN KS _ ..... ···-···· 2,1 8 0.0 0 C/ D'S, FOR MONEY BORROWED ..... .. 1,2 1 0.0 0 CERTIFIED CHECKS.................................... SILVER-----··---· -··· 4 0 0 .2 1 CASHIER ' S CHECKS OTHER RESOURCES •. .. .... 2 5 3 .2 2 RESERVED FOR INTEREST .............. c ·uRRENCY I GOLD ··- RESERVED FOR TAX ES ........·-·············· OTHER LIABILITIES TOTAL. ............-............................ .................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 9. 6 1 0 .2 1 ":ii'" ..... -··· TOTAL .................................... ·········•·····•············ 6 2, 6 1 0 .9 1 -:,,." . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of 7.3ank of ... bou rne, /el >urne, 1 zard Co., rk. OFFICERS ,::JtV~ µ ~. fp. ~C/k~ Vice Pruidenl $4?&~ Au'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Sank o f l:nc~al Springs, ~lin er al Springs, thJ1:.ard Co., Arl~. AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I ..... 1 0,0 0 0.0 0 3,8 2 2.6 5 CERTIFIED SURPLUS _________________________________ 1,0 0 0 .0 0 ...... 6, 1 2 5.0 0 UNDIVIDED PROFIT$__________________ ___·······•·· 5 7 6.3 1 - 7 7 5 ,3 2 LOANS AND DISCOUNTS----------------------- 2 7. 2 2 9.4 6 LOANS ON REAL ESTATE ______________ LOANS ON COTTON OVERDRAFTS ________ CAPITAL STOCK _________________ BILLS PAY AB LE ___________ BONDS AND SECURITIES _________ FURNITURE AND FIXTURES _____ -- NOTES REDISCOUNTED ________________________ 1,30 0.0 0 SAVINGS ACCOUNTS ______ .......................... ~ BANKING HOUSE ___________________ TRUST FUNDS _______________________ ______ ·······•··· .......... OTHER REAL ESTATE DIVIDENDS UNPAID ______ ITEMS IN TRANSIT INDIVIDUAL DEPOSITS BILLS OF EXCHANGE- PUBLIC FUND$ ___________________________________________________ DUE FROM NON-RESERVE BANKS ____ DUE TO NON-RESERVE BANKS ____ CASH ITEM$ _ ____ --- __,,-?/ 3 4,09 1.6 9 / DUE TO RESERVE BANKS ________________ ··•· I DEMAND ___________________________________ ______ ________ DUE FROM RESERVE BANKS ______ 7~7 2 1 .8 6 C/ D'S, CHECKS ON OTHER BANKS_____ 1,09 4.5 2 C/ D'S, CURRENCY 1,2 5 7.0 0 C/ D'S, FOR -MONEY BORROWED _____ I I GOLD_ OTHER RESOURCES •. 4 1 3.5 8 CERTIFIED CHECKS .... 3 2 8 .1 0 SILVER TIME __ __________________________________________ __________________ CASHIER' S CHECKS ······• 3,5 7 0.8 3 RESERVED FOR INTEREST ______________ -···· RESERVED FOR TAXES OTHER LIABILITIES ________________________ __________ J TOT AL. ____________________________________ _____ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ........... ···-~ 4 9.6 5 3.9 1 ., ~,;' TOTAL,___________.................................................... 1.5 0 " 4 9.6 5 3 .9 1 ~, OFFICERS AND DIRECTORS of Bank of ~· n~t'al Springs , Mine ral Springs, ,1-.J'·;arc'l Co. , Ar·,. OFFICERS Cashier Ass't Cashier DIRECTORS ~6;t:LU~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of dank of ~o ~rose, Mon t rose, AS L1 l 0 •Cu ., Ark . INov' AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I LOANS AND DISCOUNTS 9,0 2 2.9 6 CAPITAL STOCK ....................... ···•············· LOANS ON REAL ESTATE ................. 5,8 3 3.8 1 CERTIFIED SURPLUS .. ............................ LOANS ON COTTON .·-·-·······-······-············ UNDIVIDED PROFITS. .............................. OVERDRAFTS ____ . BILLS PAYABLE ... ····-·· ... ······ BONDS AND SECURITIES·--·-··-······· 8 5 5.0 0 NOTES REDISCOUNTED. ··················•· ·• FU R NITURE A N D FIXTURES--··· 2, 1 8 3.5 4 SAVINGS ACCOUNTS .................................. . BANKING HOUSE 2,5 0 0.0 0 TRUST FUNDS OTHER REAL ESTATE 1,8 5 6.0 3 DIVIDENDS UNPAID ITEMS IN TRANSIT r BILLS PUBLIC FUNDS I DUE FROM NON·RESERVE BANKS 81.'.3 8 4.3 4 C/ D'S , DEMAND ................. ·····························•·· 1 1,5 3 6.4 3 3 3.2 0 ·-·-·-····- 5 5 0.0 0 C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECKS ......... ················-········ ····•·· ... 7 1 5,3 4 C/ D'S, TIME ............................. ............................... CHECKS ON OTHER BANKS--······ SILVER 9,0 0 0.0 0 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ GO L D.·-·---·-· 1,5 2 0 .7 4 DUE TO NON - RESERVE BANKS.... .... CASH ITE M S CURRENCY 10,0 0 0.0 0 ···········•········ INDIVIDUAL DEPOSITS OF EXCHANGE O 1915 1,6 .'.3 2.8 3 1 2.8 0 CASHIER'S CHECKS ............ ····••···••·•·········· RESERVED FOR INTEREST.............. OTHER RESOURCES RESERVED FOR TAXES OTHER LI AB IL IT I ES_................................ TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ··············- 3 2.8 1 8.51 ➔: TOT AL ................................................................. '3 2,8 :l 8.5 1 J~ " OFFICERS AND DIRECTORS of Bank of r:ont,:o se, \fon'·ros e, .As ·11e :, Co ., ,'\-,.k OFFICERS • T.Cone Preaide111 U.E.Barker Vice Prtaidenl S.G.Lockhart Cashier A••'I Cashier DIRECTORS W.T.Cone U.&.Cone U.E.Barker Jas. R. Rile ·' https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Jno. R. Rile COPY OF PUBLISHED STATEMENT of Bank of r.lo" o, Mo ·~o, Lee Co., Ar k. AT THE CLOSE OF BUSINESS NOV RESOURCES I I r11915 LIABILITIES LOANS AND DISCOUNTS....·-················· 4,648 .13 CAPITAL STOCK................................................ LOANS ON REAL ESTATE ................. 7?2 3 8.0 7 CERTIFIED SURPLUS ............................... . LOANS ON COTTON ...........................·-···•···· UNDIVIDED PROFITS........................... ... . OVERDRAFTS·--····-····-····-·-·-··---·-·-···-··· BILLS PAYABLE ................. -....................... .... BONDS AND SECURITIES---····-·-··· NOTES REDISCOUNTED .......................... FURNITURE AND F I XTURES--··· 2, 772 .3 1 SAVINGS ACCOUNTS ................................. BANKING HOUSE_··-··•·-•··----1 3, 500 .94 TRUST FUNDS ....................... ........................ ... OTHER REAL ESTATE _ _ _..., 1,152.25 DIVIDENDS UNPAID- - - - · · · ··· 10,000.00 1,500.00 ITEMS IN TRANSIT _ _ _ _ _ I INDIVIDUAL DEPOSITS _ _ _ ..• . 7,3 7 9 .1 'S BILLS OF EXCHANGE- - - -·--·· PUBLIC FUNDS ................................·-·•············· 3,604 .19 DUE FROM NON-RESERVE BANKS·- - - -···-----···--·-·••·· DUE TO NON-RESERVE BANKS .... CASH ITEMS _ _ _ _ _ _ _ , DUE TO RESERVE BANKS ........... ..... DUE FROM RESERVE BANKS ... _. 3,598.04 CHECKS ON OTHER BANKS·-·-···· CURREN CY---·--··-··-·· .... GOLD SILVER OTHER RESOURCES ·-······· C/ D'S, DEMAND- - - - - - · · · C/ D'S, TIME.- - - - · · ················ 10 9.0 0 C/ D'S, FOR MONEY BORROWED ..... 10.0 0 CERTIFIED CHECKS .. •·············-·················· 1,032 .9 3 CASHIER'S CHECKS---············ 6 0 ,3 8 RESERVED FOR INTEREST.............. 9 0 5.8 4 7 3 2 .8 4 RESERVED FOR TAXES ......................... OTHER LIABILITIES 5_-_:l-___....:..T.=.O..:.. TA :..:.L = ..=....= . . . =....=....=.....=.....=....=.... =.....=....= .....=.....=... _ _~2~a'+,.1~2........,2=-' .. -".0,.__5L...C..,''----' ) '---~ T-=O..:.. TA :..:.L = ··=····=·· ···=· ····= ····=·····=·····=····=•····=·····=····=·····= ·····c:..::····:.:.::.··-'-----2- 4 .L.,. ,1 _ 2_ 2_ ._o __ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .c; •.. .. , ( -- . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bank of .. or o , Mo" o, Lee Co. , Ark. Ass't Cashier DIR EC TORS COPY OF PUBLISHED STATEMENT of 3ank of r'.o r r :i.lton, Mor r~ lton, Co nwa3 Co., AT THE CLOSE OF BUSINESS 5 LIABILITIES RESOURCES LOANS AND DISCOUNTS ...................... 201,380.48 CAPITAL STOCK.............................................. 75,000.00 LOANS ON REAL ESTATE-·······-··- 6 3,064.40 CERTIFIED SURPLUS- - - -·· 75,000.00 LOANS ON COTTON ...·----·····-·····-··-········ 6 0,5 1 7.51 UNDIVIDED PROFITS.............................. 17, 7 5 4 .8 1 OVERDRAFTS _ _ _ _ _ _ _ ! 14,147 .70 BIL LS PAY ABLE ...·-····-····-············--·········.. ·· 40,000 .00 BONDS AND SECURITIES·-·---······· 1 8,6 71.5 5 NOTES REDISCOUNTED ......................... FURNITURE AND F I XTURES--··· 5,000.00 SAVINGS ACCOUNTS _ _ __ BANKING HOUSE _ _ _ _ __ 1 2,500.00 TRUST FUNDS ..................... .............................. . OTHER REAL ESTATE- - - ~ DIVIDENDS UNPAID- - - -··· ITEMS IN TRANSIT- - - · - - - ··· INDIVIDUAL DEPOSITS............................ BILLS OF EXCHANGE _ _ _ _ 1 PUBLIC FUNDS ... - - - - - ··- DUE FROM NON - RESERVE BANKS DUE TO NON-RESERVE BANKS.... I CASH ITEMS _ _ _ _ _ __ 2 Q 1, 1 3 2 .4 6 DUE TO RESERVE BANKS................ I 3 5,987 .84 C/ D'S, DEMAND .....·----············•·• 1,230 .71 9,175.44 C/ D ' S, TIME ...·-························----r 17,943 .70 13,542.00 C/ D'S, FOR MONEY BORROWED..... GOLD· - - - - - - - - - - · · 5 9 5.0 0 CERTIFIED CHECKS .................................... SILVER _ · · - - - - - - - - - - - ··· 3,4 0 9.0 8 CASHIER'S CHECKS.... -............................... OTHER RESOURCES--------····-······· 7 0 .68 RESERVED FOR INTEREST .............. DUE FROM RESERVE BANKS ...... .. I CHECKS ON OTHER BANKS- ..... CURRENCY _ _ _ _ _ _ __ RESERVED FOR TAXES _ __ OTHER LIABILITIES TOTAL... ........................................................ .... .. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 2 8, 0 6 1 .6 8 ~f TOTAL .................. ............................................. . 4 2 8, 0 6 1 .6 8 ~~ OFFICERS AND DIRECTORS of 3ank of rorrilton , Morr~lton, Conway Co., Ark. OFFICERS ____d{;1;i . ,----, ' <t::71 DIRECTORS ·_,__/·_ ~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis / -_,( COPY OF PUBLISHED STATEMENT of _ank of - 11 tainbu1~g , Moun t a 'n burg, Cr·aw i orcl Co. , ~.r AT THE CLOSE OF BUSINESS NOV 101915 RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 12,386.00 CAPITAL STOCK..............................................• 10,000.00 LOANS ON REAL ESTATE·-············· 3,375.00 CERTIFIED SURPLUS ............................... . 5 0 6 .8 4 UNDIVIDED PROFITS................................. LOANS ON COTTON ..·---·-········ 6 8.8 3 BILLS PAYABLE- - - - - ··· BONDS AND SECURITIES--·-····· 3 8 3.9 5 NOTES REDISCOUNTED- - - ·· FURNITURE AND F I XTURES _·-····· 1,047 .9 5 SAVINGS ACCOUNTS- - - - ····- BANKING HOUSE _ _ _ _ _-! 1,806.23 TRUST FUNDS- - - · · · · ························•• OTHER REAL ESTATE _ _ __, 4 3 1.3 0 DIVIDENDS UNPAID- - - · · · · ····· OVERDRAFTS _ _ _ _ _ __ ITEMS IN TRANSIT- - - - - ! IND IV I DU AL DEPOSITS...·-····-·--·-·····- BILLS OF EXCHANGE _ _ _ _ _. I PUBLIC FUNDS _ _ _ _ _~ I DUE FROM NON-RESERVE BANKS 5,478.4 9 CASH ITEMS _ _ _ _ _ _ _ , I I 1 7. 7 9 0.2 7 DUE FROM RESERVE BANKS ......• DUE TO NON-RESERVE BANKS .... DUE TO RESERVE BANKS............•.. 5,764.01 C/ D'S, DEMAND ... •···•··········----··· 6 3 .9 9 C/ D ' S, Tl ME----····-······················-·· 6 3 6.0 0 C/ D'S, FOR MONEY BORROWED ..... I I I CHECKS ON OTHER BANKS_ ..... CURRENCY. CERTIFIED CHECKS .................................. GOLD _ _ _ - - - - · · ----········· SILVER _ _ _ _ _ _ _ _ __ 3,349.00 2 2 1.6 9 OTHER RESOURCES _ _ __ CASHIER'S CHECKS----······· 16.7 '.3 RESERVED FOR INTEREST .............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTA 1 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis '.3 1,6 6 2.8 4 -;r TOTAL...........................• 3 ::1,6 6 2 B 4 -;;- OFFICERS AND DIRECTORS of 3unk of Uou~tainburg, Mounta~nburg, Cr~1iord Co., Ar OFFICERS L.i.Stokes Presidenl Vice Presidenl L.L.Stokea Cashier Ass' I Cashier DIRECTORS L.S.Stokes Jao Ber c.c.smith ra11k lfript --=-- J.W.lfalker n.F.sims P.F.Sicmtons_ _ _ __ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis • COPY OF PUBLISHED STATEMENT of Eank of ~" u~ t ain View Mount ~i, Vie 1, Stone Co., Ar. • V 1 O1915 AT THE CLOSE OF BUSINESS I l ~ LIABILITIES RESOURCES LOANS AND DISCOUNTS ........................ 46,284.58 LOANS ON REAL ESTATE ................. 2,599.00 1.'.31.9 .'.3 CERTIFIED SURPLUS ................................. BU~l,.S PAYABLE- - - - - · · ········ BONDS AND SEC.URITIES ..·-····-·•..... 1,292.43 FURNITURE AND FIXTURES_ .... 2,593 .72 SAVINGS ACCOUNTS _ _ _ _ , BANKIN<;a HOUS ~.- - - - - -r 2,000 .00 TRUST FUNDS-----·················· ... OTHER REAL ESTATE _ _ __, 1,500.00 DIVIDE.ND~ U~PAID---··········· ' 20,000.00 UNDIVIDED PROFITS................................ LOANS ON COTTON .·-····-······-·-·-······· ... OVERDRAFTS .. _. _ _ _ _ __ CAPITAL STOCK ............ ............................... < J ITEMS IN TRANSIT-_ _, _.-_ _ , 3 ,825.11 Bl LLS OF EXCHANGE_._......__............ 15,007.7 9 DUE FROM NON .. RESERVE BANKS _ _ _ _ _ _ _- - ! DUE, TO N 0~-RESERVE BANKS .... 0 DUE TO :f!ESERVE BANKS................ CASH ITEMS- -, - ~ ,-1,i DUE FROM RESERVE BANKS ...... .. CHECKS ON OTHER BANKS- ..... CURRENCY _ _ _ _ _ _ _ _ _ _ GOLD- ---------1 17,752.66 C/ D ' S, DEM1AN.D;-•·······,·,··········· ······.;·················· 2 8 8 .14 4,895.00 1,403.00 410.0 0 SILVER ........· - · · - - -......................... -·-··· 4 3 9 .7 5 0TH ER RESOURCES ..·-·-··-·....... - ....... 3 2 .6 9 RESERVED FOR INTEREST .............. ~ ~. !... ' . . RESERVED FOR TAXES ......................... OTH_ER LIABILITIES.................................. TOTAL .... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 6 7 2 7 .9 0 -:~ TOTAL... ........................... OFFICERS AND DIRECTORS of Bank of L,urtain Vie ,,. Mou~ta• · View, Stan~ Co., •-- -- l~ OFFICERS DIRECTORS I https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of :_iank of ,1 v~·ry, ~'.t' berry, Ci·a n'or d Co . , Ar'· . _ OV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS..... -................. 8 1,5 9 3 .9 3 LOANS ON REAL ESTATE .................. LOANS ON COTTON·-··········-·-·-··•-···•--····-- ............ 2 5,0 0 0.0 0 9,8 7 5 .7 7 CERTIFIED SURPLUS ................. .............. 1 7, 5 0 0.0 0 0.0 0 UNDIVIDED PROFITS ................................. 1,9 46.16 3 3,8 5 CAPITAL STOCK-.... 6 0 6 .9 5 OVERDRAFTS. LIABILITIES I BILLS PAYABLE ····-·················· NOTES REDISCOUNTED .......................... BONDS AND SEC UR IT I ES-·---··-•· 7 7.6 2 FURNITURE AND FIXTURES·--··· 1,0 0 0.0 0 SAVINGS ACCOUNTS ........................ BANKING HOUSE_ 2,20 0.0 0 TRUST FUNDS 3,5 0 0.0 0 DIVIDENDS UNPAID .. -- OTHER REAL ESTATE ITEMS IN TRANSIT ·-·· BILLS OF EXCHANGE- - - - -·-·--· I 10,00 0.0 0 00 00 00 . . H .................. ·- INDIVIDUAL DEPOSITS............................ 6 8,6 5 3 .8 9 .. 37 .9 2 PUBLIC FUNDS DUE FROM NON · RESERVE DUE TO NON-RESERVE BANKS .... BANKS ,, CASH ITEMS OUE TO RESERVE BANKS ................ -···· DUE FROM RESERVE BANKS- ..... 8,1 0 2 ,2 4 C/ D'S, DEMAND CHECKS ON OTHER BANKS_.,,. 2,2 4 0.5 3 C/ D'S, TIME CURR EN CY----··-··•-·-·--··--··-···· 4,5 4 5.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD ..·--···-··-······--·--· 1,1 1 5.0 0 CERTIFIED CHECKS ·········•·· 5 4 8 .7 1 CASHIER' S CHECKS ............. ·······• SILVER .................. 2 5,0 3 8.4 8 9 2 4 .0 6 RESERVED FOR INTEREST.............. OTHER RESOURCES __._ RESERVED FOR TAXES ..........-............. OTHER LIABILITIES.................................. 1 4 9,1 7 8.1 3 TOT AL ......... ·-·-·-•···-········--··············--·----··-·· ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 4 9.1 7 8.1 3 " ":( TOTAL. ................. ............................................... ~( . OFFICERS AND DIRECTORS of J ank of ~u 1 ' erry, Mu 7. berry, Cr auf ord Co., Ar'•. OFFICERS H•• Beneux Presidenl T.B.::1emy Vice President ,1.C. lexander Cashier J.Fred Alexander Ass't Cashier DIRECTORS H • • Beneux _ _ _D~vid T.Bryan M. C,Alexander Jas.M.Farmer https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ---~J.D .AJexanaer COPY OF PUBLISHED STATEMENT of Citizens B"' •.tt, Mammoth 'Jpring, Ful u on Co. , '\r1r AT THE CLOSE OF BUSINESS - IOV 1 C -LIABILITIES I RESOURCES 25,0 0 0.0 0 LOANS ANO DISCOUNTS...-................... 6 3,9 4 4.0 1 CAPITAL STOCK LOANS ON REAL EST A TE .... -..... -···· 1 7,8 2 7 .3 4 CERTIFIED SURPLUS ............................... 4 0 0.0 0 UNDIVIDED PROFITS................................ 39 1.0 9 1 5,0 0 0.0 0 LOANS ON COTTON ..·-············----··- ...... I OVERDRAFTS 38 0.0 0 BILLS PAY ABLE·-·······-·-···············-············ .. BONDS AND SECURITIES-·•-···-··-- 5 5 7 .9 8 NOTES REDISCOUNTED ....-····-··-··-··- FURNITURE ANE> F I XTURES_·-··· 3,0 2 4.0 0 SAVINGS ACCOUNTS ............ ··············•···· BANKING HOUSE 4,0 0 0.0 0 TRUST FUNDS ..................... ............................... ···-·-·- OTHER REAL ESTATE --·-····- 1 8,4 7 8 .4 0 DIVIDENDS UNPAID ......... ··• 6 3,5 1 5. 6 DUE TO NON-RESERVE BANKS... 1 8,4 1 0.8 5 ITEMS IN TRANSIT INDIVIDUAL DEPOSITS BILLS OF EXCHANGE PUBLIC FUNDS II DUE FROM NON-RESERVE I I » BANKS .. I DUE FROM RESERVE BANKS_.... 1 5,0 9 7 .1 5 C/ D'S, FOR MONEY BORROWED..... 3,7 7 0.0 0 CERTIFIED CHECKS ............ ---···-··- 1,5 0 6 .1 5 CASHIER'S CHECKS -····· 6 3.0 2 I OTHER RESOURCES 9,5 46 .9 3 ..................................... 4,1 8 5.0 0 ···---··-···- I GOLD ----··-·SILVE R _···-·-····- C/ D'S, DEMAND·--·········· ··················--·-·······•·• C/ D'S, TIME CHECKS ON OTHER BAN KS._....... CURRENCY A DUE TO RESERVE BANKS............... CASH ITEMS •·····-······ 5 6 8.4 6 RESERVED FOR INTEREST.............. RESERVED FOR TAXES ......................... -··· •··•• .26 TOTAL ............................. .................................. 1 32, 8 3 3.0 5 OTHER LIABILITIES l TOTAL ............................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 3 228 3 3 .0 5 -;~ ➔f- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Citi zens BA·,1h., Mamm oth Spr ing, Fuluon Co., Arlr. OFFICERS DIRECTORS • COPY OF PUBLISHED STATEMENT of Citizens 138. k, Mon ett~, Cra1ghea~ Co. , 0 A.•L • l\lOV 1 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS...................... 66,235.52 CAPITAL STOCK.. ..... ............................................................ 25,000.00 L OANS ON REAL ESTATE ........- ...... .. . 1'.3,511.0 0 CERTIFIED SURPLUS _ _ _ _ ... 2,500.00 L OANS ON COTTON .........................- ................ ......... UNDIVIDED PROFITS............... ... . . . . .................... . OVERDRAFTS _ _ _ _ _ _ ........ .. 1 2 9 .3 0 BILLS PAYABLE _ _ _ _ _ _ 1 BONDS AND SECURITIES- ....................... 7 0 9 ,3 6 NOTES REDISCOUNTEO _ __ FURNITURE ANO FIXTURES- . . . . 2,750.00 SAVINGS ACCOUNTS· - - - · · · ·· BANKING HOUSE _ _ _ _ _-! 5,750.00 TRUST FUNDS .............................................. · - - -1 OTHER REAL ESTATE _ _ __, DIVIDENDS UNPAID ............................... ......... .............. . ITEMS IN TRANSIT _ _ _ _ ._ . . INDIVIDUAL DEPOSITS, _ __ 51,758.92 PUBLIC FUNDS ....... . ....... . ...................................................... . 38,426.29 BILLS OF EXCHANGE _ _ _ _ , 1,926.0 5 DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _--! DUE TO NON-RESERVE BANKS ..... . I I : CASH ITEMS _ _ _ _ _ _ _ .... . I 5,500.00 DUE FROM RESERVE BANKS .......... .. DUE TO RESERVE BANKS .......................... . 39,406.90 C/ D'S, DEMAND _ _ _ _ _ _ , C/ D'S, TIME ....................... _ _ _ _ __ CHECKS ON OTHER BANKS .....- ..... CURRENCY _ _ _ _ _ _ _ . _ ........ .. I GOLD _ _ _ _ _ _ _ _ _ _ , 5,194.00 15,042.15 C/ D'S, FOR MONEY BORROWED ... . . . 7 0.0 0 CERTIFIED CHECKS- - - - -1 SILVER _ _ _ _ _ _ _ _ _ .... 3 5 5.8 7 CASHIER'S CHECKS . . . ............. ................................... OTHER RESOURCES _ _ _ _ ..... 2,189.36 RESERVED FOR INTEREST........................ . RESERVED FOR TAXES . . . . . . ..................... ........ . OTHER LIABILITIES TOTAL... ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 3 8, 2 2 7 .3 6 ➔r TOTAL ...... .................. .. ................. ......................................................... :1'38227'36* OFFICERS AND DIRECTORS of Cit ize ns BF>.v-.~., Mon ett , Cra ighe ad Co. , Ark. OFFICERS N. Presidenl Vice PreBidenl .H.Jolmso. Cashier C.L.Anierson Aas't Cashier DIRECTORS A.R.Lunsfori J,D.Ualla•.~ - - - - - J.E. BlQllkinslaip J. E.Goes L. W.Fillleil. J. ,, .Harrel https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis __A_._ Carnici}l.ljlel TT .L.Anierson COPY OF PUBLISHED STATEMENT of v.:. t.:.ze ns '"·11.i{, Mur~ll~on, Co Wu) Go., Ar'-':. NOV 1 0 19)5 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS ANO DISCOUNTS...................... 106,525.71 CAPITAL STOCK .............................................. 50,000.00 LOANS ON REAL ESTATE .... - ......._ 30,000.00 CERTIFIED SURPLUS, _ _ __ 25,000.00 LOANS ON COTTON .................................. 12,000.00 UNDIVIDED PROFITS............................... OVERDRAFTS _ _ _ _ _ _ __ 7. 1 5 3.6 7 BILLS PAYABLE _ _ _ _ __ , BONDS AND SECURITIES.-.......- ...... 1,162.41 NOTES REDISCOUNTED ...................... . FURNITURE AND FIXTURES.......... 2,5 7 5 .1 8 SAVINGS ACCOUNTS _ _ __ BANKING HOUSE _ _ _ _ _-! 3 5,0 0 0.0 0 TRUST FUNDS _ _ _ ............................ .. 3,853.93 OTHER REAL ESTATE _ _ _-! I 2,288.19 DIVIDENDS UNPAID _ _ _ ............ ITEMS IN TRANSIT _ _ _ ..___ ..... INDIVIDUAL DEPOSITS _ __ BILLS OF EXCHANGE _ _ _....,.. PUBLIC FUNDS ................................................ .. DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS _ _ _ _ _ _ _ .... DUE TO RESERVE BANKS........... ... DUE FROM RESERVE BANKS........ 31,371.44 C/ D'S, DEMAND- - - -..................... CHECKS ON OTHER BANKS .......... .. 9 9 0.8 5 C/ D'S, TIME _ _ _ ...............- ................... CURRENCY...._ _ _ _ _ _ _ _ , 2,946.00 C/ D'S, FOR MONEY BORROWED ..... GOLD _ _ _ _ _ _ _ _ _ _ , 40.0 0 CERTIFIED CHECKS .................................. 4 0 0 .1 7 CASHIER'S CHECKS ................................... SIL VER _ ............. - ..· - - - - - · - _..___ ... 83,534.24 3,196.93 RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ __ , RESERVED FOR TAXES ....................... .. OTHER LIABILITIES t'" '------'T -"0 -'TA c..c..L = ..= ....·=· ...= . ...=....·=·...= ....•=.....=....= .....=.... ·=···=....= .. ·c.c..---'-----= 1'-'9::-.. :9a..a•-0 ' --=1~9-"',3;:;. . . .6;:::....--¾_~- - - - - ' -T-"-0-'TA c..c..L _ .._....._...._.....__ ...._...._....._....._....._...._....._....._...._....._.-1~ 9_9~>,-0~1~9~,-3_6_➔_;_ _. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Ci tiz ens pq,,~,, Morr·1 +,on, Conway Co., .Ark O FF ICERS •'- ~ ),~ 0 (;)'v j ' O· ~~ ✓ DIRE C T O RS ""' ~ - - - -- <):j. ~, ....+ vO-.,•" COPY OF PUBLISHED STATEMENT of Columbia County Bank, Magnolia , Col umbia Co . , Arkansas . iwov 1 o 191 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS..........•............ 113,664.24 LOANS ON REAL ESTATE .•.•.....•.... 4 7,624.8 4 CERTIFIED SURPLUS,_ __ LOANS ON COTTON .•·-·························· 15,257.03 UNDIVIDED PROFITS........................... OVERDRAFTS _ _ _ _ _ _ _ ··· 47 .16 BONDS AND SECURITIES_···-····· 2 3 3.0 0 NOTES REDISCOUNTED ......................•. FURNITURE AND FIXTURES ••...... 3,881.00 SAVI NGS ACCOUNTS ............................... . BANKING HOUSE- - · - · · - - - - ! 1 O, 7 5 OTHER REAL ESTATE _ _ __. 7 0 6.11 6 .6 2 ITEMS IN TRANSIT--··-··-···-······-·-··· BILLS OF EXCHANGE _ _ _ _ I DUE FROM NON·RESERVE BANKS BILLS PAYABLE - - 1 Q 4, 2 3 9 ,6 0 4 9,785.24 DUE TO NON.RESERVE BANKS .. C/ D'S, DEMAND.........................•........................ 7 6 8 .7 0 C/ D'S, TIME ............................................................ I CURRENCY. _ _ _ _ - - - · · · 15,017 .o 0 C/ D'S, FOR MONEY BORROWED ..... I GOLO ..· - · · - · - · - - - - - - - · · · · · · · · 2,677 .50 CERTIFIED CHECKS ................•................ I SILVER •••..· - · · - - - · - ·· - - - 1 1, 747 .8 4 CASHIER ' S CHECKS---······· ... 5 9 ,7 3 RESERVED FOR INTEREST ............ 0TH ER RESOURCES •...••·-···-·-··--······· 1 5 0.0 0 DIVIDENDS UNPAID---········ .3 5, 3 7 8.5 6 CHECKS ON OTHER BANKS .•....... 3 5,0 0 0.0 0 DUE TO RESERVE BANKS ............... . CASH ITEMS __····-·------······ DUE FROM RESERVE BANKS ...... . 7 9 9 .8 0 TRUST FUNDS.................·---·····•····· PUBLIC FUNDS ...... _ _ _ _ _ 38,529.28 5,000 .00 - ····················· INDIVIDUAL DEPOSITS.......................... ! 50,000.00 CAPITAL STOCK.............................................. 3 9, 3 2 4 .7 3 2 , 0 4 9 .2 4 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES ........................ ....... . L _~ To ~ T~ A~L====··=·····=····=····=···=··=···Ll_ 2 s s . 3 4 8 h 1 * https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL. ....................•....•.............................. 2 8 6, 3 4 8 .6 1 ~~ OFFICERS AND DIRECTORS of C lumbia C1:r.i1ty Ba nk , Magn _ia , Colum·oia Co., l\rk OFFICERS Presideni J . 0, Hu t c he on Vice Prosidenl Cashier ,,...o ode . e n Proe A88't Cashier DIRECTORS C, " . Fomby J . 0 , Putc t e e on J . C. ,c i eill J . ! . . i tt ---------- J . E. · i l on C. R. Hutc he s on C. '11. ·a.rt el T. J . Ele ws ter 0 • O. Couch A. " . Crum ler Gu https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Kohn , H.P. Carri1gton J . E. E a COPY OF PUBLISHED STATEMENT of Collllleroial Loan and Trust Co ., Montioell o,Drew co. , Arkansas . AT THE CLOSE OF BUSINESS - lwOV I O 1915 RESOURCES LOANS AND DISCOUNTS....................... 9 6, '.3 1 1.5 3 CAPITAL STOCK ................................................ 6 0,0 0 0.0 0 LOANS ON REAL ESTATE ·-·············· 5 1,4 4 4.2 8 CERTIFIED SU RP LU S ....................·-····•···- 6,0 0 0.0 0 LOANS ON COTTON 1 1,6 1 0.1 8 UNDIVIDED PROFITS ................. ·······•·•···· ,9 5 2.9 5 7 4 8.'.3 8 BILLS PAY AB LE ...·-···················· ·················· OVERDRAFTS BONDS AND SECURITIES.·-···-······· 1 8, 9 8 4.4 2 FURNITURE AND FIXTURES_·-···· 3,1 5 0.0 0 BANKING Housi=- ITEMS IN TRANSIT. -·-··· DIVIDENDS UNPAID... ················•·············· 9 2 1 .1 5 INDIVIDUAL DEPOSITS..... ................ 1 4 2.0 0 DUE TO NON-RESERVE BANKS... 2.0 0 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS_. __ 3 5,1 8 1.0 9 C/ D ' S, DEMAND ................................................... ON OTHER BANKS_ ...... 1 0 .1 0 C/ D'S, TIME ......•...................................................... 5,7 0 5.0 0 C/ D'S, FOR MONEY BORROWED ... 3 CASH ITEMS_. iI CHECKS CURRENCY. I ····················•········ 1 5.0 0 7 6,6 8 7 .7 1 PUBLIC FUNDS ...............................•.................. DUE FROM NON - RESERVE BANKS_ t 7 8 5 .7 7 SAVINGS ACCOUNTS ... ···············• ············· 3 1 3.86 BILLS OF EXCHANGE I NOTES REDISCOUNTED TRUST FUNDS OTHER REAL ESTATE i LIABILITIES I ··----~ GOLD 7 0 0.0 0 CERTIFIED CHECKS SILVER....·----··--···-·-·--····-···-·····---··-··· 8 4 2.24 CASHIER'S CHECKS. ··········••· ············ ..... 3 3,5 1 7.6 2 1 3 7.1 8 RESERVED FOR INTEREST.............. OTHER RESOURCES-·•·------·--······ RESERVED FOR TAXES ......................... OTHER LIABILITIES.............................•.. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ·········-·-1 22 ' 0 9 6.2 3 ">~ TOTAL ................••.•......................................... 4 0,0 0 0.0 0 P? t-:: 09 6.2 3 ~~ OFFICERS AND DIRECTORS of Commerci~ ~Jan & Trust Co., iont·cel lo, Drew Co., Ar.- OFFICERS Presideni G: r : Lamb":rt & ''- J; s ;Ha.rri s , Vice Preaidenl ~ Go . A: Knox , Cashier \)v '.+., tt>'o \~ < 'I~~ V c,O ~-..."T-· ~~O· A88't Cashier DIRECTORS lK :s: Collina _R~o_l_J_i.__ ~e~l~l.....a,_,,,___ _ _ __ Geo: A: Knox, ____ _ 1:n; •!c uiston. R.L,Ra.rdy, ,I; R; Dishongh, Jr:, C https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ CUrry, COPY OF PUBLISHED STATEMENT of J.•~vt end~ n :0 mty 1 l\.• Dank le Trust Co., ion, C1·it"er,den Co., AT THE CLOSE OF BUSINESS 5 -- LIABILITIES RESOURCES LOANS AND DISCOUNTS ........................ 3 0,4 3 9.4 6 CAPITAL STOCK ................................................ LOANS ON REAL ESTATE ................. 3 8,6 2 3 .9 1 CERTIFIED SURPLUS 4 1 1.8 6 LOANS ON COTTON ..·--·········-····--······ UNDIVIDED PROFITS.................... ··········· OVERDRAFTS BILLS PAYABLE BONDS AND SECURITIES--·-·--······ 1 2,30 0.2 3 2,3 2 0.0 0 SAVINGS ACCOUNTS ...... BANKING HOUSE-·--·····-----···--·--·-- 3,30 0.0 0 TRUST FUNDS ......................................... ....... 10,9 0 1.9 3 OTHER REAL ESTATE_ 3,3 8 7 .9 4 NOTES REDISCOUNTED ..................... . ... F URNITURE AND F I XTURES- 30,00 0.0 0 DIVIDENDS UNPAID .... • INDIVIDUAL DEPOSITS......................... 6 1,7 2 0.0 5 BILLS OF EXCHANGE PUBLIC FUNDS................................................... 2 8,5 6 5.1 7 ' DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... i CASH lTE M S ITEMS IN TRANS IT I ···-·-·· 1 2 6.5 5 DUE FROM RESERVE BANKS ...... DUE TO RESERVE BANKS........... ..... 2 8,9 0 2.0 2 C/ D'S, DEMAND C/ D ' S, TIME ................ ............................................ CHECKS ON OTHER BAN KS·--····· CURRENCY ···- 5,9 9 6.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD ..... 5 5.0 0 CERTIFIED CHECKS .................. ................ SILVER -··· 2,3 5 1 .7 2 OTHER RESOURCES ...... I 10,8 5 0 .9 5 3 8 0.8 5 CASHIER'S CHECKS . RESERVED FOR INTEREST .............. RESERVED FOR TAXES OTHER LIABILITIES ,. I TOTAL.. .......·-··············································· ····- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 3 5, 3 :1 6 .8 2 V ~~ ·········· TOTAL .................................................................. 1 3 5,3 :I 6 ,82 ➔} OFFICERS AND DIRECTORS of Cri t tendt.11 ::ounty Bank ~ Trust Co., Ma ion, Crittenden Co., • p. '( . OFFICERS Louis uarton President "'· . Reir:--inger, V i ce Presidenl . B.. Rhodes Cashier lone Ass'I Cashi er DIRECTORS I . Ne"wman Iouis • • .• Bo. i.na lli n.A c. ,., • "'l . Rei s inger ','!. ;r . a.rd in ,., eo . '".' . _ a.tt erson Ea rii ri J nott https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis "QC rton .::cr ee COPY OF PUBLISHED STATEMENT of 0. <! ':.' Cou,. •. c an t:: , Lc~tic8llo, D~u ~ Co . , l\r}r AT THE CLOSE OF BUSINESS 1 RESOURCES LOANS AND DISCOUNTS.............-. ...... J LOANS ON REAL ESTATE •..•. ·-······· LIABILITIES 58,020.07 CAPITAL STOCK- - -···················••··· 50,000.00 93,017 .18 CERTIFIED SURPLUS .....................•....... 1 UNDIVIDED PROFITS................................ LOANS ON COTTON .·-···-····-····-············ OVERDRAFT S_ _ _ _ _ __ 4 2 4 .7 3 BILLS PAYABL~ - 8,253 .88 -----1 BONDS AND SECURITIES---·-·-··-·· 2 5,6 8 4 .7 7 FURNITURE AND F I XTURES.·-···· 3, 150.00 SAVINGS ACCOUNTS _ _ _ _ ._ BANKING HOUSE_ _ _ _ _ _ r 4,500.00 TRUST FUNDS ...•......·- - - -············ 1,576.5 0 OTHER REAL ESTATE- - - - 1 8 0 0 .7 2 DIVIDENDS UNPAID- - - - · ··· 2 5.0 0 ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _- - ! 107,6 51.24 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS.· - - - - - - · · · 38, 677.4 7 I DUE FROM NO N -RESERVE BANKS NOTES REDISCOUNTED ....•................... 2,365 .95 DUE TO NON-RESERVE BANKS .... 2 5 0.0 0 DUE TO RESERVE BANKS........... .... I 6 3,020 .78 C/ D'S, DEMAND .................· - - - - , I 3 6 5.6 3 C/ D ' S, TIME- - - - - - · · · · · · · · · · · ·· · CURRENCY 9,161.00 C/ D'S, FOR MONEY BORROWED...• I 1,400.00 CERTIFIED CHECKS .................................... 9 11.9 7 CASHIER'S CHECKS- - - - · · · · · CASH ITEMS- - · - - - - - - - · · ·· I DUE FROM RESERVE BANKS ........ \ CHECKS ON OTHER BANKS--··· I s,o·o o.o o GOLD..·-··--·-··--····---·-·-·---··-·····•·· SILVER _ _ _ _ _ _ _ _ _ , 39,342.5 0 2,546.21 RESERVED FOR INTEREST .............. OTHER RESOURCES _._ _ __ RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES ... [__T ~ o:!....'T...!: A=' ~l:. _ J.:_2~6'- '36.,.!: 0~7.L .!:.2:'. !.~8~0~➔.r: . ===·=·····=······=·•··•=· ····= · .. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ___:__ _!T..!,! o:..!.; T A~L:::::···=·····=•·••=·=· ···= -····= ·····=·····=······=· ····=····=·••··=·····=·····:!._____.!:::2:'.._6~3~ , .0~7L...::2:..:. :::: •:,,:8~0~~"'- ' OFFICERS AND DIRECTORS of Jrew Cou~ u nk, Mo .tice lo, D~e. Co., E ArJr OFFICERS I,. w.n1 l Jard Preside111 Jack !Jurry Vice Presidenl H.I-. cruce Ass' I Cashier DIRECTORS ....... . Jaclt Curr . M.Wi lson .H.McQuist.on 1 .H .Do zier .T. W. 1-r1 robro https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C. W. Port..e..r~------- COPY OF PUBLISHED STATEMENT of iaimers _an: & Trust Co . ~ lagno"ia, Colurnbib c~ .. AT THE CLOSE OF BUSINESS NOV l O 191 RESOURCES LOANS AND DISCOUNTS............. ······•·· 1 3 1,3 5 9 .8 0 LOANS ON REAL ESTATE .............. _ 2 8,5 5 6.5 1 CERTIFIED SURPLUS ··-···· 5,5 0 0.0 0 LOANS ON CO T TON ..·-··-···········--·-·······• 8 3,2 2 5 .4 1 UNDIVIDED PROFITS............................ ... 3,2 48.5 2 BONDS A N D SECURITIES--····--······· 8 7 5.7 7 F URNITUR E A N D FI XTURES-·-··· 3,5 0 0.0 0 BILLS PAYABLE OTHER REAL ESTA TE.·--·--·-· ······ TRUST FUNDS 5,00 0.0 0 DIVIDENDS UNPAID ................................... INDIVIDUAL DEPOSITS..·-················· BILLS OF EXCHANGE PUBLIC FUNDS................................................ DUE FROM NO N-R ESER V E BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS--·--·-··---·---·---···· 1 8 2.0 0 FROM RESERVE B A NKS....... 42,7 3 7.3 6 CHECKS ON OT H ER BAN KS--······ 9 17.9 1 I DUE CURR EN CY·-·-·--·-·--· I GOLD..___ .. SILVE R -·······-···- 7 0,0 0 0.0 0 SAVINGS ACCOUNTS ............................ ----~ ITE M S IN T RANSI T I 5 0,00 0.0 0 NOTES RE DISCOUNTED....................... 1 3,0 0 0.0 0 BANKING HOUS E·-···--· I CAP I TAL STOCK ..................................... ···-····· 6 6.5 0 OVERDR A F T S I LIABILITIES I DUE TO RESERVE BANKS........... C/ D ' S, DEMAND...-............. C/ D ' S, TIME ............ ··- 1 5 ,80 6.5 1 1 ,9 7 5.0 0 ··•· ......... .............. 7: 6 9 1.0 0 C/ D'S, FOR MONEY BORROWED..... 3,0 1 0.0 0 CERTIFIED CHECKS .......... _ 2,29 6.5 7 CASH I ER'S CHECKS......... .......................... 19, 7 5 2 .3 7 1 '.3 6.4 3 RESERVED FOR INTEREST-····-······ OTHER RESOURCES RESERVED FOR TAXES ......................... OTHER LIABILITIES TOT AL ·······-- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ······••-•·••- . 3 22,4 1 8.83 ," ..... ..... TOTAL ................................... ............................ ~-- 3 22,4 1 8.83 " OFFICERS AND DIRECTORS of 7armers ~ n : & Trust Co ., •agno'i , olumbia Co., OFFICERS T. s.Gray-aonP,uiden, nktng E>•p't W. H. Warnock Vice Pr ..idenl ---Jae G.Brow=n~ ca,11i., DAVI S. J N 0 · M ;.,.10, c:olOI IIS I0"14H J.B.Smith Au'I Cashier DIRECTORS T.S.Grayson - - - -- - - .H. Warnock ______ J.B. ileon Jae .G. Brown A.A.Reid J . W.Barrow R.W.Beene J.F,Runya.n https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis John T. Souter Dr.C.D.Stevens _____ s.D.Chaffi • C.Vl.McKa J.M.Witt. • COPY OF PUBLISHED STATEMENT of Farrn s rs i ~1 -'-chantc Bank, ~2 1 v ern, ho~ ufr ing Co. , Arl·. AT THE CLOSE OF BUSINESS NO 1 0 1915 RESOURCES I LIABILITIES --------------,------------...:..._-----------·-------·---·--LOANS AND DISCOUNTS....................... 48,521.64 CAPITAL STOCK................................................ 3 O, 0 0 0.0 0 LOANS ON REAL ESTATE •.......•...... 9,911 .3 4 CERTIFIED SURPLUS- - - -·· 18 2.4 6 UNDIVIDED PROFIT$,_ _ __ 4 6 0 .7 3 LOANS ON COTTON _ _ _ _ _ , 37,15 0.00 OVERDRAFTS·- - - - - - - ·· 2 4 2,4 3 BONDS AND SECURITIES-····-········ 1,340.4. 9 NOTES REDISCOUNTED• _ _ _ , 3,000.00 F URNITURE AND F I XTURES_·-··· 3,539.20 SAVINGS ACCOUNT$, _ _ __ 3,579 .6 7 BANKING HOUSE.· - · · · - - - - , 9,0 87 .85 TRUST FUNDS ....................... ............................. BILLS PAYABLE- - - - - ··· OTHER REAL ESTATE _ _ _~ DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS............................ 39,974.12 PUBLIC FUNDS-- - - - - -··· 3 2,092 .38 I BILLS OF EXCtfANGE _ _ _ _ , DUE FROM NO N ·RESERVE BANKS 177 .3 3 DUE TO NON-RESERVE BANKS .... CASH ITE M S•- - - - - - - · · · 2 5 7.4 2 DUE TO RESERVE BANKS....•...•..... DUE FROM RESERVE BANKS ......• 14,423.82 C/ D'S, DEMAND----···················· CHECKS ON OTHER BANK S-.. ..... . 1,028.68 C/ D'S, TIME .•.......... ----·············· CURRENCY _ _ _ _ _ _ _ _ , 2,356.00 C/ D'S, FOR MONEY BORROWED..... GOLD·- - - - - - - - - · · · · ··· 5 2 0.0 0 CERTIFIED CHECKS •.................................. SILVER·-··· · - - - - - - - - 1 2 11.0 7 CASHIER'S CHECKS ..................................... OTHER RESOURCE$ _ _ _ _ _ , 1,000.00 RESERVED FOR INTEREST....•......• I 1 0,000.00 1 0,477 .91 I I I RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES.................................. 67,_.c::..2~7~-¾:_ ___:T:..::O:....:.T..:...:A=L ·::::.:·····::::.:·····::.::···:·=·····=·····=·····=·····=·····=·····::::.:·····::::.:····=·····=·····"'-··_....,1.,_,,,2<-9.c.;JJ-.7'-------"'6<.. . . .:. .7. .•2=e: 7:...._'l_~_, ,\ '----"T -=OT .:...:A ...;.;L=···=· ····=· ····=·····=····=·····=·· ···=•·•=·····=·····=····=·····c.::·· ··= ····..,___"""--' 1 ,'?_.9<.J-! .,_,e:=: .7__ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Jarmers & u~cchants Bank, Ma'vern, Hot 3pring Co., Ar· O FF ICERS T.N . t ohi s on President ,J. W. Lee Par k ,humberlain 80 Vi ce P residenl Geo . B. ,OX Casl1i er •• ,.J(" Co DIRECTORS T. N. A.tch i son H.B . l:eans D. G .ii.llen --------- Park Chambe r lain R. Y. Phillips .ri; . 0 . Kilpatr ick John Lindahl Jube :1. I.:. Jmi t h https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Is fftt111s Ass' I Ca shier ,,· . u O Euloy • 10,. • ., COPY OF PUBLISHED STATEMENT of le rrrie rs .uP ., ~, [•,a r . . ··uke, G e"n" Co., in•lc AT THE CLOSE OF BUSINESS NOV 1 0 1915 RESOURCES LIABILITIES LOANS AND DISCOUNTS ....................... 3 3,783.59 CAPITAL STOCK ................................................ 15,0 0 0.0 0 LOANS ON REAL ESTAT E ..·-····•······ 1,730.00 CERTIFIED SURPLUS ............................... . 2,500.00 LOANS ON COTTON ..................................... . UNDIVIDED PROFITS ............................... OVERDRAFTS __ ··--- · - - - - - - - - -·· 18 3.8 8 BILLS PAYABLE·-•··•······----, BONDS AND SECURITIES--·-·-······· 1 41.0 4 NOTES REDISCOUNTED ....................... FURNITURE A N D FI XT U RES--··· 1,18.'.3 .65 SAVINGS ACCOUNTS---·········· BANKING H.PUSE _ _ _ _ _ _ , 3,459.80 TRUST FUNDS- - - ······························ OTHER REAL ESTATE _ _ ___, I T EMS I N TRANSI T - - - - - • I DIVIDENDS UNPAID- - - · ······ 7 8 2 .16 INDIVIDUAL DEPOSITS......................... BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS................ ................................ DUE FROM NON-RESER V E BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS_. _ _ _ _ _ _ __ 319.0 0 DUE F ROM RESERVE BANKS...... . 8,003.04 CHECKS ON OTHER BANKS._..... 5 0 1.2 4 C/ D'S, DEMAND.................................................. C/ D'S, TIME .............................._ _ __ C/ D'S, FOR MONEY BORROWED ..... GO L D - - - - · - - - · - - - - - - - · · · · 5 0.0 0 CERTIFIED CHECKS .....:_ _ _ ···· SILVER _·······-···-··-------·· 3 2 8 .13 CASHIER'S CHECKS ..................................... 1,4 2 2 9,6 5 3.4 3 DUE TO RESERVE BANKS........... ... g_Q 0 CURRENCY·--···------···•···· 1.41 4,523.84 214.8 5 RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ _ _ _ , RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES q~i. ,__..~5'.3.L.:.~~i'_:____!.T~O_,_T~A L=:.··:::::·-·:::::·····:::···,··:::..:····:::.::····=·····====···::::!···-- .\ L___!. T~O_,_ TA ~ !L=.::====····=····=· ····=····=····=·····=--··::.:..··!___ _5;.,L.,:1~F).!...I https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ . .5, L.:!,1:.l..l~8~9L..!3::'. . !. :,5!.. !:::.3'. . . .:.:~~:.____1 t , J] OFFICERS AND DIRECTORS of JNO. M. DAV I S ......------------------------. """'" coau,,•, ir,"'•• Farme rs Bant, r.1a r1na ~ Llke, GreenE; Co. , Ark. OFFICERS Eli Meisor Pre8iden1 J. :a . B,ueka Vice P resident J. w. Lipscomb Cashier Ass'I Cashier DIRECTORS Eli Meiser Jn o. • W.e i s~e~r~ - - - J. R. Burks J. W. Lipsco !:lb https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Para ould " Ark. " Marmad.uke. Ark.- - - -- " " COPY OF PUBLISHED STATEMENT of Fa :nr. a rs J: r·cham:;s Bank, Marxed Tree, Poin s~ tt Co . , 1\r r INOV IO 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........... ........... 33,099.20 LOANS ON REAL ESTATE_.._······-· 1,2 5 0.0 0 LOANS ON COTTON .·--··········-··-·---···· OVERDRAFTS _ _ _ _ _ _ _ ! I 6 6.27 13, 2 0 0.0 0 CAPITAL STOCK.................... ........................ 1,2 0 0.0 0 CERTIFIED SURPLUS _ _ __ UNDIVIDED PROFITS .............................. . '.3 0.0 6 BILLS PAYABLE _ _ _ _ _ _ ! 10,000.00 BONDS AND SECURITIES--···-······· .2,0 0 3.9 9 NOTES REDISCOUNTED ........................ FURNITURE AND FIXTURES_ ... 3,630.0 0 SAVINGS ACCOUNTS ................................... 9 2 9 .6 7 BANKING HOUSE _ _ _ ··---- TRUST FUNDS---·························· .. OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID .................................. ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS····-····-··············- 29,642.87 BILLS OF EXCHANGE- - - - 1 PUBLIC FUNDS.................................................. . 5 8 9.15 DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ _ , DUE TO NON-RESERVE BANKS ..... CASH ITEMS- · - · · - · - - - - - - DUE TO RESERVE BANKS............... DUE FROM RESERVE BANKS ...... _ 14,0 9 4.14 C/ D'S, DEMAND- - - - - · · · · · · · · CHECKS ON OTHER BANKS..--····· 318.6 6 C/ D'S, TIME ............................................................ CURRENCY·- - - - - - - - · · · · 2,136.00 C/ D'S, FOR MONEY BORROWED ..... GOLD. · - - - - - - - - - - - - · · 8 3 5.0 0 SILVER· - - · · · · - · - - - - - - - - • OTHER RESOURCES _ _ _ _ _ , 1,456 .70 3,112.50 CERTIFIED CHECKS _ _ _ _ , 18 5 .7 1 CASHIER'S CHECKS .......... ......................... RESERVED FOR INTEREST .............. RESERVED FOR TAXES ......................... OTHER LIABILITIES } i___.:. T ~O..!.; T A~L = ====··=···•·=·· ·:::::·····c:..::.·•· ·:;:;.···.!.___ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _:::5:._::::9:.i..;8~8:::.....::9:.. .:·:.:::9~6_•_:~_ __:___ .,.,_5'. . .'81..o!p,S..J. . . LB.L. .,9~.~9'.....'6u__~:.!_'~--' _!. T~O..!.; TA ~L =··::::: ····:::::·····:·:·:c···=·····=····:::::·····=· ····:::::···:::::····= ·····:::::····::::: ·····=·····:::::·_ _ OFFICERS AND DIRECTORS of 7arrr.ers " lV "r·chant s Bank, Marked Tree, Poinset t Co . , rJr O FF IC E RS P. F.Ta.ylor PreBideni S.P . Thom;rson Vice President rean Cashi• r A88't Cashier DIR EC TORS . F . Taylor ~ . P . Yirby 1? Th '"' . v . ::.r.,.en https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ._T. P .C'l a1.. nc h COPY OF PUBLISHED STATEMENT of cchai1ts Ban k, Me•1 a, Polk co:, Ark. AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS ANO DISCOUNTS........................ 1 5 1, 9 8 7 .1 4 LOANS ON REAL ESTATE ................. 26,326.8 o· CAPITAL STOCK .................· - - -····· 5 O, 0 0 0.0 0 CERTIFIED SURPLUS ................................. 5 O, 0 0 0.0 0 LOANS ON COTTON _ _ _ _ .. UNDIVIDED PROFITS........................... OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE-··-···•··----, BONDS A ND SECURITIES--···--······ 10,610.37 NOTES REDISCOUNTED ....................... F URNITURE AND F I XTURES--··· 2,000.00 SAVINGS ACCOUNTS ................................. BANKING HOUSE _ _ _ __ 15,000.00 6 7.8 40.31 TRUST FUNDS, _ _ _ _ _ __ DIVIDENDS UNPAID .................................. OTHER REAL ESTATE·----···-ITEMS IN TRANSIT _ _ _ __ 9,334.31 1,710.36 BILLS OF EXCHANGE _ _ _ _ , INDIVIDUAL DEPOSITS .....-.................• 84,787 .43 PUBLIC FUNDS...... - - - - -···-· 2 8,109 .7 8 t DUE FROM N O N- RESERVE DUE TO NON-RESERVE BANKS .... BANKS- - - · - - - - - · · · ·· 8 7 .18 DUE TO RESERVE BANKS·-·••········· DUE FROM RESERVE BANKS ...... 8 5,0 5 5.6 9 C/ O'S, DEMAND ................................................ CHECKS ON OTHER BANKS __..... 1,4 9 8.3 6 C/ D ' S, Tl ME ...·-··········-··············---·· CURRENCY- - - - · · · - - · · · - - · · ·-···- 14,311.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD.....·--·-···--··-··-·- - - - - - · · · · 4~~ 5.0 0 CERTIFIED CHECKS .................................... 31.25 SI LVE R. ..·---··· - · - - - - - - - 1 2,8 5 5.4 5 CASH IE R ' S CH EC KS .........·-························· 2,065.88 RESERVED FOR INTEREST...... ...... 1,010.77 I CASH ITEMS _ _ _ _ _ _ _ , I 23,237 .E 2 I I OTHER RESOURCES _ _ __ RESERVED FOR TAXES _ _ _ , OTHER LI AB I LIT I ES .....·-····················· ..... TOTA' https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL..._..................................................... .... 3 1 -5 1 4 1 7 ,3 5 ~;- OFFICERS AND DIRECTORS of F rme r s Ncrchants Bank, fle'1a, Polk Co. , Ark. · I"" OFFICERS J Preaidenl » ~ p~ -----~ - - - - - - - - - J--c - ~ DIRECTORS - - - f ' - -, - ' - - ' - - - - - - ~- - - ~ - - ---- ~ - - - - - https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 t.S1 . M. DAvrs -1.&JiK ~PJOtll.!10; ..,, COPY OF PUBLISHED STATEMENT of Farmers & V;~chantc Bank, ~ul~erry, Cr~w. ord Co., Ar':. QV 1 0 191? AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........................ 6 3,3 1 8 ,3 9 LOANS ON REAL EST A TE _··--··· ....... 2,6 6 3 .1 8 CAPITAL STOCK............... LOANS ON COTTON ...·-····-····-···-···········••·· 7 4 .3 6 OVERDRAFTS ········ UNDIVIDED PROFITS................................. 2,1 2 3 .6 4 ·-·····-····-········ NOTES REDISCOUNTED ................ ....... 1,8 0 0.0 0 SAVINGS ACCOUNTS ....................... -·-·····- BANKING HOUSE·--····· 3, 00 0 .0 0 TRUST FUNDS ........................................ ········· OTHER REAL ESTATE DIVIDENDS UNPAID ..............·-····•·············· INDIVIDUAL DEPOSITS.. ........................ ---···· BILLS OF EXCHANGE PUBLIC FUNDS...... DUE FROM NON-RESERVE BANKS 6 3 2 ,2 5 I I I GOLD 1 6,28 5 .7 3 C/ D ' S, DEMAND ················"·····•··· ..... 39 7.2 7 ... 3, 3 6 2.0 0 C/ D ' S, FOR MONEY BORROWED ..... -···•··· 8 5.0 0 CERTIFIED CHECKS .................................... 6 1 6 .9 2 CASHIER'S CHECKS ..................................... 5 0 .3 0 RESERVED FOR INTER EST-············ SILVER._. OTHER RESOURCES 2 3 4 .7 2 DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANKS ....... CURRENCY .. 4 7, 5 7 2 .7 6 DUE TO NON-RESERVE BANKS.... CASH ITEMS ____ . CHECKS ON OTHER BAN KS- 0 0.0 0 7, 5 0 0.0 0 FURNITURE AND FIXTURES_·-···· ITEMS IN TRANSIT 2 5,0 CERTIFIED SURPLUS ............................... BILLS PAYABLE BONDS AND SECURITIES-·--··-····· I LIABILITIES I ·-···· C/ D'S, TIME ................................... 9,8 2 0.6 2 - 3 3 .6 6 RESERVED FOR TAX ES .........·-············· OTHER LIABILITIES............................. ..... TOT AL ............................-.....................•...........• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 9 2,2 8 5.4 0 ➔t- TOTAL ................................................................. g 2,8 8 5 ,4 0 .,.'t. OFFICERS AND DIRECTORS of Farme r s C: ~1 -!•chan t s Bank;, Mul' erry, Crawf ord Co., Ar·,. OFFICERS G.W.Wagner Presiden& J as. JI. F11,~.mer Vice President S.B.Hawkins. Cashier Horace Wagner Aaa'I Cashier DIRECTORS Bell Jordon Chas. E. Mat t hews. c.c.smith. Jae • :rJ • Fa.rm er. w.c.Wisdom J.D.Al,,.xand~r. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis F. .B. \Vhi tlo ck. S.B.Hawkins~ - - - - - - COPY OF PUBLISHED STATEMENT of .ar~ers ~ • rchantF Bank, ~ur1 ,~e~ boro, Pik e Co. , Ark AT THE CLOSE OF BUSINESS J 0 - RESOURCES LOANS AND DISCOUNTS..·-··················· 7.8 2 3 .8 4 CAPITAL STOCK..........................·-··················· LOANS ON REAL EST A TE·-·-·····-··- 8,8 4 6.0 8 CERTIFIED SURPLUS............................... LOANS ON COTTON ..·-•·················•···-········ UNDIVIDED PROFITS ............ ................... OVERDRAFTS_··--···---··--·----·-····· BILLS PAYABLE BONDS AND SECURITIES ____···· '.3 0.2 0 FURNITURE AND FIXTURES-··-··· 1,8 6 2 .6 0 1 5,0 0 0.0 0 ···········•···· NOTES RED I SCO U NT ED ...·-···-········· ... SAVINGS ACCOUNTS ........................ BANKING HOUSE TRUST FUNDS OTHER REAL ESTATE DIVIDENDS UNPAID ITEMS IN TRANSIT--·--·--·--·-··· INDIVIDUAL DEPOSITS....... ................. _ 4,5 8 6 .6 5 BILLS OF EXCHANGE PUBLIC FUNDS ............. 3,5 5 0 .7 '.3 I r LIABILITIES I I DUE FRO M NON - RESER V E BANKS CASH ITEMS ..... DUE TO NON-RESERVE BANKS.... DUE TO RESERVE BANKS ................ .... I ··························•·•• DUE FROM RESERVE BANKS- ... _ 1,3 1 4 .7 2 CHECKS ON OTHER BAN KS.·--······ 2 8 ,3 1 C/ D'S, TIME ..................................... ··-··················· 3,1 3 0.0 0 C/ D ' S, FOR MONEY BORROWED ..... 8 0.0 0 CERTIFIED CH EC KS... -...................... ....... 28 4.5 7 CASHIER'S CHECKS ..................................... 3 9 4 .8 '.3 RESERVED FOR INTEREST ...... ...... CURRENCY ··--···-···· GOLD._ SI L VER-···-····-··-· ··-·-···· OTHER RESOURCES---·- C/ D ' S, DEMAND ········-··········· 6 5 7 .7 7 RESERVED FOR TAXES OTHER LIABILITIES........................ ········ TOTAL 2 3,7 9 5 .1 5 " ~~ ··•······-························ •·••- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOT AL ....-·•·········· ............................................... z 3,7 2 5 .1 5 .. ~~ OFFICERS AND DIRECTORS of • rrner s ~ -~s£chants Bank, Murfre e~bo ro , Pike Co., .A:r-k. OFFICERS 1~~~ 0f6(Jca~ ll~,2f4MrPd( Ca•hier Au't Cashier DIRECTORS ~ cifcif ~~.i//2 ~ ,,__ )_ JfLfniy~ ,Sb!'nki https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .~JN~ 421 fr~g;-_$/~ ~~/;,~a.g,(, COPY OF PUBLISHED STATEMENT of '.e0 -:. ount , •· ~n k, 1ar :~ nn a , Le c. Ark. AT THE CLOSE OF BUSINESS NOV 1 O 1915 RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 2 2 0, 2 6 8 ,2 7 CAPITAL STOCK................................................ 1 0 0, 0 0 0.0 0 LOANS ON REAL ESTATE _.............. 4 3,600.58 CERTIFIED SURPLUS,_ _ _ _ ... 1,0 0 0.0 0 LOANS ON COTTON _ _ _ _ ..... 4 5,500.00 UNDIVIDED PROFITS........................... .. 2,210 .73 OVERDRAFTS _ _ _ _ _ __ 2,338.0 0 BILLS PAYABLE _ _ _ ........................ BONDS AND SECURITIES_ ..__ ...... 7,299 .87 NOTES REDISCOUNTED ....................... .. FURNITURE AND FIXTURES- ...... 3,761.50 SAVINGS ACCOUNTS .............. ................. . BANKING HOUSE _ _ _ _ _ _ 1 OTHER REAL ESTATE _ _ _-1 1 I 4,070.84 EXCHANGE _ _ _ _ , DUE FROM NON - RESERVE 6,842.0 2 TRUST FUNDS .................. _ _ _ _ .. . . ITEMS IN TRANSIT _ _ _ __ I BILLS OF 85,000.00 DIVIDENDS UNPAID _ _ _ .......... INDIVIDUAL DEPOSITS ........................ 140,386.84 PUBLIC FUNPS..............·- - - -.. . 7 5,403.41 20,000.00 DUE TO NON-RESERVE BANKS.... ..... 5 2 7.3 0 DUE TO RESERVE BANKS.............. .. DUE FROM RESERVE BANKS- ... - 61,802 .7 5 CHECKS ON OTHER BANKS ..- .... . 2,158.27 C/ D ' S, TIME _ _ _ _ _ _ .............. CUR REN CY ..._ ..._ 8,580.00 C/ D ' S, FOR MONEY BORROWED..... 457.50 CERTIFIED CHECKS- - -.......... 1 0 6.0 0 7,30 7.40 CASHIER' S CHECKS ..................................... 125.60 3 2.14 RESERVED FOR INTEREST.............. BANKS I CASH ITEMS.---·-· I ..._ .. _ _ _ _ _ _ , GOLD _ _ _ _ _ _ _ _ __ SILVER _ _ _._ _ _ _ __ OTHER RESOURCES _...................- ....... . C/ D'S, DEMAND ..- ....- ............ _ __ 1---,62 9.8 2 RESERVED FOR TAXES _ _ _ , ____________ __________ ..,_ TOT AL.. ............ - ........................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 2 7, 7 0 4 .4 2 .• ___,_ OTHER LIABILITIES............................... TOTAL .................. 4 2 7. 7 0 4 4 2 :: OFFICERS AND DIRECTORS of Lee County Bank, Mad , nna , Lee Co., Ark. OFFICERS • J.in..nks , Presidenl J. b . a-rove Vice Preside,11 Cashier JNO. M. DA VIS s. ,.. ol :;t c in • 4 NK A88'1 Cashier DIRECTORS ... 3 . ,.1.--'l.n.s , J . L . f}ro, e'l ...:orr i c., , ·:,r • Lcouo r https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis H ;,;. . ., B. •• R. • ..., . ·vord ewi tt , ,1 nn , . Jarratt , J. "",, • StevenvO • • R. D. "V I B. J. nr " Smith . . . Thornton co1u11ss 10 ~•• COPY OF PUBLISHED STATEMENT of . c c: i n t e,",> .1anking Co.~ •1i2.ri2nna, Lee ·0., {Not Incorporated) rlrk AT THE CLOSE OF BUSINESS 1 O191 RESOURCES LIABILITIES LOANS AND DISCOUNTS..................... . 72,306.43 CAPITAL STOCK .................................... LOANS ON REAL ESTATE_··--·-·····•- 18, 3 9 8.5 0 CERTIFIED SURPLUS _ __ 7.9 5 0 .1 8 UNDIVIDED PROFITS...... ...................... . 1,266.7 7 5,5 7 5,2 5 LOANS ON COTTON _ _ __ OVERDRAFTS- - - - - · - · · · · · ··· 8 8 4.9 4 BANKING HOUSE _ _ _ _ _ _ 1,628.9 0 SAVINGS ACCOUNTS .................................. . TRUST FUNDS---··•····················· 1 OTHER REAL ESTATE---···-- 50,000.00 NOTES REDISCOUNTED ...................... . BONDS AND SECURITIES---···--·-····· FURNITURE AND FIXTURES--··· BILLS PAYABLE---··········-········-··· 100,000.00 4 0 0.0 0 DIVIDENDS UNPAID .................................. ITEMS IN TRANSIT _ _ _ _ _ 1 INDIVIDUAL DEPOSITS- - - - 1 111, 257 .6 1 Bl LLS OF EXCHANGE-··-·-·--·----···· PUBLIC FUNDS................................................... 3,952.50 DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _- - l I CASH ITEMS- - - - - - · - · - · · ·· .1,2 0 7 .2 4 DUE TO NON-RESERVE BANKS.... 11.0 0 DUE TO RESERVE BANKS................ I I DUE FROM RESERVE BANKS .... __ 173,434.7 2 CHECKS ON OTH ER BANKS.·-····· 4 5 7.13 C/ D'S, TIME ...... ---································ CURRENCY- - - - - - - - · · · · 5,319.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD _ __ ! _ _ _ _ _ _ ···· SILVER -·--··•-·-···· - - - - - - - - - - · · · OTHER RESOURCES- - - - · · ·· C/ D'S, DEMAND-----·•·····•······••······ 12,796.9 0 CERTIFIED CHECKS .................. ·······--·--··· 4,8 3 9,'.3 5 CASHIER' S CHECKS- - - · ············ 2 3 8.5 0 RESERVED FOR INTEREST.............. RESERVED FOR TAXES .....•··········-······· OTHER LIABILITIES ===·=···_...£2.....i..8L..J..7~,4~6..2..2:2~41:....1.16c._..:_:-;,__ ..... L____._ T ~OT .!..:A ~ L= ··=····======··:..:.c·.·:::..· - ,___£......l ?,R..l........,7~.1::..~h2!:::::...!,i~F,.l.-:~,:_!-_:____._ T:::!.O.!..: T A~L = ··::::.····=·····,•:·:,···=···•·=····=·····=·····=··· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of le Cl i nt o~· Lanking Co •• ~ari£nna, Lee Co., (No t I ncorporated) Ar~. OFFICERS Presidenl Bankln Cashi er BillflCT@t'ft"S ~ . r ' De , O. M. DAVIS •,\N,c COMlillllSJONIQ COPY OF PUBLISHED STATEMENT of larked 1 e Jank & Trust Co .. 1ar'ed Tree, Puinsbtt Co., p I ,o AT THE CLOSE OF BUSINESS - --- -- LIABILITIES I RESOURCES 1 o 1915 1 4,4 3 0 .0 0 LOANS AND DISCOUNTS 2 1,5 3 6 .9 1 CAPITAL STOCK ___________ LOANS ON REAL ESTATE ___ ............ 2 3,1 8 4 .7 0 CERTIFIED SURPLUS ___________________ _________ --- 2 0 0 .0 0 UNDIVIDED PROFITS_______________ ................ 1 0,1 4 8.9 3 LOANS ON COTTON _______ __________________ ____________ BILLS PAYABLE 2,00 0.0 0 1,5 1 4.9 5 NOTES REDISCOUNTED ________________________ 2,5 0 0.0 0 FURNITURE AND FIXTURES ______ 1,6 1 9.4 1 SAVI N GS ACCOUNTS _____________________ ···········- BANKING HOUSE __ 3,00 0.0 0 TRUST FUNDS __________________ .......... 10,5 9 5.5 0 DIVIDENDS UNPAID ······•-·•-- ··-··-·----···· . 6 0.5 0 BONDS AND SEC UR IT I ES ____________ OVERDRAFTS OTHER REAL ESTATE INDIVIDUAL DEPOSITS _____________________..... 2 4,0 46 .1 3 BILLS OF EXCHANGE PUBLIC Fu N DS __________________________________________________ 3 5,3 2 4.8 3 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ____ CASH ITEMS DUE TO RESERVE BANKS __________ ______ ITEMS IN TRANSIT _____ --- I DUE FROM RESERVE BANKS ________ CHECKS ON OTHER BAN KS.. _______ SI L VER ___________ 28 9.6 8 C/ D ' S, DEMAND ................................................ C/ D'S, TIME ···-··················· 4,5 1 6.0 0 C/ D'S, FOR MONEY BORROWED _____ .... 9 0 0.0 0 CERTIFIED CHECKS-------------·--------- ........... - --·-···· 1,..1. 7 6.0 8 CURR EN CY___________ GOLD _______________________________ 2 2,5 9 3.2 9 CASHIER'S CHECKS 30 5.2 3 1,3 3 2.1 0 RESERVED FOR INTEREST ______________ OTHER RESOURCES RESERVED FOR TAXES _________________________ OTHER TOT AL. _____ _______________ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ·······" ···-~ 9 1,2 6 7.2 2 ~} LIABILITIES ____________ ______________________ TOTAL ______ ____________ ________________________________________________ 9 1,2 8 7.2 2 ,~ OFFICERS AND DIRECTORS of Jarked Trc"' £lank & Trust Co., Mar'ed Tree, Poinset t Co ., O FF ICERS T. J. Sh1;1,rum, Presidenl M. VI. Hazel, V ice Presidenl c. E. Causoy Cashier ABB'I Cashier DIRECTORS T. J. Sharum. M . \/ . Ha zo 1 • - - - - -- ------- - U. J. Hazel Dr. c. M. Lutterloh c. A. Dawson, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of ~idland :•Dte Bank, ~idland, Sebas tai l Co., A-·k NOV 1 0 1915 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 12, 103.5 2 CAPITAL STOCK............................................. 5,275.0 0 LOANS ON REAL ESTATE·--·-···--· 5,275.00 CERTIFIED SURPLUS- - -···· 10 0.0 0 LOANS ON COTTON _ _ _ _ _ , 0 VERD RAFTS--·-····-·-····-··-···---··-·-······ . 2 2.4 1 BILLS PAYABLE ............................................ . BONDS AND SECURITIES-----·· 16.4 8 NOTES REDISCOUNTED.·-······-·............ FURNITURE AND F I XTURES--··· 1,891.94 SAVINGS ACCOUNTS .................................. . BANKING HOUSE- - · · - - - - , 2,992 .6 5 TRUST FUNDS ................................................. OTHER REAL ESTATE- - -···- 1 6 4.5 0 5 0 0.0 0 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS .......................... .. BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - -··················•·• I 1,6 6 3 .3 9 UNDIVIDED PROFIT$_ _ __ , 1 ,o O 9 .9 1 1 0 4.4 3 DUE FROM NON-RESERVE DUE TO NON-RESERVE BANKS... BANKS CASH ITEMS_. _ _ _ _ _ __ DUE FROM RESERVE BANKS·-····· I CHECKS 5 4.4 2 3,341.20 ON OTHER BANKS· -····· DUE TO RESERVE BANKS........... ..... C/ D'S, DEMAND........................................... 3, 2 8 8 .0 0 C/ D'S, TIME ..... ••·························-····················•······· CURRENCY _ _ _ _ _ _ _ _ , 1,359.00 C/ D'S, FOR MONEY BORROWED..... GOLD ..· - - - - · · · - - · - - - -- -1 19 5.0 0 CERTIFIED CHECKS .................................... SILVER- - - - · - - - - - - - ! 2 6 3 .8 8 CASHIER'S CHECKS ..................................... 7 3 9.2 7 RESERVED FOR INTEREST .............. OTHER RESOURCES _____ ····-·-···· RESERVED FOR TAXES. _ _ _, OTHER LIABILITIES TOTAL ...... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 7. 6 8 0 .0 0 -;: TOT AL .............................................·-····--··........ 2 7. 6 8 0 .o O ~ ~ OFFICERS AND DIRECTORS of ~idland st~t~ Bank, Midla.d, Sebasta in Co., A,..k i0) OFFICERS J( ;f~ _ Preside,11 Ass'I Cashier DIRECTORS 1 .&.. ~ ~, K~tlh https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ CW? COPY OF PUBLISHED STATEMENT of ~ontgomeLJ ~aunty Bank, Mount Ida. Montg,;m"'ry Co., .Ark. AT THE CLOSE OF BUSINESS RESOURCES f\JOV 1 0 191 I LIABILITIES - - - - - - - - - - - - - - -- - - - - - - - - - - ' -- - - - - - ~ - - - - - - - - - - -· - - -- - - LOANS AND DISCOUNTS........................ 17, 688.98 LOANS ON REAL ESTATE ................. 5,6.34.31 LOANS ON COTTON .........·-·····-·····-··-········ 7.4 2 5.0 0 CERTIFIED \SU~PLUS............................... . 2 5 0.0 0 UNDIVIDED PR0 1j° IT $, _ _ _ _ ... 3 8 6.6 5 1 5,0 0 0.0 0 OVERDRAFTS, _ _ _ _ _ __ 147.3 4 BONDS AND SECURITIES-·--·· 8 11.0 5 FURNITURE AND F I XTURES_·-··· 1, 7 0 0.0 0 SAVINGS ACCOUNTS _ _ _ _ ··-S J ~- BANKING HOUSE-·--·····----·- 1,'.3 9 5.5 0 TRUST OTHER REAL ESTATE _ _ __. 4 4 6.0 0 NOTES REDISCOUNTED.·--·-·······-····· f UI\NDS.................................................... DIVIDENDS UNPAID _ _ __ 21,926.8 5 ITEMS IN TRANSIT- · - - · - · - - · - INDIVIDUAL DEPOSITS _ _ _ .._ BILLS OF EXCHANGE- · · - · · - -·• PUBLIC FUNDS•- - - - - - ···· , 7 6 5,4 4 DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ __ DUE TO NON-RESERVE BANKS .... 8 3 0.6 5 ! CASH ITEMS•- - ~ - - - - 1 DUE TO ~ESERVE BANKS................ I I I DUE FROM RESERVE BANKS_. __ 11,926.5 7 CHECKS ON OTHER BANKS-·-······ CURRENCY _ _ _ _ _ _ __ 4,5 0 5.0 0 GOLD _ _ _ _ _ __ _ __ 19 5.0 0 SILVER- · · - · · · - - - - - - - - - 1 1,0 0 6.1 5 1,140.9 9 RESERVED, F<;)R INTEREST .............. OTHER RESOURCES _ _ _ _ ...... RESERVED FOR TAXE$ _ _ _ , OTHER LIABILITIES TOTAL ...............................................................- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 5. 5 9 O.7 4 ➔r TOTAL ................................................................. 45,590 .74~~ OFFICERS AND DIRECTORS of ;o ntgome ~ (';ounty Bank , Mo unt Ida . Montg omer· Co., Ark OFFICERS G. Cox Prcsidenl Watkins c. J . Vice Presidenl L. L. Beavers Ylilliam Ylatkins Aaa'I Caahi er DIRECTORS G Cox Willi am Watkins C• ,T . Watkins L. L. Beavers https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Y. A. Brak~field COPY OF PUBLISHED STATEMENT of 1-e oples Bank, Magnol!a , Columbi a Co., Arw: . ov 1 0 19)5 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS...................... 157,629 .88 CAPITAL STOCK ............·---········· 50,000.00 LOANS ON REAL ESTATE ................. 10,005.20 CERTIFIED SURPLUS ............................... . 15,000.00 LOANS ON COTTON ...·-•·•-·····--·--············ 62,507.97 UNDIVIDED PROFITS............................ . OVERDRAFTS _ _ _ _ _ __ 4 4 0 .8 8 BILLS PAYABLE .....·- - - - · · - · BONDS AND SECURITIES----·-•·· 18 4.81 NOTES REDISCOUNTED ...·-··················- FURNITURE AND FIXTURES--··· 3,116.06 SAVINGS ACCOUNTS ........................ ··•····- BANKING HOUSE_···-····--·--··----- 2,318.5 0 TRUST FUNDS ..................................................... OTHER REAL ESTATE _ _ _--! 1,800.00 DIVIDENDS UNPAID- - - - · · · · · · ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS...·-···-·············- BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUN DS .........................·-······················· DUE FROM NON·RESERVE BANKS 11,354 .22 DUE TO NON-RESERVE BANKS.... CASH ITEMS _ _ _ _ _ _ _ , 39 5 .'.31 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ...... _ 3 .1, 0 6 6 .9 6 C/ D'S, DEMAND---··························· .... 1,398.89 C/ D'S, TIME ........................... _ _ __ CURRENCY- - - - - · · · - ···-···- 8,026.00 C/ D'S, FOR MONEY BORROWED..... GOLD. · - · - · - - - - - - - - - 1 2,410.5 0 CERTIFIED CHECKS ...... _ _ _ _ , SILVER _ _ _ _ _ _ _ _ _ , 1,333 .70 CASHIER'S CHECKS ..................................... CHECKS ON OTHER BANKS- RESERVED FOR I OTHER RE SOU R CES·-··-··-····-·-··-·--····· 4,1.31.8 2 40,000.00 14 9,684.01 16,975.00 2 0,9 .3 5.0 2 2 6 3.0 3 TEREST ............ RESERVED FOR TAXES _ __ OTHER LIABILITIES................................. . TOTAL... ... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 9 6, 9 8 8 .8 8 * TOTAL ................ ............................................. 2 9 6 9 A 8 .8 A {;- OFFICERS AND DIRECTORS of .::c: oples E "'1r, Magnol·a, Co moia Co., Ar 1 • OFFICERS N. J • Gantt Preside,11 J. J,. Davi ■ Vice Pre sidenl T, A. Monr Ass't Cashier DIRECTORS ____...._._ J....--Gant'.- - - - -- J • M. Witt T. A. Monro• - - - ---.E. 0----L~yl...•- - - - - https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis W, W. Boyd J • 0, Hut~hHO?l E W T. P. Gantt COPY OF PUBLISHED STATEMENT of eoples Ba:ni:, Man s fj •ld , e ba.; l;a.rn Co., !\r~ NOV ] () 1 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I LOANS AND DISCOUNTS........................ 2 5,16 0 .4 2 CAPITAL STOCK ................................................ 1 2,5 0 0.0 0 LOANS ON REAL EST A TE ................. 2,6 5 .'.3.6 4 CERTIFIED SURPLUS ................................. 1 6 6.2 5 2,9 8 8 .8 0 LOANS ON COTTON .. ....... UNDIVIDED PROFITS ................................. OVERDRAFTS ........ BILLS PAYABLE ................................................ BONDS AND SECURITIES---······· NOTES REDISCOUNTED ......................... FURNITURE AND FIXTURES--··· 1,40 0 .7 0 SAVINGS ACCOUNTS BANKING HOUSE TRUST FUNDS OTHER REA,L ESTATE DIVIDENDS UNPAID ITEMS IN TRANSIT INDIVIDUAL DEPOSITS BILLS OF EXCHANGE PUBLIC FUNDS DUE FROM NON - RESERVE I BANKS ! CASH ITEMS 1 , 9 3 8 .7 4 ·• DUE TO RESERVE BANKS................ .... 6,6 9 6 .5 5 CHECKS ON OTHER BAN KS ... _..... 3 18.5 0 CURRENCY. .. ·- DUE TO NON-RESERVE BANKS.... DUE FROM RESERVE BANKS........ t GOLD ............................. .... SI L VER-·---·-·-·· 0 / D ' S, TIME ...................... .............. 1,1 1 8.0 0 C/ D'S, FOR MONEY BORROWED..... 5 5 0.0 0 CERTIFIED CHECKS.................................... 6 7 8 .7 8 CASHIER'S CHECKS 7 .8 0 OTHER RESOURCES 5,15 .'.3.0 8 C/ D'S, DEMAND .................. 8 3 7.5 2 RESERVED FOR INTEREST.............. RESERVED FOR TAXES OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .................. 3 8, 5 8 4 ,3 9 " '71' TOTAL. ................. -··· •···· .'.3 8,5 8 4.3 S1 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of L eople s B8n 1 , Mansfi ~ld, ebast ain Co., Ar OFFICERS C. C. Gr ves Bankln• Dep't Presiden& J . FiGraves V ice PreBiden& V. H.S Caahier Ass'I Cashier DIRECTORS C. C. Graves H. S. Gr v o ------=G,.. ., ...E~1' ._O.., t'---"i,._,s>L________ J . F . Gr s COPY OF PUBLISHED STATEMENT of L opl es ra,,~_' Mountain Home, baxt r Co., C\:•k NOV I O1915 AT THE CLOSE OF BUSINESS I RESOURCES 1 .1 6 LOANS ANO DISCOUNTS........................ 3 8,0 2 LOANS ON REAL EST ATE ........... ...... 12,9 4 0 .1 4 LIABILITIES CAPITAL STOCK .......................................... 5,0 0 0.0 0 CERTIFIED SURPLUS ............................... 2,5 0 0.0 0 ·-··-·--········· 1 6 8 .7 8 BONDS AND SECURITIES ...·---···,· 2,0 3 8 .'.3 8 NOTES REDISCOUNTED .......................... FURN I TURE AND FIXTURES- .... 5 0 0.0 0 SAVINGS ACCOUNTS ................................... OVERDRAFTS ___ 2, 39 0.0 0 BANKING Hou s -= TRUST FUNDS........................ DIVIDENDS UNPAID ITEMS IN TRANSIT INDIVIDUAL DEPOSITS BILLS OF EXCHANGE PUBLIC FUNDS DUE FROM NON - RESERVE BANKS !f CASH ITEMS DUE FROM RESERVE BANKS........ GOLD... SILVER- ··-····-· ......... ·• 1 3 9 ,3 2 DUE TO NON-RESERVE BANKS .... 2 0.0 2 DUE TO RESERVE BANKS............... 2 3,8 9 9 .9 7 CHECKS ON OTHER BAN KS·--····· CURRENCY ........................ BILLS PAYABLE OTHER REAL ESTATE------·- II 5 1 5 .3 6 UNDIVIDED PROFITS .................. ............. LOANS ON COTTON .................·-················· . 7 5,6 7 4 .6 4 ........................... 9 0.0 0 C/ D'S, TIME ................... ·····•············•••·····•····•········· 9 3 5.0 0 C/ D ' S, DEMAND 3,4 7 1 .0 0 C/ D ' S, FOR MONEY BORROWED ..... 7 5.0 0 CERTIFIED CHECKS .................................... 1,1 7 9.0 3 CASHIER'S CHECKS ..................................... 1 27 .8 0 RESERVED FOR INTEREST.............. OTHER RESOURCES-·····--··---····••· RESERVED FOR TAXES OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ .. p 8 4,8 4 2.8 0 ~: TOT AL .................. ··•······• ······ 8 4. 8 4 2 .8 0 * OFFI~ERS AND DIRECTORS of fe opl es Ban1 · , Mountain Home, Baxter Co., A .k OFFICERS J. o. 1••nard Presidenl R. J. Rusaell Vice President _ 3., n. Hua Caahier AH't Caahier DIRECTORS J. o. L,,enari J. H. 'aylane. Dillen Uni rhill J. H. Cenley, .T. L. Paul https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of .)eoples :::av .:.n s Bank & Trust Co. , Marianna, Lee Co., Arl: AT THE CLOSE OF BUSINESS J\I V 1 0 191 RESOURCES LIABILI T IES I . LOANS AND DISCOUNTS........................ 1 12,9 2 5 .9 4 CAPITAL STOCK ................................................ 2 6,8 1 2.5 0 LOANS ON REAL ESTATE ........... ...... 10,70 7.2 1 CERTIFIED SURPLUS ........................... .... 5,4 0 0.0 0 6,5 2 9,2 3 UNDIVIDED PROFITS ................................ OVERDRAFTS-··-·-·-·-· 1,0 0 6.5 0 BILLS PAYABLE ................................................ BONDS AND SECURITIES----·-··· '.3, 4 4 1,2 7 NOTES RE DISCOUNTED......................... FURNITURE AND F I XTURES_·-··· 4,2 3 0.0 0 SAVINGS ACCOUNTS .............................. ··- LOANS ON COTTON ....... BANKING HOUSE_ .. _. TRUST FUNDS ............ OTHER REAL ESTATE DIVIDENDS UNPAID ITEMS IN TRANSIT BILLS OF EXCHANGE ........ PUBLIC FUNDS DUE FRO M NO N -RESERVE I BANKS CASH ITEMS 1,6 4 4 .1 8 DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS ........ 9,3 8 0.5 7 C/ D'S, DEMAND ...·-················· .......................... CHECKS ON OTHER BAN KS·--····· 7 2 9 ,3 5 CURR ENCY.--·---··----··---··-····- 3,8 3 3.0 0 C/ D'S, FOR MONEY BORROWED ..... ... .... 1,3 8 7.5 0 CERTIFIED CHECKS ........................ .......... ...... 7 1 4.4 4 CASHIER'S CHECKS..................................... 2,2 6 8 .7 4 RESERVED FOR INTEREST .............. GOLD SILVER-·--· OTHER RESOURCES 3 2,7 9 6,2 5 ·- DUE TO NON-RESERVE BANKS .... C/ D'S, TIME .... 5,0 3 3.8 1 .... INDIVIDUAL DEPOSITS.....·-·-·········•····- ···-·· 5 7, 23 5.0 0 ···············-···· •······················ 2 3,7 0 0.0 0 7, 4 6 3.6 8 3.5 0 RESERVED FOR TAXES TOTAi https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ·-············· ·---~ -~ 1 5 8, 7 9 7.9 3 " ' .... ' . OTHER LIABILITIES...................·--····•····· 3 5 3.1 9 TOT AL .................. _.............................................. 1 5 817 9 7 .9 3 ~: OFFICERS AND DIRECTORS of :aoples ~av~~g s Bank & Trust Co. , Marianna, Lee Co ., Ar k. OFFICERS (~ . - - - - -- - - - - -- - - ~ Pre Cashi er Ass' I Cashier DIRECTORS • "" • NE BERN S . H. 0RO H. B. ""ERRICK R. U. BOON https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis • L. ALLEN ( s. 1'• N wbern) H. Crowe) COPY OF PUBLISHED STATEMENT of .- ... Ke Cou •. ty Bank, Murfr e~ sboro, PiKc Co., AT THE CLOSE OF BUSINESS vV 1 O191 5 RESOURCES LOANS AND DISCOUNTS ............. ···•··•·· .3 2,0 6 4.2 7 CAPITAL STOCK.................. ... 2 5,00 0.0 0 LOANS ON REAL ESTATE ................. 1 9,4 9 4 .63 . CERTIFIED SURPLUS ................................. 8 5 7.4 1 UNDIVIDED PROFITS................................. 29 4.2 5 LOANS ON COTTON ..·-·····-···········-········· ....... 1 2 .1 2 BONDS AND SEC UR I Tl ES--·····-······· 2,8 7 4 .60 NOTES REDISCOUNTED .......................... F URNITURE AND FIXTURES-·-···· 2,00 0.0 0 SAVINGS ACCOUNTS BANKING HOuss::- 4,0 0 0.0 0 TRUST FUNDS .... OTHER REAL ESTATE DIVIDENDS UNPAID .... ITEMS IN TRANSIT INDIVIDUAL DEPOSITS ··- BILLS OF EXC H ANGE PUBLIC FUNDS DUE FRO M NON - RESER V E BANKS DUE TO NON-RESERVE BANKS.... OVERDRAFTS ___ . I LIABILITIES I I CASH 7 4.0.Q ITEMS DUE FROM RESERVE BANKS ...... _ CHECKS ON OTHER BAN KS-··-······ BILLS PAYABLE .........._.................................. ........ ,_ 1 1,4 5 5.5 1 C/ D ' S, DEMAND ... •-········ ·············-··········•·········· 1 4 7 .9 0 C/ D'S, TIME ..........,................................................... ··- 5,0 77.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD....·---···-····-···-· ... 5 1 0.0 0 CERTIFIED CHECKS .................................... 1 .3 7 CASHIER'S CH EC KS ....................·-·············· 4 7 9,1 7 9.3 1 • DUE TO RESERVE BANKS................ CURRENCY SI L VER---·-··---····· 2 9,5 9 9.4 4 1 1,2 6 6.5 8 9 8 4 .4 1 RESERVED FOR INTEREST .............. OTHER RESOURCES RESERVED FOR TAXES OTHER LI AB IL IT I ES ...·-······················· ..... TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ...........- " 7 7.1 8 1.4 0 •i;· TOT AL .........••·······-············································•· 77.1 8 1.4 0 ~!." OFFICERS AND DIRECTORS of ~ike Cou .~y Bank, Murfre sbor o, Pike Co,, Ark. OFFICERS J . C. Pjnnix Presiden( O.B . Owens , V ice Presidenl W. F. Gall or:ay , Cashier C, H. Pinnix ~ Ass't Cashier DIRECTORS J . C. Pinnix , Charles Kelley , O. B. Owens , Dr. G. W. Tolleson , T.F. Alford., H. T. Brewer , Cullen Parlrnr , C, 4-1 Ke )] ey, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _w: . F. Gallowaj COPY OF PUBLISHED STATEMENT of lan t ers "+,"' t e Bank, ~~ena, Po l k (;o., Ark I UV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 65,848 .82 CAPITAL STOCK---························ 30,000.00 LOANS ON REAL ESTATE •...... - ...... 3,299.4 3 CERTIFIED SURPLUS ............................... . 4,0 0 0.0 0 UNDIVIDED PROFITS ................................. 2, 7 5 9.9 5 LOANS ON COTTON _ _ _ _ _ , 9 6.5 8 BILLS PAYABLE- - -························ BONDS AND SECURITIES--···-···· 6 2 5 .9 2 NOTES REDISCOUNTED .........•.............. FURNITURE AND FIXTURES---··· 2,000.00 SAVINGS ACCOUNTS .................................• BANKING Housi:_ _____ , 6,000.00 TRUST FUNDS----················· OTHER REAL ESTATE _ _ _-< 3,537.85 DIVIDENDS UNPAID- - - -···· OVERDRAFTS.•.•.•••. _. _ _ __ I ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS- ---1 BILLS OF EXCHANGE _ _ _ _ ,! PUBLIC FUND$, _ _ _ _ _ _ , DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS... CASH ITEMS _ _ _ _ _ _ _ I DUE TO RESERVE BANKS....•.......... DUE FROM RESERVE BANKS ...... - 2 9,4 0 3,2 2 C/ D'S, DEMAND- - - - - - · ·· CHECKS ON OTHER BANK$ __...... 13 2.6 7 C/ D'S, TIME .............................................................. CU RR ENCY.•· - · · - - - - - - - ··- 4,742.00 C/ D'S, FOR MONEY BORROWED ..... GOLD- - - - - - - - - -········ 1,795.00 CERTIFIED CHECKS .................................... 5 6 9.2 0 CASHIER'S CHECKS ..................................... SI LVER - ····-···-··--···· · - - - - - - 1 68, 516.9 5 12,730.35 43.4 4 RESERVED FOR INTEREST....•........ OTHER RESOURCES _ _ __ RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL ..........•..... ·-··································- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 1 8, Q 5 Q .6 9 ii- TOTAL.. ................ 1 1 8 0 5 0 .6 9 ~i- OFFICERS AND DIRECTORS of Planters~ t e Bank, ·•ena, Polk Co . , Ark . OFFICERS Presidenl tkins Vice Presidenl R .B .Boi.1.rd Cashier Fr d C.E:mbry Ass'I Cashier DIRECTORS ,t. ,l .Townsand ,'/ .E. Watkins G• .Y,Pett;v mark P. Olney https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT. of ~ainwateL R~nk & Trus t Co., Mo ·rilton, Conway Co., k·1-. INOV I O1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........·-············· 67,775.4 0 CAPITAL STOCK.·-·····-··········---1 LOANS ON REAL ESTATE -·······--···· 20,000.00 CERTIFIED SURPLUS- - - - · · · 3, 0 0 0.0 0 LOANS ON COTTON ....·-··-··········-··-····-·· 3 6,292 .96 UNDIVIDED PROFITS ............................... . 4 6 2 .7 4 OVERDRAFTS _ _ _ _ _ _ _ _ 1,817.59 BILLS PAYABLE _ _ _ _ _ ...... 2 5,000.00 BONDS AND SECURITIES _ _ ··· 7 3 4.2 6 NOTES REDISCOUNTED _ ____, FURNITURE AND FIXTURES--···· 2,747.5 8 SAVINGS ACCOUNTS ........................... ·-····· BANKING HOUSE- - - · · - · ·----- OTHER REAL ESTATE _ _ _-l TRUST FUNDS .....·---························ 1,0 0 0.0 0 DIVIDENDS UNPAID _ _ _ _ .. ITEMS IN TRANSIT _ _ _ _ _ ! INDIVIDUAL DEPOSITS- - - · · · BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - -............... DUE FROM NON-RESERVE BANKS 28,625.00 9 3,204.82 1,233 .60 DUE TO NON-RESERVE BANKS .... 3 0 .9 6 DUE TO RESERVE BANKS .............. .. 14,944.36 C/ D ' S, DEMAND- - - - - - · · · 5 7 1 .4 3 CHECKS ON OTHER BANKS·--···· 3, 337 .5 0 C/ D'S, TIME _ _ _ _ _ _ _ _ , 6 4 0.0 0 CURRENCY· - - - - - - - - -1 1,045.00 C/ D ' S, FOR MONEY BORROWED ..... GOLD.·-·-·-····--------······ 2 4 0.0 0 CERTIFIED CHECKS .................................... SILVER _ _ _ _ _ _ _ _ _ _ 3 0 4 .7 8 CASHIER' S CHECKS _ _ _ _ _ , CASH ITEMS _ _ _ _ _ _ _ 1 DUE FROM RESERVE BANKS.·-··· I 1 RESERVED FOR INTEREST...-......... OTHER RESOURCES- · - - - · - · · RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL ...... -..,..................................................... .. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 5 1,s· o 3 .9 9 ➔t- TOTAL ................ 1 5 1, 5 0 .3 .9 9 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ~AinJate r Rr.k & Trust Co •• ~o · eilton, Con~ay Co., Ar Aaa'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Union BanA ~ Trus t Co , , Mo1Li cello, Drew Co . , Ark - OV I O 191 5 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS................. ... . 311,412.88 CAPITAL STOCK _ _ _ _ _ , 15 0,0 Q 0.0 Q LOANS ON REAL ESTATE ........... ...... 8 6, 8 2 3.Q 4 CERTIFIED SURPLUS................................. 7 5, Q Q Q.0 Q LOANS ON COTTON ....•............................ 53,311 .7 7 UNDIVIDED PROFITS............................... 4,892.96 _ _ _ _ __ 3 2.6 8 BONDS AND SECURITIES_·-····· 56,176.5 2 NOTES REDISCOUNTED ....................... .. FURNITURE AND FIXTURES_.•.... 3,066.51 SAVINGS ACCOUNTS _ _ _ ····- 17,2 8 4.14 TRUST FUNDS .................................................... OVERDRAFTS _ _ BANKING HOUSE _ _ _ _ _ _ I BILLS PAYABLE _ _ _ __ OTHER REAL ESTATE _ _ __, ITEMS IN TRANSIT- - - - · ·· · 113.2 0 INDIVIDUAL DEPOSITS- - -··- DUE TO NON-RESERVE BANKS.... BANKS _ __ _ __ , i 4 7,6 4 5..3 6 C/ D ' S, DEMAND- - - · - - - ··· CHECKS ON OTHER BANKS.·-······ 4 0 4.6 9 C/ D ' S, TIME ...................... ····•··•······•·•-·•··•·············· CURRENCY.·- · · · - · - - - - - -··- 8, 18 5.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD· - - - - -- - - · · · · · ···· 3,516.00 CERTIFIED CHECKS ................•............... SI LVER _ __ _ _ _ _ _- 1 2,976 .92 CASHIER'S CHECKS _ _ _ __ , _ 7, 3 2 9.9 8 DUE TO RESERVE BANKS................ I DUE FROM RESERVE. BANKS ..... . OTHER RESOURCES _ __ 180,388.22 PUBLIC FUNDS .•........· - - - · ··········· DUE FROM NON-RESERVE CASH I TEMS _ 2,129.62 DIVIDENDS UNPAID _ _ _ _ , BILLS OF EXCHANGE _ _ _ _ , I 30,00 0.00 9 4 .31 139,937 .9 3 1,3 6 4.31 RESERVED FOR INTEREST.............. RESERVED FOR TAXES ........................ OTHER LIABILITIES TOTAL ... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 9 1. 0 4 .'.3 .o 2 -l} TOTAL... .............................................................. 5 9 1, 0 4 3 .0 2 -l~ OFFICERS AND DIRECTORS of Uni on Ban:c & Trust Co , ro ~; cello, Drew Co., Ark . OFFICERS V• J rotter Presidenl n . L. Hyatt & Chas . T . Duke Vice President J . D. McC J.D,,__y_ _ _ __ Caahier James Jackson Aas'I Ca shier DIRECTORS v. J . Trotter H • M• Wi l s an J . G. Wi! l i~mson_ __ c . T. Harris Chas T . Duke E . B. McCullough n. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L. Hyatt --A.....__T_.. Cat b am ape J . n . Mccloy COPY OF PUBLISHED STATEMENT of 3ank of Ii~cr. tory, McCrory, Woodruff Co., Ark. I.~,.,- AT THE CLOSE OF BUSINESS -RESOURCES LIABILITIES I LOANS AND DISCOUNTS.........·-············ 3 8,4 5 9.4 3 CAPITAL STOCK_................ ...... 20,00 0.0 0 LOANS ON REAL ESTATE -............... 1 5,8 5 6.5 0 CERTIFIED SURPLUS ............................ .. 1 4 0.0 0 LOANS ON COTTON ._._ •········--·······"'''' UNDIVIDED PROFITS...................... 5 0 .6 8 OVERDRAFTS BONDS AND SECURITIES--·--····· 1 5 7.6 9 FURNITURE AND FIXTURES-·-··· 2,9 5 9.0 8 SAVINGS ACCOUNTS ... BANKING HOUSE..._ 5,05 3.4 7 TRUST FUNDS ·-·- •·• ···• .. NOTES RED I SCO U NT ED.-·-················· ........... ·-··•············ OTHER REAL ESTATE DIVIDENDS UNPAID ITEMS IN TRANSIT INDIVIDUAL DEPOSITS.......................... _ I DUE FROM NON-RESERVE BANKS_·--···---·· ..... CASH ITEMS -- ... I DUE FROM RESERVE BANKS ........ 1,0 3 9.0 1 BILLS PAYABLE.....................................·--···· BILLS OF EXCHANGE - - - - - - -·-·· I ... n- HHS 1 1 3 1,4 5 0.8 8 PUBLIC FUNDS ... •-··•·········································· DUE TO NON-RESERVE BANKS.... 8 40 4.0 5 DUE TO RESERVE BAN KS·-········ ..... ,9 0 6.80 C/ D'S, DEM AND.·-··-·-··········-················-········· I I CHECKS I C/ D'S, TIME .................•-··············•··············· .......... ON OTHER BAN KS ..·-······ CURRENCY ·- GOLD ..·-··-· SILVER 7,5 1 5.0 0 9,6 9 2.7 5 C/ D'S, FOR MONEY BORROWED ..... 7 7.5 0 CERTIFIED CHECKS 2,8 9 5.9 4 CASHIER'S CHECKS. 1 3.5 0 ·····- RESERVED FOR INTEREST.............. OTHER RESOURCES RESERVED FOR TAXES ......................... OTHER LIABILITIES TOTAL ........... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ·········"····· ·······- ., 1 62,3 3 6 .1 4 ~.- ..... ..... TOTAL .................. .................................... .......... 1 n 2. 3 '3 ,. 6.1 4 -'!. I https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of 3ank of Le~- ry, McCro ry, ''/oodruff Co , Ar: - • OFFICERS Bonklhg l)ep"t . . JNO~ M.-~IC DA vrs CO»<Wl<l~ lfi ,._ DIRECTORS COPY OF PUBLISHED STATEMENT of r:c-n ~ ll, Sank of McNeil, Columbia Co ., Ari. 1911 AT THE CLOSE OF BUSINESS LIABILITIES I RESOURCES LOANS AND DISCOUNTS ............. ......... 4 3,7 3 6,78 CAPITAL STOCK................... .............. ··•········ 15,0 0 0.0 0 LOANS ON REAL EST ATE -··-·········- 2 2,.30 6.5 5 CERTIFIED SURPLUS ..·-·····-·•····-············· 6,5 7 5.0 0 LOANS ON COTTON ·--·····- ··-·····--···•··•• 4,0 0 0.0 0 8 2.0 3 OVERDRAFTS 6 8 3 .96 UNDIVIDED PROFITS .............................. BILLS PAY AB LE .........·-······· BONDS AND S ECU R IT I ES·--·-······· -··· NOTES REDISCOUNTED ........................ FURNITURE AND FIXTURES-··-···· 1,6 0 0.0 0 SAVINGS ACCOUNTS .................................. _ BANKING HOUSE 1,7 0 0.0 0 TRUST FUNDS OTHER REAL ESTATE- - - - - - -·· 1,0 0 0.0 0 DIVIDENDS UNPAID ....... ····················· .......... ITEMS IN TRANSIT INDIVIDUAL DEPOSITS BILLS OF EXCHANGE PUBLIC FUNDS........................... ..................... DUE FROM NON - RESERVE BANKS DUE TO NON-RESERVE BANKS ... _ CASH ITEMS-·--· DUE TO RESERVE BANKS ........... ..... ··- 5 9,8 6 4.6 5 I I I I DUE [ FROM RESERVE BANKS ...... _ 4,6 7 6 .1 7 C/ D'S, DEMAND C/ D'S, TIME .......................... ·····················"··········· CHECKS ON OTHER BANKS--···· CURRENCY I GOLD .. SILVER -·-····-···-·•· ··--····· 2,9 6 7.0 0 C/ D'S, FOR MONEY BORROWED ..... .... 1,9 0 3.0 0 CERTIFIED CHECKS ··------·-···· 5 2 5.0 6 2,.3 7 2 .9 8 ........ CASHIER'S CHECKS. ............................. RESERVED FOR INTEREST .............. OTHER RESOURCES RESERVED FOR TAX ES.•···-·················· OTHER LIABILITIES.................................. 1,. TOTAL ............ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .............. _ 8 4,4 9 6 .5 9 ~: TOTAL.................................................................. 8 4,4 2 6.5 2 ~r https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of :3ank of r:cN,,.:1, McNe il; Columbia Co., Ark. OFFICER/ tnr;L/ Ass'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of ""y 8.1.nk , ,t.:.;:;,l ,,, Gcsha G)., INOV I O1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I LOANS AND DISCOUNTS........................ 4 6,4 6 2.6 7 LOANS ON REAL ESTATE ................. 1 0 7,9 1 9.2 4 LOANS ON COTTON ........ CAPITAL STOCK ..... ... ............................ 7 0,0 0 0.0 0 CERTIFIED SURPLUS ..... ··············· ........ 1 2,0 0 0.0 0 UNDIVIDED PROFITS .................... ........ ·-·······. 7 7 4.5 8 BONDS AND SECURITI E S--.............. 4 2,6 1 5.0 0 FURNITURE AND FIXTURE$ __ .., 1,5 5 0.0 0 OVERDRAFTS....- ............. BILLS PAYABLE ............ ........ SAVINGS ACCOUNTS .. ... ............... 10, 8 2 1 .9 1 TRUST FUNDS ........................ ···························· OTHER REAL ESTATE,___________ 1 1,3 2 7.8 9 DIVIDENDS UNPAID................................... ITEMS IN TRANSIT..._ .. _ .. ___ ,,,........... 9 4.5 0 OF EXCHANGE .... DUE FROM NON-RESERVE BANKS I CASH ITEMS --------·-·· PUBLIC FUNDS .................. ............................... 1,30 2.4 8 DUE TO NON-RESERVE BANKS .... 48 :1..8 5 DUE TO RESERVE BANKS .............. C/ D'S, TIME ..................................................... ....... ... ,2 1 0.0 0 C/ D'S, FOR MONEY BORROWED ..... CERTIFIED CHECKS .. ...................... ......... SILVE R 4,5 6 3.5 3 5, 4 5 8 .7 0 C/ D'S, DEMAND ........................................... 1 4 5.5 1 GOLD. 1 2 5.0 0 6 0,6 9 6.5 3 CHECKS ON OTHER BANKS..._ ...... CURRENCY.. - ....... 1 1,2 3 8.2 3 INDIVIDUAL DEPOSITS.........................;;, 1 1.8 1 1 1,5 7 4 .6 1 DUE FROM RESERVE BANKS .... 5 5,0 0 0.0 0 NOTES REDISCOUNTED .......................... BANKING HOUSE BILLS 1,8 2 7.4 0 CASHIER'S CHECKS ........................ ........... 2 6,5 2 0 .1 2 6 4 •.... I 6 3 1 9.8 8 RESERVED FOR INTEREST...... ...... OTHER RESOURCES ......... --......_ ........... RESERVED FOR TAXES ......................... OTHER LIABILITIES.................................. TOTAL... ............................................. ................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ?.1.A -~ -~ 2SO .;~. TOTAL............................................................... 2 .1 4,5 5 2 .5 Q " .)~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ~cGehe e ,aJ:ay Bank, McGeh e, Des ha Co., Ark. OFFICERS R. Thane Preaidenl Abner kcGehee Vice Preaidenl J . 1. , illoughby Cashi er D. O. C. Cleveland Ass't Cashier .: . A. Tucker sst Ca.shier DIRECTORS H. Thane J . Bernro.rdt cott .1.cGehee J . J . lilloughby Abner .,.:cGehee COPY OF PUBLISHED STATEMENT of 1c ,ae St ~~p Bank, McRa e, Whit e Co . , Ar.I{, l J 91 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I LOANS ANO DISCOUNTS........................ 1 0,5 6 9 .7 9 LOANS ON REAL ESTATE ................. 7.4 1 8.2 1 CAPITAL STOCK ·········-···· ...-...... CERTIFIED SURPLUS ............................... LOANS ON COTTON ...... ··-···········-············· UN~IVIDEO PROFITS............................... ··-·····-·-·-··········· 1 2 0.8 4 BILLS PAYABLE ...........................:.................... BONDS AND SECURITIES---·····-······· 1 1 2.4 4 NOTES REOISCOUNTED ....................... F U RNITURE A N D FI XTURES---··· 1,0 2 1.0 0 OVERDRAFTS TRUST FUNDS.................. OTHER REAL ESTATE DIVIDENDS UNPAID.................................... 9,9 0 .'.3.9 7 DUE TO NON-RESERVE BANKS.... ··- -···· DUE FROM RESERVE BANKS ........ 1 3. 7.6 7 DUE TO RESERVE BANKS ........... .... 1,8 3 5.5 6 C/ D'S, DEMAND ............. ............................... C/ D'S, TIME .............................................................. CHECKS ON OTHER BAN KS·-·-···· CURR EN CY--·-----·---·-·····--···--···-···· GOLD ....·- ···-·· ·- PUBLIC FUN OS .................................................... DUE FROM NON-RESER V E BANKS CASH ITEMS 1,5 0 0.0 0 ····· INDIVIDUAL DEPOSITS --···-- BILLS OF EXCHANGE I 4 3 1.2 2 SAVINGS ACCOUNTS .................................... BANKING HOUSE. ITEMS IN TRANS I T 10,00 0.0 0 - --·-········· SILVER 1,3 3 9.0 0 C/ D'S, FOR MONEY BORROWED ..... ~- 0.0 0 CERTIFIED CHECKS...................... ............ 5 2 6.0 7 CASHIER' S CHECKS..................................... 3 5 0.0 0 8 9 1.5 8 RESERVED FOR INTEREST .............. OTHER RESOURCES ... RESERVED FOR TAXES OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ...... . ..... _ .a...3,1 2.0,5 8 * TOTAL .................. .. 43 .81 ·····•···· ..... z 3, 1 2 0.5 8 ~;- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ·1c.Rae Stc..'· 0 Jank, McR~e, White Cv., Ark. OFFICERS . F . ~auer , Presidenl J.A. Cullum Bonklnq De , Vice P resident T . 1 . Leggett Cashier JNO. M. DA VIS . a.llNIC C0MW/ll5 i01f811 Ass'{ Cashier DIRECTORS 1 .F. ~aucr J.A. Cullu J.D. ~irdso g T • • Legg:ett J. • r•est L.H. Roccrs COPY OF PUBLISHED STATEMENT of Arkansas Q~ k & Trust Co., Ne· port, Jackson Co., :r NO 1 o 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I LOANS AND DISCOUNTS........................ 23 1,6 1 2.4 3 CAPITAL STOCK............. ............................. ,... 1 00,00 0.0 0 LOANS ON REAL EST ATE .....•.•.•.... 4 7, 26 3.0 0 CERTIFIED SURPLUS ................................ 8,0 0 0.0 0 LOANS ON COTTON ..·-··••····-··-········· 65,2 4 4.2 2 UNDIVIDED PROFITS................................. 4,5 2 2.5 9 45 4.7 0 OVERDRAFTS BONDS AND SEC UR IT I ES- •.....••.... 1 7, 20 1.5 4 FURNITURE AND FIXTURES- ..... 1 9 9.5 0 BILLS PAYABLE ..·-·-·· NOTES REDISCOUNTED ....................... SAVINGS ACCOUNTS. 1 7, 6 3 2.5 0 BANKING HOUSE TRUST FUNDS OTHER REAL ESTATE-·--·-····-· I I INDIVIDUAL DEPOSITS... - •..•......•....... PUBLIC FUNDS DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... CASH ITEMS DUE FROM RESERVE BAN KS ... ..J I CHECKS ON OTHER BANKS.......... I ··········· BILLS OF EXCHANGE I I ···- DIVIDENDS UNPAID ... ............................... 2, 0 0 1.5 9 ITEMS IN TRANSIT ·- CURRENCY •--••• • • - • • • - - - • • • P I GOLD......·--·-···-···-············-···---············· I SI L VER -·--······ OTHER RESOURCES ...... ··············· 2 6 3,6 6 4.5 3 62,3 4 4.7 1 2 3 6.5 7 DUE TO RESERVE BANKS............... 1 8,1 5 3.6 8 6 2,8 7 7.5 9 C/ D'S, DEMAND ................................................... 9,8 2 3.3 1 1,0 17.5 2 C/ D'S, TIME .. 10,8 46.0 0 C/ D'S, FOR MONEY BORROWED ...• 5,0 0 0.0 0 CERTIFIED CHECKS .................................... 4,7 7 1 .1 5 CASHIER' S CHECKS ..................................... 1 5 0.5 1 RESERVED FOR INTEREST ...... ...... RESERVED FOR TAXES I l l OTHER LIABILITIES........................•........ TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .. ····•·•··••-•·- 4 6 615 0 8 .82 ..... TOTAL.........................•.................................... 4 6 6,5 0 8.8 2 ~,- OFFICERS AND DIRECTORS of Arkan sas qQ~k & Trust Co ., Ne port, Jackson Co., Ark , OFF IC E R S Ohaa. G, Henry P residenl A.loorn Pergu1on Vice P residenl Garland Hurl Caahier Olay Ohildera A BB' I Caahier DIR E CTORS Jo ■ • s. n. M. Berger Jr . J . YI, Grubb ■ Campbell A• L. Crittenden Marvin Hare R. F. Drumnond Alcorn P'trguaon https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis o, J. Saenger. COPY OF PUBLISHED STATEMENT of i.3a.n k of r:asLville, Nashv i lle, How~rd Co., Ark . OV I O 191 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS .. -·-················· 5 9,492 .33 CAPITAL STOCK........·-······················-············· LOANS ON REAL ESTATE_ .............. 15,019.40 CERTI Fl ED SURPLUS............................... . 25,000.00 LOANS ON COTTON _ _ __ UNDIVIDED PROFITS................................. 8 4 3.3 3 OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE-----·········•······ 8 , 500.00 BONDS AND SECURITIES--·-·-·-···· 3 6 0.6 3 FURNITURE AND FIXTURES. -... 2,937 .92 NOTES REDISCOUNTEO _ __ SAVINGS ACCOUNTS ... ......................... . BANKING HOUSE·--···----·--- OTHER REAL ESTATE _ _ ___, TRUST FUNDS- - -····························· 2,200.00 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT---·-·-·-···· INDIVIDUAL DEPOSITS .......................... 3 3,598 .74 BILLS OF EXCHANGE- PUBLIC FUNDS...... _ _ _ __ 12,6 8 6.4 9 - -···· DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... 8 6 .1 5 CASH ITEMS- - - - - - - DUE TO RESERVE BANKS........... ... 6,911 .92 C/ D ' S, DEMAND .......................................... ...... . 174.26 C/ D'S, TIME _ _ _ _ _ _ _ _ , CURRENCY _ _ _ _ _ _ _ _ , 1,501.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD.·----··-·· · - · - - - - - - - - 1 2 8 0.0 0 DUE FROM RESERVE BANKS .... CHECKS ON OTHER BANKS·---·· 1 1,491.85 OTHER RESOURCES _ _ _ _ _ 1 5 0 0.0 0 SILVER _ _ _ _ _ _ _ _ _ 10,026.9 0 CERTIFIED CHECKS .................................. CASHIER'S CHECKS _ _ _ _ _ , 3 0 0.0 0 RESERVED FOR INTEREST.............. RESERVED FOR TAXES ......................... OTHER LIABILITIES TOT AL .........•-·••·--······································· ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 90,955.46 * TOTAL .............................................................. 9 O, 9 5 5 .4 6 ~~ OFFICERS AND DIRECTORS of 5ank of 1:a-::::'iville, Nashv.lle, Howard Co., Ark . OFFICERS o. o, Ramsey Presiden& J.B. Hill Vice Presiden& J. D. Moore Cashier Ass'I Cashier DIRECTORS w. w. Brown fl. H. Cannon c. \Y. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Dodson J. B. • c. c. Ram.a _J__._ 11 D. Moore COPY OF PUBLISHED STATEMENT of Bank of 1:ettleton, Net~l eton, Craighead Co ., Arl . NOV 1 n191 5 AT THE CLOSE OF BUSINESS RESOURCES I LIABILITIES LOANS AND DISCOUNTS........................ 9,965.90 CAPITAL STOCK.....· - - - - · ····· 10,000.00 LOANS ON REAL ESTATE·-········ ······ 19,020.00 CERTIFIED SURPLUS ............................. . 10, 000.00 LOANS ON COTTON .. - - ~ ....... UNDIVIDED PROFITS- - - · · · · ··· OVERDRAFT S_ _ _ _ ·--·--···-·. BILLS PAYABLE _ _ _ _ __ , BONDS AND SECURITIES_···-··--··-·· NOTES REDISCOUNTED .......................... FURNITURE AND F I XTURES_ ... 1,000.00 SAVINGS ACCOUNTS .................................. . BANKING HOUSE._ _ _ _ _ _ _ , 2,639.5 2 TRUST FUNDS.........• · · - - - - - ·· OTHER REAL ESTATE- - - - - - ! DIVIDENDS UNPAID .....· - - -····· ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - - - ··· DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ..... ! CASH ITEMS _ _ _ _ _ _ _ , 19,643.81 CHECKS ON OTHER BANKS_ ..... 5 18 .8 4 GOLD .. _ _ _ _ _ _ _ __ SILVER _ _ _ _ _ _ _ _ _ _ 1 31,324 .81 310 .8 2 DUE TO RESERVE BANKS...·-····· ··••· DUE FROM RESERVE BANKS ........ CURRENCY _ _ _ _ _ _ _ _ _ _ , 1,217 .6 9 C/ D'S, DEMAND................................................ 2,429 .67 C/ D ' S, Tl M E-·········· · · · · · - - - - -1 1,8 9 4.0 0 C/ D'S, FOR MONEY BORROWED ..... 15.0 0 CERTIFIED CHECKS .................................. 6 7 1 .6 3 CASHIER'S CHECK$ _ _ _ _ _ , 8 5 .7 1 RESERVED FOR INTEREST .............. OTHER RESOURCES _ _ __ RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES............... -................ . TOTA' https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 5. 3 6 8 .7 0 ~: TOT AL ..·-···········• ..... 5 5, 3 6 8 .7 0 ~: OFFICERS AND DIRECTORS of 3ank of Ne ~leton, Net ·l eton , Craighead Co., Ar·· OFFICERS c. w. Kiech Presidenl Fred Shauver Vice Presidenl Henr,. Kisch Caahier L. D. Kiech Aas'I Cashier DIRECTORS c. w. Kiech Fred Shauver Henry Kiech J. C. Howell L. D. Kiech https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of vank of Edinburg, New Edi~burg , Cla e iand Co., Ar :. t;,y- v 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS ........... ........... 25,035 .71 CAPITAL STOCK- - -························ LOANS ON REAL ESTATE ................. 11,858 .76 CERTIFIED SURPLUS- - -········· BONDS ANO SECURITI E S--···--·-···· FU RNITURE A N D FI XTURES- ... BANKING HOU S E· - · - · - - - - - 1 8, 099.2 8 UNDIVIDED PROFITS ............................... LOANS ON COTTON _··-···-·····-·······-· ...... OVERDRAFTS _ _ _ _ _ __ 12,500.00 3.18 BILLS PAYABLE- - - - - · · · · · 2 5 2 .7 5 NOTES REDISCOUNTED ......................... 1,300.00 SAVINGS ACCOUNTS ................................... 1,3 0 0.0 0 TRUST FUNDS•----·•·•················· OTHER REAL ESTATE- · - - - - ! DIVIDENDS UNPAID ................................ . ITEMS I N TRANS I T _ _ _ _ _ , INDIVIDUAL DEPOSITS- - - · · - 1 ,0 11.8 3 B I LLS OF EXCHAN G E -·-···---··-·-· PUBLIC FUNDS- -- -----1 8,2 9 1.5 7 DUE FROM NO N- RESER V E BANKS DUE TO NON-RESERVE BANKS .... CASH I TE M S _ _ _ _ _ _ _ DUE TO RESERVE BANKS·--····-····· 1 DUE FROM RESERVE BANKS ........ 12,2 7 3 ,3 9 C/ D'S, DEMAN 0 ................. .......................... C/ D ' S, TIME .................·----·············· CHECKS ON OTHE R BANKS.·-········ 6,6 2 '.:?,0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD- - - - - - - - - · • · · 815.0 0 CERTIFIED CHECKS ........· -- - · · · SILVER- - - - - - - - - - · · 584.01 CASHIER' S CHECKS- - - - · · · · · · OTHER RESOURCES--··-·-··-···· 3 .6 5 RESERVED FOR INTEREST .............. CURRENCY _ _ _ _ _ _ __ 15,146 .77 RESERVED FOR TAXES,_ _ _ , OTHER LIABILITIES................................. . TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 0, o 4 9 .4 5 -lE- TOTAL. ............................. 6 0, 0 4 9 .4 5 .;~ OFFICERS AND DIRECTORS of Ja1k of ~e~ Zdinburg. New Edi~burg, Clev elnnci Co., Ari•. OFFICERS President Vice Presidenl k b . 1. fi~~nn nrr::. ttwood~- - - - - u~~ cashie, J 0. M. DAVIS amuuui ' Ass't Cashier DIRECTORS C. F. S.11i th J. o. • D. £'... Orto https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 191s' vaac~ 1~-• -• - - - - - - - - ttwood COPY OF PUBLISHED STATEMENT of B Ilk of :•.:.,.,.. :,ms , Ni .~,ons, Cl ay Go ., Ark . INOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 4,9 8 2 .16 LOANS ON REAL ESTATE ................. 1, 7 0 4 .1 5 CAPITAL STOCK---···············•········ ) I 5,0 0 0.0 0 CERTIFIED SURPLUS---········ 131.7 4 LOANS ON COTTON .................................. UNDIVIDED PROFITS................................. OVERDRAFTS _____··------···-··· BILLS PAYABLE _ _ _ _ _ _ , BONDS AND SEGYRITIES_··-·····-······· NOTES REDISCOUNTED- - -r :, FURNITURE AND FIXTURES-·-··· 8 7 0.0 0 SAVINGS ACCOUNTS ...... ··························- BANKING HOUSJ¥·-·--·----------- 1,000.00 TRUST FUNDS-- - - -····················· 2 0 0.0 0 DIVIDENDS UNPAID ...............·-··-·············· 13 .8 7 INDIVIDUAL DEPOSITS ···•····················- 6,845.5 0 PUBLIC FUNDS...· - - - - - - · ·- 2 4.2 7 OTHER REAL ESTATE _ _ __, .• ITEMS IN '·TRANSIT _ _,_ - ···-··-··· BILLS OF EXCHANGE _ _ __ DUE FROM NON-RESERVE BANKS- - ~ - : --,----l 4 3 0 .7 3 CASH ITEMS _ _ _ _ _ _ _ _ , ~ DUE TO RESERVE BANKS........... ..... , DUE FROM RESERVE BANKS-····- DUE TO NON-RESERVE BANKS.... 1,9 8 3.5 2 C/ D'S, DEMAND ..·-·--···· · · - - - - - 1 ,; CHECKS ON OTHER BANKS..•-····· 211 .9 5 CURRENCY- - - - - - - - - · · · - 4 8 0.0 0 '-. . I 15 0.0 0 C/ D;s, J:9.R MO~EY BORROWED ..... ~- v ,l ,;. , · ~ . I:.. CE~TIFIED CH~CK~"---········· GOLD-·· - - -,· - - - - - - - - - , SIL VER._·-··•·•·------··-·-···-··· _j ~ 4 3 9.5 4 r .J 1· I CASHIER'S CHECKS ..................................... .n.:- ~_., J r · '- 164.41 RESERVED FOR INTEREST .............. OTHER RESOURCES ....·-·····-··-·····-•-·····•· RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES............. ................... TOT AL......·-·-····--········-·················· .......... ··- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 12, 3 1 5 .9 2 ~: TOTAL.. ................ 1 2, 3 1 5 .9 2 ~: https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of 3ank of i'im·,ons, Nim ons, Clay Cc,., Ark. OFFICERS La YT enc e ' 1 • Pnber Presidenl Vice Presidenl 1' i J J Cashier i a ms TC":·'i~ Au'I Cashier JNO. M. DAVIS IIA.Nl( CO.IUIJII DIRECTORS Willinrns , n 10k COPY OF PUBLISHED STATEMENT of Citizens '< qnJ:C, Norfork, Bax~ er Co., Ark AT THE CLOSE OF BUSINESS RESOURCES 5,7 3 5.7 9 LOANS AND DISCOUNTS .......... ............ LIABILITIES I CAPITAL STOCK_............. ............................... 2 7.6 5 LOANS ON REAL ESTATE-·•-·····-·-· CERTIFIED SURPLUS LOANS ON COTTON ... _. UNDIVIDED PROFITS..................... .......... ...... OVERDRAFTS._. ____ 9 8.2 1 ---······· .................. BILLS PAYABLE BONDS AND SECURITIES--·····-······ NOTES RE DI SCOU NTE D ...·-··········•······ . FURNITURE AND F I XTURES--···· 1,28 4.4 4 SAVINGS ACCOUNTS ... ............... ... ········~ BANKING HOUSE 1,3 4 2.7 3 TRUST FUNDS ..... OTHER REAL ESTATE--··---···-- DIVIDENDS UNPAID ITEMS IN TRANSIT INDIVIDUAL DEPOSITS.....-............... .... BILLS OF EXCHANGE PUBLIC FUNDS DUE FROM NO N- RESERVE BANKS DUE TO NON-RESERVE BANKS ... CASH ITE M S ......... 8, 2 6 4 .7 9 DUE TO RESERVE BANKS................ ··- DUE FROM RESERVE BANKS ....... 4,1 3 4.4 5 CHECKS ON OTHER BAN KS-·•-······ 2 9 .4 7 C/ D ' S, DEMAND ··························· C/ D ' S, TIME ........ 6 0 0.0 0 C/ D ' S, FOR MONEY BORROWED..._ GOLD ....·-···-··- ····-·-··-·· 45.0 0 CERTIFIED CHECKS .................. ................ SILVER 2 3,4 9 CASHIER' S CHECKS CURRENCY 5,0 0 0.0 0 ·- 5 3 0 .1 9 OTHER RESOURCES RESERVED FOR INTEREST .............. RESERVED FOR TAXES OTHER LIABILITIES.................................. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ·····-·······- 1 3.8 2 3 .7 7 .,, . . ~!_ TOTAL ................................................................ 5 3 1 .3 3 1 3 8 2 3 .7 7 ., ;,: https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Citiz ens ~., .k, N ,: fo r k, Baxter Co., Ar OFFICERS WffL1;Lot~ e Q-(3~ Vice President 71 ~J211~ A••'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of :"a n;ers r !'l;:, Ne~port, Ja ck&on Co,, /\rk INOV AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS........................ 1 4 4, 0 6 7 ,0 5 CAPITAL STOCK .....· - - - -·······- 5 0,0 O 0 .0 0 LOANS ON REAL ESTATE ....... •-··•·•·· 25,783.84 CERTIFIED SURPLUS................................. 9,0 0 0.0 0 UNDIVIDED PROFITS.................. ......... . 1,081.31 LOANS ON COTTON ................................... . 6 2 1 .6 9 BILLS PAYABLE---························ BONDS AND SECURITIES-··-·····-······· 2,013.5 9 NOTES REDISCOUNTED ......................... FURNITURE AND FIXTURES--··· 3,404.32 SAYINGS ACCOUNTS---··········- OVERDRAFTS _ _ _ _ _ _ _ ! BANKING HOUSE _ _ _ _ ··---- TRUST FUNDS- - - - - - - · · OTHER REAL ESTATE·-·-··--··- · - DIVIDENDS UNPAID ........... ..................... . ITEMS IN TRANSIT _ _ _ _ _ , 4 0 3.8 2 BILLS OF EXCHANGE _ _ __ , I I 1 0 1915 INDIVIDUAL DEPOSITS _ _---< 9 6,8 9 2 .18 PUBLIC FUNDS................................................... 15,860.78 DUE TO NON-RESERVE BANKS..... 2,919.08 DUE FROM NON-RESERVE BANKS 2 5,0 0 0 .0 0 DUE TO RESERVE BANKS........... ..... CASH ITEMS- - · · - - - - - - - 27, 003.33 C/ D'S, DEMAND ................................................... 3, 367 .50 6 2 4.6 5 C/ D'S, TIME- - - - - - - ·· 3,01 CURRENCY _ _ _ _ _ _ _ _ , 3,397.00 C/ D'S, FOR MONEY BORROWED..... GOLD.-·······-···- · · - - - ···- - - - 1 2 0 0.0 0 CERTIFIED CHECKS ...................... ............ SILVER- - - - - - - - - - - · · -··-··· 6 8 5.1 4 CASHIER'S CHECKS- - - - · ····· DUE FROM RESERVE BANKS ........ CHECKS ON OTHER BANKS·---··· s.e 5 1,0 6 4 .7 '.3 RESERVED FOR INTEREST .............. OT H ER RE SOU RC ES .........·-························· RESERVED FOR TAXES,_ __ , OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 0 8, 2 0 4- .4 3 ~: TOTAL. .............................. 2 0 8. 2 0 4 .4 3 {~ .. , . OFFICERS AND DIRECTORS of : armers E&nl , NITTport, Jae.son Co., Arlr OFFICERS . .- . I .r. () President E. Tones Vice President Caahier Aaa'I Caahier DIRECTORS ., -,.. . o. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis • ,an J r.e ay, I 'aet·.in - d..'..ed ov. 15, .... . 15 o:'fi oe a rector COPY OF PUBLISHED STATEMENT of :c-lant ers ~"1.~ & Trust. Co., Nash 'I l e, Howard Co., 1 Q 1915 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES CAPITAL STOCK............................................. 7 5,0 0 0.0 0 81,672.42 CERTIFIED SURPLUS. .......................... . 2 5,000.00 11,717.03 UNDIVIDED PROFITS. .......................... . 3,S 7 8.1 5 BILLS PAYABLE ................................................ 60, 000.00 LOANS AND DISCOUNTS...................... 2 4 9,668.45 LOANS ON REAL ESTATE ..•........... LOANS ON COTTON _ _ __ OVERDRAFTS'- - - - - - · • • · ··· I BONDS AND SECURITIES---·-······ 9 6 4.5 5 FURNITURE AND FIXTURES- .•.... 2,250.00 SAVINGS ACCOUNTS ................................ . BANKING HOUSE _ _ _ _ _-1 5,0 0 0.0 0 TRUST FUNDS- - - - - -····· OTHER REAL ESTATE- - - - ! 11,016.65 DIVIDENDS UNPAID- - - - ··· NOTES REDISCOUNTED .......................... ITEMS IN TRANSIT _ _ _ _ _ ! INDIVIDUAL DEPOSITS- - ··· 18 9,498 .93 BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS _ _ _ _ _ _ , 15,403.6 9 DUE FROM NON-RESERVE 2,500.00 BANKS - DUE TO NON-RESERVE BANKS... DUE FROM RESERVE BANKS ........ 61,546.9 7 C/ D'S, DEMAND................................................. CHECKS ON OTHER BANKS·-······· 5,6 7 3.5 3 C/ D'S, TIME .............................................................. I CURRENCY- - - - - - - - · · · · · · · ·· 14,244.0 0 C/ D'S, FOR MONEY BORROWED ... - - - - - - ··- · · - ········· 6 0 0.0 0 SI LVER-- - - · · - - - - - - - - - 1 2,528.23 GOLD- OTHER RESOURCES- -- -······ 1 7 8.5 2 DUE TO RESERVE BANKS................ CASH ITEMS•- - - - - - - · · ·· f 71,510.32 11,164.00 20,034 .95 CERTIFIED CHECKS ......•....................... CASHIER'S CHECKS .......... _ __ 5 41.2 7 RESERVED FOR INTEREST•..•........ RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOT AL...............·-··-·······················•·•··········· ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 6 0, 5 4 5 .8 3 ~: TOTAL..·-······•········· 4 6 0. 5 4 5 .8 3 ~" OFFICERS AND DIRECTORS of Plante rs B ~ ~~ & Trus t Co., Nashv~lle, Howard Co., A.r'r. . OFFICERS . H. Toland President J . H. Wallace A. C. Ramsey V ice Presidenl •'- Geo . H. Bell Cashier A. H. Hughes • K. Haller o•••• ......, ,~ Ass't Cashier .,..,.•'" ,~ DIRECTORS . H. Norwood J •• Hugheo J . H. Vlallace J . F. Price J • .{. Power S . B. Dil4y- Geo . H. Bell Vl . H. Toland A. C. Ramsey J . N. Rector https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ c,o+' COPY OF PUBLISHED STATEMENT of F'atn,ers .::.oVl·. , Ol·e y , Boon a Co. , Ark. AT THE CLOSE OF BUSINESS ' 1 '.) 191 RESOURCES LOANS ANO DISCOUNTS........................ LIABILITIES I -5,4 0 3 .7 0 LOANS ON REAL EST A TE ........... -··- CERTIFIED SURPLUS ...... ····-··········-······ . LOANS ON COTTON ...................................... UNDIVIDED PROFITS ........... .................... OVERDRAFT S____ .. BILLS PAYABLE BONDS ANO SECURITIES-----··· NOTES REDISCOUNTED .......................... 1,5 2 8.0 9 SAVINGS ACCOUNTS............................. ···- BANKING HOUSE ___.. 2,2 0 5 .7 9 TRUST FUNDS ............ OTHER REAL ESTATE-··-·-··--··--· DIVIDENDS UNPAID ..... ............ ······•···· ITEMS IN TRANSIT INDIVIDUAL DEPOSITS ··- PUBLIC FUNDS ··• I DUE FROM NON-RESERVE BANKS 10,7 1 4 .:t 7 DUE TO NON - RESERVE BANKS ... ·- CASH I TE M S DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ t::. ,7 7 1.0 '.3 C/ O'S, DEMAND ................................................... I CHECKS ON OTHER BANKS_ ...... C/ D'S, TIME ...............•............................................. CURRENCY :1.,6 1 9 .0 0 C/ D ' S, FOR MONEY BORROWED ..... GOLD ...·-·-·-···· 2 3 5.0 0 CERTIFIED CHECKS ........................ .......... 5 43.5 6 CASHIER' S CHECKS SILVER __ ··-··- 3 3 2.0 0 ···-··-·········· FURNITURE A N O F I XTURES-·-··· BILLS OF EXCHANGE·----·--··--- I 8, 2 0 0.0 0 CAPITAL STOCK ............ ---···· 5 0.0 0 1 0.0 0 RESERVED FOR INTEREST .............. OTHER RESOURCE S........ RESERVED FOR TAXES TOTAL •.•...........••.............•................ ····•·····- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 9,3 0 6 .1 7 OTHER LIABILITIES ..... -··· TOTAL ..•............•............ .......... ., 7 \" 1 2, 3 0 6 .1 7 -:: OFFICERS AND DIRECTORS of farmers Ea."'t, O~ey, Boone Co., Ark. OFFICERS Presidenl V i ce Presidenl DIRECTORS ~- ft{J~ ~ w- f> https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis (P~ COPY OF PUBLISHED STATEMENT of 0uachita 'l,,;::,:, Oua c 11i ta, Dal iaJ Co., P. 0. Camden Ark. NOV 1 O1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES 21,064 .7 5 LOANS ON REAL ESTATE ..·-···-······· 5,050.00 CERTIFIED SURPLUS ............................. . LOANS ON COTTON ..·-···········-·····-······ .... 11,001.68 UNDIVIDED PROFITS............................... 1,067.01 BILLS PAYABLE- - - - -······ 2,000.00 CAPITAL STOCK.................. _ __ OVERDRAFTS _ _ _ _ _ __ BONDS AND SECURITIES--·---····•·· 3 0 .7 0 NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES_ ... 4 0 0.0 0 SAVINGS ACCOUNTS .................................. . 1,500.00 TRUST FUNDS ..................................................... BANKING HOUSE _ _ _ _ _ _ ! I 10,000.00 LOANS AND DISCOUNTS...................... OTHER REAL ESTATE _ _ __, DIVIDENDS UNPAID .................................... ITEMS IN TRANSIT- - - · - - · - · · · INDIVIDUAL DEPOSITS......................... BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - - - -··- DUE FROM NON-RESERVE BANKS_. __ DUE TO NON-RESERVE BANKS .... CASH ITEMS _ _ _ _ _ _ ·--··- DUE TO RESERVE BANKS................ 19,657.8 8 DUE FROM RESERVE BANKS ........ 8 6 0.0 8 C/ D ' S, DEMAND.......................................... 2,379 .74 CHECKS ON OTHER BANKS ....- ..... 2 5 7 .0 9 C/ D'S, TIME ............. _ _ _ _ __ 6,017 .90 CURRENCY _ _ _ _ _ _ __ 6 16.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD _ _ _ _ _ _ _ _ __ 16 5.0 0 CERTIFIED CHECKS .................................... SILVER- - - - - - - - - ··· 177 .2 3 CASHIER'S CHECK$ _ _ __ RESERVED FOR INTEREST............. . OTHER RESOURCES- - - - · · ·· RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL............................................................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 1, 1 2 2.5 3 ~~ TOTAL ................................................................. OFFICERS AND DIRECTORS of uuachi ta ln >"u C' Ouac' ita, Dallas Co., P . 0 . . Camden Ar1: . ' . O FF IC E RS •. ➔. , b-: 11i1 k_ . ~~k~\_ DIRECTORS \ ' G-~ ,~ 1>-df..~ ,i,I) a.u11 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of leo ples "-11':, Oz· k, Frankli u Co., Ark. V 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS............... 91,637.10 CAPITAL STOCK ................................................ 25,000.00 LOANS ON REAL ESTATE ..·-···-······· 11,9 3 0.0 0 CERTJ Fl ED SURPLUS .. ·-·······--·················· 10, 500.00 BONDS AND SECURITIES-·-··--···•· 4 .9 5 16.12 2, 8 3 1.9 8 F URNITURE AND F I XTURES-·-··- 1,5 0 0.0 0 OVERDRAFTS _ _ _ _ ···-··-··-·······. BILLS PAYABLE- - - · ·············-········ NOTES REDJSCOUNTED .......................... SAVINGS ACCOUNTS ........·-·····•··----············ BANKING HOUSE _ _ _ _ _ .__ _ TRUST FUNDS ................................................... OTHER REAL ESTATE _ _ _-< DIVIDENDS UNPAID ......_ _ _ _ , ITEMS IN TRANSJT·--------····-······ INDIVIDUAL DEPOSITS .......................... BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ _ _ __ DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... j CASH ITEMS _ _ _ _ _ _ _ , 2 0 7 .7 8 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ...... _ 5 7.18 7 .6 7 C/ D'S, DEMAND................................................. CHECKS ON OTHER BANKS·-········ CURRENCY- - - - - · ··-·-•···· GOLD..· - · - - - - - · - - - - - SILVER _ _ _ _ _ _ _ __, OTHER RE SOU RC ES---·-··-·-·-·-··-···· 8, 611.7 5 UNDIVIDED PROFITS.......................... . LOANS ON COTTON .·--··················--··· .... 8 9,0 2 9.1 9 1,3 5 5.6 0 15,000.00 22,150.00 C/ D'S, TIME .................·-·····················-··················· 4,083.00 C/ D'S, FOR MONEY BORROWED ..... 5 2 5 .0 0 CERTIFIED CHECKS .................................... 6 9 6 ,3 8 CASHIER' S CHECKS ..................................... 1,249.01 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ _ _ , 2 2 2.4 5 OTHER LIABILITIES .. :............................. TOT AL.. ......................................-............ _ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 7 1,8 6 8 .9 9 {~ _ __ 1_7_ 1~ -,8 _ 6_ 8_.9_ 9_~_f~ T~O_T ~ AL _ ..._....._ .... __ .... _ ......_....._....._ ......_....._ ......_....._....._ .... _ _ OFFICERS AND DIRECTORS of ~c: oples ....,J.r> :, Oza·k, Franklin Co., OFFICERS M. E.Conatser Presidenl L,L •.l!'ord Vice Presidenl furlev 1-l.us:.Jcll Cashier t'. ~:. ctoc kton A88't Cashier DIRECTORS L ;:;.C or.at Rer Harley Russell Will Hill Geo.W.nuasell Ii u Hall J. 'l' .Greer https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Hec 1 d. il~c. 25th, 1915. COPY OF PUBLISHED STATEMENT of c:tizens 3q~~ of Osceola, Osceola , 1 issi~s.p ... Co Ark . NOV I O 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I LOANS AND DISCOUNTS........................ 94,523 .6 '.3 CAPITAL STOCK.................. _ __ 2 5,0 0 0.0 0 L OANS ON REAL ESTATE·-······--··- 12,432.7 7 CERTIFIED SURPLUS .........·-•··············· ... 16,574.51 UNDIVIDED PROFITS ............................... . 3,9 9 3 .7 3 L OANS ON COTTON ..·-··---·····- OVERDRAF T S.·----------·•-··· 5 19.7 4 BI L LS PAY ABLE-·············-······························· BONDS AND SECURITIES····-····-·-···· 4 15.8 2 NOTES REDISCOUNTED ......................... ... 1,675.00 SAVINGS ACCOUNTS _ _ _ ·······- BANKll',/G HOUSE·---•·------1 7, 500.00 TRUST FUNDS .................................................. OTHER REAL ESTATE _ _ _...., 3.,171.0 0 DIVIDENDS UNPAID- - - -·· 8 1.5 0 INDIVIDUAL DEPOSITS ··-···················· · 6 7, 155.6 1 PUBLIC FUNDS ...·-············- - - -··· 54,497 .77 F URNITU RE A N D FI XTURES- I TEMS IN TRANSIT_ _ _ ··--·-··· BILLS OF EXCHANGE _ _ __ , 280.65 DUE FROM NON-RESERVE BANKS- - - - - - - - · ·· 4,070 .30 DUE TO NON-RESERVE BANKS .... CASH ITEMS _ _ _ _ _ _ _ ···· 2,164.0 5 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS........ 57,084.09 C/ D'S, DEMAND- - - · · · ····················· CHECKS ON OTHER BANKS--······· 1,467.41 C/ D'S, TIME ....... ••····-·············•·······•························· 5, 7 3 3.8 5 CURRENCY. · - - - · - - - - - - - 3,726.0 0 C/ D'S, FOR MONEY BORROWED ..... 15,000.00 5 0 0.0 0 CERTIFIED CHECKS- - - · · · · ······ 5,0 6 9 .81 CASHIER' S CHECKS- - -··········· GOLD._ _ _ _ _ _ _ _ _ _ SILVER-·· · - · · · - - ~ - - - - - · · · 1 RESERVED FOR INTEREST.............. 0TH ER RESOURCE S....·-·· · - - - RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL.. ............................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 9 4, 3 1 7 .6 2 'ii- . TOTAL................................................................. 1 9 4. 3 1 7 .6 2 'i~ OFFICERS AND DIRECTORS of Cit izens J<1,1:;c nf Os ceola, Os ceola, Missiqs ippi Co . , Ark OFFICERS J. '". Rhodes . Presidenl G. R. Erick y. Vice PreBidenl C. L. fo ore Jr. Cashier H rbert Bryant. Aa8't Cashier DIRECTORS J. "'. Fhodee. R. C. Roae . G. R. :S rf ckey. '"' . L. Gladi ah. • H• ..fo l key. H3.rrf rreinbere . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C. L . rfoore J r • COPY OF PUBLISHED STATEMENT of Bank of Ckn~0na, Okolona, Clack co., Ark , INOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS .......... ............ 3 ,3 8 7 .7 9 LOANS ON REAL ESTATE ..........·-··· 1 2,2 4 0.8 5 LOANS ON COTTON .............. 1,8 0 9 .7 6 OVERDRAFTS . LIABILITIES I CAPITAL STOCK............ ··········· CERTIFIED SURPLUS 4,2 2 5.2 0 UNDIVIDED PROFITS 1 5,0 0 0.0 0 BILLS PAYABLE -· BONDS AND SECURITIES--··-·--·· 5 5 1 .7 5 F URNITURE A N D FIXTURES--··· 2,6 0 0.0 0 SAVINGS ACCOUNTS ........... BANKING HOU S E 1,8 9 4.7 5 TRUST FUNDS OTHER REAL ESTATE---·-•-···- 8 6 .1 7 ITEMS IN TRANSIT 5 1 6 ,3 0 DUE FROM NON-RESERVE BANKS CASH ITEMS ----·..····..····-··· ······-···········-···· ... DIVIDENDS UNPAID ........................ .......... 2 7,8 3 8.C 2 PUBLIC FUNDS ................................................... 4 2 9.66 DUE TO RESERVE BANKS................ ·--···· 5,9 0 3 .8 3 CHECKS ON OTHER BAN KS·--···· 4 1 4 .7 5 C/ D ' S, DEMAND ...·-··································-········· 1,7 8 6.0 0 C/ D'S, FOR MONEY BORROWED ..... .. 28 0.0 0 CERTIFIED CHECKS............................. ····· -------·-··· 7 6 1.2 6 CASHIER'S CHECKS............................ ....... 1,3 4 3 .9 2 RESERVED FOR INTEREST ....•........ OTHER RESOURCES- .•.• 7. 7 9 9.4 7 C/ D'S, TIME ......................... --···- GOLD SILVER. - DUE TO NON-RESERVE BANKS ... - DUE FROM RESERVE BANKS-··-·· CURRENCY ...• NOTES REDISCOUNTED .......................... INDIVIDUAL DEPOSITS BILLS OF EXCHANGE -·-···---··--·-· 12,5 0 0.0 0 7 8 4.1 8 RESERVED FOR TAXES OTHER LIABILITIES TOT AL ...·•···············-·····-···················-········ ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ,. 6 8 5 7 7.1 3 J.'.. ···•······ TOTAL.................................................................. 6 8,5 7 7.1 3 ➔r https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Ban k of Otnlona, Oko:ona , Clark Co., Ar.k OFFICERS DIRECTORS COPY OF PUBLISHED STATEMENT of Bank -o f 01,,, Oh, Ye i Cu., 11.rk. IQV I O1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 46,035.72 CAPITAL STOCK_ _ _ _ _ _ 1 30,000.00 LOANS ON REAL ESTATE ........... .... .. 1 3, 3 2 0.0 0 CERTIFIED SURPLUS ............................... .. 10,000.00 LOANS ON COTTON ...................................... OVERDRAFTS ....____.._ _ _ _ __ ... BANKING HOUSE _ _ _ _ _ _ 4 6 2.86 UNDIVIDED PROFITS. • .--- 9 8 6.9:tt. BONDS AND SECURITIES- ......- ......... FURNITURE AND FIXTURES- BILLS PAYABLE _ _ _ _ .................. NOTES REDISCOUNTED ........................ . 1,500.00 SAVINGS ACCOUNTS ................................. 5,000.00 TRUST FUNDS _ _ _ _ _ _ _ 1 OTHER REAL ESTATE _ _ _--! DIVIDENDS UNPAID.............................. .. ITEMS IN TRANSIT _ _ _ _ _ _, INDIVIDUAL DEPOSITS _ _ _ .... 25,501.60 BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS _ _ _ _ _ _ , 4,303.64 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS _ _ _ _ _ _ _ .._ DUE FROM RESERVE BANKS ........ 213.9 3 DUE TO RESERVE BANKS.............. .. 5,8 8 9.18 C/ D'S, DEMAND _ _ _ .. ,...................... .. OTHER RESOURCES .................................. .. 5,376.00 C/ D'S, Tl ME ............ _ _ _ _ _ ........ CHECKS ON OTHER BANKS.......... CURRENCY _ _ __ _ _ _ _ _ I 2,024.0 0 C/ D ' S, FOR MONEY BORROWED ..... 15.0 0 CERTIFIED CHECKS .................................. 6 4 7 .9 9 CASHIER' S CHECKS ..................................... 11.3 7 RESERVED FOR INTEREST.............. RESERVED FOR TAXES- - - 1 OTHER LIABILITIES = . ·. L-.........!. T ::::!.. OT ..'...:A '.:!:L = = = = == .. =· ·· ..:::..--! . . _ _ _ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7_5, Q 4 4J. Q.L...:.i:.:..r_ =. . .:.:.::.:.:.=. . _:___T~O:!..'Tc.!:A~L=.... -=. . -=. . = . . ·~·__7L,.,,,,54,..1.6L£i4L4~.1~QL...!.~:~'. . . =.= = = .. _1 OFFICERS AND DIRECTORS of Bank of OJ A. , 01 <> , Ye 11 Co • , iA,rk. OFFICERS o.J .Harkey Presidenl W.H.Rankin Vice Presidenl H.V.Georg o Cashier - ----- J.P.:Norman Ass't Cashier DIRECTORS O.J.Hark y O.N.Harkey: w.H.Rankin R.L.Harkey A.J ar.1 s Lamar Walker J.E.White H.V.G eorge K.A . Norman https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~-------- COPY OF PUBLISHED STATEMENT of 3ank of O,n,.ha, Oma a, B ,one Co. , Ark, NOV 1 0 191 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS- - - - - l LOANS ON REAL ESTATE·-·············· LIABILITIES 18,101.14 CAPITAL STOC..-,~- - - - - · · · · · 1,748 .7 2 CERTIFIED SURPLUS _ _ __ LOANS ON COTTON ---·············· UNDIVIDED PROFITS................................ . OVERDRAFTS _ _ _ _ _ _ . _··-· BILLS PAYABLE _ _ _ _ _ _ , BONDS AND SEC URITIES-·--·--··· NOTES REDISCOUNTED .....·-·-····-·····- FURNITURE AND FIXTURES·-···· 8 2 8.5 0 SAVINGS ACCOUNTS .................................. BANKING HOUSE _ _ _ _ _ _ , 9 8 4.6 5 TRUST FUNDS·- - - - - - - · · OTHER REAL ESTATE _ _ _-< DIVIDENDS UNPAID- - - - · · - ITEMS IN TRANSIT--··-·-··--··-·-·-·· INDIVIDUAL DEPOSITS........................... BILLS OF EXCHANGE _ _ _ _ _ PUBLIC FUNDS _ _ _ _ _ _ _ ! DUE FROM NON-RESERVE BANKS- - - - - - - - - 1 DUE TO NON-RESERVE BANKS.... CASH ITEMS- - - - - - - - · · · - · · · · DUE TO RESERVE BANKS........... ..... t 10,000.00 ! DUE FROM RESERVE BANKS·-·- 6,086.04 C/ D'S, DEMAND---···-··----····· CHECKS ON OTHER BANKS·--·•·• 2 5.2 7 C/ D ' S, Tl M E ...·-··-··- - --- - - 1 CURRENCY.·----·--···-------1 3 3 0.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD ..·--·-··-----·--··------1 4 3 0.0 0 CERTIFIED CHECK$ _ _ _ _ _ , SILVER- - · · · · · - - - - - - · -·-··· 4 8 5.8 2 CASHIER'S CHECKS ..................................... 5 5 1.2 3 18,468.8 1 .10 RESERVED FOR INTEREST.............. OTHER RESOURCES ---····-···· RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 9. 0 2 0 .1 4 -~!- TOTAL 2 9. 0 2 0 .1 4 {; OFFICERS AND DIRECTORS of 3&nk of Omc>J a, Oma1a, Boone Co .• Ark . OFFICERS J. H. lliddl PreBidenl T. L. Richesin V ic• Pr•Bidenl Jess• B. Guier r.r ..., . • ,.. lira .Jess• B. GJJi•r , JNODIRECTORS J.H, iddleton T.L.Richesin Frank Andrews Jess• B. Guier https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~.p; ~l~ COPY OF PUBLISHED STATEMENT of .ua nk of 0,.,<"'-o la , Osc eol~, Mi~s i su ip i Co., AT THE CLOSE OF BUSINESS I 1 0 1915 LIABILITIES RESOURCES LOANS ANO DISCOUNTS...................... 8 4,900.04 CAPITAL STOCK ................................................ LOANS ON REAL ESTATE ................ 41,161 .32 CERTIFIED SURPLUS ............................... UNDIVIDED PROFITS............................... LOANS ON COTTON .................................. .. 215.0 7 OVERDRAFTS...._.......... -......_..._ _ __ BILLS PAYABLE .............................................. 2 5,0 0 0.0 0 7.9 5 4.0 5 6 4 4 .7 2 20,000.00 NOTES REDISCOUNTED ......................... BONDS AND SECURITIES_.. _..·-·-·-·.. F URNITURE AND FIXTURES_._... 2,397 .72 SAVINGS ACCOUNTS ................................. ti, 7 BANKING HOU SE _ _ _ _ _ _ I 2 9 3.5 9 TRUST FUNDS _ _ _ _ _ _ _ ...... OTHER REAL ESTATE- - - - ! 2 2,909.02 DIVIDENDS UNPAID _ _ _ _ .., ITEMS IN TRANSIT---- - - -! BILLS OF EXCHANGE _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ .... 155,551.5 3 PUBLIC FUND$ _ _ _ _ _ _ .. _ 2 9,5 9 2.5 1 I DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ .. - ... - ..... 3,000.00 DUE TO NON-RESERVE BANKS . .. DUE TO RESERVE BANKS ................ CASH ITEMS- - - - - - -1 DUE FROM RESERVE BANKS ........ 78, 551.51 C/ D'S, DEMAND, _ _ _ .......................... . CHECKS ON OTHER BANKS..... -.... 4 4 8 .5 8 C/ D ' S, TIME ............................................................ 10,156.88 2,678.00 C/ D'S, FOR MONEY BORROWED ..... 2 0,0 O 0.0 0 CURRENCY .... _, _ _ _ _ _ __ GO L 0 ..... -.... - .............. _ _ _ _ .. _ ..__ ... __ ....... . 8 5 .0 0 SILVER _ _ _ _ _ _ _ .. _.. _.. __ ...... 5,172.7 2 CERTIFIED CHECKS ............,_ __ CASHIER' S CHECK$ _ _ _ ............. RESERVED FOR INTEREST....-........ OTHER RESOURCES ....... _ __ RESERVED FOR TAXES ... -.... - ........... .. OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 6 8. 8 9 9 .6 9 7{ TOTAL .................. 2 6 8,8 9 9 .6 9 ~; https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Banktng Dep'tl mE:3 OFFICERS AND DIRECTORS of .------'----------------- 1" 1 • ,,,,,,-- ':a nk of o~ ,.. ~,, 1a , Os ceol, , i~sl Sdippi Co. , __________________ Ark. ,.___ OFFICERS ),~~ Presi deni DIRECTORS __, i~ M. DA VIS, Nf. C:.Q.IUI.IHIO•,r COPY OF PUBLISHED STATEMENT of Bank of Oz~ n , Ozan, Hempstead Co., NOV 1 O 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I LOANS ANO DISCOUNTS........................ 2 7.5 6 3.4 4 LOANS ON REAL EST A TE .... -..... ···-· 6,0 0 0.0 0 LOANS ON COTTON .·-·-···-·····-·····-············ 7 5 0.0 0 UNDIVIDED PROFITS.......... ··················•·· OVERDRAFTS 8 5 8.8 1 BILLS PAYABLE BONDS AND SEC UR IT I ES--·-··-·-······ 1 8 8 .5 0 NOTES REDISCOUNTED ....................... FURN I TURE A N D FIXTURES--··· 1,5 2 5.0 0 SAVINGS ACCOUNTS ... BANKING House- 2,5 0 0.0 0 TRUST FUNDS CAPITAL STOCK ................................................ CERTIFIED SURPLUS 3,00 0.0 0 ..... .... DIVIDENDS UNPAID... .. ............... .......... ITEMS IN TRANSIT INDIVIDUAL DEPOSITS I BILLS OF EXCHANGE PUBLIC FUNDS ...... I DUE FRO M NON-RESERVE BANKS 2 4,5 5 7.6 1 .. ........ ~ DUE TO RESERVE BAN KS-.............. -··· DUE FROM RESERVE BANKS·-·-·· 8 1 6.0 5 CHECKS ON OTHER BAN KS ... - .... 1,8 9 4.5 1 C/ D ' S, TIME CURR EN CY· --··-·--· 2,4 6 0.0 0 C/ D'S, FOR MONEY BORROWED ..... 4 0.0 0 CERTIFIED CHECKS..................... ............. GOLD-·•·-- SILVER-···-··-···-· ,00 0.0 0 DUE TO NON-RESERV!;:: BANKS ... I CASH ITEMS 6.8 3 ·• OTHER REAL ESTATE-·----·-·· ··-·-·· 10,00 0.0 0 ··-··- OTHER RESOURCES- ... C/ D'S, DEMAND................................................... .. 5 7 5.0 1 CASHIER'S CHECKS...... 39 2.1 3 RESERVED FOR INTEREST.............. ····- 4 6 5.0 0 9 3 4.0 1 RESERVED FOR TAXES OTHER LIABILITIES .................................. TOT AL·-···-····-··-· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ··•······· ---- " 4 4.9 6 3.4 5 j\ TOTAL. ................. ···-···•······························•······· .. 4 4,2 6 3 .4 5 ~": OFFICERS AND DIRECTORS of Bank of 07"'!1, Oza , Hempstead Co., Ark. OFFICERS F.D.Barrow. Preaide,11 w.F.Robins. Vice Prel'idenl B.A.Barrow. Cashier Ass't Cashier DIRECTORS F.D.Barrow. w.F.Robins. J.D.Darrow. JesseN.Riley. D.A.Barrow. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of ,u·kansas "Ip ~1.ey Bank , 0 ~ark, lt'rai,k in Co. , l\rk AT THE CLOSE OF BUSINESS 0 191 RESOURCES LIABILITIES 5 ,O O 0.0 0 LOANS AND DISCOUNTS_ _ J 71,312.01 CAPITAL STOCK...·-········ · · · · - - -····- LOANS ON REAL ESTATE ..·-··········· 28,714.00 CERTIFIED SURPLUS _ _ __ 6,500.00 UNDIVIDED PROFITS................................. 4,148 .13 LOANS ON COTTON ....·-·---·--··-··-···· 31.0 9 BILLS PAYABLE- - - - · · · · · · ······ BONDS AND SECURITIES- -·-··•··· 4,846 .20 NOTES REDISCOUNTED ..................... .. FURNITURE AND FIXTURES_ .... 1,000.00 SAVINGS ACCOUNTS•- - - - · · - · - BANKING HOUSE_ _ _ _ _ _ , 6,500.00 TRUST FUNDS _ _ _ _ _ _ _ _ .. OTHER REAL ESTATE _ _ _..., 2,3 5 4 .1 6 DIVIDENDS UNPAID .............................. . OVERDRAFTS, _ _ _ _ _ _ _ , ITEMS IN TRANSIT _ _ _ _ _ ! INDIVIDUAL DEPOSITS _ ___, 6 2,888 .98 BILLS OF EXCHANGE _ _ __, PUBLIC FUNDS----···························- 25, 987 .31 DUE FROM NON-RESER V E BANKS 15,000.00 DUE TO NON-RESERVE BANKS ... - CASH ITEMS, _ _ _ _ _ _ _ , 4 2 0.0 2 DUE TO RESERVE BANKS.... -.......... DUE FROM RESERVE BANKS ...... _ 27, 487.25 C/ D'S, DEMAND ................................................. CHECKS ON OTHER BANKS--····· 9 0 0.0 0 C/ D'S, TIME _ _ _ _ _ _ __, CURRENCY _ _ _ _ _ _ _ ._ 2,676.00 C/ D'S, FOR MONEY BORROWED ..... GOLD ..· - - - - - - - - - - - 1 7 9 0.0 0 CERTIFIED CHECKS .................................. SILVER- - - - - - - - · · - - · - · - 1,247.72 CASHIER'S CHECKS-- - - -······· 13,659.68 9 4 ,3 5 RESERVED FOR INTEREST ............. OTHER R ESO U RC ES _______ ···---·-•·· RESERVED FOR TAXES, _ __ OTHER LIABILITIES TOTAL ... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 6 3, 2 7 8 .4 5 ~~ TOT AL...-···········- -················· 1 6 3, 2 7 8 .4 5 .;~- OFFICERS AND DIRECTORS of A1•kan sa s / "..l ey Bank, 0 ark, Franklin Co., 0 Arlr OFFICERS E. • Blackburn, Presidenl R. • Adams, Vice President John E. Bryan, Cashier 'I'. C. Moore, A•••t Cashier DIRECTORS E. VT. Blackburn, R. . Adams, John E. Bryan VL C. Bill https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis A.- - .- Duyreast, ----~-- alter C. Maxey - ~ .- - - - - - COPY OF PUBLISHED STATEMENT of Bank of up•:i..;, P~ris, L gJ:in Co., Ark. NOV l O1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS...-................... 1 7 0, 6 9 5,0 2 CAPITAL STOCK ...·-··········-··- - - · · - 75,975.00 LOANS ON REAL ESTATE .......·-······· 29,484.6 7 CERTIFIED SURPLUS _ _ __ 1 8, 000 .00 LOANS ON COTTON .........·-············---········ 1 0 0 .0 0 UNDIVIDED PROFITS................................. 13,896.96 OVERDRAFTS _ _ _ _ _ _ _ , 1 3 6.5 0 BILLS PAYABLE---·········-···········•· BONDS AND SECURITIES---·-···· 3 8 9.4 0 NOTES REDISCOUNTED ....................... FURNITURE AND FIXTURES_ .... 1,531,2 5 SAVINGS ACCOUNTS ................................. BANKING HOUSE.·---··-----1 2,500.00 TRUST FUNDS'- - - - - - · · OTHER REAL ESTATE- - - - 1 1 0 0.0 0 DIVIDENDS UNPAID _ _ _ _ _ , ITEMS IN TRANSIT _ _ _ · - -··· INDIVIDUAL DEPOSITS ........................ . BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS................................................... DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... I CASH ITEMS- - - - - - - - · · • · 1 6,392 .10 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ....... . 1 04,522.64 C/ D'S, DEMAND................................................. CHECKS ON OTHER BANKS·--······ C/ D'S, TIME------····•········· CURRENCY _ _ _ _ _ _ _ _ , C/ D'S, FOR MONEY BORROWED..... GOLD· - - · - - · · - · · - - - - -- - CERTIFIED CHECKS.................................. SILVER_·----•····-----··-·-··· CASHIER' S CHECKS-----········ OTHER RESOURCES- - - - - · · · · 1 6 9 .3 5 1 5 1, 7 9 8.0 2 23,811 .64 4 1,8 5 3 .7 5 683.56 RESERVED FOR INTEREST.............. RESERVED FOR TAXES ......................... OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .3 2 f3 0 2 0 .9 3 ~} TOTAL... ........................................................... 3 2 6, 0 2 0 .9 3 .;~ OFFICERS AND DIRECTORS of i3ank of La,,.:s, Pari s, Logan Go., Ark . Preside111 ~ rvtL- f / g ~ V ice P resident ~TY DIRECTORS 1;;d_(i) ~~, & r uu~fl;M(~ Ck'<~ i https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis a y I G-- COPY OF PUBLISHED STATEMENT of 3ank of i.a"}:<lale, 0 a rkda le, A~i~ey Co., J\r i, NOV 1 0 1915 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS....·-···--·-···--··· 10,935.22 CAPITAL STOCK·-·-······································· LOANS ON REAL ESTATE _···-·········· 1 7, 9 '.3 1 .9 7 CERTIFIED SURPLUS ................................. 8,250.00 UNDIVIDED PROFITS............................ .... 6 0 2.3 3 LOANS ON COTTON ...·-····-···-·--···--········ O V ERDRAFTS-·-····-··--·-- 31.0 0 ·- BONDS AND SECURITIES-----··-·· FURNITURE A N D F I XT U RES--··· BILLS PAYABLE _ _ _ _ __ 15,000.00 4,000.00 NOTES REDISCOUNTED ........·-············ ·· 1,3 5 0.0 0 SAVINGS ACCOUNT$ _ _ _ _ .__ BANKING HOUSE.·-····- - - - r TRUST FUNDS................................................... OTHER REAL ESTATE-·--···-·--· DIVIDENDS UNPAID .................................. ITE M S IN T RANSIT _ _ _ ··--··-·· INDIVIDUAL DEPOSITS _ ____, 15,614.6 9 BILLS OF EXC H ANGE - - ~ -, PUBLIC FUNDS _ _ _ _ ___, 4 46.2 7 DUE FROM NO N -RESER V E BANKS 6, 0 0 9.'.3 5 DUE TO RESERVE BANKS ........... .... . CASH ITEMS--·--·-·-·- - - - - · · ·· DUE FROM RESERVE BANKS........ DUE TO NON-RESERVE BANKS.... 5,6 3 9.5 2 C/ D'S, DEMAND .... -......................................... C/ D'S, Tl ME ..............·-·----·----···-- CHECKS ON OTHER BANKS--····· 1,129.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD- - - - - - ----········· 2 3 5.0 0 CERTIFIED CHECKS.................................. SILVER _ _ _ _ _ _ _ _ _ _ , 1,9 6 2,2 6 CASHIER'S CHECKS ........................... ........ CURRENCY- - - - - - - - · - - · 1,230.0 0 8 0.0 3 RESERVED FOR INTEREST............ OTHER RESOURCES _ _ __ RESERVED FOR TAXES- - - 1 OTHER LIABILITIES ................................ TOTAL.. .. - - -- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ········· ··· - 4 5, 2 2 3 .3 2 ;~ TOTAL ........................... ............................... .. 4 5, 2 2 3 .'.3 2 it- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ~ank of ra~kdale, arkda le, Ashley Co., Ar" OFFICERS PreBidenl Vice PreBidsnl Cashier Aaa't Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of bank of ~e n ~idgc, Pea Rid. : e, Bentou (;,, AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 41,577.4 3 CAPITAL STOCK ............................................. 10,000.00 LOANS ON REAL ESTATE·-·············· 6,022.2 5 CERTIFIED SURPLUS ................................ . 1,000.00 UNDIVIDED PROFITS...............·-·············· 1,175 .62 6 .8 5 BILLS PAYABLE ---·-············••······· 3, 0 0 0.0 0 5 11.3 9 NOTES REDISCOUNTED ......................... 1,525 .20 SAVINGS ACCOUNTS .................................. _ 1,100.00 TRUST FUNDS ............· - - - - · · · · · LOANS ON COTTON ...·-·-·············-··· ...... OVERDRAFTS _ _ _ _ _ __ BONDS AND SECURITIES----··-·· FURNITURE AND FIXTURES- ... BANKING HOUSE _ _ _ _ _ _ , OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID ................................ ITEMS IN TRANSIT _ _ _ ··--·-···· INDIVIDUAL DEPOSITS................ ········- BILLS OF EXCHANGE _ _ _ _ , 32,779.19 PUBLIC FUNDS _ _ _ ._ __ I DUE FRO M NO N -RESER V E BANKS DUE TO NON-RESERVE BANKS ... ! CASH I TEMS _ _ _ _ _ _ _ , I t DUE DUE TO RESERVE BANKS .............. _ FROM RESERVE BANKS-···- 6,136 .65 C/ D'S, DEMAND ................................................... CHECKS ON OTHER BANKS--····· 3 8 1.0 6 C/ D'S, TIME .............................................................. I CURRENCY- - - - - - - --···· 5 6 7.0 0 C/ D'S, FOR MONEY BORROWED ..... I GOLD. 2 9 5.0 0 CERTIFIED CHECKS .................................... 5 8 7 .3 1 CASHIER' S CHECKS---············· lI ' SILVER- - - - - - - - - - - · - · · - OTHER RESOURCES _ _ __ 10,497.50 2 5 7 .8 3 RESERVED FOR INTEREST ..·-········· RESERVED FOR TAXES ......................... OTHER LIABILITIES ................................ TOTA' https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 8, 7 1 0 .1 4 ~~- TOTAL .................·-··············· ............................. .5 A 7 1 0.14 ➔} https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Jank of eP. ~idge, Pea Rid:e, Benton C~., Ark. OFFICERS JNO.M.DAVIS kMIC GOJUu111o~q DIRECTORS I COPY OF PUBLISHED STATEMENT of Bank of Fi~ ott, 0 Pigg 0tt, Clay Co . , Ark. AT THE CLOSE OF BUSINESS NOV I O 1915 RESOURCES LIABILITIES LOANS AND DISCOUNTS...-·················- 1 0 , 5 9 0 .4 '.3 CAPITAL STOCK---··············· · - - - 1 2 5, 0 0 0.0 0 LOANS ON REAL ESTATE--········ 3,832.75 CERTIFIED SURPLUS ......................-....... . 3 0 0.0 0 UNDIVIDED PROFITS ............................... 4 8 0.9 4 LOANS ON COTTON _ _ _ _ ······· .'.3 7 5 .13 BILLS PAYABLE---······-················ BONDS AND SECURITIES ____ ·····- 3,848.76 NOTES REDISCOUNTED-··--··············· · F URNITURE AND F IXTURES-·-···· 1,400.00 SAVINGS ACCOUNTS _ _ _ ········•· BANKING HOUS~ - -----• 5,000.00 TRUST FUNDS ....................... ....................... .... OVERDRAFT S _ _ _ _ _ __ OTHER REAL ESTATE- - - · · - - DIVIDENDS UNPAID. · - · · - · - - - ' ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSIT$ _ _ _ , 5 8,753.8 2 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS'- - - - - - · · · 44,221.5 0 DUE FRO M NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... 5 46.0 4 CASH ITEMS- - - - - - - · · · DUE TO RESERVE BANKS............•.. l I DUE t 3 9,6 2 8,3 9 C/ D'S, DEMAND·- - - - - - 1 ON OTHER BANKS--······ 3 6 5 .1 9 C/ D ' S, TIME ...........·-····----········ CURRENCY- - - - - ··--···--·· 2,754.00 C/ D'S, FOR MONEY BORROWED ..... GOLD. · - - - · • · - - - - · - - - - -- · · 3 2.5 0 CERTIFIED CHECKS .................................... 5 4 2.9 6 CASHIER'S CHECKS'---············· 2,000.00 RESERVED FOR INTEREST.............. FROM RESERVE BANKS- .... ! CHECKS I 20, 000.00 I SILVER _ _ _ _ _ _ _ _ _ _ __ OTHER RESOURCES- - - - ·· 1 8, 948 .70 11 9.11 RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL ............ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 6 8. 3 7 0 .1 1 ➔I- TOTAL. ................ ............................................... 1 6 8. 3 7 0.1 1 ➔f- . OFFICERS AND DIRECTORS of 3&nk of Pig~Jtt, Pigg'tt, Clay Co., At-k, OFFICERS J.P. Potter, Presidenl L. Hunter, Vice Presidenl J. K. Browning Cashier E. R. 'Winton, Aaa'I Cashier DIRECTORS J. P. Po t.tJ..._...__ __ _ __ :r. u. Turner V. Js:. JewelJ. J • L. Sullivan https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Hunter vr. T.L. -Davia -----E. Williams J COPY OF PUBLISHED STATEMENT of Bank of l~inview, Pla~nvi ew, Yell Co., Ar, ov AT THE CLOSE OF BUSINESS LOANS AND DISCOUNTS........................ LOANS ON REAL ESTATE ................. 6 6,2 1 1.6 4 CAPITAL STOCK ..................... ...................... 3,09 8.5 9 CERTIFIED SURPLUS ·······················"······ LOANS ON COTTON ... - ................................ UNDIVIDED PROFITS ......................... ...... OVERDRAFTS BILLS PAYABLE .......................................... .... BONDS AND SECURITIES_. ____,...... 1,9 9 1.5 5 NOTES REDISCOUNTED .................. ..... F URNITURE AND F I XTURES- 1,6 2 8.0 0 SAVINGS ACCOUNTS ...._ BANKING Housi= 2,00 0.0 0 TRUST FUNDS ................... ..... OTHER REAL ESTATE 2,0 3 9.24 DIVIDENDS UNPAID ... ITE M S IN TRANSIT BILLS OF EXCHANGE DUE FROM NON-RESERVE BANKS INDIVIDUAL DEPOSITS .... PUBLIC FUNDS ·• DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANK S ........ 3 4,7 2 5.6 9 C/ D'S, DEMAND................................................... 10,00 0.0 0 6 5,4 2 1.9 3 7. 23 3 .4 0 CURRENCY GOLD· --····--··· 3,2 4 8.0 0 C/ D'S, FOR MONEY BORROWED..... 1 6 7.5 0 CERTIFIED CHECKS ........... ··············•········ 8 8 9.9 5 CASHIER' S CHECKS 9 8.84 OTHER RESOURCES .. 5,1 9 1.9 9 C/ D'S, TIME ................................. ........................... ON OTHER BANKS_ ....... SILVER _____ .. 3,5 0 0.0 0 DUE TO NON-RESERVE BANKS.... 2 4 8,3 2 CHECKS 25,00 0.0 0 ········-· -·····-·· .. C A SH ITE M S n LIABILITIES I RESOURCES ,.., ......... RESERVED FOR INTEREST .............. RESERVED FOR TAXES OTHER LIABILITIES TOT AL.. ........ - ...... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ·•···· .. ·····-···- 1 16,.3 4 7 .3 2 ~~ ....• TOTAL ................................ ························•·····• 1 1 6,3 47.3 2 * OFFICERS AND DIRECTORS of Bank of 1J~iaview, Pla:nvi ew, Yell Co., Ar):. OFFICERS n .... r .. . T, . ont,,.o cr;r Vice Pruidenl w T flo rt 1 'illiars Ass'I Cashier DIRECTORS ----~O.._J . Harke l'T .r , Clo '0Pt J 'i J J ia __s ~ - - - - . , T • 1 l au t , . ,T , https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis r" rookP COPY OF PUBLISHED STATEMENT of B9:nk of :'l 1ri. ervill e, Pl uD ervi lle, Conway Co. , Ar' !Nov 1 o 1915 AT ' THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS...................... 32,213.60 CAPITAL STOCK _ _ _ _ _ _ _ , 40,000.00 LOANS ON REAL ESTATE --··-········ 46,307.9 7 CERTIFIED SURPLUS......................-......... 8, 000.00 LOANS ON COTTON ..·--·········-·-··-·•-········ 10,000.00 UNDIVIDED PROFITS.............................. . OVERDRAFTS _ _ _ _ _ _ ___······· 6,881.03 BILLS PAYABLE ---···-····-·····•······· NOTES REDISCOUNTED _ _ _ , BONDS AND SECURITIES-·--·-······ 3,198 .88 SAVINGS ACCOUNTS _ _ __ BANKING HOUSE· - - · - - - - - 1 3,054.00 TRUST FUNDS ......·--·········· -- -...... OTHER REAL ESTATE----·--·· 3,144.04 DIVIDENDS UNPAID.................................. FURNITURE AND F I XTURES- 25,000.00 ... ITEMS IN TRANSIT _ _ _ _ _ _ .. INDIVIDUAL DEPOSITS ......................... 43,907.8 1 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ _ _ _ _ .. 3,811.0 1 I t DUE FROM NON - RESER V E DUE TO NON-RESERVE BANKS.... BANKS 2 4 3.3 7 CASH ITE MS _ _ _ _ _ _ _ , I I DUE FROM RESERVE BANKS .... 1 3, 6 9 6 .'.3 6 CHECKS ON OTHER BANKS-····- DUE TO RESERVE BANKS_······- ····· C/ D'S, DEMAND............................................. C/ D'S, TIME-----····················•··- 3,220.0 0 C/ D ' S, FOR MONEY BORROWED ..... 415.0 0 CERTIFIED CHECKS .................................. SILVER _ _ _ _ _ _ _ _ _ ·-··· 1, 3 4 5 .4 '.3 CASHIER' S CHECKS----······· OTHER RESOURCES·--···-··--····· 7 0 1.9 0 RESERVED FOR INTEREST.............. CURRENCY _ _ _ _ _ _ _ _ , GOLD..·-·-··--·-···-·-------1 3,702 .76 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 2 A, 4 2 1.5 8 -l:- TOTAL ................................................................. 1 2 4, 4 2 1.5 8 -:~ OFFICERS AND DIRECTORS of ;::,ank of • 1 .erville, Pl~ ervil le, Cotway Co., 11 , Ar-· . OFFICERS A D Mal ne Presidenl A. B. Payne Vice Presidenl A. J. Nesbitt Caahier \ . H. Duff Aas'I Cashier DIRECTORS A. D. Ma lone A. :a. Pa ne G. 'fl. Smith https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis A. H. Malone ·-------- COPY OF PUBLISHED STATEMENT of Bank of Po..,.tla, Portia, Lawrence Co., :l.--:-k AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS ........................ 1 5,8 7 0.3 9 LOANS ON REAL ESTATE ................. 2,4 5 3 ,7 5 LOANS ON COTTON 8,00 0.0 0 CERTIFIED SURPLUS ................................ 4 1 4.0 1 UNDIVIDED PROFITS................................. 9,1 3 6 .8 2 BILLS PAYABLE ................................................ BONDS AND SECURITIES--··-······ 4 5 2.0 0 FURNITURE AND FIXTURES_·-··· 1,49 1.0 0 SAVINGS ACCOUNTS ......................... BANKING Housi=- 1,9 4.3.4 0 TRUST FUNDS............................ ····················~-- --••-•-•-•P NOTES REDISCOUNTED ....................... 1 5 0.0 0 OTHER REAL ESTATE BILLS OF EXCHANGE ••••••• M DIVIDENDS UNPAID......... ITEMS IN TRANSIT I ...... CAPITAL STOCK.................. ......... OVERDRAFTS LIABILITIES I 4 1,9 6 9 .7 5 INDIVIDUAL DEPOSITS .... PUBLIC FUNDS.·-······--·····································- DUE FROM NON-RESERVE BANKS..· - -·· - · - - DUE TO NON - RESERVE BANKS .... CASH ITEMS DUE TO RESERVE BANKS................ ! DUE FROM RESERVE BANKS- ..... 20,0 1 8.5 9 C/ D ' S, DEMAND ······-············· I C/ D'S, TIME ....................... ..................................... CHECKS ON OTHER BAN KS--···· 2,0 2 9.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD.. 1 3 7 .5 0 CERTIFIED CHECKS ................................ .. SILVER 8 46.8 8 CASHIER' S CHECKS CURRENCY. I 3,4 9 0.0 0 6 5 5.5 7 RESERVED FOR INTEREST ...... ...... OTHER R ESO U RC ES ...............·-····-·--······ RESERVED FOR TAXES ......................... ' TOTAL .................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis •••• • ••••M 5 425 2 9 .3 3 OTHER LIABILITIES.................................. .. ~~ TOTAL ................................................................. 5 4.5 2 9 .3 3 1E- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of :::ank of Fv"'°t.i.a, Por-Ua, a -irence Co. 1 Ark. OFFICERS .Bobj neon 1 Presiden& F.W.Tucker Vice Presidenl Ned Fraser Cashier Victor Sloan Au't Cashier DIRECTORS W.J.Robinson F . W.Tucker Ned Fra.aer Clinton Fraser Ja.a.Hatfield. · COPY OF PUBLISHED STATEMENT of 3ank of ~resco tt , Pr~scot~, Nevada Co., .l\rl< ov AT THE CLOSE OF BUSINESS J O 1 15 LIABILITIES RESOURCES ! 2 '.3 o, 2 CAPITAL STOCK.•............................................. 75,0 0 0.0 0 CERTIFIED SURPLUS ............................ 7 5,000.00 :l.,9 6 5.1 8 UNDIVIDED PROFITS............................ . 1 0,021 .91 OVERDRAFTS __________ _ 2 2 0.7 2 BILLS PAYABLE ....•........................................ 1 5,000.00 BONDS AND SECURITIES-·····-······ 35,731.7 3 NOTES REDISCOUNTED .......................... F URNITURE AND F I XTURES.·-··· 8, 000.00 SAVINGS ACCOUNTS- - - - · - 11,000.00 TRUST FUNDS- - - · · · · ············•············ LOANS AND DISCOUNTS........................ LOANS ON REAL ESTATE ................. LOANS ON COTTON _ _ __ BANKING HOUSE _ _ _ _ _ _ 1 7 7 .9 5 4 9, 1 0 9.1 5 • OTHER REAL ESTATE _ _ __, ITEMS IN TRANSIT _ _ _ _ _ , DIVIDENDS UNPAI D- - - - · · · · 2 0.0 0 INDIVIDUAL DEPOSITS-_ ____, BILLS OF EXCHANGE _ _ __ 209,753.6 5 PUBLIC FUNDS----·············· 1 6,042.02 6.6 0 DUE FRO M NON-RESER V E BANKS 23.81 DUE TO NON - RESERVE BANKS ..... CASH I TEMS _ _ _ _ _ _ _ __ 3 8.9 5 DUE TO RESERVE BANKS....•.......... 12 8,865 .93 C/ D'S, DEMAND .................................................. . CHECKS ON OTHER BANKS.·-····· 19 1.3 9 C/ D'S, TIME .............................................................. CURRENCY- - - - - - - · · · · 20,124.00 C/ D'S, FOR MONEY BORROWED ..... GOLD- - - · - - - -- - -, 2,6 6 3.5 0 CERTIFIED CHECKS.................................. SILVER _ _ _ _ _ _ _ _ _ , 4,566 .8 5 CASHIER'S CHECKS ..................................... OTHER RESOURCES _ _ _ _ , .1,8 7 6.5 1 RESERVED FOR INTEREST .............. DUE FROM RESERVE BANKS ........ 7 4,052.97 2 2,580.03 218.4 9 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL. ........... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 9 7. 6 7 5 .6 7 ➔~ TOTAL .................. .4. G 7 fi 7 5 F. 7 ~;. OFFICERS AND DIRECTORS of 3ank of ~r dcott, Pr scot t, 0 Ndvaaa Co., Ark . OFFICERS Thos. c. ·oRa.e Presidenl James G. Clark, and ~hos c. .J. Hesterly B Vice Presidenl MoRae Jr Cashi 1 I. A. ' lakely and Ass' I Cashier ren Scott 8 DIRECTORS Thos. c. McRae D.L. McRae James G. Clark Sam T. s.J. Hesterly E.L. Cox •v. Thos. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Tornpki ns c. cRae , Jr c.n. hite Mcswain COPY OF PUBLISHED STATEMENT of C:i. t iz ens ~<n1k, Pett igrew, Madison Co., Ar·· AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS.....•................. 26,192 .09 CAPITAL STOCK.............................................. 1 0,000 .0 0 LOANS ON REAL ESTATE ....•....·-··· 4, 618.5 0 CERTIFIED SURPLUS ................................. 4 3 1 .4 9 UNDIVIDED PROFITS................................. 9 2 .91 BILLS PAYABLE- - - · · · · · · ··············· 2, 0 0 0.0 0 LOANS ON COTTON .....•..... •············-···· OVERDRA F TS _ _ _ _ ·-·--······· 5 0.4 3 NOTES REDISCOUNTED ....•.................... BONDS AND SECURITIES- .. --•·-·· FURNITURE AND F I XTURES_ .• 1,6 0 0.0 0 SAVINGS ACCOUNTS---·········· BANKING HOUSE.·- · - - - - ! 1,600.00 TRUST FUNDS ...................................................... OTHER REAL ESTATE- - - - - < 2, 411.8 6 DIVIDENDS UNPAID ................................. ITEMS IN TRANSIT _ _ _ _ _ 1 INDIVIDUAL DEPOSITS _ _ _ ···· BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS...................· - - - ··· DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEM$ _ _ _ _ _ _ _ , 16 .6 7 DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS ....... 2 , 066.44 C/ D'S, DEMAND................................................... CHECKS ON OTHER BANKS--····· 135 .8 1 C/ D ' S, Tl ME.............................· - - - - · · CURRENCY._._ _ _ _ _ __ 8 2 0.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD _ _ _ _ _ _ _ _ __ SILVER _ _ _ _ _ _ _ _ _ _ , 0TH ER RESOURCES- · - - - - ········· CERTIFIED CHECKS ............................... . 3 9 9 .9 6 CASHIER'S CHECKS................................... 3.4 4 RESERVED FOR INTEREST .............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES............................. ..... TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 9, 9 1 5 .2 0 ➔~ TOTAL ...................... _ .......... .......................... . 1 8,554.8 5 8,8 35 .9 5 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICER S AND DIRECTORS of ui t iz e . ns P".nk, Madison Co., . Pet.igr ew, Ar:. OFFICERS ~ 4. .~ r,--a..--z:-(_ ' Caahier ~ Aaa'I Caahier DIRECTORS COPY OF PUBLISHED STATEMENT of Citizens ·1k, tl Pine Bluff, Jefrerson Co., A,~-~. AT THE CLOSE OF BUSINESS RESOURCES LIABILI T IE S LOANS A ND DISCOUNTS........................ 6 9 0,4 1 7 ,'.3 2 LOANS ON REAL EST A TE-··-····· ...... 4 1,6 0 8 .3 3 LOANS ON CO TT ON .... -.. .... 5 1 o,o 2 2 .7 5 OVE R DRAF TS·---··-·· CERTIFIED SU RP LU S .... •·······-················· . 60,00 0.0 0 UNDIVIDED PROFITS .......... ..................... 1 0 6,1 5 9.5 2 BILLS PAYABLE ····-············ ... 5 5 0,0 0 0.0 0 3,9 2 2.4 5 NOTES RE DISCOUNTED.............. ·······• 4 5,00 0.0 0 F URNITU R E A N D F I XT U RES_ ..... 8, 0 4 8 .7 0 SAVINGS ACCOUNTS 3 9,0 7 2 .2 3 .... 25 6,5 6 8.01 TRUST FUNDS ................................................ ... OTHER REAL ESTATE ---··--···-··· 2 4,6 2 7 .6 8 DIVIDENDS UNPAID .................................... 1 5.0 0 ITE M S IN TRANSIT--·---··--·· 4,06 5 .'.3 8 INDIVIDUAL DEPOSITS .... ·-···················· 3 9 2,3 8 1.21 BILLS O F EXCHANGE----·--·•--···· 3 5,0 0 0.0 0 DUE FRO M N O N -R E SERV E BANKS ···--··--··· I CASH I TE M S ·-··· DUE FROM RESERVE BANKS .... 3 2,38 0 ,3 5 PUBLIC FUNDS ............ I 8, 7 9 8 .6 7 DUE TO NON - RESERVE BANKS .... 1 44,2 16.8 7 1,6 8 8 .91 DUE TO RESERVE BANKS........... ..... 3 1,5 7 4.5 1 1 64,6 5 4.2 7 C/ D ' S, DEMAND .................... ·······················•····· 6,4 1 2.94 19, 7 6 4.6 8 C/ D ' S, TIME ............. 80,6 3 2.5 1 5 1,3 8 3.0 0 C/ D ' S, FOR MONEY BORROWED ..... 2 5,0 0 0.0 0 GOLD ... -...·····-··-··---······--··-·· 3,1 67.5 0 CERTIFIED CHECKS .................................... 23 1.0 0 S I LVE R 4,1 6 9 .2 .'3 CASHIER ' S CHECKS ..................................... 1 0.0 0 1 7 9.2 6 RESERVED FOR INTEREST.............. CHECKS ON O THER BANKS.__ .... CURRENCY II 3 00,00 0 .0 0 BONDS A ND SEC U R IT I ES---····-··•··· BANKI N G HOUS E I ........................ CAPITAL STOCK ·-------~ O T HER R E SOU RC ES-·-··-··--·····-··········· RESERVED FOR TAXES ......................... OTHER LIABILITIES .................................. 1.8 2 8.08 6 .1 4 " .)t TOT AL ...·-•-·-··---··-···-···················· ········ ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL. ................. 15,00 0.0 0 118 28108 6.14 {~ OFFICERS AND DIRECTORS of Citizens E<'. 11::C, Pine Bluff, Jefferson Co., Ar· OFFICERS John J. Speers Presidenl , • .!ar e, Geo . L. · dd.ing V i ce President 11 • .B . Bloom Cashier _: . L. Byrd Au't Cashier DIRECTORS ,. . .. • .l re .! • .:....:r Ronne , J. B. 31)eers J. c. ain r...1. .c:; • Bloom Fred Fox P. P. 1.Jyrd , Geo . 1/. Lambert Harold E. Bluthenthal . T. H. Greo-ory . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Citiz ens B<1 :k, Pott sv ille, Pop~ Co., 1 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ...................... 14,683.36 LOANS ON REAL ESTATE ........••..• 3,5 5 0.0 0 LOANS ON COTTON _ _ _ _ ········ CAPITAL STOCK...•····-·---······ CERTIFIED SURPLUS _ _ __ UNDIVIDED PROFITS•............................. 6 7 .3 5 BILLS PAYABLE ..·- - - - - · •···· BONDS AND SECURITIES--····--··· 19.12 NOTES REDISCOUNTED ...·-·················· FURNITURE AND FIXTURES--··· 1,500.00 SAVINGS ACCOUNTS .................................. BANKING HOUSE _ _ _ _ __ 2,422 .2 5 TRUST FUNDS_··--······- - - - , OVERDRAFTS _ _ _ _ _ _ _ 1 OTHER REAL ESTATE _ _ _-< DIVIDENDS UNPAID·---············ ITEMS IN TRANSIT _ _ _ _ _ 1 INDIVIDUAL DEPOSITS-·-·············· ... BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS. - · - - - - -··· DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS •...•·-·-···- - - - - 1 131.2 5 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS •... _ 20,058 .56 C/ D'S, DEMAND---···--·····•··•······ CHECKS ON OTHER BANKS....•..... CURRENCY. · - · · · · · - · - - - - - C/ D'S, TIME .•........•······- - - · · ················· 1,692.00 GOLD _ _ _ _ _ _ _ _ __ SILVER •....... _ _ _ _ _ _ _ _ , OTHER RESOURCES ..................·-··········· 14, 175.00 2 9 4.9 7 2 7. 0 4 8 .6 9 3,017.40 C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECKS _ _ _ _ _ , 6 2 6 .9 9 CASHIER'S CHECKS ..................•................. 2 0.0 0 RESERVED FOR INTEREST ........•.... 2 3 4.8 2 RESERVED FOR TAXES, _ __ OTHER LIABILITIES............................... . TOTAL... ... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL... .•.....................................•.......•............ 4 4, 7 7 0 .8 8 ➔~ R . O. MORTON, P as8IDmrT https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis J . B. SXNOL.A.XBt V:to■-Pa•a:m ~ N. B. BlCLL, 04'.B IDZR CITIZENS BANK CAPITAL $15,000 .00 POTTSVILLE, ARK. Dec. 24th, 1915. Banlc C :mmisaioner, Little Rock, Ark., Dear Sir:- Our Dorectors are: R.O.YORTON J.B.SINCLAIR ROY FALLS A.H.BOGGESS J.H.OATES T.A.llATTHEWS E.R.JONES E.H.TEETER N.H.BELL Vr. Yorton is President, Mr. Sinclair is V-Pres and I am Cashier. Yours veritY!l~ Cashier COPY OF PUBLISHED STATEMENT of Chi.y Cou:r."-·, 2ank, Piggott, Ciay Co., Ar·. AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS........................ 71,016 .90 CAPITAL STOCK.............................................. 2 5,0 0 0.0 0 LOANS ON REAL ESTATE·--•···--···· 7,8 2 5 .3 0 CERTIFIED SURPLUS- - - - ... 5, 0 0 0.0 0 UNDIVIDED PROFITS ................................ 4 3 5 .9 1 BILLS PAYABLE- - - - - ····· 2 2, 0 0 0.0 0 LOANS ON COTTON ..·-····-····-·••··-········· 3 7 .8 2 OVERDRAFTS _ _ _ _ _ __ BONDS AND SECURITIES-·-·-·-·-··· 2,300 .15 NOTES REDISCOUNTEO .......................... FURNITURE AND FIXTURES--···· 3,000.00 SAYINGS ACCOUNTS ................................ . BANKING HOUSE _ _ _ _ _ _ , 5,000.00 TRUST FUNDS·- - - - - - ······ OTHER REAL ESTATE _ _ _-! 3,000.00 DIVIDENDS UNPAID .................................... ITEMS IN TRANSIT _ _ _ __ , INDIVIDUAL DEPOSITS- - -··- 3 2,549.5 9 BILLS OF EXCHANG.,. ~ ---t PUBLIC FUNDS, _ _ _ _ _ _ , 1,104.31 DUE FROM NON - RESERVE BANKS 2 4.4 4 CASH ITEM$ _ _ _ _ _ _ _ , DUE FROM RESERVE BANKS-...... I CHECKS ON OTHER BANKS- DUE TO NON-RESERVE BANKS .... 1 3, 8 0 0 .'.3 1 DUE TO RESERVE BANKS........... ..... 11,902 .8 5 C/ D'S, DEMAND .....· - - -····················· 8 6 .8 4 C/ D'S, TIME _ _ _ _ _ _ _ _ , 4, 571.0 0 C/ D'S, FOR MONEY BORROWED..._ 8 7.5 0 CERTIFIED CHECKS .................................... 1,672.8 1 CASHIER' S CHECKS·- - - · · · ···-·-·· ..... CURRENCY _ _ _ _ _ _ _ _ _ , GOLD, _ _ _ _ _ _ __ __ SILVER _ _ _ _ _ _ _ __ 1 0, 477.8 A. 1 43 .4 8 RESERVED FOR INTEREST.............. OTHER RESOURCES-- - - - · - · • ·· RESERVED FOR TAXES- - -1 14.1 7 OTHER LIABILITIES TOTAL ........-- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 1 o. 5 2 5 .6 1 'lr TOTAL .................. 1 1 o, 5 2 5 .f 1 ➔l- OFFICERS AND DIRECTORS of ,-~ ," .r T-~ ""- ,:,C.i,'>' 1<;, S 1, ·"l Slay Com.,.,, ...,ank, p·ggott, Clay Co., OFFICERS H. W.Moore Preaidenl J. M. Myers Vic• Pruide,u O. H.Parrish Cashier H.S. Moore Ass'I Cashier DIRECTORS H. W. Moore J. M. Myers J. W.Lentz Geo. W.Seitz L. Hubbard E. Marshall https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Frank Weldin • If COPY OF PUBLISHED STATEMENT of Cotton E~lT Savings & Trust Co., p·~e Blu t, ue6terson Co., A.•h. AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........... 246,408.6 4 CAPITAL STOCK.............................................. LOANS ON REAL ESTATE................ 1 Q 7, 3 1 0.7 7 CERTIFIED SURPLUS ........ _ __ LOANS ON COTTON ................................ 13 975 3 3.6 1 UNDIVIDED PROFITS............................... 32,407.8 4 7, 762.06 BILLS PAYABLE---···-··················· 115,000.0 0 OVERDRAFTS _ _ _· · - - - - , , 100,000.00 20,000 .00 • BONDS AND SECURITIES--····-······· 3 7, 3 5 9.8 :1. NOTES REDISCOUNTED .............. FURNITURE AND F I XTURES_ .... 23,726.13 SAVINGS ACCOUNTS _ _ _ ···•· 105,516.4 3 TRUST FUNDS ................................................. .. 5,137.25 BANKING HOUSE--·-· · - - - - -, 11,153.2 3 OTHER REAL ESTATE- - - - ! 17, 327 .79 DIVIDENDS UNPAID _ _ _ _ , ITEMS IN TRANSIT _ _ _ __ ! 1,365.10 INDIVIDUAL DEPOSITS .......................... 17 8, 3 6 0.3 7 PUBLIC FUNDS• - - - - - - · ·· 50,253.6 1 BILLS OF EXCHANGE _ _ _ _ , I DUE FROM NON - RESERVE BANKS _ _ _ _ _ _ _- ! iCASH DUE TO NON-RESERVE BANKS.... 3 7 6 .8 8 DUE TO RESERVE BANKS................. DUE FROM RESERVE BANKS ...... .. 46,715 .27 C/ D ' S, DEMAND ................................................... CHECKS ON OTHER BANKS·--······ 5,564.04 C/ D'S, TIME _ _ _ _ _ __ CURRENCY _ _ _ _ _ _ _ _ , 979 3 9.0 0 C/ D'S, FOR MONEY BORROWED..... 578 9 5.9 9 GOLD ...... _. _ _ _ _ _ _ _ _ _ , 12 7 .5 0 CERTIFIED CHECKS .................... .............. 5 0 0 .0 0 SI LVER- · - • · · • - · · - - - - - - - - 1 2,8 8 2.5 3 CASHIER'S CHECK$ _ _ __ 1 5 0.0 0 OTHER RESOURCES __ ···----···-··-······· 7.5 0 0.0 0 RESERVED FOR INTEREST.............. >TEMS _ _ _ _ _ _ _ , 2 8,302.18 RESERVED FOR TAXES _ _ _ , TOTAL... ......... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 5 '.3, 8 9 9 .1 3 ~~ OTHER LIABILITIES.................................. 1,2 2 2.2 3 TOTAL .................. ............................................. 6 5 3, 8 9 9 .1 3 ~~ Cot ton Bt t ~avings & Trust Co., Pin~ Bluff, Je:ferson Co., p ~ OFFICE R S J. o ce E P reaidem H • l" • Gal b r ui th, V ice p;eaident Rnrvey Hogff, Ass' I Cashier : i DIRECTOR S J• • Boyce, Ben ',/eil, Fro d ~'ox ,-fora Dr • A . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis :y . ... . I.~ . Galbraith, r.ironpe. ' p COPY OF PUBLISHED STATEMENT of Farm ers ~~~-e Bank, Prair i~ Grove, ttastington Co., A,<.. AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS..................... . 18,167 .98 CAPITAL STOCK. ............................................. LOANS ON REAL ESTATE ........... ...... 7~0 9 8.2 4- CERTIFIED SURPLUS ................................. LOANS ON COTTON .. ·-·····-····-•··•·---········ -5,9 5 9 .9 3 UNDIVIDED PROFITS............................... 31.13 BILLS PAYABLE- - - - -···- OVERDRAFTS _ _ _ _ _ _ _ ! BONDS AND SECURITIES_ ................. 25,000.00 NOTES REDISCOUNTED ...................... . FURNITURE AND FIXTURES_ ..... 1,5 0 0 .0 0 SAVINGS ACCOUNTS _ _ _ _ ····- BANKING HOUSE_··-·····----·- 7, 500.00 TRUST FUNDS---··························· .. OTHER REAL ESTATE- - · - · • - 6,840.7 2 DIVIDENDS UNPAID _ _ _ _ _ I ITEMS IN TRANSIT- - - - - - · · · · INDIVIDUAL DEPOSITS- - -···· BILLS OF EXCHANGE _ _ __ 21,340 .4 9 PUBLIC FUND$. _ _ _ _ __ I DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... CASH ITEMS _ _ _ _ _ __ DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ...... .. 1 2,34 1.15 C/ D'S, DEMAND ................................................. CHECKS ON OTHER BANKS- ....... 9 2 1.0 8 C/ D'S, TIME- - - - - · · · · · ·················•· CURRENCY- - - - - - - · · · · · · 1,01 7 .00 C/ D'S, FOR MONEY BORROWED ..... GOLD- - - - - - - - - - 1 5 1. 5.0 0 CERTIFIED CHECKS .................................... SILVER..·-· - · - · - - - - - - -• 118 ,3 3 CASHIER'S CHECKS---··········•·· OTHER RESOURCES _ _ _ _ _ , 3, 000.00 9,4 8 8 ,3 8 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES................................. . TOTAL... ............... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL ............................................................ 4.1 7 9 .6 9 6 3, O O 8,5 6 ~r OFFICERS AND DIRE CTORS of .~rmers Bank, ~~aha Pra iri~ G~ove, ~ashin~ ton Co . , ~ ·r- OFFICERS L. H. \line tead P resideni M.C.Pea.cock Vice Pruidenl J.L.McConnell Cashier C.E.Cole Jr Au'I Caahier DI R EC T OR S L.H. \Unetead lf.C.Peacock J.C.Cunningharn R. I,.\:cCoy R. E.Pyeatt J.F.Brunk https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C. Vf .Mabry J.L.Strickler _J_oe Tilley COPY OF PUBLISHED STATEMENT of :.;arman-A..,~r .:.ca n Bank & Trust Co. , Paris, Lo gan Co., Ar··. Nov 1 o 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES 51,425.00 LOANS AND DISCOUNTS........................ 88,617 .68 LOANS ON REAL ESTATE_·············- 3, 7 15.5 5 CERTIFIED SURPLUS............................... . 1,000.00 LOANS ON COTTON ...·-·--······•··············· 2,405.23 UNDIVIDED PROFITS ............................... 5 9 4.2 3 OVERDRAFTS _ _ _ _ _ __ 8 .6 2 BILLS PAYABLE- - - - - - 1 BONDS AND SECURITIES--...'.·-······· 5 2 7 .1 5 F URNITURE AND F I XTURES--···· 1,6 9 1 .9 8 CAPITAL STOCK............................................. NOTES REDISCOUNTED ................... SAVINGS ACCOUNTS _ _ _ _ ····- 4,526 .14 BANKING HOUSE __ ._ _ _ __, TRUST FUNDS .............................................. ...... OTHER REAL ESTA TE _ _ _~ DIVIDENDS UNPAID ...·-··········-·················· 12 0.0 0 INDIVIDUAL DEPOSITS.......... ............... 3 7,8 3 6 ,7 6 PUBLIC FUNDS.....· - - - - -··· 22,317.28 ITEMS IN TRANSIT- - · · - - - - -• 18 1 .98 BILLS OF EXCHAN G E _ _ _ _ , DUE FROM NON-RESERVE BANKS 10,000.00 DUE TO NON-RESERVE BANKS ..... CASH ITEMS _ _ _ _ _ _ _ , 5 .7 7 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS-...... 6,921 .2 9 C/ D'S, DEMAND ................................................... CHECKS ON OTHER BANKS-·-······ 3,603.09 C/ D'S, TIME _ _ _ _ _ _ _ _ , CURRENCY- - - - - · · - - · · · - · · · - 4,457.00 C/ D ' S, FOR MONEY BORROWED ..... GOLD- - - - - - - - - - 1 3 6 0.0 0 CERTIFIED CHECKS- - - - · · • · SILVER·- · · - - - - - - - - - - - 1 1,353 .30 OTHER RESOURCES _ _ _ _ _ , CASHIER'S CHECK$ _ _ __ 5,654.46 3 7 4 .7 7 RESERVED FOR INTEREST.............. RESERVED FOR TAXES- - - 1 OTHER LIABILITIES...................... -.......... TOTAL. .................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL ................................................................. 1 2 3. 8 4 8 .6 4 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Sv ~man- A J r ·~an Bank & Trus t Co ., Paris, Logan Co., Ar'" . OFFICERS V ice Prerident W-L&4 ~LfraA Au't Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of ierchant_ ~ Planters Bank, Pin9 Bluff, Jerferson Co., A· I • ~\DY 1 o 1915 AT THE CLOSE OF BUSINESS LIABILITIES I RESOURCES LOANS AND DISCOUNTS ........................ 8 8 3,8 0 4 .1 5 CAPITAL STOCK ................................................ 1 7 5,0 0 0.0 0 LOANS ON REAL ESTATE.-.............. 4 9,3 8 2.6 7 CERTIFIED SURPLUS ................................ 1 7 5,0 0 0.0 0 LOANS ON COTTON .... -..............- ....- ...... 3 5 7, 00 7 .1 0 1,4 3 7.5 4 OVERDRAFTS _____ BONDS AND SECURITIES--·-.. -...... 1 7, 7 3 9,2 4 FURNITURE AND F I XTURE$ ___ ... 1,7 4 1.4 0 BILLS PAY ABLE ................................-... --........ OTHER REAL ESTATE- - -·-·-.. ITEMS IN TRANSIT .. 1 5 0,00 0.0 0 NOTES REDISCOUNTED .......... - ........... SAVINGS ACCOUNTS ..... ···························- 3 0,2 23 .7 9 BANKING HOUSE 4 4,5 8 1.0 9 UNDIVIDED PROFITS ............................. TRUST FUNDS 3,7 1 3.0 7 1 8 9,3 2 5 .7 4 .. DIVIDENDS UNPAID ....... •·························· 4 1,6 6 8.1 8 INDIVIDUAL DEPOSITS....................... ·- 5 4 6,6 6 2.5 2 BILLS OF EXCHANGE -..--... - ........ - .... PUBLIC FUNDS .................................................. 9,4 6 6.0 9 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ... 2 4 3,1 9 5.8 0 I I CASH ITEMS I I DUE FROM RESERVE BANKS ...... _ DUE TO RESERVE BANKS ............... 2 1 2,0 0 0.1 4 C/ D'S, DEMAND..................................-............... 1 .7 9 3 1 8.0 4 CHECKS ON OTHER BANKS_ ....... 3 9,32 CURRENCY 9 8,8 0 9.0 0 C/ D'S, FOR MONEY BORROWED. .. 4 7 5.0 0 CERTIFIED CHECKS ..... -·-·-··-······-··· ........ 6 5 2.2 4 ···-···--·····--···- 7, 1 7 9 ,8 0 CASHIER'S CHECKS ..... ............ ................ 1,1 9 6.6 2 .... 1 7 9.0 7 RESERVED FOR INTEREST.............. ··----········· I GOLD ______ .. I 1,6 45 .4 9 SILVER .. ___ ..... OTHER RESOURCES C/ D'S, TIME ......................... .. 2 1 0,9 2 9.2.9 RESERVED FOR TAXES ......................... OTHER LIABILITIES.................................. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ........................... 1,7 4 6,3 2 7 .4 3 -~ TOTAL ................................................................. 1 7 4 h 3 2 7 .4 '3 ·~ OFFICERS AND DIRECTORS of t archant ~ ~ ~1 a nters Bank , Pin . Blu f , Je r erson Co ., A·~h . OFFICERS s. c. Alemnder, Presideni w. L. Dewoody• Vice Presidenl A. D. Foster, Cashier Ass'I Cashier DIRECTORS s. c. w. Ale:mnder, L. Dewoody, A. D. Foster, J. w. J ones, J • S • Ingram, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis J. w. Wilkins D. L. Franklin, w. E. collier, COPY OF PUBLISHED STATEMENT of Jevada c_1~ty Bank, P~es cott, ~evuda Co., A-r··- . OV I O191 AT THE CLOSE OF BUSINESS LIABILITIE·s RESOURCES LOANS AND DISCOUNTS........................ 45,308 .8 0 CAPITAL STOCK----············ LOANS ON REAL ESTATE_····-······ 9,003.0 5 CERTIFIED SURPLUS•- - - - · · ·· LOANS ON COTTON - - - - · · · · · · · 1,9 8 4 .9 7 UNDIVIDED PROFITS- - - · · · · OVERDRAFTS- - · · - - - - - - 3 7 .5 9 BILLS PAYABLE _ _ _ _ _ _ , BONDS AND SECURITIES--··-·-•• 2 6 5 .2 0 NOTES REDISCOUNTED ......................... FURNITURE AND FIXTURES-·-··· 4, 9 9 4 ,3 1 SAVINGS ACCOUNTS, _ BANKING HOUSE _ _ _ _ _ _ , 8: 4 13.4 5 TRUST FUNDS _ _ _ _ _ _ .. OTHER REAL ESTATE _ _ _..., 3, 000 .00 DIVIDENDS UNPAID......_ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS, _ ___, BILLS OF EXCHANGE _ _ _ _ , !ou•.~~~: 1 I NON-RESERVE _ __ ..• ,1 PUBLIC FUNDS- - - -··-··········· 1 9,0 0 0.0 0 4,411.2 5 1 7. 9 3 6 .7 9 6, 410 ,3 2 DUE TO NON-RESERVE BANKS ..... CASH ITEMS_. DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS ....... 3, 500 .83 CHECKS ON OTHER BANKS·- ····· 2 .'.3 9.4 6 C/ D'S, DEMAND .....·---····················· C/ D'S, TIME._ _ _ _ _ __ CURRENCY- - - - - - - · · 3, 349.00 C/ D'S, FOR MONEY BORROWED ..._ GOLD..· - · · - · - - - - - - ··-········· 7.5 0 CERTIFIED CHECKS .................................... SILVER_ · - · · - - · · - - - - - - - · - · · · 811 .8 7 CASHIER'S CHECKS- - - - · · · · · - 8, 0 45D3 RESERVED FOR INTEREST .............. OTHER RESOURCE$,_ _ __ 25,000 .00 9,554 .74 6 8 3 .8 5 RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES....................·-······ ····· TOTAL ... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOT AL-··········-··•·········· 5,9 6 4 .1 1 8 8, 9 6 1.0 6 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ,.e vada C G-111 :1 Bank , P· escott , Ne~ada Co ., Ar>, O F FICERS Yk13d1= ~ Presideni ~ DIRECTORS COPY OF PUBLISHED STATEMENT of Pangburn St~~ e .Bank, Pangburn,VJhite County, - ·' Arkansas . NOV 1 0 1915 AT THE CLOSE OF BUSINESS I RESOURCES LIABILITIES . LOANS AND DISCOUNT$, _ __ r r, c, ·. r 21,876.46 10,000.00 9,440.0 0 2 0 0.0 0 LOANS ON REAL ESTATE ......... - ...... -' - UNDJ\(IDED PROFIT,S ............................. . LOANS ON COTTON ...·-···-····-.···- . • j" !:. . J i J :: OVERDRAFTS __. ' I I I ' · ) 7.00 0.0 0 J ~I BONDS AND SECURITIES--···--· . ' - ' - FURNITURE AND F I XTURES.-·-···· . ":' .\ ' BA!'IKING f:iOUSI§:.-•·-- --·--·· --·--·· •• 1• • ' • .... 2 5.0 0 NOTES .RE.D SCOUNTED·-·······-······-···· 2,100.00 SAVINGS ACCOUNTS .................................. . ~ 4,551 .7 5 l1 \' OTHER REAL ESTATE _ _ __, (. . Dl,VIDl;,ND ~ Ul'jPAID _ __ ITEMS IN '· T RANSIT~-_...c:..ccL_ _ 1 INDIVIDj.JAL DE,POSITS., .••., ..·--~···· ' BILLS OF EXCHANGE ---·--··-·-··DUE FROM NON · RESERVE ,_BANKS ~· CASH ITEMS_·~--.·.=.,----• I ~- ,. , I I .._, • I' f ~ DUE FROM RESERVE BANKS •..... J :: .. SILVER _ · · · · · - · - - - - - · - L 2 ,2 4 4 .4 4 • -. 3 6 5.2 8 DUE TO ,ijESERVE BANKS....•....... • 1,2 8 0.0 9 1,4 0 9.0 0 \ ..: DUE TO ~ fl ~ ·~ESERVE BANKS ... CURRENCY ...· - · · - - - - - - - .;. - 2,343 .13 1,897.83 [1 \. PUBLl r., FU.NDS.....,.............._ , --- CHECKS ON OTHER BANKS.._ .... , 1,900.00 • TRUST FUNDS ................................................. . . • L, , ~ • ., f 6 7.5 3 5 0.0 0 187.50 7 t. 1.5 9 727.52 RESERV.E ,~ FOR INTEREST .............. OTHER R ESOURCES .........•..........-···-·-····· RESERVED FOR TAXES ......................... OTHER LIABILITIES __ T~O_T_A_L_..._ ....._.···-····-····-·••·-····-····-····=·····=····c.c··•~~~--4 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ,2 0 3 .5 6 ~~ TOTAL. .............................................................. . 4 6. 2 0 3 .5 6 ~~ I OFFICERS AND DIRECTORS of Fangburn trte Bank, Pangburn, White Co., OFFICERS Harrt Churchill Preride,11 Chas.McKee Vice Pre•idenl R.I.Blackshare Caahi er ABB'I Cashier DIRECTORS Harry Churchill Chas. MeKee ~7.D.Ell1s J .P .Pickens R.I.Blackshare https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Paragoul d T•ust Co., Paragoul1, Greene C0., lh-k. J AT THE CLOSE OF BUSINESS l RESOURCES LIABILITIES CAPITAL STOCK ..................................... 5 0,00 0.0 0 4 9,9 9 7 .1 9 CERTIFIED SURPLUS ............................ 17,00 0.0 0 2 8,2 3 4.9 3 UNDIVIDED PROFITS ... .......................... LOANS AND D ISCOUNTS ........................ 1 5 2,1 40 .2 8 LOANS ON REAL ESTATE ................. LOANS ON COTTON ..............·--··---·-········ 0 VERD RAFTS _··--·--·· 1 6 3.6 6 BILLS PAYABLE BONDS AND SEC UR I Tl ES_·---••·-······ 7 4 0.6 0 NOTES REDISCOUNTED .......... -........... FURN ITURE AND FIXTURES-·-···· 4, 7 0 9 .7 0 5,6 5 4.9 2 25,00 0.0 0 ············••·••···-·· 2 9,7 9 3.2 8 SAVINGS ACCOUN T S ..... ········•· ···············- BANKING HOUS"" 14,5 1 6.5 4 TRUST FUNDS ........................ ····-··-················ OTHER REAL ESTATE· - · - · - - - 20,9 3 8 .3 6 DIVIDENDS UNPAID .................................. INDIVIDUAL DEPOSITS.................... ····- 9 8, 8 2 6 .7 2 BILLS OF EXCHANGE -·-·--·-·-·---·-, PUBLIC FUNDS. ........ ............... ·········•········ 6 1,2 4 0 .7 0 ' DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... 6,5 3 5.6 3 I CASH ITEMS. DUE TO RESERVE BANKS ........... ..... 9,0 0 0.0 0 ITEMS IN TRANSIT ··--·-·· 3 4 2 .1 2 DUE FROM RESERVE BANKS.-..... 5 2,7 9 2.0 3 CHECKS ON OTHER BANKS.. ·-···· 3 6 9 .2 3 C/ D'S, TIME ............ ......... ..................................... 1 1,2 5 5.0 0 C/ D'S, FOR MONEY BORROWED ... CURRENCY C/ D'S, DEMAND ........ ····················-··············· 6 77 .5 0 GOLD I 1 6,1 6 7 .6 5 2 CERTIFIED CHECKS 3,00 0.0 0 1.0 0 SI L VER ---··········-··-·····-···· ····-···-···--··--····--····· 2,0 8 3.4 3 CASHIER'S CHECKS. .................. OTHER RESOURCES ____ 3, 2 5 9 ,3 3 RESERVED FOR INTEREST.............. RESERVED FOR TAXES ............ ........... OTHER LIABILITIES I TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ................ ~ 3 4?,2 1 9 .9 0 ~!- TOTAL ...... ••···-· ··· ............................. ·········· ··•··••·····•·• 3 4 2,2 1 9 .9 0 -.~" ~f$0qD p•~r: ·0 OFFICERS AND DIRECTORS of nk1n R f DEC '>~ h:~ ,-------------------J-..,...., .No r-_": . ?.iragoul d 'T'·•ust Co., ~ Ai.t.N" co.1uu _V // OFFICERS F . , • Scott PreBiden, Jos . l . Bert ig Vic• President J . C. b.rkhum Cashier . T. H.Lloyd Ass'I Cashier DIRECTORS F . • cott i. . Bertig J . u . Ed ,t..rds H. Pov,ell~ - - - - - - S . Bertig J.M . Futrcll Je s . I . Bertig J. C• fa.a r khuJ+). Jo s . S. ,ueller H. J . Green R. ") . Tt..ylor https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1975 - UA V[ ~ _ _ _ _P_a_r -a g_ o_ u_l_i_,_ G_re_e_n_e_ C_o_. _, ATK, _ _ _ _ _ ____, ... ~~ ' .s 51 0N,.. COPY OF PUBLISHED STATEMENT of ~arkin hcm 0 3an k , P~ rkin, Cross Co. , Ar 1 INOY l O1915 AT THE CLOSE OF BUSINESS RESOURCES I LOANS AND DISCOUNTS......... ············· 2 2,4 7 8 .5 7 LOANS ON REAL EST A TE ·-·-···-···-- 4,5 0 0.0 0 LOANS ON COTTON CAPITAL STOCK ................................................ CERTIFIED SURPLUS .. BILLS PAYABLE BONDS AND SECURITIES--·-·---···· ..... 2,2 2 6 .7 3 SAVINGS ACCOUNTS .................................._ BANKING HOUS "' 2,8 2 0.0 0 TRUST FUNDS 2,1 4 0 .3 5 DIVIDENDS UNPAID.... OTHER REAL ESTATE ITEMS IN TRANSIT BILLS OF EXCHANGE 6,00 0.0 0 ···········••················· INDIVIDUAL DEPOSITS....·-·-·-·········-·- ..... 2 5,6 7 1.81 PUBLIC FUNDS.................................................. DUE FROM NO N- RESER V E BANKS CASH I TEMS 4 3 0.8 9 NOTES RE DISCOUNTED ........................ FURNITURE AND FIXTURES--··· ----- 1 0,00 0.0 0 ... UNDIVIDED PROFITS ................................. -·-······· OVERDRAFTS_·-------·· LIABILI T IES DUE TO NON-RESERVE BANKS .... DUE TO RESERVE BANKS........... ..... ·-···· DUE FROM RESERVE BANKS ...... _ 1 ,7 9 2 .9 7 CHECKS ON OTHER BANKS__...... 4 .'.3 0 .6 9 C/ D'S, DEMAND C/ D'S, TIME 4,2 5 0.0 0 CURRENCY 1 3,7 1 8 .6 3 CERTIFIED CHECKS·-·····-- 1,5 8 4.0 1 SILVER ········· C/ D ' S, FOR MONEY BORROWED ..... 2 0.0 0 GOLD .. ····-····················· CASHIER'S CHECKS ...................... ···•········· 4 2 1.9 9 RESERVED FOR INTEREST-·-········· OTHER RESOURCES RESERVED FOR TAXES OTHER LIABILITIES TOTAL ....................................., .,_ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 7,2 4 3 ,3 2 ~~ ·········· TOTAL ...... •···········-·······························•·············- 5 7.2 43 ,3 2 11- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of arkin H c;}l 9 3ank, P~rkin , Crosu Co., Ar·l<:. OFFICERS I . R. n1,e eBidenl r; . \J . ,alker , Vice PreBidenl E , B. Blaj r , Caahier P . J . Phi lJ i ps , Ass'I Cashier DIRECTORS I, n. J. n. Dye , COPY OF PUBLISHED STATEMENT of Peo ples :::an1:, Peach Orcha d, C1ay Co., f 0V I O 191:6 AT THE CLOSE OF BUSINESS 1 RESOURCES LOANS AND DISCOUNTS ........................ LIABILITIES 1 0, 2 0 2 .'.3 8 CAPITAL STOCK ............. ................................. LOANS ON REAL ESTAT E ................. CERTIFIED SURPLUS ............................... .. LOANS ON COTTON ......___,........................ UNDIVIDED PROFITS............................... . OVERDRAFTS ___.. _ _ _ _ _ , 9 2.8 8 BO N DS AND SECURITIES __ .............. 1.5 0 F URNITURE AND F I XTURES- ... 6, 500.0 0 8 0 9 ,3 0 BILLS PAYABLE _ _ _ _ __ , NOTES REDISCOUNTED ........................ .. 8 9 2 .6 7 SAVINGS ACCOUNTS _ _ __ BANKING HOUSE _ _ _ _ _- l TRUST FUNDS _ _ _ ........................... OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID ...... _ _ _ ... ITEMS IN TRANSIT_ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ , 1 0,26 0.84 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS ...... _ _ _ _ _ .. _ 1 6 1 ,3 6 DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEM$ _ _ _ _ _ _ _ ... DUE TO RESERVE BANKS.............. .. DUE FROM RESERVE BANKS- ... - CHECKS ON OTHER BANKS- ........ CURRENCY._ ..._ _ _ _ _ _ _ , GOLD _ _ _ _ _ _ _ _ _ _ 5, 2 49 .19 C/ D ' S, DEMAND _ _ _ _ _ ....... 4 4 4.0 1 C/ D'S, TIME ................................. _ _ _ ... .. 1,275.0 0 C/ D'S, FOR MONEY BORROWED..... 140.0 0 CERTIFIED CHECKS _ _ _ _ , SILVER- - - - - - - - - · · -... 16 9 .9 2 CASHIER'S CHECKS ................................. OTHER RESOURCES _ _ _ _ _ , 1 8 5.8 3 RESERVED FOR INTEREST ............ .. 1 RESERVED FOR TAXES _ OTHER LIABILITIES TOTAL. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 8 6 5 3 3 8 -it- TOTAL ...................... .. _ _ 9 2 0 .4 7 , 1 .4 1 1 8, 6 5 3 .3 8 -i~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of naople s D nk, Peac~ Orchard, Clay Co., Ar·. · OFFICERS Cashier Ass'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of People s ank, Portland, ASLl or Co., Ark. AT THE CLOSE OF BUSINESS I RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 81,315 .94 CAPITAL STOCK .............. _ _ _ _ , 25,000.00 LOANS ON REAL ESTATE ..............._ 1 1,547 .31 CERTIFIED SURPLUS-- - - -·· 13,466.00 LOANS ON COTTON .........·-·······-······-····· 30,687.20 UNDIVIDED PROFITS................................. 1,066.86 1,543 .94 OVERDRA F TS _ _ _ _ _ __ BONDS AND SECUR ITIES- BILLS PAYABLE----·····-······ NOTES REDISCOUNTED .......................• ..·--··-·· FURNITURE AND FIXTURES-···-··· 2,000 .00 SAVINGS ACCOUNTS ........ .......................... BANKING HOUSE _ _ _ _ _ _ , TRUST FUNDS _ _ _ _ _ _ _ , OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID- - - - · ··· ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS .......................... BILLS OF EXCHANGE- - - - - ·· PUBLIC FUND$ _ _ _ _ _ _ , DUE FRO M NON-RESERVE BANKS 30,000.0 0 I 12.68 DUE TO RESERVE BANKS ................ 1 3,5 7 2.5 7 CHECKS ON OTHER BANKS- ...... . CURRENCY·- · - · - - - - - - - ! o, 7 DUE TO NON - RESERVE ,BANKS..... CASH ITEM$ _ _ _ _ _ __ DUE FROM RESERVE BANKS-...... 5 C/ D'S, DEMAND _ _ _ _ __ C/ D'S, TIME- - - - - - - · ·· 2,200.00 27,590.00 C/ D ' S, FOR MONEY BORROWED..... CE RT IF I ED CH EC KS ..·--·····-···············•···•·· GOLD- - - - - - - - - · - · · · · · · SI LVER...· - · · · - · - - - - - - - - 1 1,205.92 CASHIER'S CHECKS- - - ·········· OTHER RESOURCE$ _ _ __ 3,762.66 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL. ....·-·········--································•··•···- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 147,835.54 ➔~ TOT AL .................•····••·•·-··•·•··· 147. 8 35. 5Ll. ➔t- OFFICERS AND DIRECTORS of Faople s '2an1r, Por t land, Ashl ey OFFICERS John c . Bain,m Prellidenl E. J . Camak , Vice Prellidenl J, ,~ . Brown , Caahi er Jas.A.Dean, Asa'I Caahier DIRECTORS J.C.:Bain R.J.Bain J . A. Dean , E.J.Oamrur https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ',f. T. Cone , J. ii . Drown , COPY OF PUBLISHED STATEMENT of .bcp les 2.viags Bank & Tru t Co., Pine Bluff, Jefferson 80., Ar' • AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 2 9 8, 5 3 3 ,7 7 CAPITAL STOCK...................·- - - · · · 100, 000.00 LOANS ON REAL ESTATE............... 1 3 0, 4 1 4.0 9 CERTIFIED SURPLUS............................... . 20,000.00 LOANS ON COTTON •.•• ·--·····-·····-····..... 6, 5 7 3 .Q 8 UNDIVIDED PROFITS................................. 10,561.4 8 BILLS PAYABLE- - -························ 60,000.00 OVERDRAFTS _ _ _ _ _ _ •· BONDS AND SECURITIES--··-·--····· 4,336 .74 NOTES REDISCOUNTED ....•.................... FURNITURE AND F I XTURES-·-··· 7,0 33.9 7 SAVINGS ACCOUNTS .................................. . TRUST FUNDS _ _ _ _ __ .. BANKING HOUSE _ _ _ _ _ _ , OTHER REAL ESTATE- - - - - 1 15,8 7 8.0 3 ITEMS IN TRANSIT _ _ _ _ _ , 6 0 0.0 0 DIVIDENDS UNPAID- - - -···· INDIVIDUAL DEPOSITS- - i BILLS OF EXCHANGE- - - -1 PUBLIC FUNDS _ _ _ _ , DUE FROM NON - RESERVE BANKS DUE TO NON-RESERVE BANKS .... CASH ITEMS _ _ _ _ _ _ _ , 24,019.5 2 127 .6 0 339,256.4 21,559.04 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ...... . 9 4,4 7 3,3 9 C/ D'S, DEMAND ...- ........................................... CHECKS ON OTHER BANKS·-··· 2 6,2 .'.3 9.6 9 C/ D'S, TIME- - - - - - - ·· CURRENCY· - - - · · - · · - · - - - · · ·· 17. 4 5 1.0 0 C/ D'S, FOR MONEY BORROWED ..... 5,650.00 CERTIFIED CHECKS .................................... 9 1 0.0 0 -· 3,6 0 9.1 9 CASHIER'S CHECKS- - - ·········· 3,8 6 2.5 2 4 4 8 .96 RESERVED FOR INTEREST.............. GOLD._ _ _ _ _ _ _ __ SILVER _ _ _ _ _ _ _ __ OTHER RESOURCES _ _ __ 31,200 .4 7 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES · _, ·H:.__ --:~6~9-'--'.5~ 1e......:: ·····~·____.!6.L..,!1,,___,,!,_1l13 ·····= ···===== : ~T'...'A!!:L=·····=····· .!..:O TO:::_T:..::A!!:L=====··=·····=····=····~~6:....:1=-..:::1:..1.,.::::3__:6~9:..:..::::.5. .1!::.._~_i-_:___T _.!..: LI https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of :e oples GJv;J gs Bank & Trust Co., Pine El~f~, J ef fe r son Co., Ai k. 0 e OFFICERS J~O- J. H. Mann, l,r.10"''~ ~IL • J.A. Clement Vic• President H.B. Strange, Secretary v. & Treasurer B. Alexander. sst. Secretary DIRECTORS c. VI, J.A. Clement E,A. Howel~l ~ -- - - - - - - H.B. Strange Leo ..1. J.E. Isbell https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Crittende:O: ( Ori ttenden) J. H. l\!ann drews COPY OF PUBLISHED STATEMENT of :ocahonta3 rtate Bank, Pocahvnt s, Rand~lpn Co., Ark NOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I LOANS AND DISCOUNTS........................ 7 6,6 7 0 .1 9 CAPITAL STOCK ............................................. 2 7.5 0 0 .0 0 LOANS ON REAL ESTATE ...............• 10,7 1 ~ .o 0 CERTIFIED SURPLUS ............................... A,5 0 0.0 0 UNDIVIDED PROFITS. ··•······················· ·•-• 1,6 7 5 .6 0 15,0 0 0 .0 0 LOANS ON COTTON ....••..•............•..•........ ···-········ 1 6 6.4 0 BILLS PAYABLE ................................................ BONDS AND SECURITIES.••- .• - ...... 4,0 3 6.6 5 NOTES REDISCOUNTED ....................... .. FURNITURE AND FI XTURES- .•.... 2,2 5 0.0 0 SAVINGS ACCOUNTS ................. ················· BANKING HOUSE 5,3 2 5 ,3 8 TRUST FUNDS OVERDRAFTS •..• --- OTHER REAL ESTATE DIVIDENDS UNPAID...... ITEMS IN TRANSIT INDIVIDUAL DEPOSITS BILLS OF EXCHANGE PUBLIC FUNDS DUE FROM NON - RESERVE BANKS ······-················ .. 8 2, 30 4 .1 4 2,4 2 6.5 3 DUE TO NON-RESERVE BANKS..... .. 5 0.0 0 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ 8 5,3 3 8 ,26 C/ D'S, DEMAND ........................ ···••·•·••··············· 9 6 6.4 9 C/ D'S, TIME .............................................................. 6,39 3.0 0 C/ D ' S, FOR MONEY BORROWED ..... 2,3 4 2.5 0 CERTIFIED CHECKS.................................... 5 6 3 .81 CASHIER'S CHECKS .................................... CASH ITEMS I CHECKS ON OTHER BANKS.-..... CU RR ENCY..- .. ···- 5 2,7 5 8 .8 8 ---···········- - 1 3,9 9 1 .0 9 - \ GOLD.·-··---·- .. ···-··-·· -··-···-···-···• SILVER 5 1 1.0 3 RESERVED FOR INTEREST.............. OTHER RESOURCES __ ·-·---·-····· RESERVED FOR TAXES OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ··············• ····- 1 9 8.2 1!-t,,2 1 ~'" -··· ····• TOTAL ................................................................. 1.4 7 1 2 8,2 4 2 .2 1 .", ~ :o cahont as ~ca te Bank , Pocahon~~s, Randolph Co., Ark. OFFICERS ,. • Skinner PreBidem Dr.J.Wffflf. rown (Dr.J .• rown) Vice PreBidenl en A.Brown Cashi er L•• Pickett, H .L.Haynes Ass't Cashier DIRECTORS • H. Skinner Min https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Pocahontas, Ark. .Carter Pocahontas, Ark. Pocahontas, Art. C.H. endereon Pocahontas , Ark . Eugene T, ornpson Pocahontas,Ark • • N.Hamil Pocahontas,Ark. Ben A.l'rown ,, COPY OF PUBLISHED STATEMENT of Portland ~a~:.:r, Po r tland, Ashl ey Co., A.rk v I O1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES I LOANS AND DISCOUNTS........... ........... 1 4 7,3 5 4.0 9 LOANS ON REAL EST ATE _ ........ ...... 5 ,8 2 :L.8 7 LOANS ON COTTON .......................·--········· CAPITAL STOCK ....................... ....................... 2 0,0 0 0.0 0 CERTIFIED SURPLUS 1 3, 0 1 3 .86 UNDIVIDED PROFITS.. .......................... 5 4,9 5 2 .0 6 BILLS PAYABLE 7 0,00 0.0 0 ..... 2 3 6.4 8 BONDS AND SECURITIES--··--······· 9 7 .0 0 FURNITURE AND FIXTURES--···· 2, 7 2 0.1. 9 SAVINGS ACCOUNTS ............ ····················~ BANKING HOUSE ..- ? ... ~ , .:> 4 3 ,3 TRUST FUNDS........................ OVERDRAFTS ... ·············-······ NOTES REDISCOUNTED ........................ 0 OTHER REAL ESTATr ...... DIVIDENDS UNPAID........ ·······•···•.............. I T EMS IN TRANSIT INDIVIDUAL DEPOSITS ............................ ----··· BILLS OF EXCHANGE I 6 0,28 6 .C 7 PUBLIC FUNDS ................. ............................... DUE FROM NON-RESERVE r DUE TO NON-RESERVE BANKS.... BANKS I DUE TO RESERVE BANKS.... .......... CASH ITEMS--·-·- I DUE FROM RESERVE BANKS- ..... 1 2, 0 0 5 .7 9 C/ D'S, DEMAND ............................ ·······-··········•·· CHECKS ON OTHER BAN KS--····· 3 5 .3 4 C/ D ' S, TIME .............................................................. 2 , 9 1 7.0 0 C/ D'S, FOR MONEY BORROWED ..... 2 8 7 .5 0 CERTIFIED CH EC KS ...·-··························- 1, 0 3 1.6 4 CASHIER ' S CHECKS ..................................... 4 6 4 .8 8 RESERVED FOR INTEREST.............. CURRENCY·----·- GOLD SILVER ... ··-- OTHER RESOURCES 1 0,0 0 0.0 0 6 2.5 9 RESERVED FOR TAXES OTHER LIABILITIES............................. ..... TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ................. .. _ , ~,. 2 2 8,3 1 5 .3 8 " TOTAL... .............................................................. 2 2 8,3 1 5 .~ 8 ➔~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of r-ortl and p-,vu{, Po;tland, Ashl&y Co., Ark- OFFICERS o c?J/c,O~tv ci.P~f~ PreBiden& V ice PreBidenl ~ Ass't Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Rando lph voun ty B~nk, Pocahontas, na .. J 0 J.ph Co. , Ar:i, . AT THE CLOSE OF BUSINESS NOV I O1915 - RESOURCES I LIABILITIES LOANS AND DISCOUNTS............. ····•·•·· 8 9,0 8 4.5 2 CAPITAL STOCK. ................ ........................... 2 6,0 C 0.0 0 LOANS ON REAL ESTATE ....• ......... 22, 7 7 6.0 0 CERTIFIED SURPLUS ······························· 2 3,5 0 0.0 0 LOANS ON COTTON ....·-··-······-······-········· 3 5,25 7 .7 4 UNDIVIDED PROFITS. ............................. 2, 1 8 1 .5 2 0 VERD RA FT S----···-···-···-···-···-····-···-•·· 6 2 .1 9 BILLS PAYABLE ................................................ BONDS AND SECURITIES--·-······ 1,1 2 0.4 2 NOTES REDISCOUNTED .......................... F URNITURE AND F I XTURES _ .•... 2,8 0 0.0 0 SAVINGS ACCOUNTS BANKING HOUSE 7. 0 0 0.0 0 TRUST FUNDS •,7 0 0.0 0 OTHER REAL ESTATE ·······- ·······-·······-············· DIVIDENDS UNPAID...............•................... ITE M S IN TRANSIT INDIVIDUAL DEPOSITS.......................... BILLS OF EXCHANGE PUBLIC FUNDS ·•························- 1 7 4,7 9 2.4 7 2 9,3 3 2.9 5 I I DUE FROM NON-RESERVE 1 9,3 7 2.1 1 DUE TO NON-RESERVE BANKS .... .. 9 6 8.7 3 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ........ 6 3,8 4 4.4 3 C/ D'S, DEMAND ....................... .......................... CHECKS ON OTHER BAN KS.•-•·•·•· 3 3 0.0 6 C/ D ' S, TIME ........................ ···································· ... 7;30 5.0 0 C/ D'S, FOR MONEY BORROWED ..... 6 3 5.0 0 CERTIFIED CHECKS .......................... ........ 3,0 2 6.5 9 CASHIER ' S CHECKS ..................................... 1,6 2 5.0 0 RESERVED FOR INTEREST.............. BANKS , CASH ITEMS CURRENCY GOLD SILVER . •··- OTHER RESOURCES 4,0 6 4.0 0 2, 0 3 6.8 5 RESERVED FOR TAXES OTHER LIABILITIES.................................. I TOTAL ....••..•..........•........................................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 6 1,9 0 717 2 ~,- TOTAL ........................•....................................... 2 6 119 0 7 .7 9 ~"!. OFFICERS AND DIRECTORS of 1and o lph ~ou~ ty Bank , Pocah 0.1tas, Ra1,J olph e o ., Ar 1: . OFFICERS E Dal ton PreBidenl A Z Schnabaum Vice PreBidenl JD Vielle. Cashier H I Harshall Asa'I Cashier DIRECTORS E Dal ton Le,lis Da lton \l C Brovm T w C P...r.1...-i:l..b..c.- ~----- --R-N--H-arA-,l+-i-+-1- - - - -- - C E Pr in g lP. H L Throgmorton https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis H A Petero COPY OF PUBLISHED STATEMENT of ~ecur ity ~• k & Trust Co. , Par~~ ould, Gre&na Co., , NOV l O1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS...................... 1 18,688.53 LOANS ON REAL ESTATE·-·-·········· 9 3,680.45 LOANS ON COTTON ....·-···-·······-···-········· 2,272.00 UNDIVIDED PROFITS............................ . OVERDRAFTS _ _ _ _ _ _ _ _ 2,374.84 BILLS PAYABLE- - - - - · ····· 3 1,5 0 0 .0 0 BONDS AND SECURITIES----·--······· 1,419.51 NOTES REDISCOUNTED .......................... 1 0,000 .00 FURNITURE AND F I XTURES ___._ 4,500.00 SAVINGS ACCOUNTS ................................... BANKING HOUS"' ~ ----·- 9,261 .63 TRUST FUNDS .................................................. OTHER REAL ESTATE _ _ _-! 17,186 .73 DiVIDENDS UNPAID.....· - - - · · CAPITAL STOCK........................................ 6 7,200 .00 CERTIFIED SURPLUS _ _ __ 19,0 0 0.0 0 ITEMS IN TRANSIT- - - - · - · · · . INDIVIDUAL DEPOSITS........................ . BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS- - - - - -·· DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... CASH ITEMS _ _ _ _ __ _ 37 .6 0 52,573 .95 DUE TO RESERVE BANKS........... ..... 1 9,264 .93 C/ D'S, DEMAND- - - -····················· 8 5 .6 4 C/ D ' S, TIME ............................................................ CURRENCY- - - - - - - - 1 2,589.00 C/ D'S, FOR MONEY BORROWED..... GOLD_ _ _. _ _ _ _ _ _ _ , 5 0.0 0 SILVER _ _ _ _ _ _ _ __, 6 4 8 .7 6 CASHIER'S CHECKS..............·-·············· .... OTHER RESOURCES _·----···· 2 5 9 .86 RESERVED FOR INTEREST .............. DUE FROM RESERVE BANKS ...... _ CHECKS ON OTHER BANKS_ 5,681 .9 3 ... CERTIFIED CHECKS ................................ 8 5, 7 6 3 .4 0 5 2 5.0 0 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES............................. ..... TOTAL. .............................................................. . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 7 2 2 8 1 .8 8 ~~- TOTAL .............................................................. 2 7 2, 2 8 1 .8 8 -:~ OFFICERS AND DIRECTORS of fdcuri ty ~q ~ & Trus t Co., Par" ·oul , G e&n_ Co., Arl{. OFFICERS A.A.Knox Presidenl R.J.Haley Vice Presidenl _ G.....O_._t_io.eg,.....h~t_ _ _ _ _ __ Caahier W.0.POOle • Aaa't Cashier DIRECTORS Joe A.White A.A.Knox G. o. Light R.J.Haley W.R.OWena .o.Poole ealey Wa https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis er COPY OF PUBLISHED STATEMENT of 3ank of ':1~ ~:nan, Quitman, Clao~rne Co., Ar' NOV I AT THE CLOSE OF BUSINESS RESOURCES 0 191 LIABILITIES I LOANS AND DISCOUNTS........................ 3 4,3 6 5.7 6 CAPITAL STOCK .................. ...... 20,5 0 0.0 0 LOANS ON REAL ESTATE·-···-········ 1 2,89 9 .86 CERTIFIED SURPLUS ............................... . 1,2 2 0.0 0 UNDIVIDED PROFITS .............................. 8,0 0 0.0 0 LOANS ON COTTON 1 3 8.4 4 OVERDRAFTS BILLS PAYABLE BONDS AND SECURITIES--··-······ NOTES REDISCOUNTED ........................ FURNITURE AND FIXTURES--···· 1,8 0 0.0 0 SAVINGS ACCOUNTS.................................. _ BANKING HOUSE_ 1,2 46 .6 0 TRUST Fu N Ds_................ .. ····•······· OTHER REAL ESTATE- - ···-·· DIVIDENDS UNPAID .................................... ITEMS IN TRANSIT INDIVIDUAL DEPOSITS....·-···················- BILLS OF EXCHANGE PUBLIC FUNDS...... I DUE FROM NON-RESERVE BANKS 1 2,3 5 5.3 9 . 20,2 1 6 .88 22,2 3 9.1 5 DUE TO NON-RESERVE BANKS.... DUE TO RESERVE BANKS................ CASH ITEMS- - · - · · DUE FROM RESERVE BANKS ......_ 7, 4 7 3 .1 2 C/ D'S, DEMAND................................................... C/ D'S, TIME ...................................................... ...... CHECKS ON OTHER BANKS--····· 3,1 7 1.0 0 CURRENCY .... GOLD-···-----·-···-·· 2 1 8.0 0 C/ D'S, FOR MONEY BORROWED..... 6 5.0 0 • CERTIFIED CHECKS.. ····················•··•········ SILVER 1 3 9.8 5 CASHIER'S CHECKS OTHER RESOURCES 1 0 9 ,7 2 RESERVED FOR INTEREST........ .... 1,3 7 0 .7 1 RESERVED FOR TAXES OTHER LIABILITIES........................ _... ...._ TOTAL ·····················•·····- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 3, 7 6 4.7 4 V ~~ TOTAL ....................................... 7_ 3. 7 6 4 ,7 4 ., -;"\ OFFICERS AND DIRECTORS of .3ank of C -; ,._nan, Qu~tman, Cleburne Co., A••'I Cashier ' DIRECTORS ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Ratcliff, Logan Co., Ar NOY I O 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS........................ 11,413 .12 CAP ITAL STOCK.·--···-·························-·········· 10,000.00 LOANS ON REAL ESTATE ................ 4 0 0.0 0 CERTIFIED SURPLUS .................. ........... . 2 0 0.0 0 LOANS ON COTTON ........ •···············-···· ..... . UNDIVIDED PROFITS ......... ................. . 2 8 0 .9 9 0 VERO RAFTS_··-···-•··•-···--·-·······----······ BILLS PAYABLE- - - · · · · · ··············· .. BONDS A N O SECURITIES_·····--····· 5 1 .8 7 F URNITURE ANO F IXTURES-·-··· 8 9 9.5 5 SAVINGS ACCOUNTS ..· - - - · - BANKING HOUSE.·---····-····--·····-··-·-·-·- 1,861.5 2 TRUST FUNDS ................................................. . NOTES REDISCOUNTEO ....................... OTHER REAL ESTATE---···--·-·· DIVIDENDS UNPAID .... _ _ _ ... ITEMS IN TRANSIT _ _ _ _ ···· INDIVIDUAL DEPOSITS.........................._ BILLS OF EXCHANGE-·--··-···-·····-···· PUBLIC FUNDS ............... _ _ __ 20,343.61 143 .8 5 DUE FROM NON-RESERV E DUE TO NON-RESERVE BANKS... BANKS- · · - · - - - - - - - · · ·· CASH ITEMS _ _ _ _ _ _ _ _ , I DUE FROM RESERVE BANKS-····- DUE TO RESERVE BANKS........... ...• 14,015 .86 C/ D'S, DEMAND----··········-········· C/ D'S, TIME ...............·-······ .................................... CHECKS ON OTHER BANKS_··-······ CURRENCY- - - - ··- - - - 2,808.00 C/ D'S, FOR MONEY BORROWED ..... G OLD· - · · · - - · · - · · · · - - - - - - - - 1,000.00 CERTIFIED CHECKS ............ _ _ _ , SILVER _ _ _ _ _ _ _ _ __ OTHER RESOURCES .. ·- - - · · · · · · · 1,349.0 0 115 .6 6 CASHIER'S CHECKS- - - · · · ·········· .6 2 RESERVED FOR INTEREST ............. . 2 4 8 .7 5 RESERVED FOR TAXES ......................... OTHER LIABILITIES ............................. ..... TOT AL. .................·-··••··•·····················•········· ...... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 2, 5 6 6 .2 0 ;~ TOTAL .................................... ........................... 3 2, 5 6 6 .2 0 ;~ OFF ICERS A ND DIRE CTORS of Senk of 1' +::.::.iff, R~bcliff, Logan Co., Ar" . OFFICERS M.I. Ronk P ruidenl Dr. R.A. Harkins Vice Preeidenl W.D. Stroud - - - - - Cashier ---------- A11'I Ca1hier DIRECTOll S M. W. onk Dr. R.A. Harkins T.J. Kerse c.o. Parker c. W.R. Cherr https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Elsken H.A. MaKelv~y,___ __ COPY OF PUBLISHED STATEMENT of nk of , au._,.iden, .Rav end'ln, Lawrenc0 Co. 9 Ark, 1. AT THE CLOSE OF BUSINESS V I O 1915 LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 18,348.50 LOANS ON REAL ESTATE ................. 2,025.0 0 CAPITAL STOCK. ............................. 10,000.00 CERTIFIED SURPLUS .............................. 1,'.3 7 5.0 0 LOANS ON COTTON ...............·-·····.............. UNDIVIDED PROFITS........ 1,533.16 OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE- - - · ·• ···.. ····· ..···•··•• BONDS ANO SECURITIES_ .............. 9 1.2 0 FURNITURE AND FIXTURES ..- ..... 1,0 O 0.0 0 SAVINGS ACCOUNTS ........................... . BANKING HOUSE _ __ 1,500.00 TRUST FUNDS _ _ __ NOTES REDISCOUNTED .......................... OTHER REAL ESTATE _ _ __, DIVIDENDS UNPAID ITEMS IN TRANSIT_ _ _ __ INDIVIDUAL DEPOSITS ..................... BILLS OF EXCHANGE .. _ _ _ _ , PUBLIC FUNDS................................................... DUE FROM NON-RESER V E BANKS_ _ _ _ _ _ _ _; II CASH ITEMS- -..... - .. - - - -..... I DUE FROM RESERVE BANKS ....... 51 .76 DUE TO NON-RESERVE BANKS .... DUE TO RESERVE BANKS.......... . 9, 4 1 '.3 .8 4 C/ D'S, DEMAND ................................................. C/ D'S, TIME ............................................................ CHECKS ON OTHER BANKS.·-······· i CURRENCY..- ...· · - · · - · - - - - - 2,615.00 GOLD..... __ .... - - - - - - - - 2 8 0.0 0 CERTIFIED CHECKS ............ SILVER __ .............- - -···--···-.. ·...... _ ..... 4 7 5 .7 1 CASHIER'S CHECKS ..... . OTHER RESOURCES .. _ 14,6 0 9 .3 3 8,143 .81 C/ D ' S, FOR MONEY BORROWED..... 139.71 RESERVED FOR INTEREST .............. ......... _ .......... RESERVED FOR TAXES ......................... OTHER LIABILITIES .................................. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 5, 8 0 1 .0 1 ~~ TOTAL.......................................................... . 3 5,8 0 1.0 1 ~'" OFFICERS AND DIRECTORS of nk of Ravrnden, Ravend ~, Lawrenc e Co . , Dea. 24th, 1915. O FF ICERS T. J. Shartm1 Pre:ridenl San H. Ball Vice Pre:ridenl N.R.Moore Cashier Aaa' I Cashier DIRECTORS San. H. Ball Wm. Bottoms https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of 3ank of Rec+or, Re ctor, Cla 3 Co., Ar" NOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........................ 1 8 3,1 3 1 ,7 4 LOANS ON REAL ESTATE ... ·--········· 2 5,2 2 6.8 8 . LOANS ON COTTON .........._ ···-····-··-········ 3 0,00 0.0 0 CERTIFIED SURPLUS ....................... ....... 3 0,0 0 0.0 0 UNDIVIDED PROFITS ..................... ·········· 10,5 3 9 .3 2 .................. 2 0,0 0 0.0 0 1,0 0 0.0 0 5 0 7.6 1 BONDS AND SECURITIES_·-·-•-·· 4,9 2 1.5 7 NOTES REDISCOUNTED ................ -,..... FURNITURE AND FIXTURES--··· 3,1 0 1.26 SAVINGS ACCOUNTS .. •·········-···········•·· .... .. 7,6 4 8.0 7 TRUST FUNDS......................... ························ 2,2 1 2.6 9 DIVIDENDS UNPAID ...... BANKING HOUSE..·--··- OTHER REAL ESTATE 2 8 .8 9 ITEMS IN TRANSIT BILLS OF EXCHANGE I ICASH ' DUE BILLS PAYABLE ...... 1 1.3 5 INDIVIDUAL DEPOSITS........................... 1 6 1,9 9 1.6 9 PUBLIC FUNDS DUE FROM NON - RESERVE BANKS I CAPITAL STOCK ................................................ ... OVERDRAFTS II LIABILITIES I ITEMS 1 6,3 2 3.2 9 DUE TO NON - RESERVE BANKS .... 3 6.9 2 DUE TO RESERVE BANKS................ FROM RESERVE BANKS ....... 5 6,5 2 5 .8 1 CHECKS ON OTHER BAN KS·-······ 9 8 8.2 1 C/ D'S, TIME ................. ...................... ·················-· CU RR EN CY.·-····--·-···-·····--·····--········· 7: 7 5 1.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD.... -·- 1,6 5 0.0 0 CERTIFIED CHECKS .................................... SILVER-·--·· 2,0 4 5.9 8 CASHIER' S CHECKS ............................... .... 8 5 2.4 2 RESERVED FOR INTEREST .............. OTHER RESOURCES. ......... C/ D'S, DEMAND 1 9,1 0 6 ,3 8 ·············•··......... ........................... 3 7,5 1 8.5 5 2,7 8 5 .0 5 RESERVED FOR TAXES ......................... OTHER LIABILITIES............................. ..... TOT AL ..............................................,................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 12.9 5 2 .3 4 ~C' TOTAL .................... ······································· ~ 1 Z, S1 5 2 ,'.2 4 ,. ~~ OFFICERS AND DIRECTORS of Eank of Rb,.. to r , Re ctor, Clay Co., Ar · OFFICERS J. c. Rogers Preside111 Eli I eiser Vice Presiden& M. M. Craven Cashier a. A. Harper Aaa't Cashier DIRECTORS El i eiser R . Li dde ll J . D. Block J . N. McNiel Joseph Wolf J .c . Rogers G. H.Hardin M. M. Craven . A. J.Sides . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of B'ank of R_,_,.., 111ond, Ri chmond~ Li-ttle River Co., r.k II CJV 1 0 191 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS ........................ ,585 .14 CAPITAL STOCK---························ LOANS ON REAL ESTATE ........·-···-· 1,2 t, 2 .3 9 CERTI Fl ED SURPLUS ............................... _ LOANS ON COTTON ....·-···-······-····-·•-········ UNDIVIDED PROFITS............................ . OVERDRAFTS_.._ _ _ _ _ __ BILLS PAYABLE ................................................ BONDS AND SECURITIES---·-······ NOTES REDISCOUNTED ......................... F URNITURE AND F I XTURES- I LIABILITIES ... 1, 558 .34 TRUST FUNDS..................... ................. . OTHER REAL ESTATE _ _ __. DIVIDENDS UNPAID .................................. ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS ..·-·············-······· BILLS OF EXCHANGE- - - · - PUBLIC FUNDS................. - - -··· 4,794 .6 8 DUE FROM NON-RESER V E DUE TO NON-RESERVE BANKS .... BANKS- - - - - - - - - · · DUE FROM RESERVE BANKS ...... _ DUE TO RESERVE BANKS................ 5,034.11 CURRENCY- - - - - - - - - · - GOLD ... SILVER- - - - - - - · - - · - · · · · · · OTHER RESOURCES _ _ __ C/ D'S, DEMAND ........·-·····-········ ....................... C/ D ' S, TIME ............................................................ CHECKS ON OTHER BANKS _ ........ . I 3,0 0 0.00 SAVINGS ACCOUNTS ...... _ __ BANKING HOUSE.·-·-··-·---··--··-- CASH ITEMS _ _ _ _ _ _ _ _ , I 10,000.00 1,2 7 2.0 0 C/ D'S, FOR MONEY BORROWED ... 40 .0 0 CERTIFIED CHECKS .................................. 413 .6 1 CASHIER'S CHECKS- - -···········- 3,826.04 RESERVED FOR INTEREST .............. 2 '.3.3 0 RESERVED FOR TAXES ......................... OTHER LIABILITIES TOT AL ...... •-··-·--·-·············--··-········ ..... ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 g_ 9 7 1 .6 3 ~( TOTAL... ............................................................ 2, 1 5 3.6 5 1 9, 9 7 1.6 3 ~~ OFFICERS AND DIRECTORS of B'..nk of R -::-·.,.. ond, • Ri chmonu, i ttle R1 ver Co. , OFFICERS DIRECTORS ~ ~~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Jank of l:t.;."cu, Ris n, Clevelana Co.t Ark AT THE CLOSE OF BUSINESS J -·. I LIABILITIES - LOANS AND D I SCOUNTS........................ 3 0,5 7 8.3 2 CAPIT '}L r ~TO~:K ·····;··· LOANS ON REAL ESTATE ................. 60,4 3 4.0 8 CERTIFI E0 1 SURPLUS .. ··········-·•··············· .1, 6 UNDIVIDED PROFITS.• ···························· 2,9 6 5.8 1 LOANS ON COTTON ................·-················•·· - 4 0,00 0.0 0 OVER ORA FTS_·-·•··--·-~:--··· _-··-·-··-······· 4,9 6 2 .6 0 BONDS AND SECURITIES.·-···--··· 1 6 0.5 8 NOTES REOISCOUNTEO ..............•.... .. FURNITURE ANO F I XTURES·-··· 2,00 0.0 0 SAVINGS ACCOUNTS ............................. ····· BANKING HOUS~ LI.., 5 0 TJ:!US:r FUNDS ............ ··············•···················· - -------~ BILLS PAYABLE 0 .0 0 I CASH ITEMS--·-·-· I ·-·-··· 9 0,7 0 2 .1 2 PUBLIC Fu N ps ....r···········;- ' ' DUE TO ,RESERVE BANKS ................ DUE FROM RESERVE BANKS ....... 4 1,5 9 2.2 6 C/ D' S, 0 EMANO.......•._, .................. ·····-········ ~' CURR EN CY ...·-·--·-··-···-·····-··--·-·····-·· 6,9 2 4.0 0 .... 4 8 5.0 0 ···-··-··--···· 1,8 2 7.5 0 I OTHER RESOURCES .....·-··-···••·······-········· ~ C/ D ' S, 1:1,ME CHECKS ON OTHER BAN KS·--······ SILVER ··- DUE TO NON-RESERVE BANKS ... t GOLD... 7 0.4 7 INDIVIDUAL DEPOSITS BILLS OF E XC HAN GE -----·---···-··· DUE FROM NON-RESERVE BANKS ······················ DIVIDENDS UNPAID 1,7 0 0.0 0 ITEMS IN TRANSIT 0 0.0 0 ' 2 8 6 ,3 0 OTHER REAL ESTATE·----···-· , I 0 1915 - l RESOURCES ov -- .. - C/ D'S, 1 7.1 1 2.2 4 ..................... :?'; ~Or-t_EY ~OR ROWED..... CERTIFIED CHECKS .............................. .... CASHIER' S, CHECf S ············· ., .. RESERVED FOR INTEREST.............. .. RESERVED FOR TAXES ......................... OTHER LIABILITIES ····• - TOTAL .............................................. ··········••·••· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ., 1 5 5,4 5 0 .6 4 .a. TOTAL ............ ................................... .............. 1 5 5, 4 5 0.6 4 -;; " OFFICERS AND DIRECTORS of 3 ank of Riso11, Ris on , Cleve and Co ., Ark. OFFICERS ' Preside111 ... I. E. !oor Vice Presidenl ,.,.,\o-+.,. <,O~ J. W. Elrod .••+ Cashier ~ stt Harlow Aaa' I Cashier DIRECTORS E. B. Atwood :L D. Sadl r J. W. Elrod N. A. McKinney https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis J. , . rr. c .turtr y U. Robertson I.E. Moore. COPY OF PUBLISHED STATEMENT of Bank of Rurl} , Rudy, Crawford Co., Nov AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS ................ - ...... I 1 0,8 2 5.98 CAPITAL STOCK ..._....... CERTIFIED SURPLUS ... LOANS ON COTTON ...·-·····-···-·········-········ UNDIVIDED PROFITS 5.6 9 ' BILLS PAYABLE BONDS AND SECURITIES-·----···· FURNITURE AND FIXTURES-·-···· BANKING HOUSE ·-··-··---- I 9 5 0.0 0 SAVINGS ACCOUNTS 2,30 0.0 0 10,00 0.0 0 .... , 5 1.4 0 ·······• 35 9.2 '.3 .... ··········~ TRUST FUNDS .......................................... ........., DIVIDENDS UNPAID ITEMS IN TRANSIT INDIVIDUAL DEPOSITS DUE FROM NON - RESERVE BANKS ___ . ......... NOTES REDISCOUNTED ...·--··············· OTHER REAL ESTATE r BILLS OF EXCHANGE----·-··-·-·--1 I LIABILITIES LOANS ON REAL EST A TE _......... ····- OVERDRAFTS 1 " 1915 2,4 5 4.2 5 PUBLIC FUNDS..__ ... 6,9 0 7.1 0 ... ·-····· DUE TO NON-RESERVE BANKS.... --··· DUE TO RESERVE BANKS..............- r I CASH I ' I I I ITEMS DUE FROM RESERVE BAN KS -..... C/ D ' S, DEMAND--···-······ CHECKS ON OTHER BANKS.-........ C/ D'S, TIME ................................... ····-··················· CURRENCY 6 0 6.0 0 ·····••·• C/ D'S, FOR MONEY BORROWED ..._ CERTIFIED CHECKS GOLD SI L VER.-·-····-· 2 46.2 0 4 2 2.0 1 ... CASHIER'S CHECKS ...... RESERVED FOR INTEREST .............. OTHER RESOURCES RESERVED FOR TAXES OTHER LIABILITIES TOTAL ........................................................... ....• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 7.5 6 3.9 3 ~'" -········ TOTAL ................................ ···········•·· ............... 17, 5 6 . 3,2 :3 .), ~ OFFICERS AND DIRECTORS of Bank of Rudy, Rudy,Craw«ord County, Arkansas . OFFICERS Geo.n.wood. Preride,u W. G. Cooper. W, L.Slml l . Vice Preridenl ,I,H.Coaper. Cashier A11'I Cashier DIRECTORS Gea.B.Waaa _________ W.G.Cooper. J.H.Cooper. ,I-S.BazelJ. E.E.Rudy. J.D.Kagy. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis D.J.Broyles. COPY OF PUBLISHED STATEMENT of dank of Ru~ clllville. Russell 1 ille, ?ope Co., NOV 1 0 19 5 AT THE CLOSE OF BUSINESS r RESOURCES LIABILITIES LOANS AND D I SCOUNTS ........................ 9 4,290 .96 CAPITAL STOCK .................. _ _ _ .. . 50,000.00 LOANS ON REAL ESTATE ... ·-····· ······ 4 '.3,4 8 0.2 7 CERTI Fl ED SURPLUS............................ . 12,000.00 UNDIVIDED PROFITS ............................. . 10,203.13 BILLS PAYABLE ...................· - - -1 20,000.00 LOANS ON COTTON _·-·····--··--·-········ OVER DRAFTS·--····-·------····· 154.01 BONDS AND SECURITIES--·-·-··· 1,726.62 FURNITURE AND FIXTURES_ ... BANKING HOUSF _ _____ NOTES REDISCOUNTED ....................... SAVINGS ACCOUNTS ............................... .. 1 15,000.00 TRUST FUNDS _ _ _ .......................... . OTHER REAL ESTATE- - - · - - DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ .. INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE- - - - 1 PUBLIC FUNDS- - - - - - · · · DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .. 1,517.22 CASH ITEMS- - - - - - · - · - · · · DUE TO RESERVE BANKS............... 4,467.28 DUE FROM RESERVE BANKS........ 41,211.23 CHECKS ON OTHER BANKS·-··-····· 1,125.0 0 C/ D ' S, TIME ............................................................. 10,327 .o 0 C/ D'S, FOR MONEY BORROWED ..... GOLD.·--·--------·--········· 2, 065.00 CERTIFIED CHECKS .................................... SILVER- - - - - - - · · · - - · - -... 3,221.31 CASHIER'S CHECKS ..................................... OTHER RESOURCES _ _ _ _ ....... 3 8.0 0 RESERVED FOR INTEREST.............. I 2,488.56 CURRENCY _ 84,396.01 18.3.26 C/ D'S, DEMAN 0 ................................................... 23,921.22 3, 4 6 2 .7 2 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES 4- _ LI .T!...:O ~ T'...!: A~L=.. ==== ....·=···..=·....= . . .= . ··=...·.:....!,__...!2~1:_:2: : :i,. .6~3:.....:::..9..:: : ,4~0:.,_•__:~_ ~ _T.!...:O~ T'...!:A~L=·····= ·....:::::··.. :·;::.:···====·····= .... _..,!!2~ 1 -=2:1,~6~3.....,9:::..c,,.::!4:.._0.:e::...._~:.....(·_, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ·;!_· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of B nk of RuR~~11ville , Russ e l l 1lle, Pope Co., OFFICERS c[(ml}tui/ ~~-~ DIRECTORS COPY OF PUBLISHED STATEMENT of ~arme rs ~ ·~~chants B nk, Reyno, Ranuolph Co., ~ov 1 o 1915 AT THE CLOSE OF BUSINESS I RESOURCES LOANS AND DISCOUNTS ....... .......... ... 1 4,5 4 6 .1 9 LOANS ON REAL ESTATE ................. 3,2 9 0 .7 5 LOANS ON COTTON CAPITAL STOCK....... ············--·--···•·-·····•··· ....... 5,00 0.0 0 2 5.0 0 NOTES REDISCOUNTED .......................... FURNITURE AND FI XTURES -·-···· 1,0 0 0 .0 0 SAVINGS ACCOUNTS ................................... BANKING HOUS<= 1,8 0 0.0 0 TRUST FUNDS ······················••·•··• OTHER RE.AL ESTATE- - - - ··-- DIVIDENDS UNPAID ITEMS IN TRANSIT ···--·-··· INDIVIDUAL DEPOSITS.......................... OF EXCHANGE-·-----·-···· PUBLIC FUNDS ................................................... DUE FROM RESERVE. BANKS ...... CHECKS ON OTHER BAN KS·-······ CURRENCY. ···- GOLD......_ I SILVE R ..·--·--· ... 2 5,0 5 6.5 0 . DUE TO NON-RESERVE BANKS .... DUE TO RESERVE BANKS ........... .... CASH ITEMS·-·--···-··--···---·····-··-···-····· ..,_ 3 5 3,3 5 BONDS AND SECURITIES-··-····-··-·· b 0.0 0 0.0 0 UNDIVIDED PROFITS ................................. BILLS PAYABLE 1,5 oto 0 3 5 0.0 0 17.6 5 DUE FROM NON-RESERVE BAN KS_·--··------·-·----······ 1 CERTIFIED SURPLUS ······························· OVERDRAFTS.- BILLS I LIABILITIES 1 5,8 7 8.2 5 C/ D'S , DEMAND ....... ....... ............................... 5 3 9,.1 1 C/ D'S, TIME ....................... ....................., ............. 2,4 5 5.0 0 C/ D'S, FOR MONEY BORROWED..... 1 0 0.0 0 CERTIFIED CHECKS .. ·············•---·-----········· 5 0 3.0 1 CASHIER' S CHECKS 8 9 5.1 1 RESERVED FOR INTEREST.............. OTHER RESOURCES_. RESERVED FOR TAXES OTHER LIABILITIES.................................. I TOT AL .........·-···-·•······•····················••·••······· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis I 4 1,6 5 4.9 6 ~E- TOTAL ................... ········--·- ···························· 4 1,6 5 4.9 6 :'. " https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ~armers & ~r~ chants Bank, teyno , Rando lph Co ., OFFICERS Aaa'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of ~- rmers v~a'~ Bank, Rogers, H6nton Co., OV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS.... .................. 1 3 5,9 7 5 ..7 9 CAPITAL STOCK ........... ................... ··-······•···· 40,00 0.0 0 LOANS ON REAL ESTATE .... ........... 1 1,9 6 7 .7 0 CERTIFIED SURPLUS ..................... ......... 6,6 5 0.0 0 LOANS ON COTTON ..,_................................ UNDIVIDED PROFITS ................................. 3,2 3 4.0 9 OVERDRAFTS BILLS PAYABLE ..... BONDS AND SECURITIES- -............. 9 1 1.2 1 FURNITURE AND FIXTURES .... - ... 3,7 3 3 .9 ....,i:: I 10,0 0 0.0 0 SAVINGS ACCOUNTS TRUST FUNDS OTHER REAL ESTATE DIVIDENDS UNPAID ......... ·-··· ····· NOTES REDISCOUNTED ....................... . BANKING HOUSE. -... ITEMS IN TRANSIT I LIABILITIES I 1,1 9 2 .8 8 BILLS OF EXCHANGE _________ ..... ········ INDIVIDUAL DEPOSITS .... PUBLIC FUNDS ................ .. 1 1 8,7 4 0.4 5 I DUE FROM NON-RESERVE BANKS --·-·-····· DUE TO NON-RESERVE BANKS .... -···· 7 8 0.2 0 DUE FROM RESERVE BANKS ........ 3 7, 6 7 2 .9 5 C/ D'S, DEMAND ..... ....................................... CHECKS ON OTHER BANKS ...- ...... 1,40 3 .7 8 C/ D'S, TIME ................................. .................... CURRENCY ..._, 3,6 3 6.0 0 C/ D'S, FOR MONEY BORROWED ..... 1,1 2 5.0 0 CERTIFIED CHECKS 5,1 1 3.2 4 CASHIER'S CHECKS CASH ITEMS __ ....__ , GOLD ··-·-·-··-·····•··• I SILVER DUE TO RESERVE BANKS .. ······•····· 2 4,5 9 8.7 5 1 8 6.2 a RESERVED FOR INTEREST.............. OTHER RESOURCES .......... - .... -...- ............ RESERVED FOR TAXES OTHER LIABILITIES.................................. TOTAL .... ········•"'•·········· ··--~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 0 3 5 1 2 .7 0 ➔ I- TOTAL ....................... ....... ······················-······· 1 1 3 .1 7 2 Q 3,5 1 2 ,7_ Q ~e, I· I I -·- - \ OFFICERS AND DIRECTORS of ~armers St ~L ~ Bank, Rogers, Benton Co., ! I \ :' AY'•~. '{ . t , I• OFFICERS J. L. Cha in President L.B. Steinbrenner Vice President Perry N. Clark Cashier L. E. Page Ass'I Cashier DIRECTORS Chapin, J. L. Steinbrenner Chapin, O. F. Sharp L E_._ G_._ _ _ _ _ __ Clark, Perry N. Torbett, D. H. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L.B. COPY OF PUBLISHED STATEMENT of :;..one Ro e R,.11k, Rave nden Springs, Ra Ldolph Co., N V I O 1915 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS ........... LOANS ON REAL ESTATE ...·-··········· LIABILITIES 10,025.60 CAPITAL STOCK .............................................. 10,000.00 4 6 5.0 8 CERTIFIED SURPLUS............................. . 1,000.00 LOANS ON COTTON _ _ __ OVERDRAFTS_ _ _ _ __ UNDIVIDED PROFITS, _ __ 13.2 4 BI L LS PAY ABLE ..·-····-····-····-························ NOTES REDISCOUNTED ...................._ . BONDS AND SECURITIES--·-·-······ FURNITURE AND F I XTURES_···-··· BANKING HOUSE _ _ _ _ _ _ , 1,3 8 0.5 0 SAVINGS ACCOUNTS _ _ __ 7 5 0.0 0 OTHER REAL ESTATE _ _ _-! ITEMS IN TRANSIT _ _ __ 312.0 .'.3 DIVIDENDS UNPAID ........................ 40.0 0 INDIVIDUAL DEPOSITS ........ BILLS OF EXCHANGE -·-·---·-····· PUBLIC FUNDS................................................... 6,809 .30 .'.3 5 .7 6 I DUE FROM NON-RESERVE BANKS _ _ _ _ _ ·---····---···· CASH ITEMS_··--·-··-·--···-··-·-·-··-····· DUE FROM RESERVE BANKS........ DUE TO NON-RESERVE BANKS .... 4 5 6.4 0 DUE TO RESERVE BANKS ........... ..... 3,972.43 C/ D'S , DEMAND ...... :............................................ 1,645.00 C/ D'S, FOR MONEY BORROWED ..... 6 5.0 0 CERTIFIED CHECKS .................................... 2 6 9.1 3 CASHIER'S CH EC KS ......... ·-·······················- 11.7 7 RESERVED FOR INTEREST..:........... 3 2 7.0 6 CHECKS ON OTHER BANKS-·-······· CURRENCY. · - · · - - · · - - - - - GOLD _ _ __ SI LVER· - - · · · - · · - - · - - - - - - - 1 I OTHER RESOURCES __ ._ __ 5 5 6.0 6 RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOT AL ...... --····-··-··············•······•····•············.··- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 5.94 1 9. 0 9 4 .1 _.::5:___➔:_ _ _T:...::O:....:T..:..:A=L.=·····=····::::···,··:::c:·· · ··=· · ·=··· =· · ·=· · ·=· · ·=· · ·=··· =·· · =·····.-___...=1::.. .9, .:._<-0-----"-9_ 4_.1_ 5_ :J-_ _, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of :,one Ro ck B~ ,1k, Ravenden 3prings, a dolph Co., A I", OFFICERS Aaa't Ca•hier DIRECTORS • COPY OF PUBLISHED STATEMENT of Peoples ..:.•n } cJ.nge Bank Ru qsellville, ope Co., AT THE CLOSE OF BUSINESS . 1 RESOURCES I LOANS AND DISCOUNTS ...................... 1 40,0 1 6 .2 1 LOANS ON REAL ESTATE ..•....... ...... 62,553 .20 LOANS ON COTTON _ _ _ _ ···· t 7 0,000.00 CERTIFIED SURPLUS ............................... . 1 4,000.00 UNDIVIDED PROFITS,_ _ _ . ... ,5 5 3.9 5 NOTES REDISCOUNTED _ __ FURNITURE AND FIXTURES •..•.... 1,442.48 SAVINGS ACCOUNTS ............................... . BANKING HOUSE ...·-·-···--·--··-··-··-··-- 9, 750.00 TRUST FUNDS .................................................. . BILLS PAYABLE _ _ _ _ __ , DIVIDENDS UNPAID ......................•............ ITEMS IN TRANSIT-----··-·-···-·· INDIVIDUAL DEPOSITS _ _ _ ._ 1 64, 113 .12 BILLS OF EXCHANGE PUBLIC FUND$ _ _ _ _ _ _ , 13 .6 2 FROM NON-RESERVE DUE TO NON-RESERVE BANKS .. . BANKS_ DUE TO RESERVE BANKS........... ..... CASH ITEMS·------·-··------···· 56,242.3 9 C/ D ' S, DEMAND................................................... 1,975 .1 1 C/ D'S, Tl ME ...... -----·············· 25,671.00 C/ D ' S, FOR MONEY BORROWED..... GOLD 4,320.00 CERTIFIED CHECKS ................................... SILVER •.· - · · - - · - - - - - - - - · · · 3,751 .93 CASHIER'S CHECKS ..................................... OTHER RESOURCES- - - - · · · · 81.0 0 RESERVED FOR INTEREST .............. DUE FROM RESERVE BANKS ... CHECKS ON OTHER BANKS·--····CURRENCY ..._ _ _ _ _ _ __ I I 20,000.00 OTHER RE.AL ESTATE _ _ __, I ' CAPITAL STOCK ..................................... . BONDS AND SECURITIES __ ··-·--·· I DUE I I LIABILITIES . 19 6 .21 10 0.0 0 2,82 1.99 OVERDRAFTS _ _ _ _ _ __ 0 19 15 34,240 .8 3 RESERVED FOR TAXES ......................... OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 0 8, 9 2 1.5 2 -lt- TOTAL. ................. '.3 0 8, 9 2 1.5 2 -l~ OFFICERS AND DIRECTORS of Pe oples Exrhctnge Bank , Ru . ~ellvillG , Pope Co., OFFICERS R.J.Wilson. Pre8ide111 W.J. White. Vice President L.B.M'cClure, Cashier Jno.A.Bayliss, Ass'I Cashier DIRECTORS J. :.Ball. J • . • Campbell. G.C.M.cKennon. w.~.Oatea. Jno.W.White. W.J.White. R.J.Wilson. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of ? ope Coun "';,•r 3ank, Pu s sellvi lle, Pope Co ., k k (NOV I O,1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ...................... 103,9 4 1 .0 2 LOANS ON REAL ESTATE ................. 9,19 1,81 LOANS ON COTT9N ...................................... CAPITAL STOCK ...................................... . 2 5i0 0 0.0 0 C~..R-r_:I Fl ED SURPLUS ................. ............ 1,6 0 0.0 0 UND_IVl!)~I? f>ROFITS- - -- ... 1,4 7 2 .7 5 OVERDRAFTS.................................,.................... .. 11 5.9 5 BONDS A,ND SECURITIES_........._ .... 3,190.50 NOTES REDJ!,COUNTED ......................... . FURNITURE AND FIXTURES .......... ,, 3,300.00 SAVI_N,GS ACCOUN,TS .................................... 2,390.00 DIVIDEN,D~ UNPAID- - - -..- .. 29,000.0 0 Bl,L,LS -f'AXA!3!-l;o,.,... .............................. 7 7 9.0 7 BANKING HOUSE ...- ...... _. __.........._ ..__ . . OTHER .REAL ESTATE- - - - ! 72,824.6 1 INDIVIDUf./-- DEPOSITS ..........,.. BILLS OF EXCHANGE _ _ _ _.... .. : '· I PUBLIC, F (LN !,)S ..... "' ....._., .... +,........ 0........:...... .. 4, 625.4 9 DUE FROM NON-RESERVE DUE TO l!l,Ol"!·RESERVE BANKS... BAN~S- - - - - ...- - - - - 1 CASJ:f DUE TO -13ESERVE BANKS.............. .. , ITEll.,1~- - - - ,,- - - , - - - - DUE FROM RESERVE BANKS ........ 17.314.24 CHECKS ON OTHER BANKS_ ...... 3 .6 0.2 0 C/..D'S,. Tlfl/JE ..:.a .......,............. ,.. _ _ _ _ .. 5,071.0 0 C/ ,O;fS, FOR ~ON-EV !:i!ORRO~VED .... 5 5.0 0 CE!jTIFIED CHECKS ................................ .. CURRENCY .... _ _ _ _ _ _ _ _ _ , SILVE R .... - .......·--- - - - . -....... 761.'.3 3 OTHER RESOURCES _ _ _ ............ 111.0 0 9/D'S, DEMAN.D_ 2,-·~ -....... .,.1 ....... . 10, 500 .13 RESERVED,_ .~OR INTEREST .............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES L___.! T~O'..!. T~A-= L= .... ====. . ·::c:....:::.;-..·=.... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ,__~1=--::!4:...:5::::'L:•8 =-..:Q ~ 2::;•:.::Q~ 5:.......:,~~:____:_ =.. ·:.= .. ·:::...-- _!__ T~OT .!...:A~L =.:...:::::·-·= ........................................................... 1 4 5,8 0 2.0 5 ~~ OFFICERS AND DIRECTORS of ~ope Coun ·~ Bank, 0 ussellville, Pop e Co ., A--··. OFFICERS H. ff.PATRIC!C, Pre8ide,u Vice Pre8iden1 R.ff.FERGUSOtt, Cashier lt.A.PA'T RIOK, Ass't Cashier DIRECTORS h.ff.PA' RICK THOS F.HOYE, --1l..S... BELL,....__ _ _ _ _ __ R ••• FERGUSON, 1. l.. . S ILLI:11G, R,L.SMITH, J.OE C.BONDS, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis LA.BE HOWELL. COPY OF PUBLISHED STATEMENT of rank of C0Mrr erce ~ Si l oam S•rings, Bonte. Co., AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS...................... 12,487.68 LOANS ON REAL ESTATE ...............- 3,950.00 CERTIFIED SURPLUS _ __ UNDIVIDED PROFITS..................... . LOANS ON COTTON .........·-·····-·····-···· 8 6.86 BILLS PAYABLE- - - - --·· BONDS AND SECURITIES--·····-•······ 2 5 8,2 0 NOTES REDISCOUNTED-..................... FURNITURE AND FIXTURES-·-··· 8 0 0.0 0 SAVINGS ACCOUNTS .........·-·········· ......... . 7, 247 .88 TRUST FUNDS .................................................... OVERDRAFTS _ _ _ _ _ __ BANKING HOUSE. · - - · · · · · - - - - I OTHER REAL ESTATE _ _ __, DIVIDENDS UNPAID.......... ····-···-······ .... ITEMS IN TRANSIT--··•·-·---·---···-•· INDIVIDUAL DEPOSITS............. ······•···•- BIL:.LS OF EXCHANGE-·-·---·····-·• PUBLIC FUNDS- - - - - ~ ' DUE FROM NON-RESERVE BANKS 4,260.46 C/ D ' S, DEMAND .................................................. . 9 8.0 0 C/ D ' S, TIME- - - · - - - - · · · ·· 4 7 8.0 0 C/ D ' S, FOR MONEY BORROWED ..... GOLD ..·-- ···-···-···· - - - - · · · -··-····-········· '.3 0 0.0 0 CERTIFIED CHECKS .................................... SILVER _ _ _ _ _ _ _ _ _ , 12 1.8 5 CASHIER'S CHECKS ................................... _ I CHECKS I ON OTHER BANKS--···· · CURRENCY _ _ _ _ _ _ _ _ _ , OTHER RE SOU RC ES--·····-··-·····-·--······ o,o O 0.0 0 1,300.00 12 9 .8 3 1,850.00 1 6, 1 1 1.3 '.3 DUE TO NON-RESERVE BANKS .... 3,645.52 DUE FROM RESERVE BANKS ...... 1 DUE TO RESERVE BANKS................ CASH ITEMS- - · - - · - · - - - - - · · ·· I CAPITAL STOCK .......................................... . 4,343.29 RESERVED FOR INTEREST.............. RESERVED FOR TAXES .....·-··-············· OTHER LIABILITIES .. TOTAL ........................................................ _ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL ............................................................ . 3 3, 7 3 4 .4 5 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Eank of C ~ Lrc e , Siloam S ·ings , BEinton Co., A• OFFICERS Ass'I Cashier DIRECTORS T COPY OF PUBLISHED STATEMENT of Bank of Sc.• ; . t, Franci s , ,a· nt Francis, Llay Co., k ' l O191 AT THE CLOSE OF BUSINESS I RESOURCES 17, 913 .84 LOANS AND DISCOUNTS LIABILITIES CAPITAL STOCK ................................................ 2, 802.80 7, 500.00 CERTI Fl ED SURPLUS ............................... 10 0.0 0 LOANS ON COTTON .... _................-............ UNDIVIDED PROFITS...................... 2 7 1.0 8 OVERDRAFTS _ _ _ _ __ BILLS PAYABLE _ _ _ ........................ BONDS AND SECURITIES_ ... __ .. ,.... NOTES REDISCOUNTED ................. LOANS ON REAL ESTATE _.. ,............ FURNITURE AND FIXTURES_ .... 1,350.00 SAVINGS ACCOUNTS ................................. . BANKING HOUSE ...._.... _ _ _ _ _ , 1,500.00 TRUST FUNDS .................... . OTHER REAL ESTATE _ _ __, DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ .. __ ..... , INDIVIDUAL DEPOSITS ................... BILLS OF EXCHANGE _ _ _ _ ,! PUBLIC FUNDS .......................................,........... DUE FROM NON-RESERVE BANKS 3 4.3 4 l 16, 19 5.9 9 DUE TO NON-RESERVE BANKS ... CASH ITEM$ _________ DUE TO RESERVE BANKS........... ... .. DUE FROM RESERVE BANKS....... 2,8 4 4,3 9 C/ D'S, DEMAND ................................................... CHECKS ON OTHER BANKS.__ ...... CURR EN CY----·-.. •-.. -........ _._ ...._ 1,000.00 ..._.... I GOLD·--·- -...-....-... C/ D ' S, TIME ............................................................ .. 1,6 2 5.0 0 C/ D'S, FOR MONEY BORROWED ..... 9 5.0 0 I SILVER OTHER RESOURCES ... _ .. _ ... _...____....... 3,6 8 6.5 7 CERTIFIED CHECKS ......... .. 318.2 7 CASHIER'S CHECKS ..................................... 2 7 0.0 0 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES ............................. .. ~_ T _O_ TA _ L_ ....._...._ ....._....._...._ ....._....._...._ ....._....._...._ ....._...._.. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~-~2.._S, 7 5 3 ,C. 4 ~~ TOTAL .................. ............................................. .. 2 8, 7 5 3 ,6 4 ~" Jan k o f S~in~ Franc i s , Sai~t Francis, Clay Co ., A,•. -··- ... -· · OFFICERS W.C.Whiteaker PreBide111 D.R.Stanley Vice PreBidenl A.C.Dunlap Cashier Aas't Cashie,e DIRECTORS W.C. Whiteaker St. Francie, Ark. D.R.Stanley 'Rred Linke https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Piggott, Ark. COPY OF PUBLISHED STATEMENT of Bank of 8 i "t Pa~l, Saint Paul, Madison Co., AT THE CLOSE OF BUSINESS 10 RESOURCES LIABILITIES LOANS AND DISCOUNTS...................... 15, 3 0 5 .7 7 LOANS ON REAL ESTATE.·-············· 8,007 .33 LOANS ON COTTON .......... _.......................... CAPITAL STOCK ........................................... CERTIFIED SURPLUS ............................. . 313 .7 1 UNDIVIDED PROFITS.............................. 6 0 3 .8 .'.3 OVERDRAFT$ _ _ _ _ _ __ 2 7.2 6 BILLS PAYABLE _ _ _ _ _ _ , BONDS AND SECURITIES-···-··-·-······ 9 6.5 4 NOTES REDISCOUNTED ....................... _ FURNITURE AND F I XTURES-···-··· 2,070.50 SAVINGS ACCOUNTS _ _ _ ······ · BANKING HOUSE- · - · · · · · - - - -r 2,234.00 TRUST FUNDS _ _ _ _ _ _ _ ····· 9 4 4 ,3 2 DIVIDENDS UNPAID---······•····· OTHER REAL ESTATE-------···--· ITEMS IN TRANSIT _ _ _ _ _ _.. B I LLS OF EXCHANGE _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ , 2 5 0.0 0 21,725 .62 PUBLIC FUNDS ................................................. DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ..... CASH ITEMa _ _ _ _ _ _ _ _ _ _ DUE TO RESERVE BANKS................ DUE FROM RESERVE BAN·KS -····- 7.4 40 .8 .'.3 CHECKS ON OTHER BANKS .. ·-····· 21.0 4 CURRENCY- - - - - - - - · · · 4 8 0.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD _ _ _ _ _ _ _ _ __ 1 0 2.5 0 CERTIFIED CHECKS .................................... SIL VER _··-··•·•-•--···- · - - - - - - - 41.'.3 .8 2 CASHIER'S CHECKS .................................... . OTHER RESOURCES _ _ _ ·--···· 1 0,000.00 C/ D'S, DEMAND _ _ _ _ _ _ , 4,750.75 C/ D'S, Tl ME .........·-··········----- RESERVED FOR INTEREST .............. RESERVED FOR TAXES ........................ OTHER LIABILITIES.................................. ' - - -T'--'O "-T'--'A -'-L=·=·····=····=····=--=····=····=····=·····=····=····=····=···=···=···..::.:•···'--'---.;;:; .'.3-..:. 7_...,.=3:.....:::9_3_.:..:; . 9_.;;c 1::;__i_(• _ _ _..:. T-=O:..:T..:..A-'-=L:::;;···=····=·•••······················································ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .'.3 7 . .'.3 9 3 .91 -l~ s · ; , . t.. •:::-, O.....::;.-i •?:--.... OFFICERS AND DIRECTORS of J1vo.~/~~ ~,j VJs "'-"1~&10 • /Ifft# 3 ank of Sai·,,i; Pa ul , Sain \ Paul , MadLson Co ., OFFICERS Chas . E. Crawf d Presidenl J . H. Phipps Vice President s . J . Campbell Cashier none Ass't Cashier DIRECTORS Chas . E. Crawford W. B. Wood https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Jay Fulhr~i0g,....b~t~ - - - - - COPY OF PUBLISHED STATEMENT of Salem, Fulton Co., l\ · ••.• l ov 1 o 915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ '.3 4, 3 9 6 .8 6 LOANS ON REAL ESTATE ................. 1,976.5 4 LOANS ON COTTON ................................. . OVERDRAF T S_. ___ ..._ _ _ __ 412.2 9 CAPITAL STOCK ........................................... .. 10,000.00 CERTIFIED SURPLUS .......................... .. 6,000.00 UNDIVIDED PROFITS........................ . 1,476.38 BILLS PAYABLE _ _ _ _ __ BONDS AND SECURITIES.... - ............. 1,333.10 NOTES REDISCOUNTED- - - - , FURNITURE AND FIXTURES.......... 1,0 0 0.0 0 SAVINGS ACCOUNTS ........................ BANKING HOUSE _ __ TRUST FUNDS _ _ _ _ __ OTHER REAL ESTATE---·--..·-·- DIVIDENDS UNPAID................................. ITEMS IN TRANSIT _ __ INDIVIDUAL DEPOSITS ........................... 16,412.99 Bl LLS OF EXCHANGE ......_ ...................... PUBLIC FUNDS............................................... .. 15,508.98 DUE FROM NO N -RESERVE BANKS _ _ _ _ _ _ __ DUE TO NON-RESERVE BANKS .... II . DUE TO RESERVE BANKS.............. .. CASH ITEMS- -....- ................. , DUE FROM RESERVE BANKS _ ..... i CHECKS ON OTHER BANKS._ ....... CURRENCY _ _ _ _ _ __ 7, 837.05 C/ D'S, DEMAN 0 .................................................. 527.01 C/ D'S, TIME ............................................................ 1,344.00 1 2 5.0 0 C/ D'S, FOR MONEY BORROWED GOLD .. ·--··-.. -·--..- · - - - - - - 5 0 0.0 0 CERTIFIED CHECKS ........................... SILVER ........ - ................- .......................- ... - ......... 3 3 3.86 CASHIER'S CHECKS ........................... 137 .3 6 RESERVED FOR INTEREST .............. OTHER RESOURCES ........ ·--·------···-.... RESERVED FOR TAXES ......................... OTHER LIABILITIES.................................. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 49,660 .71.,~ TOTAL ................................................................. 4 9, 6 6 0 .7 1 ~, '\. OFFICERS AND DIRECTORS of 3ank of Sci ~•, 111 s Salem , Fulton Co ., O FF IC E R S B. H. Castleberr y Presiden& Geo. T. Hu.mphries Vice President Rex Castleberry Cashier DIRECTORS B. H. Castleberry Geo . T. Humphries Rex Castleberry G. T.Cu.nningham https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Jank of Sv~u~and, Sco~land, Va~ Uuren Co., Arlt . IQV 1 0 19 AT THE CLOSE OF BUSINESS I RESOURCES LOANS AND DISCOUNTS........................ 8,1 2 2.5 8 CAPITAL STOCK .................... ......................... LOANS ON REAL EST ATE _.............. CERTIFIED SURPLUS... LOANS ON COTTON .............................. UNDIVIDED PROFITS ................. ·····•··•····· OVERDRAFTS ...... BILLS PAYABLE -··· BONDS AND SEC UR IT I ES---·-·-······ BANKING HOUSE TRUST FUNDS OTHER REAL ESTATE------··-- DIVIDENDS UNPAID ITEMS IN TRANSIT INDIVIDUAL DEPOSITS ................. ......... 5,8 1 9.2 5 PUBLIC FUNDS.--•········•···· 1,00 0.0 0 ····-······· DUE FROM NON•RESER~ BANKS 1,3 7 1.8 1 ......... . ·····•····· DUE TO NON-RESERVE BANKS .... DUE TO RESERVE BANKS........... ... CASH ITEMS---·--··· I DUE FROM RESERVE BANKS __ 8 '.3 7.1 1 C/ D ' S, DEMAND ..·-············· CHECKS ON OTHER BAN KS--•······ CURRENCY.·--·-· I 2, 0 0 0.0 0 1,2 5 0.0 0 I I 1 3 .9 8 NOTES REDISCOUNTED ....................... BILLS OF EXCHANGE l ··········-- 5,0 0 0.0 0 SAVINGS ACCOUNTS .. ............ F URNITURE AND FIXTURES-···-··· I LIABILITIES GOLD ..·--·-··-··-····-··--- I SI L VER ...·-··········-··--·--·· ···-·--··-···- C/ D'S, TIME ...... 2,2 5 0.0 0 .................. C/ D ' S, FOR MONEY BORROWED ..... CERTIFIED CHECKS .................................... ........ ... ..... 2 7 7.2 3 CASHIER'S CHECKS ..................................... 2 7 5.5 0 RESERVED FOR INTEREST .............. OTHER RESOURCES .....·-·-···-··--· ···-····· RESERVED FOR TAXES OTHER LIABILITIES..................... ··········· TOT AL .........·-····-·····················-······· ........ -··- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 4,1 ~8.1 3 ~~ TOT AL ................. •-············••··•········-··-············· 1 4, 1 0 8 ,7 ~~ ~ " https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of 3d~k of Sc0~:and, Sco'land, Van 8uren Co., OFFICERS l 2f! A•••t Caahier JNO. M. DAVIS ~M; DIRECTORS C:0.IUll"IOiU COPY OF PUBLISHED STATEMENT of Pank of ~~ranton. ~cranton, Logan Co., AT THE CLOSE OF BUSINESS RESOURCES LOANS ANO DISCOUNTS ........... ··········· 3 2,7 8 0 .7 4 CAPITAL STOCK. .... ...................................... 1 5,5 0 0.0 0 LOANS ON REAL EST A TE _......... ···-· 3,0 5 7.0 1 CERTIFIED SURPLUS ...... ······················· 20 0.0 0 LOANS ON COTTON .........·-····-············-····-· UNDIVIDED PROFITS ............................... 1,2 5 1.2 2 OVERDRAFTS BILLS PAYABLE 2,0 0 0.0 0 ·--·-··--········· BONDS AND SECURITIES_···-··-·-···-·· ...... .... NOTES REDISCOUNTED .............. ....... . F URNITURE AND FIXTURES---··· 1,6 2 .'.3 .6 8 SAVINGS ACCOUNTS .... BANKING HOUSE 6,40 5.5 4 TRUST FUNDS OTHER REAL ESTATE·-·-----··-···· I LIABILITIES I 2 4 0.0 0 .. DIVIDENDS UNPAID ........ ................ ........ 3 ITEMS IN TRANSIT ____ INDIVIDUAL DEPOSITS BILLS OF EXCHANGE -··-···-··-··-·-····· PUBLIC FUNDS ......................................... ·······- DUE FROM NON - RESERVE BANKS DUE TO N()N,RESERVE BANKS .... I I -··· I CASH ITEMS--··--····-···---·------···· 3,09 6 .8 7 DUE TO RESERVE BANKS .... .......... DUE FROM RESERVE B A NKS ...... _ 1 7,7 9 5 .7 8 C/ D ' S, DEMAN O...·-····-······································ It C/ O' S, TIME CHECKS ON OTHER BAN KS·-········· 1,9 3 1.0 0 CURRENCY ...·-··--· ..... 3 2.5 0 SI L VER-··········-···-····-·····-··-·····-·-·····---····-········· 1 2 8 .7 5 GOLD ..·----··--·-···-··· OTHER RESOURCE S , 6 2 4.3 2 9,0 '.3 8.8 9 ·•············ C/ D'S, FOR MONEY BORROWED ..... CERTIFIED CHECKS .....·-···· CASHIER'S CHECKS ............. ................ 47 7.4 4 RESERVED FOR INTEREST.............. ---···· RESERVED FOR TAXES ......................... OTHER LIABILITIES............................. ..... TOTAL ... ·······················"''''''"'- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 7 09 1 .8 7 .II. " TOTAL .................. _.............................................. " 6 7.09 1.8 7 ~" https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of "uranto n, Logan Co ., OFFICERS W.H.Higdon Jr. Presidenl Jno.E.Nicbols Vice Presidenl C.E.Hays Cashier Au'I Cashier DIRECTORS r• • igdon Jr. J. • Pennington Jno. E.Kic:t.aJa Anton Weisenfels C.E.Hays, COPY OF PUBLISHED STATEMENT of 3ank of 8~2- cy, Searcy, Whlte Co., AT THE CLOSE OF BUSINESS I. RESOURCES LOANS AND DISCOUNTS....................... 1 '.3 8,8 7 0.5 3 LOANS ON REAL ESTATE •............... 1 1,6 47 .6 4 7 3 3.4 2 LOANS ON COTTON ................................. 2 7,5 ······•·· 4 4.5 1 UNDIVIDED PROFITS ............................... 6,00 0.0 0 NOTES REDISCOUNTED FURNITURE AND FIXTURES•...•... 2,7 0 7 .7 1 SAVINGS ACCOUNTS. ················· ············- BANKING HOUSE 9,7 8 2 .9 7 TRUST FUNDS BILLS PAYABLE ..........•.... .. 2 5,0 0 0.0 0 ·•·················••······ DIVIDENDS UNPAID ...... 7 2,40 5 .4 8 ITEMS IN TR ANS IT.·-·-·······-··- ··-·-····· 6 1 2.26 BILLS OF EXCHANGE •.•••...•• _._. __··· 7, 6 0 3 ,7 2 PUBLIC FUNDS....•....•... DUE FROM NON-RESERVE BANKS 1,0 6 1.5 1 DUE TO NON - RESERVE BANKS.... f -··•·· INDIVIDUAL DEPOSITS ..... ................ ... 1 ,1 3 9.5 9 DUE TO RESERVE BANKS........... ..... ···--···· 1 6,6 4 8.5 7 DUE FROM RESERVE BANKS...•.. C/ D ' S, DEM AN D ..•.....•........................................ 1 I CHECKS ON OTHER BANKS.•.•...... CURR EN CY.·--··--·--·--··-·····--·····-··-··-····· ' CERTIFIED SURPLUS BONDS AND SECURITIES.-...•.•...•.. ! CASH ITEMS_. I 3 '.3 2.0 0 ---·-···- 0,0 0 0.0 0 CAPITAL STOCK .................... ························- 0 VERD RAFTS _____ ····-···-····-····--·--·····•·· . OTHER REAL ESTATE--·-···-···-- ! LIABILITIES GOLD ..·--····--·- SILVE R. ...•........•.... ··--····-·---··· OTHER RESOURCES ......... C/ D'S, TIME ........................ 2,49 4.0 0 C/ D'S, FOR MONEY BORROWED ..... 5 7 7 .0 0 CERTIFIED CHECKS .................................... 1, 0 1 5 .7 6 2 .9 0 CASHIER'S CHECKS .... ....... 2 8, 4 0 8 .8 5 2 9 1.5 6 RESERVED FOR INTEREST.......... RESERVED FOR TAXES ......................... OTHER LIABILITIES.................................. TOTAL ······················· ····- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 9 9, 7 8 9 .9 9 "i".. TOTAL .......................... 1 9 9, 7 8 9 .9 9 " ~~ OFFICERS AND DIRECTORS of 3ank of Se,.,, vY. Searcy , "Jhi ta Co . , OFFICERS . . t i Preside111 Vice Pre•ide111 Cashier H.K. ·• 1 Au't Cashier DIRECTORS J .P. I. 1--.t . ul 8 1li --- th 0th• \.l ,, E.Cyport https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis I.R. COPY OF PUBLISHED STATEMENT of Bank of s·1° L·ill , Sher 111, Jefrerson Co., ov 1 0 191!' AT THE CLOSE OF BUSINESS RESOURCES 1 2,2 2 9.1 4 LOANS AND DISCOUNTS LOA N S ON REAL ESTATE ..........·-···· LOANS ON COT TON ................... ······••··•···· OVERDRAFTS 6,1 9 5.5 9 . FURNITURE A N D FIXTURES....·-··· I I I ' I CERTIFIED SURPLUS ...............................• 9 1.6 5 UNDIVIDED PROFITS.................. ............. 9 5 8.93 NOTES REDJSCOUNTED-···--·····-······ 1,0 0 0.0 0 SAVINGS ACCOUNTS ····- TRUST FUNDS................................................ ... OTHER REAL ESTATE DIVIDENDS UNPAID ITEMS IN TRANSIT INDIVIDUAL DEPOSITS BILLS OF EXCHANGE PUBLIC FUNDS DUE FROM NON - RESERVE BANKS __ DUE TO NON-RESERVE BANKS .... CASH ITE M S 4 3,3 5 1.9 7 CHECKS ON OTHER BANKS·-······· 2,4 5 0.0 0 I .. .................... C/ D'S, FOR MONEY BORROWED ..... CERTIFIED CHECKS .................................... GOLD·-·-··-··-···- SILVER 4 0,1 0 4.4 2 C/ D ' S, DEMAND C/ D ' S, TIME ·••---·····--···-···· ··• DUE TO RESERVE BANKS................ -···· DUE FROM RESERVE BANK S·--·- I CURRENCY.·--·· I 2 5,0 0 0.0 0 BANKING HOU S E ....·-·····--·-·--···-·-·- - I I .... CAPITAL STOCK ...... BILLS PAYABLE ··-······· B ONDS A N D SEC U RJTI ES---······- I I LJABI LJTI ES I ..• 9 2 8 .'.3 0 I CASHIER ' S CHECKS ..................................... RESERVED FOR INTEREST .............. OTHER R ESOURCES .................... --.. -·····•· RESERVED FOR TAX ES ........·-············· OTHER LIABILITIES -··· ••·•• I I TOTAL ................................................ ········· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis I 66,1 5 ,2.0 Q ~r TOTAL. ............................. ............................... 6 6, 1 5 5.0 0 .. .) ~ OFFICERS AND DIRECTORS of J nk of s;n,~ill, Sher 111, Je fferson Co ., OFFICERS J. F. Quattlebaum Pr•:ridenl J, M, Barrett Vice Prel!ident A, • .A. Williams Cashier Aaa'I Cashier DIRECTORS .T. r. Quatt1-•b_au-m....,,-..~S=h~•~rrill, Arkan~a~a~a~·~ - - - - - - - -- J. l.{ . I rrett, 'f . I. Payne, " " " " Lee ll. Quattleba=um=--.____" , _"_____________ Jne. •. n-ibson, . .J. .....•~-- --N~1~c-h_o_l~,- - - - - --P~ine H. L. Furr, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis " luff, A....r. .k. . .an-.....s~,a..._s,,.___ _ _ _ _ _ _ __ " , " COPY OF PUBLISHED STATEMENT of Jank of S~i- ley, Shirley, Van ~ure Co., JOV 1 0 19 AT THE CLOSE OF BUSINESS ... RESOURCES - I LIABILITIES LOANS AND DISCOUNTS............. ·······•· 1 3,2 0 7 .7 0 CAPITAL STOCK............... ............................... 10,00 0.0 0 LOANS ON REAL ESTATE ..... .......... 3,0 5 9 .3 3 CERTIFIED SURPLUS ···•·····················•····· 9 9 7 .9 9 LOANS ON COTTON ···························.. -·. 5 5 .6 0 UNDIVIDED PROFITS ......... ............ ········ 1 2 1 .9 6 0 VERD RA FT S................................................ 5 .'.3 .9 0 BILLS PAYABLE BONDS AND SECURITIES-··-··-····-··· 5 5.0 0 NOTES REDISCOUNTED ....................... FURNITURE AND F I XTURES ...- ... 1,9 0 0.0 0 SAVINGS ACCOUNTS ................. -············· BANKING HOUSE ... - .. 3, 0 0 0.0 0 TRUST FUNDS OTHER REAL ESTATE·---·--··"·-·· 1,5 0 0.0 0 DIVIDENDS UNPAID ITEMS IN TRANSIT ·•··················-·· ················•······ ... INDIVIDUAL DEPOSITS........................... ·-· BILLS OF EXCHANGE PUBLIC FUNDS 2 2,7 9 6.5 7 1,0 0 0.0 0 I DUE FROM NON-RESERVE BANKS ... DUE TO NON-RESERVE BANKS .... I DUE TO RESERVE BANKS........... ..... CASH ITEMS I DUE FROM RESERVE BANKS ........ 1 4,1 1 3 .4 9 C/ D'S, DEMAND ............ ................................ I I C/ D'S, TIME ................................... ······················•·· CHECKS ON OTHER BANKS ........... CURR EN CY .........·-···-·--·--·····-·-..................... 2,0 7 0.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD...... - ...... -·-··--.. ·-·-·---····-·-··--···-···- .. ·· 5 45.0 0 CERTIFIED CHECKS .................................... 8 5 6 .7 7 CASHIER'S CHECKS ..................................... ' I SILVER 4,8 5 0.0 0 6 5 0.2 7 RESERVED FOR INTEREST .............. TH ER ' RESOURCES .....·-·•-··-···-·-···-·-· RESERVED FOR TAXES OTHER LIABILITIES.............................. .. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis · - ••• ••• • •HOo~ ,. 40,4 1 6 ..7 9 ~,. TOTAL ................................................................. 4 014 1 6 .7 9 {r https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bank Of S'1 irley , B Shirl3y, Van ure Co., Ar , OFFICERS Edward Stevens Prttridenl J H.Tuwery • Vice PreBidenl Albert Couch Cashier Ass't Cashier DIRECTORS Edward Stevens J.H.Towery J.R.Tower7 Ed Mays T.B.Davis COPY OF PUBLISHED STATEMENT of _,. s.:.~· Bank of dY' Sidney , Shar p Co ., V l O191 AT THE CLOSE OF BUSINESS RESOURCES LOANS ANO DISCOUNTS....................... . 6,'.3 4 2 .2 0 CAPITAL STOCK.......................................... . 5,000 .0 0 LOANS ON REAL ESTATE ..............._ 3,762.32 CERTIFIED SURPLUS .........·-···················· 1,0 0 0 .0 0 LOANS ON COTTON .................................... UNDIVIDED PROFITS ................................. 3 5 1 .8 2 OVERDRAFTS _ _ _ _ __ BILLS PAYABLE _ _ _ _ _ _ ! BONDS AND SECURITIES ................... . NOTES REDISCOUNTED ........... 6 0 0.0 0 FURNITURE AND FIXTURES-·-··· l. LIABILITIES SA VIN GS ACCOUNTS ..............·-·················- BANKING HOUSE ...·-·············-···••······ TRUST FUNDS .................................................... OTHER REAL ESTATE.·-•-··-··-··-- DIVIDENDS UNPAID ...... _ __ ITEMS IN TRANSIT_··-···-·······--····--··-··· INDIVIDUAL DEPOSITS ...................... BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUND$ _ _ _ _ __ < .- . , DUE FROM NON-RESERVE I BANKS·-·····-- . 1· 2 0 6.8 7 . ( DUE TO NON-RESERVE BANKS .... ~, .... I CASH ITEMS ... _ _ _ _ _ __ I I 15, 060.0 5 DUE DUE FROM RESERVE BANKS ...... . 8, 992.43 CHECKS ON OTHER BANKS ....... 46.0 3 I CURRENCY .....·-···-···-· · -·· ····--·· ·-··- . 1,4 9 8.0 0 TP RESERVE BANKS........ -...... ? I D ~S, DEMAND ......................... _ __ C/ D ' S, TIME ........................................................... . C/ D'S, FOR MONEY BORROWED. I GOLD.......... I SILVER............... ·························----1 OTHER RESOURCES ··············-·················· 3 5 5.0 0 CERTIFIED CHECKS .................................... 2 2 .7 6 CASHIER' S CHECKS ...·-·················-·•·•········ t \ I I,'._ RESERVED FOR INTEREST .............. RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES............................. TOTAL................................................... 2 1.n 1 8 '7 4 ~~ _ _ _......:...:::_o..:....:..===,=======-------'----L--'---'-"--"------' TOTAL ..... ···-········-··································· 2 1,6 1 8 ,7 4 ~I' _,,'----'--='-'--'-'-"-"'========.J......_---="--"~ "'--'=-=--......._-'--_ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of E nk of S ~d:r.uy, Si ney, Sharp Co., OFFICERS Cashier Asa'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Jank of st~1Jens. Step: ens, Ouachita Co., l vV AT THE CLOSE OF BUSINESS - -LIABILITIES I RESOURCES - LOANS AND DISCOUNTS ........................ 4 6,4 3 6.4 3 CAPITAL STOCK............. ············ ................... 20,00 0.0 0 LOANS ON REAL ESTATE ... ·-············ 18,1 8 5.0 8 CERTIFIED SURPLUS ...... ... ................... 5,0 0 0.0 0 LOANS ON COTTON ..·-·····-········-···-·········- 1 6,4 1 2.0 2 UNDIVIDED PROFITS ...... ·····•··················· 4.3 '2 'l..--600.00 . 0 VERD RAFTS·-·-·--····-···-··-···-····-····-··-- 9 8 9.4 0 BONDS AND SECURITIES_·-·--·-··-· 3,7 0 7.0 9 NOTES REDISCOUNTED ...................... _ FURNITURE AND FIXTURES--··· 1,5 0 0.0 0 SAVINGS ACCOUNTS ········•··· BANKING HOUSE 1,5 0 0.0 0 TRUST FUNDS ........... 3,00 0.0 0 DIVIDENDS UNPAID OTHER REAL ESTATE_ ..______ BILLS PAYABLE ITEMS IN TRANSIT _____._______ BILLS OF PUBLIC FUNDS ...... EXCHANGE-··--·-··-···-·-·· DUE FROM NON-RESERVE BANKS 1,0 0 0.0 0 4 9, .'.3 1 5 .9 4 4 5 7 .9 5 ···•··············· DUE TO NON-RESERVE BANKS .... .... I DUE TO RESERVE BANKS ............... CASH ITEMS---···----· I 25,00 0.0 0 ...................... INDIVIDUAL DEPOSITS .......................... - I I 0 1915 DUE FROM RESERVE BANKS ........ 9,1 4 2 .1 5 CHECKS ON OTHER BANKS·-······ 3.0 0 C/ D' S, DEMAND .......... ··································• 3,5 6 1.0 0 CURRENCY I .... I GOLD·-··---··--·······SILVER C/ D'S, FOR MONEY BORROWED ..... 9 5 5.0 0 CERTIFIED CHECKS ........ 4 1 4.4 4 CASHIER ' S CHECKS ............ 1 3 .7 2 OTHER RESOURCES 5,0 9 4.2 6 C/ D'S, TIME ..................... ............................ 2,4 46.86 RESERVED FOR INTEREST .............. RESERVED FOR TAXES . TOT AL .... •·•···-················••··•·•··•········•·· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OTHER LIABILITIES ........ - .. p 1 0 5,8 1 9.3 3 -¾r ····· ····· TOTAL ............................. -·-·······················"······ l 1 , <is I 9. 3 3 e, e :; i 9.3 3 0 c) * OFFICERS AND DIRECTORS of 3 nk of S P::1ens, Ste~ 9ns, Ouacn~ta Co . , Ar OFFICERS omas P. Lester PreBide111 John ~cClurkin • Vice PreBide111 Lloyd L. Tidoell Cashier Ro Hamnond Book-keeper. DIRECTORS T• • Lester A. B. Banks J . B. P c. Grey___s_o.,.n________ 11. L. EdWEil'd S ilson, T. S. Grayson erry. J . • McClurkin J.H. Le •is https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis The foregoing is list of our Officers and irectors. ........................ Cashier. COPY OF PUBLISHED STATEMENT of Bank of s u ~ C clSS . Su cess. Clay Co ., (Not Incorporated) ft -k I. AT THE CLOSE OF BUSINESS - I RESOURCES LOANS ANO DISCOUNTS........................ 2 3,6 3 5 .7 8 LOANS ON REAL ESTATE ................. 6,2 3 3.5 0 LOANS ON COTTON ...........-·•·-·····-············ 5,5 0 0.0 0 CERTIFIED SURPLUS ............................... 4,5 0 0.0 0 OVERDRAFTS_·-···---···-··-•·--·····--······· 1,5 8 7 .9 7 BILLS PAYABLE BONDS AND SEC UR IT I ES ...·-··-·-··-· 1,0 3 4.5 7 NOTES REDISCOUNTED ........................ F URNITURE AND F I XTURES .......... 7 2 .9 0 SAVINGS ACCOUNTS .................................• 2,20 0.0 0 ITEMS IN TRANSIT BILLS OF - EXCHANGE---·-··---· DUE FROM NON - RESER V E BANKS DIVIDENDS UNPAID .... INDIVIDUAL DEPOSITS ··- 3 0,0 7 2 .9 9 PUBLIC FUNDS .. 2 1.0 1 DUE TO NON-RESERVE BANKS. 3 8 0 .95 ... 6.0 0 DUE TO RESERVE BANKS ............... FROM RESERVE BANKS ....... 8,0 76 .3 0 C/ D ' S, DEMAND ................................................... 1 1 2.1 6 1 1.3 9 C/ D'S, TIME ........................ .................................... 1,1 0 0.0 0 1,9 5 1.0 0 C/ D ' S, FOR MONEY BORROWED ..... I CASH ITEMS. ! DUE I 1 5 4.5 9 TRUST FUNDS ................................................. . .. OTHER REAL ESTATE I CHECKS ON OTHER BANKS......... I CAPITAL STOCK ........................ UNDIVIDED PROFITS.................. .........•.. BANKING HOUSE·---·· I LIABILITIES CURRENCY r GOLD.•·--···---- .... 1 4 5.0 0 CERTIFIED CHECKS .................................... SILVER -·-··· ... 40 9.5 9 CASHIER ' S CHECKS..................................... I OTHER RESOURCES 3,5 2 2 .3 0 RESERVED FOR INTEREST.............. -····· RESERVED FOR TAXES OTHER LIABILITIES . ..,.. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis -··············"" a. 5. 3 6 4.0 Q " ~~ •·••~ -··· ..... TOTAL ............................................................... 4 5,36 4.0 0 ~~ ,:- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Jank of Su"c ss , · Su vess, Clay Co , , (Not Incorporated) Aaa'I Cashier Ark COPY OF PUBLISHED STATEMENT of 3ank of S.1. l 1 iur Sprinrs 1 Sulph r Spr·igo, ~anton Co,, Ar 1 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 16,052.6 3 CAPITAL STOCK...................... . LOANS ON REAL ESTATE ................. 21,733 .12 CERTI Fl ED SURPLUS ..... 10, 000.00 LOANS ON COTTON ... _ ...•.......................... UNDIVIDED PROFITS ...................... 0 VERD RAFTS··•····•····-·······-···•·................... . BILLS PAYABLE ..........••.........,.................. . BONDS AND SECURITIES·-···-········ 1,2 5 .'.3.8 5 NOTES REDISCOUNTED ....•......•......... . FURNITURE AND FIXT U RES.......... . 2,000.00 SAVINGS ACCOUNTS ..... BANKING HOUSE.·-······ _ _ J 4,500.00 TRUST FUNDS•- - - · · · ········..·············•· OTHER REAL ESTATE _ _ _..., 8 4 7 .3 0 . ................ DIVIDENDS UNPAID _ __ I, ITEMS. IN TRANSIT··-·-·········.. ··· .. -······ INDIVIDUAL DEPOSITS........................... BILLS. OF EXCH'ANGE--···--· .. •····· PUBLIC FUNDS _ _ _ _ __ DU E FROM NON .. RESER V E BANKS _ _ _ _ _ __ DUE TO N.O.N , RESERV:E BANKS.... lI CAS H! I.T EMS--··--·· DUE FROM RESERVE BANKS ........ 24.01 DUE 1,151.6 5 TP C/ D ' S, 1"1,ME ................• - - - 3,946.00 GO LO········-..····---·.. -·····..··---··-·····-····-······· 1 2 2 .5 0 CERT.I Fl ED CHECKS ................................... SILVER_ ..···-···..·-·--··-·-····---···-··· 6 7 5 .3 8 ' CA•S H I ER'S .C HJ;: C K.S .........._ .....•..•......•..... I RESERVE.I!> F.OR :I NT.EREST.............. RESERV.ED FOR 7AXES..·--············ j J TOTAL ............................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 , 5 4 5.51 R.ESERYI:: BANKS ...•....,..... .. CURR E.N CY ....................·-···-····-..·······-·-········ OTHER RESOURCES _ _ _ _ _ I 23, 8 47 .88 C/ D'S, D~MANP ................................................. CHECKS ON OTHER BANKS.•........ ,. 3 5 9.2 7 0TH ER LIP,.BI.LITI ES ....................- ......... 13,0 4 3.31 3, 5 10.4 7 OFFICERS AND DIRECTORS of E1a.nk of Su 7 plrn r Sprinrs , SuJph ~~ Springs , Bbnton Co .~ Ar1 • OFFICERS Presidenl P("! . ~-. ~ •-r-:: t"'.-:: ~•t C . T . Slatten J.·~r~on 11£- V i ce Presidenl 2 torr O . ,{haley JNO. M. DA VIS. Cashier . Clura A ercrorlie Ass'I Cashier DIRECTORS ,\ . h . c-"k idrore C . T . Slatten https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C. . Hibler S torr O . 1/hn.ley . MNll. GOM.MIIIIOJIU COPY OF PUBLISHED STATEMENT of '-'ank of 8.d· ton, . SrintoH, Jachso n Co.' Arlr AT THE CLOSE OF BUSINESS RESOURCES . LOANS AND DISCOUNTS .............. ........ 2 0,9 8 0.0 4 LOANS ON REAL ESTATE ................. 7.7 5 9 .2 9 LOANS ON COTTON .... ············-········ .. -·-····· OVERDRAFTS ···-·· BONDS AND SECURITIES_ ................ I LIABILITIES ····················•·•· 10,0 0 0.0 0 ........ 4,0 0 0.0 0 UNDIVIDED PROFITS ................................. 1,0 2 4 .8 4 CAPITAL STOCK CERTIFIED SURPLUS 1 9 .92 BILLS PAYABLE 2 6 .4 0 NOTES RE DISCOUNTED ....................... ··•· FURNITURE AND FIXTURES .... - ... 1,8 0 0.0 0 SAVINGS ACCOUNTS ....... ···············............ BANKING HOUSE 3,0 0 0.0 0 TRUST FUNDS 1,3 3 0.4 2 DIVIDENDS UNPAID. ·•······························· ------ OTHER REAL EST ATE,______ ..__ .. ____ ······················· ·- 6 7, 1 1 8.0 1 BILLS OF EXCHANGE _.. _____.. ,_ .... PUBLIC FUNDS .............................................. .... 2,4 7 1.8 0 I DUE FROM NON-RESERVE BANKS ····-···-·--··-···· DUE TO NON-RESERVE BANKS ..... I DUE TO RESERVE BANKS........... ..... ITEMS IN TRANSIT INDIVIDUAL DEPOSITS ···----·· CASH ITEMS ... I 4 4, 2 1 6 .7 8 C/ D'S, DEMAND ................. ······················•"""''•• 1 1 3.4 6 C/ D ' S, TIME .............................................................. ···- ,4 6 5.0 0 C/ D'S, FOR MONEY BORROWED ..... ········-······ 6 6 6.0 0 CERTIFIED CHECKS .................................... 5 7 2.3 3 CASHIER ' S CHECKS ..................................... 3 6.0 0 RESERVED FOR INTEREST.............. DUE FROM RESERVE BANKS .... CHECKS ON OTHER BANKS- ....... I I CURRENCY GOLD .................. ··--····--···-· I SILVER ...... OTHER RESOURCES ..........- ....................... 1,2 2 2,.1 2 1,1 4 8.5 7 RESERVED FOR TAXES ......................... OTHER LIABILITIES .................................. TOTA' ···•·•······················••·••·••·••- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 6,9 8 5 .6 4 ~i- TOT AL. ............................................................... 8 6,2 8 5 ,5 4 .l~ " OFFICERS AND DIRECTORS of ank of S;"f-'.,on, Swi~toa, Jackson Co ., i',rk O FF ICERS W. R. Harvey~ Preaid W.E . Jones 621 Vice Preaidenl E . T . Cashion Cashier Ass't Cashier DIRECTORS W. E . Jones 41 .J . G. Smith https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis W, R. Harvey / ; --E...T •- - C-ashu'1-ivonw--- - - - COPY OF PUBLISHED STATEMENT of '..,ode aw Ba.1~. S~am 1s , Lafay&tts Co., AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 121,627.58 LOANS ON REAL ESTATE ... ·-··········· 15,760.0 0 CAPITAL STOCK ................................ _............ , 25,000.00 CERTIFIED SURPLUS .............·-·············· 30,000.00 LOANS ON COTTON ............. UNDIVIDED PROFITS ...... 13,729. OVERDRAFTS _ _ _ _ ·---···-········· BILLS PAYABLE ........................................ BONDS AND SECURITIES_···-··-··-··· 8 7 8.2 6 F URNITURE AND F I XTURES-··-··· 1,483.93 SAVINGS ACCOUNTS ................. BAN KING HOUSE ...........·-···-··--···--··---- 2,500.00 TRUST FUNDS ....................................... 7 NOTES REDISCOUNTED ...........·-·········· OTHER REAL ESTATE---·-··--···-- DIVIDENDS UNPAID .................................. . ITEMS IN TRANSIT-·•-·---·-··---·-· INDIVIDUAL DEPOSITS.......·--·············· 1 6 0, 5 5 6 .9 2 BILLS OF EXCHANGE----·--···-·- PUBLIC FUNDS.............................................. 1, 2 8 4.0 8 DUE FROM NON - RESERVE BANKS _ _ _ _ __ DUE TO NON-RESERVE BANKS .... I CASH ITEMS _ _ _ __ I DUE FROM RESERVE BANKS ....... 1,320.63 81,368.45 DUE TO RESERVE BANKS............... C/ D ' S, DEMAND _ _ _ _ __ C/ D ' S, TIME ........... CHECKS ON OTHER BANKS .. ·-······· CUR REN CY.·-·····-·-·····------ 4,850.00 C/ D ' S, FOR MONEY BORROWED ..... GOLD·-··-·•·-···-·········-------1 1,006.0 0 CERTIFIED CHECKS ................... 2,815 .5 9 CASHIER' S CHECK$ _ __ I SI L VE R .......·-·············-···•-··········-···-··-·-·-·--··-···- RESERVED FOR INTEREST .............. OTHER RESOURCES _ _ __ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3,039.5 7 RESERVED FOR TAXES ......................... OTHER LIABILITIES.................................. 2 3 3, 6 1 0 .4 4 -,( TOTAL ............................................................. 2 3 3, 6 1 0 .4 A -¾( "'AT, O'l /RKAN SAS epar'v.ent an o O O Little Ro k , Arkansas . December 17th , 1915 . ·ncl1-...e in -~u amra.::.. re.01 " • Youi·:: very t1·uly , J n O • JL Da Vi S , State :Gank C 11:nlssioner · . ~~u ~ ~L DEr, 24 1915 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~, OFFICERS AND DIRECTORS of Bod caw Ba.,lr i Stam "3 , Lafaye~t e Co., Ark . OFFICERS . I J j ~ ~ -<£.QJo---1CuJ Vice Presidenl Ass'I Cashi er DIRECTORS Jt:- a ~ ~. v--,J~ u~ a~ b: WVvwvJ {1_R https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis (J)' COP) OF PUBLISHED STATEMENT of Sai nt Joe, Searcy Co. 1 ArL F' AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES 2 2,9 1 7.9 7 LOANS ANO DISCOUNTS.................... 2 0 0.0 0 L OANS ON REAL EST A TE ................. ... . 1 6 3 .1 7 3 6 9.8 3 3,5 0 0.0 0 1,7 7 1 .7 1 SAVINGS ACCOUNTS .... .................. ........ BANK I NG HOUSE.·--·····-·-·--- 2,1 8 9 .7 2 TRUST FUNDS................................................ ~ •·•• OTHER REAL ESTATE-----·--· DIVIDENDS UNPAID ................................... ITEMS IN TRANSIT INDIVIDUAL DEPOSITS...... .................... ··--······· DUE FROM NON • RESERVE .. ,, ______ BANKS ... 3,3 2 2.5 9 DUE TO NON-RESERVE BANKS .... ..... 1 4 6 .1 7 DUE TO RESERVE BANKS ... .......... DUE FROM RESERVE BANKS........ 9,9 1 7 .1 6 C/ D ' S, DEMAND ..•-············ CHECKS ON OTHER BANKS ............ 1,6 6 5 .3 7 C/ D ' S, TIME .............................................................. CURR EN CY·--··--···-··--·····-·-·····-·-········· 1,0 0 0 .0 0 C/ D'S, FOR MONEY BORROWED ..... 4 1 0.0 0 CERTIFIED CHECKS .................................... 5.2 7 CASHIER'S CHECKS ..................................... 7 1.0 6 RESERVED FOR INTEREST .............. CASH ITEMS_ ............. GOLD SILVER .... 1 ···--··-···- OTHER RESOURCES- ... ·•·· :) 2 7.1 2 8 .3 4 7 6.0 2 PUBLIC FUNDS I I UNDIVIDED PROFITS.................... ··········· FURNITURE AND FIXTURES ...- ... I I 6 5.0 0 NOTES REDISCOUNTED .......................... BILLS OF EXCHANGE ' ...... BILLS PAYABLE BONDS AND SECURITIES--·-·-······· I 10, 0 0 0.0 0 CERTIFIED SURPLUS LOANS ON COTTON .................................... OVERDRAFTS ........................ CAPITAL STOCK 2. 4 8 1.8 1 30 9 .1 9 RESERVED FOR TAXES ......................... OTHER LIABILITIES................. ··············• ' TOTAL ... ···-·················· ..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 3,9 .'.3 0 .1 9 ~~ TOTAL. .............................................. ................ 4 3~9 '.3 0 .1 9 ~; OFFICERS AND DIRECTORS of C t i zens Jpr~, I cla i nt Joe, Searcy Co . , Ar': O FF IC E RS B . F' . Henley Presidenl • if . h cns ley Vice Presidenl ' arr ison Caahior A88't Caahior DIR EC TORS B. F . Ilenley J . C. White B . ir. Hensley J . L . Lens l ey https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis B. U. Hcnley COPY OF PUBLISHED STATEMENT of Si.ti:}ens 'la· 1:, Smi~hville , La• enca Co. , Ar .. . f C ✓ 1 0 1915 AT THE CLOSE OF BUSINESS I RESOURCES 9,2 3 5.0 8 CAPITAL STOCK ................ .............................. LOANS ON REAL ESTATE ··-····· ...... 1,8 7 6.5 2 CERTIFIED SURPLUS UNDIVIDED PROFITS............................. 6.4 1 BONDS AND SEC U R IT I ES •.•.......•...•.. 2 6 8.5 0 NOTES REDISCOUNTED ......•............... .. FURNITURE AND FIXTURES •........ 9 0 0.0 0 SAVINGS ACCOUNTS ............... ················· · BANKING HOUSE BILLS PAYABLE .................... 1,2 0 0.0 0 ----- TRUST FUNDS OTHER REAL ESTATE ····-··············· .. DIVIDENDS UNPAID ...... 57 .9 0 ITEMS IN TR ANS IT····-·-····-·-···--·-···· BILLS OF EXCHANGE PUBLIC FUNDS ... ····- DUE TO NON - RESERVE BANKS .... ·····---·------- DUE TO RESERVE BANKS ........... ..... DUE FROM RESERVE BANKS....... 1 1,1 2 5.4 5 INDIVIDUAL DEPOSITS.......................... I DUE FROM NON-RESERVE BANKS CASH ITEMS 7.0 0 0.0 0 ' ·-··-·····-····•··· OVERDRAFTS I I . LOANS AND DISCOUNTS ........... ........... LOANS ON COTTON ....... ·····•··················· I LIABILITIES 5,0 9 7.9 2 C/ D' S, DEMAND ..................... I C/ D ' S, TIME .............................. CHECKS ON OTHER BANKS ............ CURREN CY··········-···-····-···-·····--·····-··-········· I I 2,2 7 9.0 0 3,7 1 6.5 4 ...... C/ D ' S, FOR MONEY BORROWED ... 5.0 0 GOLD.·-··········· 3 1 SILVER............ .3 4 3 .1 0 CASHIER'S CHECKS ................... ................ OTHER RESOURCES .•. 2 6 2.5 6 RESERVED FOR INTEREST.............. CERTIFIED CHECKS ............ • I RESERVED FOR TAXES .....•.................. I OTHER LIABILITIES .................................. I TOTAL ........•• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _I ··•·····• . 2 128 4 1.9 9 ., "h.. TOTAL ..............•.. 2 1, 8 4 1 .9 2 ~E- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of s_;_t i z ens lA'r!;., Smi''1Ville, La .. rencc Co ., Ar 1,· OFFICERS President Pf~ Au't Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of :C,xchange 3 r.1., Stu tgart, A1k&nsas Co., NOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS 8 9,6 7 4 .9 4 CAPITAL STOCK ·······- 60,00 0.0 0 LOANS ON REAL ESTATE ................. 1 2,6 5 6 ,3 1 CERTIFIED SURP·LUS ..... ·············-··•·······.. 7: 5 0 0.0 0 LOANS ON COTTON .......................·-··········· 5 0 0.0 0 UNDIVIDED PROFITS................. ·············• 7 7 5 .6 4 ... 5 7,5 0 0.0 0 OVERDRAFTS BILLS PAYABLE .................... ····-······-··--·-·---- BONDS AND SEC UR IT I ES·--····-·-······ 7 6 7 .1 0 NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES--·- 3,2 3 6 .1 5 SAVINGS ACCOUNTS ................................... 7:1 3 9 .9 5 ,.. ,1 3 7 ,3 2 BANKING HOUSE·---·· 6,5 0 0.0 0 TRUST FUNDS .........·-································-·······• 1,1 5 5 .8 ------ OTHER REAL ESTATE -·-···-····-··-ITEMS IN TRAN SIT·-·--·-·····-···-······· I LIABILITIES I DIVIDENDS UNPAID .................................... 1 1,5 8 4,3 7 INDIVIDUAL DEPOSITS ......................... BILLS OF EXCHANGE PUBLIC FUNDS ................................................... DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... CASH ITEMS DUE TO RESERVE BANKS ................ 1 3 9, 7 6 5 .1 1 I i I DUE FROM RESERVE ! I CHECKS ON OTHER I CURRENCY .. __ I i BANKS ...... _ 2 3,0 2 6.4 2 C/ D'S, DEMAND ................................................... BANKS ... ·-······ 3 5 4.4 4 C/ D'S, TIME. .................... ·····························•······· 7,4 9 0.0 0 C/ D 'S, FOR MONEY BORROWED ..... _., ______ .. ___________ , ~ 2 7 0.0 0 GOLD ...._. I SILVER OTHER R ESQ U R CES·-·-····-··-····---··-- r::: ..; 5 2 5 .93 1 9,9 5 0 .7 4 CERTIFIED CHECKS ................................ 3,36 2 .7 6 CASHIER'S CHECKS..................................... 1 4 2,5 7 6 .9 7 RESERVED FOR INTEREST .............. 1,5 4 8 .92 RESERVED FOR TAXES ......................... OTHER LIABILITIES............................. ..... TOTAL ······-··· •·-•······ ··- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 0 1.9 9 9 .4 6 -tr TOTAL ................................................................. 3 0 . .,~ 129 9 9 .4 6 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ;:;.,..change .:>nh, Stu Jgart , Arkansas Co., Air. Br:r'"" h••r.r E~~[JJJ OFFICERS _J N O. M. DA VI S. A. B-. Banks •.&.N1' C:Olt.MISS JO HQ Preaidenl Dr. z. Orto , 1st Vice ~res . J . I . Porter, 2nd , Vice Pr es. Vice Preaidenl {. B. Vall Vice Pres& Cashier C. F. Grainge , Ass'I Cashier DIRE~TORS A. B. Banks , Dr . z. Orto, J. I. P orter, J. F. lhaley, J. A. Harr, • B. 'lall • , .... ~·t . COPY OF PUBLISHED STATEMENT of armars &. 't,i•chant.- B 111-:, •) :Jr .ngdale , V.'ash ·ngton Co., l Y' : • 4 T THE CLOSE OF BUSINESS IJ{ RESOURCES LOANS AND DISCOUNTS ........................ LOANS ON REAL ESTATE ...·-···" ······ LIABILI-TIES ! 20 3, 242 .04 LOANS ON COTTON .....·-···· CAPITAL STOCK ................................................ 6 0, 0 0 0 .0 0 CERTI Fl ED SURPLUS ......................-....... . 3, 0 0 0 .0 0 UNDIVIDED PROFITS....................... 8,44 5 .4 0 0 VERD RAFTS ..·-···············.. ·-····· ·····-···-··..······. 177 .6 7 BONDS AND SECURITIES ....·-····..·.. ···· 1 3,665 .85 NOTES REDISCOUNTED ......·-········..····· F.URNITURE ·AND FIXTURES.·-······ 2,5 0 0.00 SAVINGS ACCOUNTS ................................ . BANKING HOUSE _ _ __ 3,0 0 0.0 0 TRUST FUNDS- - - · · · ·······-·•............. OTHER RE'AL ESTATE ...·--·-···-··..--ITEMS IN .. TltANSIT _ _ __ l O ]9}5 BILLS PAYABLE .....· - - - - -. DIVIDENDS UNPAID .................................... 1,4 5 6 ,3 6 INDIVIDUAL DEPOSITS... 2 2 2, 76 2 .1 8 PUBLIC FUNDS.... -........................................... .. DUE FR~M NON - RESERVE BAN'KS ..·--·-···-·-.. -· DUE TO NON - RESERVE BANKS .... I DUE TO RESERVE BANKS ..... , CASH' 1fl,MS....- · · - - - - - - I DUE FRdM .RESERVE BANKS_...... 95,116 .64 CHECKS·• ON- OTHER BANKS .......... _ 1,6 4 3 .9 1 euRRENCY.-.. - - - -··-·····-·············· 11,90 8 .0 0 C/ D'S, FOR MONEY BORROWED..... 2, 39 5 .0 0 CERTIFIED CHECKS ..·-···················............ 1,4 6 9 .9 1 CASHIER ' S CHECKS ..................................... C/ D'S, DEMAND _ _ __ C/ D'S, TIME ........... 13 0,6 1 4 .08 RESERVED FOR INTEREST ..... O'r'HER ·R·ESOURCES ................................... RESERVED FOR TAXES _ __ 3 0 0.0 0 OTHER LIABILITIES ............................. TOTAL ..........__ . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 2 5, 1 2 1.6 6 -;: · TOTAL ...................._....... 4 25,1 2 1.66 ~~ OFFICERS AND DIRECTORS of f ttrme rs & 1i::. chants B nk , Spr·~gdale, Va;hington Co., f k. OFFICERS Preaidenl .r,anders , Carl O nbey and . . . ert r, . r,e·--i s Vice Preaidenl 8 Lee Ram er9 Caahier J .R .Rose, Claire Farrar Au'I Cashier3 DIRECTORS Prt T .Le ·is Lee Sanders Bert c-, .:.,ewis i:&X~ll A_.__0~=a=n:...:d=e""'r=--.:,::s_____ Carl Ownbey , Clajre '""arra r , https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of i armers ll 40 cha11ts Bank, Stut~gart, Arka1 sas Co., NOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS...................... 4 0,2 9 2 .9 6 LOANS ON REAL ESTATE ................. 2 Q 6, 5 4 1 ,7 3 5 5,0 0 0 .0 0 CAPITAL STOCK............................................. 5,5 0 0.0 0 CERTIFIED SURPLUS _ _ __ LOANS ON COTTON ...................................... UNDIVIDED PROFITS......................... . OVERDRAFTS.·- - · · · · • - · · - - - - - 2 7 9 .8 0 BILLS PAYABLE- - - - - ······ BONDS AND SECURITIES.-..-·-·-······· 2 5 6 .3 0 NOTES REDISCOUNTED....................... .. 47, 500.0 0 • F URNITURE AND FIXTURES--··· SAVINGS ACCOUNTS .................................. _ 2, 35 2 .6 1 BANKING HOUSE _ _ _ _ _ _ , TRUST FUNDS-- - - - - - · · 3,76 4 .95 OTHER REAL EST ATE -···--··-···-····-- DIVIDENDS UNPAID ...... ......................... . I TEMS IN TRANSIT- - - · · - - - - · INDIVIDUAL DEPOSIT$ _ _ _ , Bl LLS OF EXCHANGE -···-·····-··-·····-····· 1 7 4.5 0 82, 34 4 .0 2 PUBLIC FUNDS ............................ .................. I DUE FROM NON - RESERVE BANKS _ _ _ _ _ _ _ _ , 116.5 5 DUE TO RESERVE BANKS........... ..... CASH ITEMS-----····-··-··•·-···•·· II 1 DUE FROM RESERVE BANKS........ 51,079.56 CHECKS ON OTHER BANKS ..·-······ 5 3 0.2 6 C/ O'5 , DEMAND ...... _ _ _ __ C/ D'S, TIME .............................................................. 2, 2 16 .00 C/ O'S, FOR MONEY BORROWED ..... ------····-··• 2 7 5.0 0 CERTIFIED CHECKS---··········· IL VER .. . ·················: ···"········-·······-·-·-····-···· 1,175.4 9 CASHIER'S CHECKS ................................... 7 3 6 .6 2 RESERVED FOR INTEREST.............. CURR EN CY ...•-··-·-·-···-·'.···-··----1 I I GOLD Is DUE TO NON - RESERVE BANKS.... OTHER RESOURCE$ _ _ __ 1 Q 7, 2 1 3 .1 9 RESERVED FOR TAXES ....................... OTHER LIABILITIES TOT AL ..........- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL ............................................................... .'.3 0 3, 6 7 4 .7 7 'l( OFFICERS AND DIRECTORS of fdrme rs & "L~chants Bank, Stut+gart, Arkansas Co., Aee'I Cashier z/4 0-, ~ (~ ~ ~b1~ . ~ ;vy/2J,/~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of 1.1rant Cou., •y Bank• 0 heri an, tira~t Co •• o 191s I AT THE CLOSE OF BUSI ESS RESOURCES LIABILITIES 1 0 6, 5 2 0.6 Q LOANS AND DISCOUNTS .... ·-··· · ····· 22,500.00 CAPITAL STOCK . j CERTIFIED SURPLUS ..... LOANS ON REAL ESTATE·--········ I UNDIVIDED LOANS ON COTTON ... ·-···-···-·····-······· 0 VERD RA FT S_.. _ -·-·-···---· -·-----·-··· I 3 8 .7 3 2,651.18 PROFITS BILLS PAYABLE .·-························---·-····- .. BONDS AND SECURITIES -·-····-···-·· 1 , 248.02 NOTES REDISCOUNTED FURNITURE AND FIXTURES_·-···· 1,000.00 SAVINGS ACCOUNTS .... &AN KING HOUSE ..·-···-·----····-····-- 5,000.00 OTHER REAL ESTATE--···-···--··- 2,709.24 9,0 9 4.1 0 I TRUST FUNDS DIVIDENDS UNPAID·-·-·-····················-··-···- 15 0.0 0 ITEMS IN TRANSIT·-··---·-·-···--······' INDIVIDUAL DEPOSITS 8 7,504 .15 BILLS OF EXCHANGE.·-·--·---····· PUBLIC FUNDS·-·-----··-· 13,097.41 DUE FROM NON-RESERVE I DUE TO NON-RESERVE BANKS.. BAN KS ___···-···-·--·-··- ·•-··--·---···· ' CASH ITEMS ·-·-·--·--•----·--···-···-···••-··· DUE FROM RESERVE BANKS .... -.• 6.16 DUE TO RESERVE BANKS ..•-····-··-··· 19,748 .95 C/ D'S, DEMAND CURRENCY _ __ 9,116 .32 C / D ' S, TIME ..... CHECKS ON OTHER BANKS ..... .! 3,523.00 C/ D'S, FOR MONEY BORROWED .... I GOLD .......·-·······-···-····- ···-·····--·-··-·-··-··-·-···--··-······ 12 5.0 0 SILVER _ ·--··---·-··-····--------········-···--·· ------·--·--····· 2 2 4 .2 5 OTHER RESOURCES _-·······-······--·---·--······ 4,19 3 ,7 5 I CERTIFIED CHECKS ....... CASHIER ' S CHECKS RESERVED FOR INTEREST I I RESERVED Ij OTHER - - ~ - - - ~ ~ -1_4 4,3 3 7 ,7 0 ~:' TOTA _ L_ .._. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 0 9 .9 5 FOR TAXES ___ _ LIABILITIES ............... _._._ TOTAL ._._ 14.5 9 1 4 4, 3 .3 7 .7 0 -l~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Grant Co u,i°t!' Bank, rt erida n, Grant Co ., Ark. OFFICERS r , Jm al.7::¢5--z Preaidem ~~~ ~~ DIRECTORS . ~ -~· ... \o<t- \•" cF.. COPY OF PUBLISHED STATEMENT of .ui,'l co l n C-.i 1 1 ·~y Bank . St.r Ci iy, Lincoln Co., Ar, lvOv' l AT THE CLOSE OF BUSI ESS n 191 5 LIABILITIE S RESOURCES --1 I I LOANS f AND DISCOUNTS .......... 3 5, 6 2 9 .4 '.3 I LOANS ON REAL ESTATE .. 2 4,9 4 3.0 2 12,500.00 I CAPI.TAL STOCK ............... I CERTIFIED 1,000.00 SURPLUS ···························· I UNDIVIDED PROFITS _ LOANS ON COTTON .............................. • .... _ 2,187.5 7 _ BILLS PAYABLE ....•........... ....................... ... , OVERDRAFTS ...•········-····················--··············· I BONDS AND SECURITIES .................. . F URNITURE AND FIXTURES .......... 2,251.51 NOTES REDISCOUNTED ......................• I I I 1,835.00 I SAVINGS I I I' TRUST 1,000.00 BANKING HOUSE ......................... ACCOUNTS ··············•····•····· . OTHER REAL ESTATE FUNDS. DIVIDENDS UNPAID .... ··· ···I I ITEMS IN TRANSIT •.••....•......·-············ I INDIVIDUAL 1,185.77 ' Bl LLS OF EXCHANGE •...•..... - ..•........... I DEPOSITS .......................... . PUBLIC FUNDS ................................................... \ DUE FROM NON·RESERVE BAN KS •.•......•.......•.•..................••...•.•.•..... I CASH ITEMS ............••..............•......................... 1 DUE TO RESERVE BANKS................ DUE FROM RESERVE BANKS ...... . 62,740.03 33,772.3 3 DUE TO NON.RESERVE BANKS.... / 37,423 .53 C/ D ' S, DEMAND .. I CHECKS ON OTHER BANKS ......... . 2,335.89 C/ D ' S, TIME ..................... CURRENCY ......... 5,724.00 C/ D ' S, FOR MONEY BORROWED ..... , GOLD .....•..•. 3 0 5.0 0 SILVER ............ 5 0 1.7 8 ················••I 9 S 5.0 0 CERTIFIED CHECKS ............................... I CASHIER ' S CHECKS ...... I RESERVED FOR INTEREST .... I 1 OTHER RESOURCES .... 1 RESERVED FOR TAXES .. II J OTHER LIABILITIES ............................... TOTAL •• - ·················•··· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ----1 1 3, 1 3 4 .9 3 ... TOTAL ............. 11 3, 1 3 4 .9 3 53:_ OFFICERS AND DIRECTORS of L,1co ln C ,,nty Bank, St. Ciiy, Li · coln Co., Ari• OFFICERS H. ». i>alm Presidenl V i c• ProsiAenl J:!.i. u. tlorton Aaa'I Cashier DIRECTORS l>r. R • .1,. Jieh https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis z. Orto COPY OF PUBLISHED STATEMENT of Peoples Bank , Searcy, White co., Arkansas . AT THE CLOSE OF BUSINESS V RESOURCES LIABILITIES I LOANS AND DISCOUNTS.. .................... 21 6,8 8 9.1 7 CAPITAL STOCK................. ·····•·--·········•··•···••·· 30,00 0.0 0 LOANS ON REAL ESTATE ................. 3 2,1 5 0.0 0 CERT I FIED SURPLUS..... ·························· 7 0,00 0.0 0 LOANS ON COTTON ...._. ---···········-··---······ 2 1,8 1 9 .7 4 UNDIVIDED PROFITS................................. ·-···-····--··-··•····· 9 5 7.4 7 BONDS AND SECURITIES- - ··--···• ,9 1 1.8 8 FURNITURE AND FIXTURES--··· 2,5 0 0.0 0 OVERDRAFTS BILLS PAYABLE OTHER REAL EST ATE - - - - · - · ·················· SAVINGS ACCOUNTS ···- TRUST FUNDS 1,8 4 2 .7 8 DIVIDENDS UNPAID ITEMS IN TRANSIT----·--··-··--·· BILLS OF EXCHANGE INDIVIDUAL DEPOSITS .. 1 0 8, 0 8 3.5 0 PUBLIC FUNDS...... .. 14,9 8 6.6 9 I DUE FROM NON-RESERVE BANKS 8 6 4.0 9 DUE TO NON-RESERVE BANKS .... .... 1 5 2.26 DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANKS ..... 1 4,2 7 9.4 3 CASH ITEMS--·····-·--- C/ D'S, DEMAND ............................................. I CHECKS ON OTHER BAN KS--········ 3,7 6 0.26 C/ D ' S, TIME .................................. ·-···················•····· CURRENCY. ·•······· 6,8 0 3.0 0 C/ D'S, FOR MONEY BORROWED ..... 1,20 5.0 0 CERTIFIED CH EC KS .......... _........................ ·-···-··· 1,6 2 7.8 7 CASHIER'S CHECKS ..................................... ...... 9 8 4 .8 0 RESERVED FOR I NT ER EST ...·-········ I I 4 5,0 0 0 .0 0 NOTES REDISCOUNTED .......................... 15,8 1 6 .5 7 BANKING HOUSE.__. I 1 0 1915 GOLD .. __ SILVER OTHER RESOURCES 5 9, 8 4 9 .92 6 4 4.2 1 RESERVED FOR TAXES OTHER LIABILITIES ............................. .... TOTAL ...... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ················"·· ";2A"iM..6.'7>? .)~ " TOTAL ............................................................... 3 2 815 6 4.3 2 -¾~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Pt-o pl es E.. n, re ar cy , Wn1~e Co., Ark. OFFICERS ~ DIRECTORS COPY OF PUBLISHED STATEMENT of ?eopl es E_n:r,_, Ste~: ens, Oua~nita Co., AT THE CLOSE OF BUSINESS 1 1915 r RESOURCES LIABILITIES LOANS AND DISCOUNTS ...... 15,584.05 CAPITAL STOCK.......................................... LOANS ON REAL ESTATE ..... 10,010.58 CERTIFIED SURPLUS UNDIVIDED PROFITS .......... I OVERDRAFTS·-·-···························-········ .......... 1 BONDS AND SECURITIES-···-············· I I 6 8.4 0 BILLS PAYABLE ..................... 2 4 8.1 0 NOTES REDISCOUNTED :1.,2 0 0.0 0 FURNITURE AND FIXTURES_ ....' TRUST FUNDS ................................................... . I DIVIDENDS OTHER REAL ESTATE--·--···-··--··· II UNPAID .... ············-········•······· I INDIVIDUAL DEPOSITS...................... BILLS OF EXCHANGE - - - - · ····• PUBLIC FUNDS............................................... ITEMS IN TRANSIT _ _ _ I DUE FROM NON-RESERVE BANKS ____···----·---•·.1 4, .3 8 1.5 1 DUE TO RESERVE BANKS 1 1,047.76 ' CHECKS ON OTHER BANKS .......... / CURR EN CY····-····--·-···- 14,890.88 , DUE TO NON-RESERVE BANKS .... , CASH ITEMS---····--·----···-··· DUE FROM RESERVE BANKS........ 8, 000.00 SAVINGS ACCOUNTS .... ,5 0 0.0 0 BANKING HOUSE._ _ _ __ 2 0,0 0 0.0 0 1 1,015 .72 LOANS ON COTTON ......... . -, I 112.56 '.3, 1 0 1.0 0 I I C / D'S. TIME....... .................................. I C/ D'S, FOR MONEY BORROWED .... . GOLD.·-·-···-···-····- 5 .'.3 5.0 0 CERTIFIED CHECKS ........... SILVER -···-·····-··············- ... -·················-·········-···I 417.06 CASHIER'S CHECKS ............................ 0 TH ER RE SOU RC ES ·-··-···-···-·········-········· 2 2 .64 1,460.00 I C/ D'S , DEMAND ....................................... I RESERVED 1 0 0.5 0 I FOR INTEREST.............. I RESERVED FOR TAXES ......................... I ; OTHER LIABILITIES................................. TOT AL .... •········-·······-··•············· ..................• https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis __4 &., 4 5 1,3 8:;___-J_, _ ______:;T-=.O-'--T'--'A= L .·=·····=····cc ····- -"=~~·~·····-·····~····=····•-····~·- - ~ 4_4..c.,l~A~,~ 5_1~ ,3---"S_ -J~__, OFFICERS AND DIRECTORS of -r-" opl e s Ba'1 1 , Ste~• ns, Ouachita Co., Arlr OFFICERS J. H • . eaver. Presiden& • i • .Jro ,m J . }, • S,ni th V ice Presiden& • • ~•J:aomp son Caahi er AIB't C<1 Bhi er DIRECTORS L. mith J . H. Da 2'.nan Theophilus all G. T . Criner i.. . • ti - H . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 'ierce lfl errell COPY OF PUBLISHED STATEMENT of ~tate Ban!-.. Siloam Springs, Benton Co., Ari AT THE CLOSE OF BUSINESS / 1 l RESOURCES I LOANS AND DISCOUNTS..... I I LOANS ON REAL ESTATE LIABILITIES 6 .ti,9 3 5.0 6 CAPITAL STOCK 3 3,5 6 8.1 7 CERTIFIED SURPLUS .... 25,000.00 ··········1 I I LOANS ON COTTON ................................... I OVERDRAFTS ....................................................... 169.76 BONDS AND SECURITIES ....·-···•·· 5 7 1.16 FURNITURE AND FIXTURES .......... 2,600.00 ..J 9, .3 0 0.0 0 BANKING HOUSE ....... •··•··-··-······· ......... I OTHER REAL ESTATE ......·-··- UNDIVIDED PROFITS.............................. . 1 0 1915 5 O 0 .0 0 2, 3 7 5.5 4 BILLS PAYABLE ............................................. I NOTES REDISCOUNTED ...................... . I I SAVINGS ACCOUNTS ........ TRUST FUNDS .............. 1,876.00 DIVIDENDS UNPAID 1 ITEMS IN TRANSIT ....·-····-·····-·-············· I INDIVIDUAL BILLS OF EXCHANGE ...........·-·-············ I DUE FROM NON-RES'ERVE BAN KS --·······-·······-··-··-····-········--······· I ·······i 4,580.40 I CASH ITEMS -···-·········- ·············--··········-···· .... I 2 2 .5 0 I CURRENCY ...... GOLD ..........·-·····-· SILVER ........... ... PUBLIC FUNDS ................ ······-······················., 1 DUE TO NON-RESERVE BANKS ... I' DUE 1 TO RESERVE BANKS ....... I l C/ D ' S, I 25,219 .36 .I 7 3 2 .1 7 C/ D ' S, TIME ..·-······················· ............................... . 5,614.00 C/ D ' S, FOR MONEY BORROWED..... 6 3 5.0 0 CERTIFIED CHECKS .................................. DUE FROM RESERVE BANKS ...... CHECKS ON OTHER BANKS DEPOSITS ............... 1,820 .88 DEMAND .......... CASHIER'S CHECKS ................................ . 41,316 .64 8 8 0 .0 0 RESERVED FOR INTEREST.............. OTHER RESOURCES RESERVED FOR TAXES ....... I , OTHER LIABILITIES ............................. TOTAL ................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL.. .......................................................... . 1 5 1, 6 4 4 .4 6 ➔~ OFFICERS AND DIRECTORS of Sate Ban;. . Siloam ~prings , B&nton Co., Ar' OFFICERS L .. J .. Rees Prssidenl rn. McCa ll V ict President Cashier fl. J. • Lineback Aaa' I Cashier DIRECTORS L.J.Rees m. Mc r,G1.l l Geo. B. Dyer W.D.Patton https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis J.T.McKinnon COPY OF PUBLISHED STATEMENT of J.1ion Banl\. o. Tru t Co. , S arcy, White Co., Ark ., , AT THE CLOSE OF BUSINESS T RESOURCES 8 5,984.08 CAPITAL STOCK........................ LOANS ON REAL ESTATE ........... ..... 37,178 .21 CERTI Fl ED SURPLUS 1,300.0 0 5,000.00 BILLS PAYABLE .................. ......................... .. BONDS AND SECURITIES ... _·-············· 2,882 .96 NOTES RE DISCOUNTED... .. .... F URNITURE A N O F I XTURES- ....... ' 1,331.00 SAVINGS ACCOUNTS . I .• 1 2,574 .64 TRUST FUNDS .............................................. ... BANKING HOUSE ...· - · · · · - - - - I OTHER REAL ESTATE- - - - ·1 DIVIDENDS UNPAID ... ITEMS IN TRANSIT-·-···-····--·····--·-1 1,415.7 9 Bl LLS OF EXCHANGE -··--·--··-·-··· ! 19,222 .83 I 50, 000.00 UNDIVIDED PROFITS. 4 5 4.8 1 0 VERD RA FT S ...·-·····················-··················•···•· G 915 LIABILITIES LOANS ANO DISCOUNTS...... LOANS ON COTTON ...... ............................. . ~ I INDIVIDUAL DEPOSITS ···•····················- 5 2,994.01 PUBLIC FUNDS---······················-· 2 o,o 71 .9 6 I ouE ·To NON-RESERVE BANKS... OU EB:~~:- ~ .~ ~~ ~=-~.=-~~ ~ ·-----·j I I CASH ITEMS--····-·-······-····-··-·····-··-·••--··. DUE TO RESERVE BANKS ...... I I DUE FROM RESERVE BANKS .... __ 7, 963 .17 CHECKS ON OTHER BANKS....... . 1,553.4 7 I CURREN CY .........·-·-·- ··-·•·-······-·-·····-·--········· I C/ D ' S, DEMAND ............ ····································· 8 8 4.0 0 GOLD ... ·-·····-····-········-·····-··-··-···-···-····-···············i 3 8 8.0 0 I ' SILVER- - - - - · · - - · ···········---·-···I C/ O'S, FOR MONEY BORROWED ..... I CERTIFIED CHECKS ··································I 5 6 7 .7 1 I OT H ER RE SOU RC ES .....·-···················-·······I 1,0 2 7.5 7 28,836 .71 C/ D'S, TIME ...... 7 6.2 8 CASHIER'S CHECKS ........ I 1 I RESERVED FOR INTEREST.............. 1· RESERVED FOR TAXES _ __ I i OTHER LIABILITIES............................... .. , _ _····--····-··-···········-·····-····•-····-- ~1~ 6 0, 8 5 3 ,6 Q ➔; T_ O_T_A_L ._ ....._....._..... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL ................................................................ 1 6 0, 8 5 3 .6 0 ~(' OFFICERS AND DIRECTORS of ~aion Ban~~ Trust Co., Srarcy, Wh i t e Co., Ark O FF ICERS 1. H. Lightle Presideni W. G. Caldwell Vice Presidenl Jas. E. Lightle Cashier J. B. Lightle A88't Ca•hier DIR EC TORS f . H. Lightle T. E. Baldock J. H. MoElwee Jas. E. Li ghtle. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis W.G. Ca ldwell J. Y. Woodson J. B. Lightle Banktng Dep' t COPY OF PUBLISHED STATEMENT of Stnong, vn · on Co., 0 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS....... 2 1, 7 7 2,2 9 CAPITAL STOCK LOANS ON REAL ESTATE ............... . 22,313 .33 CERT! Fl ED SURPLUS. LOANS ON COTTON .......... ·-····· OVERDRAFTS ..................................... I ! 8 4 .71 1,866 .17 BILLS PAYABLE ..... I NOTES 1,331.27 F URNITURE AND FIXTURES--······ 2,149 .36 SAVINGS ACCOUNTS .............................. . BAN KING HOUSE·-·-·•····-·-·-···-···········-···- 1,6 5 2 .14 TRUST FUNDS ............... . 2,120.00 DIVIDENDS UNPAID ... ........................... .. REDISCOUNTED ......... • •• 1 I 6 4 2.0 1 ITEMS IN TRANSIT _ __ 51,831.25 INDIVIDUAL DEPOSITS............... Bl LLS OF EXCHANGE -··---··--·-·····-···· ' 4 9 6.5 4 PUBLIC FUNDS .................................... I I DUE FROM NON-RESERVE BANKS __ ··-···-- _ __ DUE TO NON - RESERVE BANKS ... I 8 9,23 CASH ITEMS_·-·····-···-····-·····--···--··· I ! DUE FROM RESERVE BANKS ........ 20,172 .98 I I DUE GOLD ................... ---····--·-··.. ········· SILVE R -···· · · · - - - - ··-···-·······-----········ RESOURCES ................................ . TO RESERVE BANKS.. ! C/ D'S , DEMAND ................. .............................. . I I 2,961.00 7 8 2.5 0 19 9.13 31 .81 C / D ' S, FOR MONEY BORROWED ... I I CERTIFIED I CHECKS ········· ' CASHIER ' S CHECKS ........................ . II RESERVED FOR INTEREST ........ RESERVED FOR TAXES ................. I , OTHER LIABILITIES.............. TOTAL ..................................................... . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1,000.00 C/ D ' S, TIME ............................................................ CHECKS ON o ·THER BANKs_·-·····I CURRENCY. _ _ _ _ _ __ 20,000.00 7 5 0.0 0 BONDS AND SECURITIES ---····••········ OTHER REAL ESTATE --·--·-··•-·-- 1 I ·········· ( UNDIVIDED PROFITS ...... ••·••···-············· •• •.• 1 16 TOT AL ...·-··•········· ...................................... . 3 5 7 .8 0 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Vi ctoria Ji,,nl., St~ong, U io n Co~, Ark. A.,., Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of :;:;ank of fay:c,r, rayJor, Go1u 1D1a Co., 15 AT THE CLOSE OF BUSINESS -, -1- LIABILITIES j___________R_E_s_o _u_R_c_E_s_ _ _ - - - - - - - - ' - - - - - - I LOANS AND DISCOUNTS.......... -·····-···· I I LOANS ON REAL ESTATE ..·-·-··-····' 16,397.48 1 ,2 0 0.0 0 I I 4 6 2.6 4 CERTIFIED SURPLUS I I UNDIVIDED I 12,500.00 CAPITAL STOCK.................. 5 0 9.2 3 PROFITS........ LOANS ON COTTON ....·-···-···-······--·····-' I BILLS OVERDRAFTS __ ···-·· BONDS AND SECURITIES----···· PAYABLE ............................................... • NOTES RED I SCO U NT ED ...·-·········•······· . FURNITURE AND FIXTURES_ .... 1,400.00 SAVINGS ACCOUNTS ............................. BAN KING HOUSE ·-·-·-·--·--·-··-·-- 1,300.00 TRUST FUNDS ........................ I REAL ESTATE·---····-···--· DIVIDENDS UNPAID .................................... ITEMS IN TRANSIT_·-··-··----·· INDIVIDUAL DEPOSITS .......................... . BILLS OF EXCHANGE -·-····----· 32,198.51 PUBLIC FUNDS.....· - - - - - ··' DUE FROM NON-RESERVE BANKS I CASH ITEMS _ _ _ _ _ _ __ I DUE I DUE TO NON-RESERVE BANKS . DUE FROM RESERVE BANKS ...... 2,00 0.00 9,391.14 I TO RESERVE BANKS ................ C/ D'S, DEMAND _ _ __ I CHECKS ON OTHER BANKS- C / D ' S, TIME _ _ _ _ __ ... CURR ENCY_·-----···-··----·· 1,000.00 1 OTHER RESOURCES ___··-·--·--· C/ D ' S, FOR MONEY BORROWED..... I CERTIFIED GOLD _ __ SI L VER. ··----·····-······---····-··••-•·•·---·-·-··- : 7 2.41 2,174.52 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _4 9, 9 _3 5 .5 5 -:} ····' CASHIER ' S CHECKS ................................... I RESERVED FOR INTEREST .............. I RESERVED FOR TAXES .....·-····-······· .. ·· I 1 OTHER TOT AL ....................- ....................... . CHECKS .... I LIABILITIES TOTAL ............................. ................................. 5 9 4 ,3 5 1,670 .82 4 9 .. 9 3 5 .5_5 ,t- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Bank of Tt..vlor, TayJor, Columbia Co., 11.~~ PreBidenl &!Ji Au't Ca shier DIRECTORS COPY OF PUBLISHED STATEMENT of ....,ank of T-lh.r, Tillar, Drew Uo., Ark . I O 1915 AT THE CLOSE OF BUSINESS ------LIABILITIES RESOURCES j LOANS AND DISCOUNTS .........·-······· 2 7.9 7 7.3 6 I LOANS 19,9 9 8.5 5 1 ON REAL ESTATE ... _ .. ICERTIFIED 1 8,300.00 LOANS ON COTTON .... _ .... _.................... I, 15,000.00 , 7 0 7.6 7 .. ........ . ... . . 20,500.00 BILLS PAYABLE _ _ _ ................. .. ./ NOTES REDISCOUNTED ..................... BONDS AND SECURITIES- .............. I FURNITURE AND FIXTURES __.... , BANKING HOUSE _ _ ..... _ _ _ _ ! 1, 7 0 0.0 0 SAVINGS ACCOUNTS ............................... _ 3,0 0 0.0 0 TRUST FUND$ _ _ _ ....................... .. I DIVIDENDS UNPAID ......................... ! INDIVIDUAL DEPOSITS.......... OTHER REAL ESTATE --.. - .... -....·-·- ! ITEMS IN TRANSIT .. - ...--..--....._ ...... I BILLS OF EXCHANGE ............ _ _....[ DUE FROM NON - RESERVE SURPLUS. UNDIVIDED PROFITS 7 9 0 .9 2 OVERDRAFTS· - · - - - - -.. ---........ 25,000.00 CAPITAL STOCK. ............................................. 1 1 0,774 .95 18 8 .3 6 I PUBLIC FUNDS ............................................... 1 f ! DUE TO NON-RESERVE BANKS ... BAN KS _ .....- ... •..--.. -.. - - · -..·-·--.. I I DUE CASH ITEMS.._ . _.. _ .... ___._ .. _ ..... TO RESERVE BANKS .............. .. DUE FROM RESERVE BANKS .... .. j 4 4 9 .7 5 I C/ D'S, DEMAND .......... .. CHECKS ON OTHER BANKS .._ ..... : 40 0.98 I CURRENCY .... ____ ..._. _ _ _ _ _ , 1,369.00 C/ O S, FOR MONEY BORROWED .... . GOLD .......... ·-·-·.. ·-·-..·----..·-·--................... 1 1,072.27 CERTIFIED CHECKS ................................. 45 .0 0 SIL VER _ ......... -·- ..· - · - · - - · -....- -·- C/ D:S, TIME .............................................................. I 2,932.85 CASHIER'S CHECKS ........................ RESERVED FOR INTEREST ............ .. ' OTHER RESOURCES _ .._·-·- ..·-•--.. ..1 I RESERVED FOR TAXES ......................... J OTHER LIABILITIES..... ........................ .. ,-. TOTAL .. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 5, 1 .. I I o2-,.8-= .; ; ; 3:;__~_ ~ . __I__T:....::o:....:.T..:....cA=L.=.....= ......:.. . . . =-.....=.... :...c .... -'--'5~ 1"----"-0--'3=--=.8,c....= 3_•_:r_ _. ·.c.... ....._....._....._....._....._....._.... _ _ OFFICERS AND DIRECTORS of !:lank of T l1 r..r, Tillar, Drew Co., -A rk . OF F ICERS A. c. sta.nle PreBidenl H. Thane , Vice PreBidenl C. A. Kin Ca,hie r A88'1 Caahier DIRECTORS A. c. Stanley, hane J. Bernhardt, D. P. Terry, c. A. King , https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Jank of Tinswan, Tin~man, alnoun Co., l\rk AT THE CLOSE OF BUSINESS 115 ,-- 7 RESOURCES LOANS ANO DISCOUNTS ............. I I LOANS I ON REAL ESTATE 5,239.58 CAPITAL STOCK. ........... 3,388 .34 CERTIFIED SURPLUS ...... I BI L LS AND SECURITIES·-··-··········· 2 2.96 FURNITURE AND FIXTURES_........ j NOTES REDISCOUNTED ................ I I BANKING HOUSE ......... _. _ _ __ TRUST FUNDS .................. _ __ I DIVIDENDS UNPAID OTHER REAL ESTATE .... -........... IN TRANSIT_·--··-··-·-·-·····-······· BILLS OF I .. 5,083.01 PUBLIC FUNDS .................................... . I DUE TO NON-RESERVE BANKS . I DUE TO RESERVE BANKS ................ ! DUE FROM NON - RESERVE BAN KS ..........·-····-·-······--··-··········-··············· 1 I 2 2 0.5 0 DUE FROM RESERVE BANKS ..... . 3, 2 6 6 .7 9 CHECKS ON OTHER BANKS ......... . 48.0 2 CURR ENCY ...·--··-·-·-···----- , INDIVIDUAL DEPOSITS ............. I EXCHANGE -····-·-·-·-···-··- ...I CASH ITEMS _________ 1, :C O 0 .0 0 PA y ABLE ...•····-···························-········· SAVINGS ACCOUNTS ································ 3,419.0 7 I 3 3 6.18 UNDIVIDED PROFITS ...... . OVERDRAFTS ...............· - · - - - · · I ITEMS 8,550.00 I LOANS ON COTTON II BONDS LIABILITIES 40 7.0 0 , I C/ D'S, DEMAND ·····························•··•···· .. 6 9 2.6 5 C/ D ' S, TIME .............. C/ D ' S, FOR MONEY BORROWED ..... I CERTIFIED CHECKS .... GOLD ......... -··················································- SI L VE R ···············································--··-·-·······-·-···· OTHER RESOURCES ......................... 8 6.4 5 CASHIER'S CHECKS ...... _ _ _ .... 1 4 3 6.8 7 I I RESERVED FOR INTEREST ...... RESERVED FOR TAXES ......................... ! OTHER LIABILITIES.... -.................. . ~ TOT AL ........·-····································· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ~ - -1- ~ Q 2_8....:•.7-= .:. 1=--~~- ___.....:T...=0:...;T..:..A.:..:L::::··::::··•··::::····:::···:·::::.···::::····::::····::::·····::::··::;:;····:::::····=····::::····::::····::::····::::····:::.__~.._,,"'f..Jli,,£...,"--'"'--L'- OFFICERS AND DIRECTORS of Bank of r·ns:.1an, Tin: 1an, Calhoun Co ., Ark OFFICERS B. • Thomason, Presidenl D.R.Speer, Vice Preaidenl .A. Speer, Cashier Aaa'I Cashier DIRECTORS B .I • Thome son, W.I. Thomason D.R . Speer, f D.VI . Bas_s-'-,_(_*_) _ _ __ J .A. Speer, f John Baxter .M.Kitcbens, J.T.O.Tibbitts, (*)D • . Bass,was elected a Director at the Regular Shareholders election in January 1915,but was unable to,and did'nt qualify,John Baxter,~as elected by the Board to fill the vacancy,but has never qualified. There is only Six directors qualified. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Bank of T.· 1; an, Truman, folnse tt Co., Al1 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS ........... LOANS ON REAL ESTATE .• ·-·········j LIABILITIES 15,509 .83 I CAPITAL STOCK........................... 10,000.00 4,887.5 0 CERTIFIED SURPLUS ............ 1,000.00 UNDIVIDED PROFITS. ......................... . 1, 7 6 8.5 3 I LOANS ON COTTON _._ ·-···-·····- 4 8 .91 OVERDRAFTS ____ ._ _ _ __ BILLS PAYABLE _ _ __ NOTES REDISCOUNTED .......................... BONDS AND SECURITIES·--···-······ FURNITURE AND FIXTURES_ ...... 1,420.00 SAVINGS A<;:COUNTS ................................. BANKING HOUSE ___··-·---·-·-·- 2,330 .86 TRUST FUNDS _ _ __ OTHER REAL ESTATE-----···--··· DIVIDENDS UNPAID ... ·············:·······•········I 50,351.54 ITEMS IN TRANSIT-··-····-•····•--··· ~::1~11:::: :S~.: .: .:I.~: .: · .··::. :.·.·· .. ~, BILLS OF EXCHANGE _···-··--·•·-···· DUE FROM NON-RESERVE BAN KS_··--·---·-·-·----···- .. 1 I CASH ITEMS _ _ _ _ _ __ I DUE FROM RESERVE BANK S ..... ! DUE TO NON-RESERVE BANKS .... 2 2 8 .9 6 31,545 .8 9 I CHECKS ON OTHER BANK$ ___ ····I I cuiiRENCY _._. _ _ _ _ _ _ _ _ ... I DUE TO RESERVE BANKS............. I I C/ D'S , DEMAND ....................... I C/ D ' S, TIME 5,350.00 I C/ D'S, FOR MONEY BORROWED ..... I I GOLD- ·-·-··---•-···--·---···· ·······--·--··-···· 8 7 0.0 0 SI L VER -·-···-···-···-·-·-··-·-······--·----··· 9 2 3.0 1 , OTHER RESo'URCES --··---·-··-··-····· 5,j_ 1 I CERTIFIED CHECKS .................................... CASHIER'S CHECKS .................................... . RESERVED FOR INTEREST ......... . RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES .........•... TOT AL ....·-······-- ............................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 3, 1 2 0.0 7 _-ll-_ _ _T'--"O_T ~AL~···-····· ··············································•··•······ 6 3, 1 2 0.0 7 -l;- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of ::;ank of Trl'r• ~n, Truman, }olnsett Co . , A1-1. OFFICERS Ass't Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of J~nk of ;Jckd rman, T ckerman , Jackson Co., Ark. AT THE CLOSE OF BUSINESS NOV 1 0 1915 RESOURCES LIABILITIES LOANS AND DISCOUNTS.•-·····-····-·.. ···I 46,286.14 CAPITAL STOCK ................................................ , LOANS ON REAL ESTATE ·-··-··-•·····' 15,317.89 CERTIFIED SURPLUS ............................. . 2 5.8 3 BILLS PAYABLE- - - · ······················· BONDS AND SECURITIES--·--···-····· 1,156.26 NOTES RE.DISCOUNTED .......................... FURNITURE AND FIXTURES-··-··· 4,150.00 SAVINGS ACCOUNTS .. ·······••·················· .. I BANKING HOUSE--·····-------·) 5,450.00 OVERDRAFTS __ ···----···•·--··--·-····-···· ITEMS IN TRANSIT-·-··-····--·····--··· INDIVIDUAL DEPOSITS I PUBLIC BILLS OF EXCHANGE -•·--··---·-··-, I 2 8 3.6 8 DUE FROM RESERVE BANKS ........ CHECKS ON OTHER BANKS·--···•· 75,206.82 i CU RR EN CY ...·-··-·--··-·-·•···-···---·--·- j C/ D'S, DEMAND............ C/ 0 10,932.00 1 71.0 0 GOLD.·-·-·-----···-·--·-···--····-······-······· SILVER _ _ _ _ _ 1,9 3 0.0 5 ···1 2,202.83 I TO RESERVE BANKS ................ II .s. I FUNDS ............................................ 13 4,639.36 DUE TO NON-RESERVE BANKS . I DUE CASH ITEMS_. _______ 1 FUNDS .........·-·················•·····················! DIVIDENDS UNPAID ............................. BA.NKS _ · - · - - - · - · - · - - - · · ' I I ITRUST OTHER REAL ESTATE----··-··---, I DUE FROM NON-RESERVE 3,5 3 9,2 3 UNDIVIDED PROFITS......... . LOANS ON COTTON ....·-·····················- ...... 1 I 15,000.00 ............................. . TIME ...................... 5,5 2 8,2 5 I C/ D'S, FOR MONEY BORROWED ..... CERTIFIED CHECKS .................... CASHIER'S CHECKS ........................ . RESERVED FOR INTEREST .............. OTHER RESOURCES --·--·-----·-· RESERVED FOR TAXES .......... . OTHER LIABILITIES.................................. I --'T--=O_T~A=L=····=·····= ····=···-=-··=·-···-=····=····=····= = ··· =·····=··=·.·c.:..··-'-i-'1 = -6 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Q, 9 0_2, TOTAL ................................................................. 1 6 0, 9 o 9 .6 7 ~r https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Bank of Tu~\erman, Tuck er ran, Jacks ofi Co ., Ar k OFFICERS V ice Pre8iden1 ' . V. HOl/11 Caahier Au't Cashier DIRECTORS ,T. , • Li. n 1 f y I. . T. Sl yden .••. . • .J. ' r m,1 t. rong COPY OF PUBLISHED STATEMENT of r ..,ank of ro1iza, Tyrorza, Poinsett Co., , rk AT THE CLOSE OF BUSINESS _ __,_ RESOURCES J -1--=-~ 0 1915 LIABILITIES ------'---------------~-------... , 9 0 1.4 9 LOANS AND DISCOUNTS .. LOANS ON REAL ESTATE ................ I UNDIVIDED PROFITS ........................... . OVERDRAFTS .... _ ............................................... BILLS PAYABLE ........ _ _ __ 7 5 2 .9 0 FURNITURE AND FIXTURES ...- ... 1,581.9 9 BANKING HOUSE .................. __.............. _.l 1,6 5 4.5 5 .. _ 5,5 0 0 .0 0 CERTIFIED SURPLUS ........................... LOANS ON COTTON .................................... BONDS AND SECURITIES ................ .. - 1 0, 000.0 0 CAPITAL STOCK .......................................... .. 1 6, 599.8 2 . 5 4 4.1 2 5,000.0 0 NOTES REDISCOUNTED ...... ISAVINGS ACCOUNTS _ __ I I TRUST FUNDS .................. .. OTHER REAL ESTATE ............................ ··•·······! DIVIDENDS UNPAID ............................... . 1 ITEMS IN TRANSIT .... - ................................ 1 INDIVIDUAL DEPOSITS _ _ _ , 3 9,005.31 I BILLS OF EXCHANGE .... - ....................... 1 PUBLIC FUNDS ............................. ! DUE FROM NON-RESERVE BAN KS ..... - ................ _ ................. - ........._ .. ! DUE FROM RESERVE BANKS ....... l 1 CHECKS ON OTHER BANKS ...... .. 26,326.40 3 5 5.6 5 4,363 .0 0 CURRENCY .... - ... - ... - ................. _ __ 5 3 5.0 0 i GOLD ....................................................................... . SI L VER ................ _ ................................ _..............._ ... OTHER RESOURCES ................................. DUE TO NON-RESERVE BANKS .. 10.8 6 CASH ITEMS_ ....... __.. _ _ __ ! I DUE 19 2 .2 1 ···1 I TO RESERVE BANKS................ , I C/ D'S, DEMAND ................... . I 5 7 5.0 0 C/ D'S, TIME .......................................................... .. C/ D'S, FOR MONEY BORROWED ..... I CERTIFIED CHECKS ................ .. 1, 7 6 8.1 3 CASHIER' S CHECKS ................................... 11.8 5 RESERVED FOR INTEREST ............ .. 4 5 .0 0 RESERVED FOR TAXES ......................... I OTHER LIABILITIES .................................. TOTAL ................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL ................................................................. 6 o,8 6 1.6 4 ~} OFFICERS AND DIRECTORS of E.ank of T.Y,,.ohza, Tyrorza, Poinsett Co., Ark OFFICERS L. A. ?Utt r Preside,11 O.C. Hew r Vice President H.C. Overturf Cashier Ass't Cashier DIRECTORS L.A .l!itt er J . A . , rich " " O.C. Hewser It " H.C . Overturf " u https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Citiz ens ..,"·,\, Th r nton, Calhoun Co., .. A- ,., AT THE CLOSE OF BUSINESS NOV IO 1915 1 RESOURCES LOANS ANO DISCOUNTS 11,3 1 4 ,3 7 LIABILITIES I CAPITAL -, 10,0 00.00 STOCK.. I LOANS ON REAL ESTATE .. 18, 654.96 3 7 5.0 0 CERTIFIED SURPLUS ...................... I I UNDIVIDED LOANS ON COTTON I 8 2 2.4 0 FURNITURE AND FIXTURES...•.... 8 9 0.8 0 BANKING HOUSE ..•...... ···-·-· I BILLS PAYABLE ...................................... BONDS AND SECURITIES .•.•........... I 6 .3 8 .3 2 I 0 VERD RA FT S....•...•........• ·····- ...•..•....•.... I PROFITS .................. ·············1 NOTES REDISCOUNTED ... . ........ . , I ..l SAVINGS ACCOUNTS .... . . 2,614 .9 6 TRUST FUNDS .........•............ ........................... I I DIVIDENDS OTHER REAL ESTATE ..•.•..••....•.....•... UNPAID .................................... 1 I I ITEMS IN TRANSIT •.......••.·-··· 49,073.6 9 INDIVIDUAL DEPOSITS ....................... II ! PUBLIC I BILLS OF EXCHANGE ..........•.•.......•..... FUNDS..... ............ 1 DUE FROM NON-RESERVE I DUE TO NON-RESERVE BANKS .. 1 BAN KS •.....•..•.·-·····················-······-··· CASH ITEMS ........•......•.....•.•..............•• - ........ . DUE FROM RESERVE BANKS .... 6 8.10 1 DUE TO RESERVE BANKS..... 3 4,166.23 C/ D ' S, DEMAND .................... ............................. I I I CURRENCY ....•....·-·-·····-•···· .........•......•.•...•.... 1,4 3 2.0 0 I C/ D'S, FOR MONEY BORROWED ..... I GOLD ...••....•.... ·········-·•········•····-····-······ 1,010.0 0 1 3 5 .7 2 OTHER RESOURCES ........•.... 1 O, 7 8 2.5 3 C/ D'S, TIME ....................................................... . CHECKS ON OTHER BANKS .. ·-···- I CERTIFIED CHECKS ............ CASHIER'S CHECKS ................................... , I RESERVED 2 4 0.0 0 FOR INTEREST .............. RESERVED FOR TAXES ......................... OTHER LIABILITIES ........................ TOTAL ............................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL... ... 7 1, 1 0 9.5 4 i~ -- OFFICERS AND DIRECTORS of C.itiz ens Ju,l. , Th ornt on, aLho~n Co., A 'Ir OFFICERS in. PreBiden1 W.C.Ribenack. V i ce Preaidenl O.F.Krug. Cashier JN0 · Au't Cashier DIRECTORS B.E.Halpin. C. S .McCain. O.F.Kru • https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis M DAVIS . ■Al'ik collMIS.5 1011 • COPY OF PUBLISHED STATEMENT of Citiz ens 3ar,~., Tillar, Drew Co., ,-- AT THE CLOSE OF BUSINESS -r RESOURCES I I LOANS I I AND DISCOUNTS ......... 49,471 .64 -~----- - - I CAPITAL 44,265.00 OVERDRAFTS _ _ _ _ _·-···--··-······ I BONDS AND SECURITIES ___···-····· FURNITURE AND FIXTURES- ...... 1,0 0 0.0 0 CERT! Fl ED SURPLUS ..... 48.82 ---- 50,000.00 STOCK .. I LOANS ON COTTON .... - -, LIABILITIES ! LOANS ON REAL ESTATE ...·--· ··- I I J 915 UNDIVIDED PROFITS ................................. , 2,133.48 ..J 25,000.00 BILLS PAYABLE_......................................... NOTES REDISCOUNTED ...................... . 1,350.00 SAVINGS ACCOUNTS ........ I TRUST BANKING HOUSE·--·•··---··-·-···--- FUNDS ............................................. OTHER REAL ESTATE--·-··-···-_.l DIVIDENDS UNPAID .................................. ITEMS IN TRANSIT--··-···--······ INDIVIDUAL DEPOSITS ......,.............. I I BILLS OF EXCHANGE-··-·-·····-···· 2 2,584 .70 DUE FROM NON-RESERVE BANKS _ _ _ _ _ __ ........ 1 PUBLIC FUNDS........ : DUE TO NON-RESERVE BANKS ... ··--·····-····-··-··-·-·····-··· 23.4 8 DUE FROM RESERVE BANKS...... 5, 7 3 5.9 5 CASH ITEM s __ I DUE .J C/ D'S, TIME ...... 1,866.0 0 GOLD- - - - - - - - · · - - - · - · · · · · · · · · 2 0.0 0 SI L VER ...·-····- ··-··········-···-····-···-·· ··-·-············-··· 5 4 2.0 4 13,392.14 C/ D ' S, DEMAND ............................................ . CHECKS ON OTHER BANKS .... - CURR EN CY.·---·-·--·-·--·····-···--··- I TO RESERVE BANKS ............. I I 34,382.01 IC/ D'S, FOR MONEY BORROWED ...1I CERTIFIED CHECKS _ _ __ CASHIER'S CHECKS ......... ...........! RESERVED FOR INTEREST .............. , 0TH ER RESOURCES _····-·--·-···-·-··· I RESERVED FOR TAXES .................. OTHER LIABILITIES ............................... 1 T~O_TA _ L_ ....._ ......_···--· ···--····-····•~··•·---"-'-..-' .....-'. ··..c...- _ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _j. 2 5, "'9_0 - _ 7-'''-6'"' --'3~ •-:r _ _ _T~ O~T_A~L_....._....._... _ .._ ....._....._....._....._....._...._ ....._ ....._.. -~1~2_5~•~9_0__7~,6~3_➔l-_ _. OFFICERS AND DIRECTORS of c·t izens :,,,..,' Ti 1 iar, Drew Co., Ark. OFFICERS . L. I:Iurroll. PreBidenl R. H. olfe. Vice President T • • Gill Cashier Ass'I Cashier DIRECTORS . L.Barrell s . n.Mnllja, [. J . ~r 0!.l.~li..Jjli'--'lie._.r.____ _ _ _ __ E. S. Terrel V. C. Harrell 1 . G. Haislip https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Jo Nichol COPY OF PUBLISHED STATEMENT of ,erchants ~ Plant ers Bank, Tex rkana, Mil er Co., Ar1 AT THE CLOSE OF BUSINESS l RESOURCES J I LIABILITIES LOANS ANO DISCOUNTS........................ 4 5 0,5 0 6.5 6 CAPl:f'½ ST?CKr ············ ····························· 2 00, 0 0 0.0 0 LOANS ON REAL ESTATE ................. 9 0,3 1 7.0 0 CERTI Fl.loD , SU~PLUS................................ 1,38 7.0 6 LOANS ON COTTON .... - ............................. UNDIVIDED PROflTS ................................. 1 5,6 1 4.5 8 OVERDRAFTS BI.L\-S RA,Y AB.L';a -·-······ BONDS AND SEGU RITI ES--·-··-····· ,, FURNITURE AND F I XTURES .......... 5 1,6 47.44 7,1 5 6 .7 6 ··················••·•• NOTES REDISCOUNTEO ........................ I 1 73,0 5 1.6 2 SAVINGS ACCOUNTS ................................ '. 60,00 0.0 0 BANKING HOUSE E 1,8 7 7.2 6 OTHER REAL ESTATI= 1 0 0,00 0 .0 0 .. TRUST FUNDS ···············•··········• ·• DIVIDl;NDS Ul'!jPAID ~ I I ,7 5 1.6 9 INDIVIDUA~ DEfOSIT..S .................-.:····· 1 1 1,9 4 1 .2 5 BILLS OF EXCHANGE PUBLIC FUNDS... E .. 1 1 ,2 1 2.5 5 DUE FROM NON-RESERVE BANKS .. DUE TO NON-RESERVE BANKS .... 3 7, 09 7.8 5 ITEMS IN ·' TRANSIT- ...... L I ··-···--·-······ 1 2 7.0 9 i DUE FROM RESERVE BANKS ........ 4 7, 7 8 6 .1 6 CASH ITEMS I I .- ' ·' C/ D'S, TIM_E ............ _,-········································.. ·· ··-·-·-··-·--···-···~ 2 7,09 8.0 0 C/ ~'S, FOR, ~O~EY ~ORROWED .... ·--···--·--····-····-···-··--····-········· , 9 8 5.0 0 CERTIFIED CH.EC KS._ .............................. 5,6 2 3.8 3 CASHIER'.S CHECKS .................................. . , .. , CURRENCY - C/ D'S , DEMAND.,........ ~································ .. ···· I•• ,_ \ 7,6 9 0 .2 8 CHECKS ON OTHER BANKS_., ...... GOLD DUE TO .f,!ESERVE BANKS................ - SILVER .... _.. 5 2.3 4 OTHER RESOURCES '. • - I t. 2, 2 5 4.5 0 ._. 6 0 .0 0 RESERVED F~R INTEREST.............. ., RESERVED FOR TAXES 1 0THER LIABILITIES I TOTAL ............ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ················•- 75 7.6 1 9.4 1 -:~ ..... TOTAL.. .............................................................. 75 7l 6 1 9 .4 1 ~: https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of .. cr chant & & rl anters Bank, Texarkana, iller Co., Arl OFFICERS Q. . 0. Tnrner Presidenl L. C. Acurnsn & Allen 'inh Vice Presidenl C, A, S ii th Cashier Asa'I Cashier DIRECTORS Q,. o. Turner Allen \:inham L, c. John Acru.."·ian line Henry ,'oore, .Tr, }.;ilton anhrun C. Dr. c. ~- li'ouke _J ..__R.... Dale A. tJmith COPY OF PUBLISHED STATEMENT of ~iller Co~ntJ Bank & Trust Co. , Tex rkana, Miller Co., N I O 19)5 AT THE CLOSE OF BUSINESS LIABILITIE S RESOURCES LOANS AND DISCOUNTS.................... 3 3, 2 8 9 ,3 Q Ii CAPITAL LOANS ON REAL ESTATE ........... 50,167.98 I CERTIFIED ·II STOCK .... 7 5, 0 0 0 .0 O 8,6 4 8 ,2 6 SURPLUS ........................... . I I LOANS ON COTTON . .. I UNDIVIDED .. 2 0.3 8 OVERDRAFTS ._ ··-· ...................... 2,155 .81 PROFITS BILLS PAYABLE ................ I BONDS AND SECURITIES._ ................ 3 6 4.9 2 I FURNITURE AND FIXTURES ........ 1,906.61 NOTES REDISCOUNTED 2,607 .42 SAVINGS ACCOUNTS I I BANKING HOUSE .....·-·····-··· .. ··-······-···-··-·· TRUST FUNDS ...... OTHER REAL ESTATE _ DIVIDENDS UNPAID ................. ITEMS IN TRANSIT ........... ········-······-······· INDIVIDUAL DEPOSITS .... BILLS OF EXCHANGE ... ·---··-··-· PUBLIC FUNDS................................................... 17, 133.2 8 DUE FROM NON - RESERVE DUE TO NON-RESERVE BANKS ... BAN KS ........ ·--···-···········-···· ·········-····-·····-···· I ! CASH ITEMS ........................................... _............. . 1 8, 3 5 7 .6 '.3 DUE FROM RESERVE BANKS ..... . DUE TO RESERVE BANKS ........ C/ D ' S, DEMAND .................................... . C / D ' S, TIME ............................................................ CHECKS ON OTHER BANKS ........... CURRENCY ................·-····-····· ................................ 1,041.00 GOLD ..........·-·-······· ..... ----········... ·············· 16 5.0 0 CERTIFIED CHECKS ............ SILVE R ....................... _ _ __ 2 5 3 .6 0 CASHIER ' S CHECKS ............... C/ D ' S, FOR MONEY BORROWED ..... RESERVED FOR INTEREST .............. OTHER RESOURCES 21.6 5 ! RESERVED FOR TAXES ......... I OTHER LIABILITIES ...................... TOT AL ........................................... -.. .... ... . .... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _ 1 0 51_ 5 6 6 .4 _fv'---~~- - - -T_ O~T_A_L_...._...._......................................................... 1 0 5, 5 6 6 .4 2 ~;- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Liller Co ..,~-' J Bank & Trust Co. , Te~ r kana, Miller Co., OFFICERS 1rf11;(4 Aas'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of ::::tate Sav .. ,., & Trus t Co., Tex~r kana , iller Co., AT THE CLOSE OF BUSINESS l RESOURCES : LOANS AND DISCOUNTS I II 1 LOANS ON REAL ESTATE ................ LOANS ?N COTTON .....•........................... , LIABILITIES ----- 4 4 5,6 1 3.0 5 CAPITAL STOCK 313,768.46 CERT! Fl ED SURPLUS...... 32,874.3 9 I UNDIVIDED I I I I II 77, 793.24 FURNITURE AND FIXTURES ........ 19,0 0 0.0 0 25,000.0 0 1 4,149.8 7 PROFITS ........ 10 0,000.00 BILLS PAYABLE ..................................... OVERDRAFTS_···················-•·····-·········· BONDS AND SECURITIES ••..•...•..... 200,000.00 NOTES REDISCOUNTED ISAVINGS ACCOUNTS .. ·······•··················· TRUST FUNDS ..........•..... ................................ .. BANKING HOUSE.·-······--···········-' OTHER REAL ESTATE.·-··-·-·-···.J 17,700.38 ITEMS IN TRANSIT-··-··- - - , 1,2 7 9,3 7 DIVIDENDS UNPAID .............................. . 1 INDIVIDUAL DEPOSITS ...................... ···j I BILLS OF EXCHANGE.·-····-········· PUBLIC FUNDS ................. ······ ' DUE FROM NON-RESERVE CASH ITEMS_ · - · · · · - - - - DUE FROM RESERVE BANKS ....... CHECKS ON OTHER BANKS ..• _ ... CURREN CY·········-··-····-··-· ·····--··· ·--····•·• 1, 2 6 2 ,9 2 11 0,5 Q 0,6 3 DUE TO RESERVE BANKS ........... ..... I C/ D'S, DEMAND ...... 2,172 .13 3 7 19 6.0 0 I C/ D ' S, FOR MONEY BORROWED ..... 8,740.0 0 I CERTIFIED I CHECKS ·························••······· SILVE R •••.............. _ _ __ 7,6 2 3 .'i 8 I CASHIER'S CHECKS .... ·········•···················· RESERVED FOR INTEREST ............ !:::::V:,::,:~T~::ES https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis I I I TOTAL 26,828.92 C / D'S, TIME ............................................................ GOLD ...... ··············· ··-·········--·····•··················· ' OTHER RE SOURCES .. 44,887.22 7:6 16.8 2 DUE TO NON-RESERVE BANKS ... BANKS _ _ _ ·-···-·····-········--···· 6 6 5,5 6 6.5 8 I J 4 6 0 ,7 5 OFFICERS AND DIRECTORS of Trust Co ., Tex. r kana, Miller- Co. , s ~~te Sav~ngd & OFFICERS ~ .:1~' #/?J.~~ .J~ AN!HP.110-, ei--c,.,;- ~~67~,~~. DIRECTORS ~-M~GcA'-~~ Cl~ ~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of 9ank of Va ~dale, Vanndal e, Cross Co., Ark NUV I O19J5 AT THE CLOSE OF BUSINESS - - - - - -LIABILITIES RESOURCES ----------'--------------- 12, 2 8 0.3 5 LOANS AND DISCOUNTS .............. . CAPITAL STOCK LL,8 0 5.0 0 LOANS ON REAL ESTATE .. ........... .1 5 9 3.5 4 CERTIFIED SURPLUS. I I LOANS ON COTTON .············-············ UNDIVIDED PROFITS .. OVERDRAFTS_... ·······-····-····•· ···--· ........ . BILLS PAYABLE .................. ·I BONDS AND SECURITIES _ ........ 1,350.0 0 NOTES REDISCOUNTED ............•......• FURNITURE AND FIXTURES - .. -.... 1,500.00 SAVINGS ACCOUNTS ............................• BAN K I NG HOUSE ....... ··-·-····-···•·····----·- 1,096.30 OTHER R~AL ESTATE ....·--·---·-·--- 3,936.83 TRUST FUNDS .... : DIVIDENDS UNPAID ..... INDIVIDUAL DEPOSITS .... ··········-··•·• 2 6,650.10 PUBLIC FUNDS .....·-········ ····················•····· ... 1 BILLS OF E:K<:HANGE -····-··---·····-····· I DUE FROM NON-RESERVE BAN KS _______ --·- ..- DUE TO NON-RESERVE BANKS .. 2 5 3 .1 5 CASH ITEMS ··-. _ 9,567.3 8 DUE FROM RESERVE BANKS . DUE TO RESERVE BANKS ......... I I C/ D'S, Tl ME ......... . 1 I CURRENCY .... -••·---···-·- ····--·-···--···--- 3,527.00 11 0.0 0 GOLD ... ··-·-···--············-·-···-···· SI L VER -·········- ········--····-······-·-·-·· ····-··-··-·--····' 1 ~·.J 2,455 .1 4 '. C/ D'S, FOR MONEY BORROWED ..... ! I CERTIFIED CHECKS 1,402.90 CASHIER'S CHECKS ......................... _.. I I j ····l C/ D'S, DEMAND ....... I CHECKS ON OTHER BANKS -···. OTHER RESOURCES .....·-··-····-········•··· ... 1 3 0 .1 3 I I I ITEMS IN TRANSIT _··-····••····--------·· 1 0,000.00 RESERVED FOR INTEREST. RESERVED FOR TAXES J OTHER LIABILITIES ............................... 3 9, 8 2 8 .9 1 ';;' 3 9, 8 2 8 .9 1 -;~ - -TOTAL - ......... -. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL ................... ·······•·······-·······················•··· OFFICERS A ND DIRECTORS of Bank of ·v nn~ale, Van.l ale, Cross Co. , OFF I CE R S E.R.Walker P residenl T.B.Vann Vice President Thos.O.Smallen Cashier Ass'I Cashier DIRECTO_R S E.R.Walker s.A.Gooch T.R.Vann F.H.Block https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis O.N.'Kil l ough COPY OF PUBLISHED STATEMENT of J ank of Vlolu, Vi , l a , Fulton Co., Ark . AT THE CLOSE OF BUSINESS 915 RESOURCES LIABILITIES LOANS AND DISCOUNTS..........•............ 9,657.27 CAPITAL STOCK _ _ _ __ LOANS ON REAL ESTATE .............. 1,215.8 7 CERTIFIED SURPLUS................................. 6 0 0.0 0 UNDIVIDED PROFITS................................. 2 6 .3 5 LOANS ON COTTON _ _ _ _ _ , OVERDRAFTS _ _ _ _ _ __ 116.5 2 BILLS PAYABLE _ _ __ BONDS AND SECURITIES--·----•· 21 2.1 5 NOTES REDISCOUNTED ....................... .. FURNITURE AND F I XTURES- .... 9 7 0.0 0 SAVINGS ACCOUNTS _ _ __ BANKING HOUSE _ _ _ _ __, 1,000.00 DIVIDENDS UNPAID- - - - - 1 ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ , BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS...... _ __ __ DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ _ , DUE TO NON-RESERVE BANKS..... DUE FROM RESERVE BANKS ...... CHECKS ON OTHER BANKS.-...... CURRENCY_ _ _ _ _ _ _ _ , A., 7 4.5 0 DUE TO RESERVE BANKS................ 6 9.6 8 C/ D'S, DEMAND _ _ _ _ _ _ I 6.0 0 C/ D'S, TIME- - - - - - - -1 1,475.00 C/ D'S, FOR MONEY BORROWED..... 3 9 0.0 0 CERTIFIED CHECKS .................................... 3 4 5,8 OTHER RESOURCES_. _ __ :I. 14 .7 5 1,075.8 7 TRUST FUNDS, _ _ _ _ __ OTHER REAL ESTATE- - - - l CASH ITEMS,_ _ _ _ _ __ 7, 250.0 0 CASHIER'S CHECKS- -- 10,905 .73 319.6 0 RESERVED FOR INTEREST.............. RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 0, :t 7 7 .5 ,_,5_ ,.:..:•~--- - 'T:....:Oc..;Tc.:.A.:..::L=--=-·=··-:::•··,··=· --·= --=···-=···-=···=--···=-··= ·•···=····=····=--··=···_ __.2,.,__,Q"'-'l'-1 -......._.7L......>7c...a,...,5...__..5...__~_~_....., https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of :3ank of V:i.n u., Vi la , Fulton Uo., Ar.k. \ OFFICERS ~hf ~ Cashier Aaa'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of Citize ns Je .", & Tru st Co ., Van B r en, Cr a~ford Co . , 1 ✓ AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS..-......... ····- 1 9 4, 7 4 5 .( 9 LOANS ON REAL ESTATE.·-··-········· 7 3, 7 7 3 .5 3 LOANS ON COTTON _ _ __ ······· 1 0 1915 113,027.51 OVERDRAFTS,_ _ _ _ _ __ CAPITAL STOCK-·-··········•································ 75,000.0 0 CERTIFIED SURPLUS _ 15, 0 0 0.0 0 _ _ UNDIVIDED PROFITS........................... .... BILLS PAYABLE- - - - -·· ··· BONDS AND SECURITIES ____······· 2 0, 0 8 2 .91 NOTES REDISCOUNTED ........................ . FURNITURE AND F I XTURES--··· 2,990.0 0 SAVINGS ACCOUNTS .................................... BANKING HOUSE._ _ _ _ __, 15,000.0 0 TRUST FUNDS, _ _ _ _ _ _ ····· OTHER REAL ESTATE·----·--·-··- 15,452.8 8 DIVIDENDS UNPAID ...... ......................... 7,2 85 .15 5 0, 0 0 0.0 0 16,478.21 ITEMS IN TRANSIT _ _ _ ···--···· INDIVIDUAL DEPOSITS, _ ---! 142, 430.28 BILLS OF EXCHANGE _ PUBLIC FUNDS, _ __ _ __ ··· 39,123.18 DUE TO NON-RESERVE BANKS ..... 8 , 2 6 1 .C 8 DUE TO RESERVE BANKS................ 10,218.4 5 .I _ _ _, _ DUE FROM NON-RESERV E BANKS CASH ITE M S- - - -- - -1 DUE FROM RESERVE BANKS ........ 41,750.9 5 C/ D ' S, DEMAND .............................................. . 1,048 .37 C/ D'S, TIME- - - - - · · ·-·••·••·········· CURRENCY _ _ _ __ _ __ 8, 171.0 0 C/ D'S, FOR MONEY BORROWED...- GOLD- -- ···-· · - - -- - -1 2,072.50 CERTIFIED CHECKS .................... .............. 8 0 2 .11 CASHIER'S CHECKS- -- - ······· CHECKS ON OTHER BANKS- ..... • SILVER _ _ _ __ _ __ _ ! OTHER RESOURCES _ _ _ _ _ , 125,120.5 0 RESERVED FOR INTEREST .............. RESERVED FOR TAXES _ _ _ OTHER LIABILITIES................................ TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL............... _ 4 8 3 . 9 1 7 4 _t:; ~'~ OFFICERS AND DIRECTORS of Cit ize ns 3Prl & Trust Co. , Van B ~en, Crawr~rJ C ., Ar O FF IC E RS John B.Brown Presideni Vice Pr..i dent David T.Br yan, Cashier E. M.Bacharach A ss'I Cashier DIR EC TORS w.v.Boatright , John Kohne, wm.BowJi Jno.B.Brown David T.Bryan, E. E.Cooper, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _Joh,n_ Q I Xa ne , Chas.A.Pape, COPY OF PUBLISHED STATEMENT of Craw f ord ",nty Bank, Va1 Buren, Crawford Co. , Ar}- INOV 1 01915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS......... - ............ 5 3,809.25 CAPITAL STOCl<,~ - - - - -1 56,000.0 0 LOANS ON REAL ESTATE --··-······ 45,201.73 CERTIFIED SURPLUS ..............·-··-············ 15,000.00 LOANS ON COTTON- - - - · · UNDIVIDED PROFITS.............................. . OVERDRA F TS _ _ _ _ _ _ _ _ _ ··· BILLS PAYABLE _ _ _ _ _ _ _ , 21 4.3 9 NOTES REDISCOUNTED .......................... 3,315.00 SAVINGS ACCOUNTS................................... BANKING HOUSE _ _ _ _ _ _ , 13,625 .46 TRUST FUNDS _ _ _ _ _ _ ··· .. OTHER REAL ESTATE _ _ _-! 24,065.44 DIVIDENDS UNPAID- - -········· BONDS AND SECURITIES._··--·--··-·· FURNITURE AND F I XTURES- ... ITEMS I N TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ ··- BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS.................. _ _ _ _ , DUE FRO M NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... CASH ITEMS- - - - - - -1 DUE TO RESERVE BANKS................ 32,061.19 C/ D'S, DEMAND................................................ . .... 4 8 2.0 5 C/ D'S, TIME ............- - -·······················•·· CURRENCY _ _ _ _ _ _ _ _ 12,402.00 C/ D ' S, FOR MONEY BORROWED..... 1 3 7.5 0 CERTIFIED CHECKS.................................. 1,2 8 6.5 2 CASHIER'S CHECK$ _ _ _ _ _ , DUE FROM RESERVE BANKS ...... . CHECKS ON OTHER BANKS_ 1 GOLD.. _ _ _ _ _ _ _ __ SILVER _ _ _ _ _ _ _ _ _ , 2,401.48 6 7. 7 1 7 .6 9 45,481.36 RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ __ RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES.......... -...................... L._._.o!1,,_.'86~ .l....: . -µ6..1.....\,0~0~~ 5~..J._-:::,:__ L____.!.. T~ O.T !.;A ~ L= ====····=·-·=·····=·····=····= ·-·c:::..· · https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _:_I_ _._ T.!:!.OT .!.;A~L =::··=·····=·········- ··································•············ 1 8 6, 6 O O.5 3 -:l- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Srewfo rd .,", .1ty Bank, Va~ Buren , Crawford Co., (if) Ar 1• OFFICERS Jesse Turner Preaid•111 H. P. King V ic• Pr,aidenl ----------'s~•.__.A..J_ Cashi•r Pernot ,Tohnson Moore Aaa't Cashier DIRECTORS Chas . J. yre s H. c. Faber H. P. King G. L Kelton ----"'S_L_A. Pernot Sam Steward Jesse urner COPY OF PUBLISHED STATEMENT of !.lerchants ank, Vancervoort, Polk Co . , Arl AT THE CLOSE OF BUSINESS ' OV 1 0 915 I RESOURCES LIABILITIES --------------,-------------c'----------------,-----------LOANS ANO DISCOUNTS, _ ____, 9,079 .78 CAPITAL STOCK.............................................. .. 5,000.00 LOANS ON REAL ESTATE ____________ 4,960 .94 CERTIFIED SURPLUS ............................... . 1,000.00 UNDIVIDED PROFITS ................................. 8 5 5 .3 2 LOANS ON COTTON _ _ _ _ ....... OVERDRAFTS _ _ _ _ _ _ _ ........ 15.4 6 BILLS PAYABLE _ _ _ _ _--l BONDS AND SECURITIES ___ .. _,..... NOTES REDISCOUNTED .......................... 1,080.00 SAVINGS ACCOUNTS .................. .............. .. BANKING HOUSE _ _ _ _ _ _ , 7 0 0.0 0 TRUST FUNDS- - - - - -..... OTHER REAL ESTATE _ _ _ _ _ 4 7 9 .7 0 DIVIDENDS UNPAID................................ .. FURNITURE AND FIXTURES ___ ... ITEMS IN TRANSIT_ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ _ _ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUN OS ..._ ............................................ .. . DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ _ , DUE TO NON-RESERVE BANKS.... I 14,020 .10 I CASH ITEMS- - - - - - -! 11.0 0 DUE TO RESERVE BANKS .............. .. DUE FROM RESERVE BANKS.-....- 9,042 .66 C/ D'S, DEMAND .................................................. . 2 2 5.0 0 C/ D'S, TIME ................ -........ _ _ _ ....... 4,700.00 CHECKS ON OTHER BANKS- ....... CURRENCY _ _ _ _ _ _ __ 2 4 8.0 0 C/ D ' S, FOR MONEY BORROWED..... GOLD... ______ _ _ _ _ _ _ _ _ __ 1 2 0.0 0 CERTIFIED CHECKS .................................. SILVER _ _ _ _ _ _ _ _ _ , 2 3 7 .6 4 CASHIER'S CHECK$ _ _ _ .......... 174.76 RESERVED FOR INTEREST.............. OTHER RESOURCES _ .. _ _ _ _ , RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES.................................. TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 5, 9 7 5 .1 8 ~~ TOTAL ....................- ....... 2 5, 9 7 5 .1 8 -?i- OFFICERS AND DIRECTORS of ... a:·chant s Ba11k Van~arv oort , Polk Co., OFFICERS Dr. J. N. Porter Presidenl G. !I • Barn e s Vice Presidenl F. R. Crain Caahier none. Aaa'l Cashier DIRECTORS DTI, •• N. Porter, G. 1 J. F. Garrett L Barnes - -----------~P"-=-. G. Garrett~·~- - - - - - - - - - - - - - https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of . Bank of Walcott, Walrott , G~eens Co., Ar~ AT THE CLOSE OF BUSINESS I.} RESOURCES ,J LIABILITIES I CAPITAL STOCK ................................................ 12,5 0 0.0 0 LOANS ON REAL ESTATE ........... ...... CERTIFIED SURPLUS ................................. 30 0.0 0 LOANS ON COTTON ...................................... UNDIVIDED PROFITS ................................. LOANS AND DISCOUNTS ........................ 20,1 2 5.4 5 ···-·---········· 4 9 .7 0 BILLS PAYABLE BONDS AND SECURITIES..... - ............. 3 9 ,3 2 NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES- ...... 30 0.0 0 OVERDRAFTS 2,7 0 0.0 0 BANKING House- ·······•·•••······ SAVINGS ACCOUNTS ............................ ..-.M TRUST FUNDS ........................... OTHER REAL ESTATE DIVIDENDS UNPAID ITEMS IN TRANSIT INDIVIDUAL DEPOSITS............................ BILLS OF EXCHANGE PUBLIC FUNDS............ DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... II CASH tTEMS DUE FROM RESERVE BANKS ........ 4,9 7 1 .7 8 CHECKS ON OTHER BANKS.-...... 5 6 0.1 t. 1,2 1 6.0 0 15,1 5 0.8 0 ... C/ D'S, DEMAND ·•······ 2 7 8.0 0 C/ D'S, TIME .................................... C/ D'S, FOR MONEY BORROWED ..... CERTIFIED CHECKS ........... ........... .......... GOLD 2 6 6.4 1 SILVER .. - .... -·-· OTHER RESOURCES .... DUE TO RESERVE BANKS........... ..... -··-- CURRENCY 2,0 0 0.0 0 CASHIER'S CHECKS ....... RESERVED FOR INTEREST.............. .. RESERVED FOR TA·XES OTHER LIABILITIES............................. .... TOTAL ................................................................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis " 30,2 2 8.8 0 -.r TOTAL ................................................................. 3 022 2 8.8 0 ~} OFFICERS AND DIRECTORS of uank of Walc0tt, Walnott , Green6 Co., Ark. OFFICERS JZ¥i~ 2&~ Cashier Au't Cashier DIRECTORS ~~ ~w~ ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis < --, ✓~~ ...... 2Lf~~~ <b Ot~~~ COPY OF PUBLISHED STATEMENT of Bank of Waldo, Waldo , Columbia Co., Ark AT THE CLOSE OF BUSINESS 1 LIABILITIES RESOURCES LOANS AND DISCOUNTS........................ 5 ,6 2 2.0 5 CAPITAL STOCK................................................ 2 5,0 0 0.0 0 LOANS ON REAL ESTATE-·--·······-· 20,707 .7 5 CERTIFIED SURPLUS ............................... 1 2,056.84 LOANS ON COTTON ....·-··-·····---········ 7.3 6 5 .6 3 UNDIVIDED PROFITS................................ . BILLS PAYABLE _ _ _ _ _ _ _ , OVERDRAFTS _ _ _ _ _ _ ······ BONDS AND SECURITIES-···-·····-······· 6 .6 0 NOTES REDISCOUNTED .......................... F URNITU RE AND FIXTURES--·· 2,000.00 SAVINGS ACCOUNTS.....· - - - ·- BANKING HOUSE _ _ _ _ _ _ , 6,000.00 TRUST FUNDS ..................................................... OTHER REAL ESTATE _ _ _..., 2,000.00 DIVIDENDS UNPAID- - - -···· ITEMS IN TRANSIT _ _ _ __ INDIVIDUAL DEPOSITS ........................... BILLS O.F EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ _ _ _ _ _ , DUE FROM NON - RESERVE BANK$ _ _ _ _ _ _ _~ 2,6 0 6 ,3 4 DUE TO NON-RESERVE BANKS ..... I CASH I TEMS- - - - - - - L 3 8.6 3 DUE TO RESERVE BANKS................ 2 9,780 .27 C/ D ' S, DEMAND.................................................. . 1 0 1915 DUE FROM RESERVE BANKS ........ CHECKS ON OTHER BANK 6-...... C/ D ' S, TIME ·-················· · · - - - - - · · CURRENCY _ _ _ _ _ _ _ _ , 5,897.00 C/ D ' S, FOR MONEY BORROWED..... 9 7.5 0 CERTIFIED CHECKS .................................... GOLD _ _ _ _ _ _ _ _ _ _ 1 SILVER._ · · · - · · - - - - - - - 5 6 9 .7 9 11.9 3 OTHER RESOURCE$ _ _ __ CASHIER' S CHECK$ _ _ _ _ _ 1 7 3,900.00 22,571.0 5 1 7 5 .6 0 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ __ OTHER LIABILITIES.................................. TOTAL... ............................................................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 3 3, 7 o 3 .4 9 ~r TOTAL .................................................... . 1 3 3, 7 0 3 .4 9 ~~ OFFICERS AND DIRECTORS of ::::ank of Waldo, Wal :o , Columbia Co., Ark . I, OFFICERS J H Askew Presideni M. F. Brazell AB Banks Vice President Iv ie E fu)=w~e~l~l.._____ Cashier Ass't Cashier .Bankl ~ ~,.,_,._// JNO. M. DA VIS . . _ GOIUUN10- . DIRECTORS J H Askew A B Banks !. F . Brazell J G Pattillo J T Har is Ivie E Howell https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis --- - COPY OF PUBLISHED STATEMENT of Bank of 'Jb l dron, Waldron , Scott Co . , Ar - . V I O191 b AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS.................. 1 3 2, Q 2 3 ,2 6 CAPITAL STOCK························---1 50,000.00 LOANS ON REAL ESTATE ........·-····- 15, '.3 4 9 .3 5 CERTIFIED SURPLUS...........·-················· · 7,5 00.00 LOANS ON COTTON ...·-··-············-··-······ '.3 Q O,Q Q UNDIVIDED PROFITS................................ . 5,9 7 3 ,7 8 OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE- - - - - · ···· BONDS AND SECURITIES--··········· .. NOTES REDISCOUNTED .................... . FU R NITURE AND FIXTURES_ ... 2,250.00 SAVINGS ACCOUNTS _ _ _ _ ! BANKING HOUSE _ _ _ __ 5,000.00 TRUST FUNDS...........·- - -·················· OTHER REAL ESTATE._____ _ 5 0 0.0 0 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ _.. INDIVIDUAL DEPOSITS _ __ BILLS OF EXCHANGE _ _ _ _ 1 PUBLIC FUNDS.....·- - - - - ·- 100,134.00 31,782 .70 1 DUE FROM NON - RESERVE BANKS _ _ _ _ _ _ __ . 1 2,000.0 0 CASH ITEMS _ _ _ _ _ _ _ , DUE TO NON - RESERVE BANKS..... DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANK$__ __ 2 6,5 3 4 .'.3 2 C/ D'S, DEMAND ...·-············•···· .......................... CHECKS ON OTHER BANKS·---····· 1,059.61 C/ D'S, TIME- - - - - - - - 1 CURRENCY- - - - - · · · - · · - - ·- 5,386.00 C/ D'S, FOR MONEY BORROWED ..... GOLD _ _ _ _ _ _ _ _ __ SILVE R- - - - - - - - - - - · · · · OTHER RESOURCES _ _ _ _ _ , 3 9 0.0 0 CERTIFIED CHECK"' - 8, 7 45 .88 - - - -, 4,065 .56 CASHIER'S CHECKS---··•·······•·· 3 3 ,7 9 RESERVED FOR INTEREST.............. ·7 5 5.5 3 RESERVED FOR TAXES _ __ OTHER LIABILITIES............................... . TOTAL ................................................................ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 0 4, 8 9 1 .8 9 iC· TOTAL. ................................................................ 204891.89~(- OFFICERS AND DIRECTORS of '3ank of Wa l d:·on , Waldron, Gcott Co ., Ar 1 OFFICERS F J Ma Preaidenl Jno T Forrester V i ce Preaidenl Cant er - - - ~- - Cashier B Pile a Au'I Cashier DIRECTORS F J Ma J L Center C E Forrest er Dan'l Hon L K Robertson https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis - - ~J~n~o__T r __ '..O.r.r . e..s.t.=e... S . . .H..1-lL E M Fuller J Ech..Ql_ _____ COPY OF PUBLISHED STATEMENT of 3ank of v'/e ine r, Weiner, Poinse tt Co., A:rl-. AT THE CLOSE OF BUSINESS NOV 1 0 1915 j _ _ _ _ _ _ _ _ _ _R_E_s_o _u~R_c_E_s_ _ _ _ _ _ _ _ _ _ L_1A _B _1 ~L- 1T _ 1E_s_ _ _ _ _ _ _ _ _ _ __ ..:...I_ _ _ _ _ _ _ _ _ _ _ LOANS ANO DISCOUNTS ........................ 33,274.90 CAPITAL STOCK................................................ LOANS ON REAL ESTATE ........... ...... 5,509.68 CERTIFIED SURPLUS............................... 2,000.00 UNDIVIDED PROFITS....- - - · · · · 8 6 4 .3 7 LOANS ON COTTON ...__ ..............-........... 41.6 0 OVERDRAFTS _ _ _ _ __ NOTES REDISCOUNTEO _ _ _ , BONDS AND SECURITIES--·····-·· .. ··· F URNITURE AND FIXTURES- ... BANKING HOUSE _ _ _ _ _ _ , BILLS PAYABLE _ _ _ _ _ _ , 1,5 3 0.5 5 SAVINGS ACCOUNTS, _ _ _ _ ····- 1,8 8 9,3 3 TRUST FUNDS- - -······- - - 1 1,000.00 OTHER REAL ESTATi= " '--- - - - 1 DIVIDENDS UNPAID........· - - - · · ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS, _ _ _ ··- 35,748.8 5 BILLS OF EXCHANGE _ _ __ PUBLIC FUNDS ................. _ _ _ _ ··- 1 4,99 7.04 DUE FROM NON - RESERVE BANKS 5 0 3.5 1 DUE TO RESERVE BANKS........... ..... CASH ITEMS- · - - - - · · - - - -·-........ DUE FROM RESERVE BANK S...._ CHECKS ON OTHER BANKSCURRENCY _ _ _ _ _ __ DUE TO NON - RESERVE BANKS ..... 22,718.01 C/ D ' S, DEMAND .................·---······· C/ D'S, TIME ...................... _ _ _ __ ..... 8 5 7.0 0 2, 0 5 3.5 2 C/ O' S, FOR MONEY BORROWED ..... CERTIFIED CHECKS ......................... 415 .71 OTHER RESOURCES _ _ __ CASHIER' S CHECK$._ __ 76.5 1 RESERVED FOR INTEREST..·-········· RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES TOTAL... ............................................. ........ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 6 S 7 4 0.2 9 ~(' TOTAL... ........................... 6 6. 7 4 0 .2 9 ~~ OFFICERS AND DIRECTORS of ;:iank of \\air.er, ~Jiner, Poi satt Co., Ar {. OFFICERS L. Ilo ue Presiden& L. •r .McDaniel Vice President \LR.Mo,-ers Caahier ABB'l Caahier DIRECTORS L. ,iogue L. T .J.JcUaniel W.R. Moyers Wm . Kna le Wrn J;Inffman. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of 0ank of "uct Fork, est For k, Wash1ngt~n Co. , Ar 1 • OV I O 191' AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 13, 7 6 5,0 2 LOANS ON REAL ESTATE -·-·-- ...... 9,653.71 CAPITAL STOCK ................................................ CERTIFIED SURPLUS,_ _ __ LOANS ON COTTON ... -.... - ............ - .......... UNDIVIDED PROFITS................................. OVERDRAFTS _ _ _ _ _ __ 7 0 0.7 1 BILLS PAYABLE- - - - - -1 NOTES REDISCOUNTED _ __ BONDS AND SECURITIES_. __ ... _ ..... FURNITURE AND FIXTURES- 10,000.00 ... 9 0 0.0 0 SAVINGS ACCOUNTS _ _ _ __ 1 BANKING HOUSE _ _ _ _ _ _ , TRUST FUNDS ............................ .. OTHER REAL ESTAT ~ DIVIDENDS UNPAID _ _ __ ----1 ITEMS IN TRANSIT_ .._ _ _ _ _ , INDIVIDUAL DEPOSITS ........................... BILLS OF EXCHANGE _ _ _ _ J PUBLIC FUNDS _ _ _ _ __ DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ _ I DUE TO NON-RESERVE BANKS ..... CASH ITEMS _ _ _ _ _ _ _ _ , DUE TO RESERVE BANKS.............. .. DUE FROM RESERVE BANKS- ..... 8,003.8 7 C/ D ' S, DEMAND ................................................... 4 1 4.14 5,677.36 C/ D'S, TIME ............ _ _ _ _ _ _ , CHECKS ON OTHER BANKS .....- .... CURRENCY _ _ _ _ _ _ __ 17, 029.64 1,000.00 C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECKS._................................. 4 9 9.2 5 CASHIER'S CHECKS _ __ RESERVED FOR INTEREST.............. OTHER RESOURCES--·---·--.. - .. --... RESERVED FOR TAXES _ __ OTHER LIABILITIES TOTAL... ........................................... .. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 3 8 2 1.8 5 -l" TOTAL ................................. ............................... 3 3, 8 2 1.8 5 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of =~nk of faq~ Fork, Wes~ For k , W&st1 gton Co • • Ar 1- OFFICERS COPY OF PUBLISHED STATEMENT of :3ank of \Hln ar, Wi lmar , Dre~ Co., Arlr AT THE CLOSE OF BUSINESS v RESOURCES LIABILITIES 17, 445.85 LOANS AND DISCOUNTS......... 1915 CAPITAL STOCK..............................•................ 14,000.00 CERTIFIED SURPLUS _ __ 3 0 3 .91. LOANS ON COTTON _ _ __ UNDIVIDED PROFITS ................................. 148.5 8 OVERDRAFTS _ _ _ _ _ _ _ ! BILLS PAYABLE _ _ _ _ _ _ , LOANS ON REAL ESTATE . ............... 5,585 .1 2 BONDS AND SECURITIES·---·-·-······ 6 0 4 .1 8 FURNITURE AND FIXTURES._.. 1,3 2 5 .8 7 SAVINGS ACCOUNTS _ _ __ BANKING HOUSE _ _ _ _ _ _ ! 1,337.5 0 TRUST FUNDS- -- ··························•·•· NOTES REDISCOUNTED .......................... OTHER REAL ESTATE- - - - 1 DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ __ INDIVIDUAL DEPOSITS.....•.................... BILLS OF EXC H ANGE _ _ __ ! 22,513.02 PUBLIC FUNDS _ _ _ _ __ I DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ __ ! DUE TO NON-RESERVE BANKS ..... CASH I TEMS _ _ _ _ __ DUE TO RESERVE BANKS........... ..... DUE FROM RESERVE BANKS ..... . 9,908.36 C/ D'S, DEMAND ................................................. CHECKS ON OTHER BANKS·-······· 1,577.36 C/ D'S, TIME ............ _ _ __ CURRENCY __ ._ _ _ _ _ _ _ , 3 3 8.0 0 1,2 0 0.0 0 4 3 0.4 0 2,629.4 9 C/ D ' S, FOR MONEY BORROWED...• CERTIFIED CHECK$ _ _ __ CASHIER'S CHECK$ _ _ _ _ _ , 157 .6 4 RESERVED FOR INTEREST.............. OTHER RESOURCES _ _ _ _ _ , RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES............................. TOTAL ..........•..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 9 7 5 2 .6 4 ~; TOTAL ................................................................. 3 9, 7 5 2.6 4 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Ean k of Wi 1 rr ar, Wi lmar , Drew Co., Ar - Ass'I Caahier COPY OF PUBLISHED STATEMENT of Bank of' Wison, Wilson, Mississippi Co ., Ark INO AT THE CLOSE OF BUSINESS RESOURCES I O1915 LIABILITIES LOANS AND DISCOUNTS........................ 8 3,5 ~*-5 1 LOANS ON REAL ESTATE-·••······-···· 5 4 0.0 0 CAPITAL STOC",~ - - - - - 25,000.00 CERTIFIED SURPLUS-- - - - 5, 0 0 0.0 0 LOANS ON COTTON ............... ·-·····-··-······· UNDIVIDED PROFITS ............................... 5,053 .94 OVERDRAFTS _ _ _ _ ··--·-········ BILLS PAYABLE---··················...... 10,000.00 BONDS AND SECURITIES_·-·-··-··· NOTES REDISCOUNTED ...·---·········· ..... 3,116.26 SAVINGS ACCOUNTS _ _ _ _ , 7:175 .80 FURNITURE AND FIXTURES--·•· 1,5 9 2,2 5 BANKING HOUSE _ _ _ _ _ _ , TRUST FUNDS .................................................... OTHER REAL ESTATE _ _ _-t DIVIDENDS UNPAID ...... _ _ _ .... ITEMS I N TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS _ _ _ ._ BILLS OF EXCHANGE -·-··---·-·· PUBLIC FUNDS ............... _ _ _ __ , DUE FROM NON-RESERVE BANKS DUE TO NON - RESERVE BANKS... CASH ITE M S _ _ _ _ _ _ _ , 5 .7 6 10,578.5 7 CHECKS ON OTHER BANKS.·-····· 2 8 .0 0 C/ D ' S, TIME .............................. _ _ _ .... 3 2 9.0 0 C/ D'S, FOR MONEY BORROWED..... GOLD _ _ _ _ _ _ _ _ __ SILVER _ _ _ _ _ _ __ _ _ OTHER RESOURCES· - - - - · · · · · · 7, 070 .86 DUE TO RESERVE BANKS............_.. DUE FROM RESERVE BANKS- .... CURRENCY- - - - - - - - 1 26,036 .63 C/ D'S, DEMAND _ _ _ _ _ _ , 16,500.00 CERTIFIED CHECKS....·-······...................... 8. 4 3 3 .9 0 CASHIER'S CHECKS- - - -..··· 8 8 .5 0 RESERVED FOR INTEREST.............. RESERVED FOR TAXES _ __ OTHER LIABILITIES................................ TOTAL.. ............................................................. . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL... ........................................................... . 1 0 5, 0 4 1 .9 9 ➔~ OFFICERS AND DIRECTORS of Bank of W1 1 '-'0n, Wilro n, 1ss i s sipp1 Co., 1\.rk. OFFICERS J . C . Cullom Presiden& Cr a ,fa-r- ,3 Gi ·1 et t e ' Vice Pr•sid•nt _ __Rram .LOUU G j It . Hi ... l . Cashisr Ass't Cashisr DIRECTORS J . C. Cullom J • .L I •__dams~ _ 1-. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis •' Crm ·foru Hill lt' • A . Gi 11 c t i.t . J . R . _Cu=l~o=n:=-•---- - - te Le e \/il o , J . J, . J on COPY OF PUBLISHED STATEMENT of ~ank of -~~lt on, Wilto n, Little !Uver Co., .A d. NOY I O 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 7, 706.86 CAPITAL STOCK _ _ _ _ _ _ , LOANS ON REAL ESTATE_._ ........... 6, 036 .92 CERTIFIED SURPLUS .............................. . 5 0 0.0 0 LOANS ON COTTON _ _ _ _ ....... UNDIVIDED PROFITS _ _ _ _ .. , 4 9 1 .6 5 OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE _ _ _ _ _ _. 4,0 0 0.0 0 BONDS AND SECURITIES_. __ ..... NOTES REDISCOUNTED .......................... ... 2,101.87 BANKING Housi= _ _ _ _ _ _, 5 8 4.2 0 FURNITURE AND F I XTURES- SAVINGS ACCOUNT$ _ _ _ ............ TRUST FUNDS_ _ _ _ _ _ _ I OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID .................................... ITEMS IN T RANSIT _ _ _ ·--·- INDIVIDUAL DEPOSITS _ _ _ 1 BILLS OF EXCHANGE- - - -i PUBLIC FUND$, _ _ _ _ __ DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS ..... CASH ITE M S _ _ _ _ _ _ _ , DUE TO RESERVE BANKS._ ........... .. DUE FROM RESERVE BANKS...... 1,9 7 4.8 9 C/ D ' S, TIME _ _ _ _ _ _ _ _ , 2 7 7.0 0 2 8 2.8 4 2,314.00 C/ D'S, FOR MONEY BORROWED ..... CERTIFIED CHECK$, _ _ _ _ _ , GOLD.... - - - - - - - - SILVER _ _ _ _ _ _ _ _ _ _ _ ... 6,641.53 C/ D'S, DEMAND......................................... ...... .. CHECKS ON OTHER BANKS_ ..... CURRENCY _ _ _ _ _ _ _ _ , 5,0 0 0.0 0 5 7 0 ,7 8 CASHIER'S CHECKS _ OTHER RESOURCES _... _ _ ..______.... _ _ ............. 2 2.5 0 RESERVED FOR INTEREST.............. RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 9, 2 5 2 .5 2 ~~ TOTAL ............................................................... 1 9, 2 5 2.5 2 ;~ OFFICERS AND DIRECTORS of :,.rnk o f W.i. 1 c, n , Wil1J n , Lit tle Riv er Co ., Ay' . OFFICERS J 1 Milln PreBidenl EC C per V i ce President Ada MiJ J a Cashi er Ass'I Cashier DIRECTORS J e l Mi lls E C C https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis per- - - - - - - - COPY OF PUBLISHED STATEMENT of Jank of ~irchester, Winrh est er, Drew Co , Ark. If\JOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS·-····················· 12,650.18 CAPITAL STOCK- - - - -- , LOANS ON REAL ESTATE ..........·-···· 1 ,2 4 0.0 0 CERTIFIED SURPLUS _ _ __ LOANS ON COTTON _ _ _ ·········· 8,200.00 UNDIVIDED PROFITS·- - - · •···· OVERDRAFTS _ _ _ _ __ 1,582.84 BILLS PAYABLE- - - - - ··· BONDS AND SECURITIES-·--·· 6, 6 0 1.3 8 NOTES REDISCOUNTED- - - - 1 FURNITURE AND FIXTURES- .... 2,000.00 SAVINGS ACCOUNTS-····- - - · - BANKING HOUSE _ _ _ _ _ _ , 5,600.00 TRUST FUNDS .................................................... 19,100 .00 2 0 0.0 0 14,000.00 OTHER REAL ESTATE _ _ _4 DIVIDENDS UNPAID _ _ __ ITE M S IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS- - - - - 1 BILLS OF EXCHANGE- - - - 1 PUBLIC FUNDS- - - - - - · · DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS.... 4,000.00 CASH ITEMS- - - - - - - · · · DUE TO RESERVE BANKS ................ 16 2.5 0 DUE FROM RESERVE BANKS-····- 2,9 0.0 3 C/ D'S, DEMAND _ _ _ _ __ , CHECKS ON OTHER BANKS_ ...... . 8 9 ,7 5 CURRENCY _ _ _ _ _ _ _ _ , 7 8 3.0 0 C/ D ' S, FOR MONEY BORROWED..... 5.0 0 CERTIFIED CHECKS .........· - - - - 1 1,477.94 CASHIER'S CHECK$ _ _ _ _ _ , GOLD._ _ _ _ _ _ _ _ __ SILVER _ _ _ _ _ _ _ _ _ , OTHER RESOURCES _·-·-·-·-··-·--···· 9 1.5 9 C/ D'S, TIME- 19,025.23 - - - - - --1 1,6 6 2.5 0 9 1.4 8 RESERVED FOR INTEREST .............. RESERVED FOR TAXES- - - 1 OTHER LIABILITIES TOTAL. .............................................................. _ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 58,241.71{:• TOTAL .................................................................. 58,241.71·ll· OFFICERS AND DIRECTORS of Jank of \1i.:.ncl1ester , Win"neste r , Dr6w Co., Ar. • OFFICERS H. Thane Pruidenl J . K . 9mi th Vice Preaidenl M. :I. Byrn Cashier Aaa't Caahi,r DIRECTORS H. Th8ne J . K . ~mith G. H. Caldwell • o. Jif. Hopkins Peacock https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis - - - -- COPY OF PUBLISHED STATEMENT of ~ank of Wlnslow, Winslow, Wa h~Ubton Co., A I . Nov 1 o 1916 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 16,772.64 CAPITAL STOCK................................................ 10,000.00 LOANS ON REAL ESTATE ..·-··········· ,2 3 6.0 0 CERTIFIED SURPLUS................................. 5 0 0.0 0 UNDIVIDED PROFITS ................................ . 9 8 0 .9 4 BILLS PAYABLE---························ 5,0 0 0.0 0 LOANS ON COTTON ..·-···-···········-··-········ OVERDRAFTS- - · - · - - - - - - · - 3 6,3 4 NOTES REDISCOUNTED .......................•. BONDS AND SECURITIES·---····· FURNITURE AND FIXTURES--···· 1l214 .6 7 SAVINGS ACCOUNTS ................................. BANKING HOUSE _ _ _ _ _ _ , 2,5 75.00 TRUST FUNDS- - - -·······..·····..······ OTHER REAL ESTATE- - - - ! DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS- - - · · · BILLS OF EXCHANGE- - - - 1 PUBLIC FUNDS _ _ _ _ ___, DUE FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... I DUE FROM RESERVE BANKS- .... 6, 5 5 0.5 3 C/ D'S, DEMAND•- - - - - ········· CHECKS ON OTHER BANKS·-······ 1 0 4.3 8 C/ D'S, TIME ..................· - - - - -·· CURRENCY. - - - - · · - · · - - - - - -, 9 3 9.0 0 C/ D'S, FOR MONEY BORROWED ..... GOLD ..· - - - · - - - · - · · - - - - - - - ········· 4 0 2 .5 0 CERTIFIED CHECKS .................................... 1,195.25 CASHIER'S CHECKS•- --··········· OTHER RESOURCES ....·--··-.. ·-..·-······ 1 ,5 15.84 DUE TO RESERVE BANKS................ CASH ITEMS- - ~ - - - - SIL VER ..·-·-·-··-·· ..·--···- - - - -1 '.3 4 4.6 3 1,638.30 RESERVED FOR INTEREST .............. RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES TOTAL .................. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis TOTAL ................................................................. 46.6 0 3 7. 0 2 6 .3 1 J,~ OFFICERS AND DIRECTORS of Eank of tlpc:ow, Wins~ Jw, Vashin~ton Co., OFFICERS A.N.CaJe Pre8idenl T.P.HuJsey Vice Pre8iden1 Cashier J.,."'...Winn Aaa' I Cashier DIRECTORS A. N, Cole Jay Fullbri ght r . r- .nulscy 'f . V . Land J , A. , 'linn J . C. Whitc https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Caddo Va lley Bank, Womble , Yontgo mers Co., Ar.,. NOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES CAPITAL STOCK .................._ __ 5,000.0 0 3, 3 8 5,2 2 CERTIFIED SURPLUS ............................... . 2, 500.00 7 5 0.0 0 UNDIVIDED PROFITS................................. 2 2 1.9 0 LOANS AND DISCOUNTS........................ 17.5 3 0 .1 2 LOANS ON REAL ESTATE·- •······ ······ LOANS ON COTTON ...·-···-·····--···- ··········· OVERDRAFTS _ _ _ _ __ 43 .3 6 BILLS PAYABLE .......·-··- 3,000.0 0 - -- BONDS AND SECURITIES- - --·-··· 3 0 1 .3 1 NOTES REDISCOUNTED .......·-················ FURNITURE AND FIXTURES_·-···· 1,0 0 0.0 0 SAVINGS ACCOUNTS ................................ . BANKING HOUSE _ _ _ _ _--! 7 7 8 .2 0 TRUST FUNDS, _ _ __ __ OTHER REAL ESTATE _ _ _-! DIVIDENDS UNPAID _ __ ITEMS IN TRANSIT _ _ _ __ , BILLS OF EXCHANGE _ _ _ _ , _ INDIVIDUAL DEPOSITS.. ·•·-····················· 24,576 .5 3 PUBLIC FUNDS _ _ __ ____, 6 5 3 .7 2 I DUE FROM NON · RESERVE BANKS _ _ _ _ _ _ __ 9 5 6.0 3 DUE TO NON-RESERVE BANKS.... CASH ITEMS DUE FROM RESERVE BANKS- .... DUE TO RESERVE BANKS........... ..... 15,039 .94 C/ D'S, DEMAND, _ _ _ __ __ C/ D'S, TIME .................· - - - -- 1 CHECKS ON OTHER BANKS·--······· CURRENCY _ _ _ __ , 2,778.00 , 5 7 7 .0 0 C/ C'S, FOR MONEY BORROWED ..... 2 0.0 0 CERTIFIED CHECKS•- - -- -1 5 9 0.5 5 6 4 3.5 8 CASHIER'S CHECK$, _ __ RESERVED FOR INTEREST.............. 0TH ER RESOURCES ...·-·-·---··- -·-···· RESERVED FOR TAXES- - - 1 OTHER LIABILITIES ............. TOT AL·-······-•··•·-···-····-············-·· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 3 1 7 2 .7 3 ~~ TOTAL.............................. 4 3 1 7 2 ,7 3 ,?';- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Ca ddo Val ln~ Bank, Womb 1 0 , ontgomery Co., Aaa't Ca shi er DIRECTORS COPY OF PUBLISHED STATEMENT of Citizens 3an , Wil~ot, Ashley Go., Ark. vu 1 0 1915 AT THE CLOSE OF BUSINESS LIABILITIES RESOURCES LOANS AND DISCOUNTS....................... . 16,000.0 9 CAPITAL STOCK ................- - LOANS ON REAL ESTATE ......·-······· 15,978 .94 CERTIFIED SURPLUS- - -- -- 17,000.00 3,003 .1 6 1 3 2.0 0 UNDIVIDED PROFITS_ __ LOANS ON COTTON .............. ·-·-·········· 3 9 5 .'.3 4 OVERDRAFTS _ _ _ _ _ __ BILLS PAYABLE- - - - - -1 BONDS AND SECURITIES--·--······· 6 1 .7 5 FURNITURE AND FIXTURES--··· 2,460.00 SAVINGS ACCOUNTS,_ _ _ __ 1 BANKING HOUSE _ _ _ __ _ , 2,565.44 TRUST FUNDS- - - - - - - 1 NOTES REDISCOUNTED- - - - - 1 OTHER REAL ESTATE- - - - < DI VI DEN DS UNPAID...............·-·················· ITEMS IN TRANSIT _ _ _ _ _ ! INDIVIDUAL DEPOSITS _ __ BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS .................................................. DUE FROM NON•RESERVE BANKS- - - - - - - - ! 5,268.03 9.0 8 CASH ITEMS--···-·-··--·--·-·-----······ 4,027 .8 8 DUE FROM RESERVE BANKS-.... - DUE TO NON-RESERVE BANKS.... DUE TO RESERVE BANKS .......... . C/ D'S, DEMAND _ _ __ C/ D'S, TIME ........· - · - - -- CHECKS ON OTHER BANKS·-······ 1,0 2 9.0 0 CURRENCY·--·-· 14, 585.6 7 - -1 13,535.00 C/ D ' S, FOR MONEY BORROWED ..... CERTI Fl ED CH ECKS ....·-···- - -1 1 9 8..3 0 - - - - - · · · - ····-····-·····-··-·-····· 2,297 .73 OTHER RESOURCES _ _ __ 7 0 ,1 5 CASHIER'S CHECKS ............................ RESERVED FOR INTEREST.... -........ RESERVED FOR TAXES ..... _.................. 1,965 .6 0 OTHER LIABILITIES TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 o2 9 1.5 8 -lr TOTAL ............................................................... 5 o. 2 9 1.5 8 -l: https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS . of C't i z ens 3ar.:!., Wil:·o t , sh ley Co., l~.rk. OFFICERS Dav ro n Pr,sidenl . L. " p r ,1U Vice Pr,sidenl L. ., . p rdu Cashier rs . 1nni :Rurnsid Ass'I Cashier DIRECTORS L. Perdu i"'hardson COPY OF PUBLISHED STATEMENT of C1·oss Co1....i ~' Bank, Wyn~e, Cross Cc., AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS............ LOANS ON REAL ESTATE ................ LIABILITIES 1 83,528.43 CAPITAL STOCK...·-···-···················•·······•····•·-· 30,000.00 33,204.81 CERTIFIED SURPLUS ................................. 30,000.00 LOANS ON COTTON ...·-···········-··-······· OVERDRAFT$ _ _ _ _ __ 174.01 BONDS AND SECURITIES _____ ·-···· 3,474 .11 FURNITURE AND F I XTURES- ·-··· 2 0 0.0 0 BANKING HOUS E _ _ _ _ _ _ _ , 2,500.00 BILLS PAYABLE _ _ _ __ NOTES REDISCOUNTED .......................... TRUST FUND$,_ _ _ _ __ DIVIDENDS UNPAID _ _ __ ITEMS IN TRANSIT _ _ __ INDIVIDUAL DEPOSIT$ _ ____, BILLS OF EXCHANGE- - - - 1 PUBLIC FUNDS...·-··············· -- - DUE FROM N ON - RESERVE BANKS _ _ _ _ _ _ _ _ , DUE TO NON -R ESERVE BANKS.... DUE FROM RESERVE BANKS-...... 9 9.18 DUE TO RESERVE BANKS................ 11 5,544 .6 9 C/ D 'S, DEMAND- - -··························· C/ D 'S, TIME .............................................................. CHECKS ON OTHER BANKS-......... . CURRENCY .... - - -····---·····-·--········· 9,294.00 C/ D ' S, FOR MONEY BORROWED ..... 7 5 2.5 0 CERTIFIED CHECKS.................................... 4,061.50 OTHER RESOURCE$ _ _ __ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5,3 .'.3 4 .1 3 SAVINGS ACCOUNTS ........ _ __ OTHER REAL ESTATE _ _ _- - ! CASH ITEM$ _ _ _ _ _ __ 3,842.5 5 UNDIVIDED PROFITS·-··························· CASHIER'S CHECK$ _ __ RESERVED FOR INTEREST.............. RESERVED FOR TAXES- - - 1 OTHER LIABILITIES 224,498.2 9 3 ,8 2 1.0 5 20,337 .21 OFFICERS AND DIRECTORS of Cross Cou~+y Bank, Wynro, Cross Co., ·Arlt. OFFICERS R. Block Presiden& J.E. Barria Vice President D. H. Hamilton Cashier c. J. Coffin Ass't Cashi er DIRECTORS J. D. Block E. J. Badinell1 R. Block fi H. A. J. E. Harris D.R. Hamilton R. L. Bloek https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Block -------- COPY OF PUBLISHED STATEMENT of Desha Cou~ y Bank, Watqon, Dash& Co., ' NOV 1 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS........................ 15,215 .8 5 CAPITAL STOCK _ __ 17,50 0.00 LOANS ON REAL ESTATE ................. 16,9 0 6 ,7 5 CERTIFIED SURPLUS ........ 1,0 0 0.0 0 LOANS ON COTTON ............•····•··-·-······· 3,380.00 OVER DRAFTS ...·-···--···-···--- 2 5 1 ,3 2 BILLS PAYABLE ....................... BONDS AND SECURITIES- · -·-····- 4 0 6.0 0 NOTES REDISCOUNTED .......................... FURNITURE AND FIXTURES-•-···· 1,710.16 SAVINGS ACCOUNTS _ _ __ 7 2 3.2 7 TRUST FUNDS, _ _ _ _ __ 1,280.5 7 DIVIDENDS UNPAID _ _ __ BANKING HOUSE _ __ OTHER REAL ESTATE _ _ __, UNDIVIDED PROFIT$,_ __ ITEMS IN TRANSIT _ _ _ _ _ ! INDIVIDUAL DEPOSITS ...-..................... . I BILLS OF EXCHANGE _ _ _ _ , I 915 PUBLIC FUND$ _ _ __ DUE FROM NON-RESERVE BANKS _ _ _ _ _ __ CASH ITEMS·-··· 24,033 .84 4,346.28 DUE TO NON-RESERVE BANKS ... 13.6 0 DUE FROM RESERVE BANKS .. - ... 12,148.40 CHECKS ON OTHER BANKS __ ..... . 9 6 .64 CURRENCY _ _ _ _ _ __ 6 7 5 .2 2 DUE TO RESERVE BANKS........... ..... C/ D'S, DEMAND _ _ _ __ C/ D ' S, TIME ............................ 2 2 8.0 0 C/ D'S, FOR MONEY BORROWED ..... 5.0 0 - - - - - ···-·----··· 6 2 1.9 2 OTHER RESOURCES--··-··-···----···--····· 1,139.64 2,854 .70 CERTIFIED CHECKS ......... CASHIER'S CHECK$, _ __ 3,5 5 3 .9 0 RESERVED FOR INTEREST.............. RESERVED .FOR TAXES _ _ _ , TOT AL ........................ _..................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 4, 1 2 7 .1 2 ➔l- OTHER LIABILITIES............................. .... 16 3 ,1 8 TOTAL ......................·-·································•······ 5 4, 1 2 7 .1 2 'li' OFFICERS AND DIRECTORS of f8s ha Co un+~ Bank, Watro n , Desh a Co., Ark . • OFFICERS H. Thane Preaidenl w. J . Hassey Vice Preaidenl ...{ . H. Hllis Caallier Guy UcClerkin Aaa'I Cashier DIRECTORS D. 1~ . Dobson H. E. Perkins .h' e • J.1ass ey l . H. Wi l l i s H. Thane . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of :a, rence ~ unty Bank, Wal~ut Ridge, La6rs~ ce Co , Ar1 Nov 1 o1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES 9 ,807.77 CAPITAL STOCK...................... ........................ 35,000.00 LOANS ON REAL ESTATE ........... ...... 9 0 0.0 0 CERTI Fl ED SURPLUS .............................. . 15,0 0 0.0 0 LOANS ON COTTON .·--··--····-···--············ 35,036.28 UNDIVIDED PROFITS .............................. _. 3,886.51 OVERDRAFTS _ _ _ _ _ _ ····- 2,479 .79 BILLS PAYABLE ----················· BONDS AND SECURITIES ____ ···· , 0 6 5.8 9 NOTES REDISCOUNTED ....................... . FUR NITURE AND FIXTURES- .... 2,500.00 LOANS AND DISCOUNTS........................ II SAVINGS ACCOUNTS ............................... . BANKING HOUSE. · - · · · - - - - - - , ,5 0 0.0 0 TRUST FUNDS _ _ _ _ _ ············· .. OTHER REAL ESTATE- - - - ! 10 0.0 0 DIVIDENDS UNPAID _ _ _ _ _ , I ITEMS IN TRANSIT _ _ _ _ _ , INDIVIDUAL DEPOSITS...·-··········--···- BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS _ _ _ _ _ _ ··· DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ __ 50,302.52 DUE TO NON-RESERVE BANKS.... 2 41 .8 0 DUE TO RESERVE BANKS................ 3 0,8 41.2 8 C/ D 'S, DEMAND----············•·• CHECKS ON OTHER BANKS_·-····· 1,3 2 5 .16 C/ D'S, TIME .....·----························· CURRENCY....- - - - -··-···-···· 7,318.00 C/ D'S, FOR MONEY BORROWED ..... GOLD - - - - - - - - - - - · - ········· 2 5.0 0 CERTI Fl ED CHECKS ........... ·····················- SIL VER -··-·---·······------·--··· 1,048.6 9 CASHIER'S CHECKS- - - - · · ·· ' I CASH ITEMS _ _ _ _ _ _ _ I I DUE FROM RESERVE BANKS·-·- 1 10,000.00 1 7 2, 0 0 1.4 0 ' 6,041.00 1,5 6 3,2 7 RESERVED FOR INTERESL............ OTHER RESOURCES- - - -···· RESERVED FOR TAXES _ __ OTHER LIABILITIES................................. l TOTAL https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 4 3, 4 9 2 .1 8 iE- TOT AL .................._............................................• 2 4 3, 4 9 2 .1 8 ~( https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of :anren ce :oc~ty Bank, Ral: t Ridge, La,re~ ce Co., Arl . OFFICERS V i ce Preoidenl ~ £ t u ~, Cashier U,. ,c...... DIRECTORS L COPY OF PUBLISHED STATEMENT of r.:orchants & Flanters Tr.& Sa v . Ba nk , Warren, Bradley Co., ov AT THE CLOSE OF BUSINESS 0 1915 -- RESOURCES I ........... 1 9 3,3 0 1.5 5 LOANS ON REAL ESTATE. ·············· 9 1,9 8 0.0 4 LOANS AND DISCOUNTS .... , LIABILITIES CAPITAL STOCK............ .................................. 1 0 0, 0 0 0.0 0 CERTIFIED SURPLUS. ....................... 2 0, 0 0 0.0 0 UNDIVIDED PROFITS........... .............. 1 5,1 8 7.5 5 1 5 0 .1 0 BILLS PAYABLE ............................ ········-······ 1 0,0 0 0.0 0 BONDS AND SECURITIES __ ...... _....... 1 2,6 6 0.4 5 NOTES RE DISCOUNTED ..... ·············· FURNITURE AND FIXTURES- ...... 5,0 0 0.0 0 - 4 2,0 0 0.0 0 LOANS ON COTTON . ·······-············-········ OVERDRAFTS_··•·-·•-·· BANKING HOUSE.. SAVINGS ACCOUNTS ···············-···············TRUST FUNDS .. ······························ ·········--·--- OTHER REAL ESTATE·------·-•-.. DIVIDENDS UNPAID.................... ·•·········· ITEMS IN TRANS IT.__ .._ ..·--·•-· .... -.. -... INDIVIDUAL DEPOSITS -······ ............ BILLS OF EXCHANGE_. 3 7, 7 0 9 .6 5 1 6 4.0 5 1 6 1,6 3 2 .4 7 1.3 7 PUBLIC FUNDS .................................... ............. I DUE FROM NON-RESERVE BANKS ·--------- I I I CASH ITEMS I 1,0 9 4.4 0 DUE TO NON-RESERVE BANKS... DUE TO RESERVE BANKS.... ------·-······· DUE FROM RESERVE BANKS .... _. 1 9,0 0 3,2 9 CHECKS ON OTHER BANKS ..... _.... 1,4 2 4.0 8 CURRENCY·-·-·--· -·· .......... C/ D'S, DEMAND .... .................... -··················· 10,0 5 3.0 0 C/ D'S, FOR MONEY BORROWED..... CERTIFIED CHECKS ..... ····•··········· ·-·····- ·······-·-··--·-···• 2,1 0 1.2 4 CASHIER'S CHECKS .................... OTHER R ESOURCES. ········-··-----··· 1,2 6 5.8 5 RESERVED FOR INTEREST.............. --·-----------··-····-···--·--·--- I SILVER 3 8,2 3 8.9 5 C/ D'S, TIME. ................................ .................. 4,0 0 0.0 0 GOLD. 1,00 0.0 0 9 9.96 RESERVED FOR TAXES ....................... OTHER LIABILITIES .......... .................. . TOTAL ................ _................. -··•···········"·•········· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 8 ~,o 3 4.0 0 ~i" TOTAL. .............. ··•·············· ....... ··················· '3 R 4 _0 ~ 4 .0 0 ~;- OFFICERS AND DIRECTORS of . -~ ch ant & ~ flant er Tr.& Sav . Bank, 1 ":;irr en, B1 ad lay Co. , Ar> . OFFICERS H. L . TURNRR. Presidenl ~T . H. Bn.il y lflt. & FRJW L . PURCELL 2nd . V ice Prtsident CARL HOLLIS Cashier W. H. · CLEOD •. Aas'I Cashier DIRECTORS H. L. '.rurn~r J l.f Baile ___ G . B .!c..:.]_o_l _v_i_n______ Fred L. Purc~ll H. F.Butler . C. J . ansfield . 0.O.Axl y J . L . Jamison https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 0 W Jhel RS. L. G. Hainrton . A.W.Dou la.es . COPY OF PUBLISHED STATEMENT of Peoples E.::..nk, Waldo, Colurnb1& Co., Ark . N V 1 Q 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........................ 28,446.0 9 CAPITAL STOCK.......... LOANS ON REAL ESTATE _......... . 14,066 .71 CERTIFIED SURPLUS ................................. LOANS ON COTTON .............................. 10,798 .94 UNDIVIDED PROFITS.......... OVERDRAFTS __ ··----···-·-----········ 5 2 .70 BILLS PAYABLE- - - · · · ···-················ BONDS AND SECURITIES-·-···-······· 9 9.0 0 NOTES REDISCOUNTED ..................... FURNITURE AND F I XTURES--··· 1,944 .86 SAVING~ ACCOUNTS .................................. BANKING HOUSE ...·-·····-----1 4,456 .83 TRUST FUNDS .......... OTHER REAL ESTATE ____. DIVIDENDS UNPAID _ __ ITEMS IN TRANSIT _ _ __ INDIVIDUAL DEPOSITS Bl LLS OF EXCHANGE-·-----··--·-·· PUBLIC FUND$ _ _ __ 20,800.00 2,000.00 31 7 .1 8 13,5 0 0.0 0 30,218 .71 1 DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ __ '1 CASH ITEMS--·------·--------···· 15.5 9 DUE TO NON-RESERVE BANKS.... 3 3 3.2 6 DUE TO RESERVE BANKS ........ I DUE . FROM RESERVE BANK$_...... 7.6 7 5.4 0 I CHECKS ON OTHER BANKS.·-······ 6 .3 5 C/ D'S, TIME- - - - · ·······•··•··-··············· '.3, 111.00 C/ D'S, FOR MONEY BORROWED ..... 1.'.3 0.0 0 CERTIFIED CHECKS ................................... . .1,515 .3 4 CASHIER'S CHECKS .........·-························· I CURRENCY I ·- GOLD...· - · · - SI LVER _ _ _ _ _ _ __ C/ D'S, DEMAND _ _ __ 5,745.02 71.16 RESERVED FOR INTEREST .............. 0TH ER RESOURCES ....·-·-···--·--·-·-······· RESERVED FOR TAXES, _ _ _ , OTHER LIABILITIES .................................. TOTAL ............. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 2 6 5 2.0 7 ➔~ TOTAL ............ 7 2 6 5 2.0 7 ➔~ OFFICERS AND DIRECTORS of P,30 ples Ea:nk, Wal o , Co lumbia Co., Ark. O FF IC E RS J. M. Davis Preaidenl T .W. Calaway V i ce P reaidenl ~ M. D. Clark .- - - - - Cashi er r \.J ~ -_;;;.., "\[ \ S- ... ~ D t\- ,ot.i~s,o1'd • 1." } A sa't Cashier DIRECTORS ,I . M . Dav i s , TW. Cal a vay C .c . ParJrnr G F Puska CJrns , CJ ark . W. ~f .Fin cher https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis M. D. Cl ark . •.,_1,1( e,O COPY OF PUBLISHED STATEMENT of ~ice Gro~~r ~ Bank, Whea~ley, Sain~ francis Co., Ai ; INOV I O1915 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS ........................I · LOANS ON REAL ESTATE .. ............. I ; 19,6 2 2 .7 0 ··--···------··••·• 1 5,0 0 0 .0 0 CAPITAL STOCK ... _. 3,9 0 9 .7 4 CERTIFIED SURPLUS .... ············-··•······· LOANS ON COTTON ............ •···-··· ····-········· OVERDRAFTS LIABILITIES UNDIVIDED PROFITS......... .............. 1 4 .3 0 BILLS PAYABLE ........... ···················-········••·• BONDS AND SECURITIES_·-·•·-······· NOTES REDISCOUNTED ........................ FURNITURE AND FIXTURES- .... 1,0 5 0.0 0 SAVINGS ACCOUNTS ...................... ·······••··• BANKING HOUSE. 2,0 0 0.0 0 TRUST FUNDS ................... ................................ OTHER REAL ESTATE .... DIVIDENDS UNPAID ...... ITEMS IN TRANSIT -----· 4,2 3 3 .1 6 3 4,6 7 3.4 3 INDIVIDUAL DEPOSITS • BILLS OF EXCHANGE PUBLIC FUNDS ...... 1,7 5 0.0 0 ............... I DUE I FROM NON-RESERVE BANKS DUE TO NON-RESERVE BANKS .... DUE TO RESERVE BANKS ................ CASH ITEMS DUE FROM RESERVE BANKS ....... I I C/ D'S, DEMAND-················ C/ D ' S, TIME .......... ·-························ .. ,---··············· CHECKS ON OTHER BAN KS·-······ I CURR EN CY...·-·--·· I I 1 8, 7 0 9.0 0 ···--··-···~ GOLD .... SILVER_ OTHER RESOURCES ........·-·•-·-·····-······· 2,4 0 1.0 0 5 1 3 .8 2 C/ D'S, FOR MONEY BORROWED ..... 1 5.0 0 CERTIFIED CHECKS ............ 8 9 8 .6 7 CASHIER' S CHECKS 7 9 .6 8 ······· 9 9 6.0 0 RESERVED FOR INTEREST .............. RESERVED FOR TAXES ......................... OTHER LIABILITIES................................. ,' TOTAL.. ........................................................... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5 2,9 3 3 .2 5 {!- TOTAL ............................. ·····················•··········· 5 219 3 3 .2 5 ,,. 'h OFFICERS AND DIRECTORS of ~ice Grow drs Bank, Whea~l ey, Sai nt r~anc is Co . , .A .... i: • OFFICERS H.K.~aith. Whaatlav, A£k. Preaidenl Dr. q _q _Jarr.ee, Cotton Plant, Ar k . V ice Preoident B."'.King. Cashier G. 0 ,,John eon Ass't Cashier DIRECTORS Morris L~aadr , Mariann~, Ark. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of Sharp Cou.i+ y Bank,· ~illiford, Gharp Co., Arl . AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES - -- -- - - - - - - - - , - - - - - - - - - - - - - - ' - - - - - - - - - - - - - - , - - - - - - - ·-- - - - LOANS AND DISCOUNTS....·-···-············ 1 16 8 2.51 LOANS ON REAL ESTATE _............... 7 5 5.0 0 CAPITAL STOCK..·-··········································· LOANS ON COTTON .................................... 11.3 7 OVERDRAFTS----···-···-··-·-···-·· ,950 .0 0 CERTIFIED SURPLUS ................. 1,000.00 UNDIVIDED PROFITS.................. 3 4 7.2 0 BILLS PAYABLE..·-·············· · - - - NOTES REDISCOUNTED ...................... . BONDS AND SECURITIES·-··-·····-······· FURNITURE AND FIXTURES--······ 1,179,24 SAVINGS ACCOUNTS ................................. BANKING HOUSE _ _ _ _ _ _ , 1,519.45 TRUST FUNDS .......•··-·················· OTHER REAL ESTATE---·-·-·-··-- DIVIDENDS UNPAID ............................... ITEMS IN TRANSIT-··-·-·-··--·--···--·-···· INDIVIDUAL DEPOSITS .......... 14,904 .82 Bl LLS OF EXCHANGE _ __ PUBLIC FUNDS .................<................. 4,427 .99 I DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ _ _ _ , I I I DUE TO NON-RESERVE BANKS .... CASH ITEMS _ _ _ _ _ _ __ DUE TO RESERVE BANKS ................ 7,84 7 .6 9 DUE FROM RESERVE BANKS-..... . C/ D'S, DEMAND ........... C/ D'S, TIME ............................................................ CHECKS ON OTHER BANKS·-······ I CURRENCY. - - - - -·- - - -, 1,815.00 C/ D'S, FOR MONEY BORROWED_... CERTI Fl ED CHECKS ..... _. , SILVER- · - · · · · - · - - - - - - - - , 3 9 0.2 8 CASHIER'S CHECKS .............................·-····· OTHER RESOURCES _ _ _ _ _ , .'3 0 ,3 0 RESERVED FOR INTEREST .............. RESERVED FOR TAXES ............ OTHER LIABILITIES ....................... TOTAL ................_ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 o, 2 3 0 .8 4 ~~ TOTAL ......................................................... . 2,600.83 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Sharp Count: Bank, Willifor d , ~harp Co. , Ar', OFFICERS _,& µ-~~ = V ice President ~ Aaa'I Cashier DIRECTORS COPY OF PUBLISHED STATEMENT of 1.arren Ba ,Jr, Warr en , Bradley Co., Ark. AT THE CLOSE OF BUSINESS NOV J Q 1915 RESOURCES LOANS AND DISCOUNTS........................ 73,203.84 CAPITAL STOCK ............_ _ _ _ , 62,800.00 LOANS ON REAL ESTATE ................. 99,013.5 6 CERTIFIED SURPLUS ... ............................ 16,000.00 LOANS ON COTTON .................................... 13,871.88 UNDIVIDED PROFITS..... ............... . OVERDRAFTS_._.... - ..............- ......- ............ . 3 8,2 9 BILLS PAYABLE .......................................... ... . 10,000.00 BONDS AND SECURITIES- ............... 6,257.47 NOTES REDISCOUNTED ....................... . 3,944.23 F URNITURE AND F I XTURES _ ....... 2,500.00 SAVINGS ACCOUNTS ................................. 53,246.9 7 BANKING HOUSE _ _ _ __ a.,0 5 3.9 2 TRUST FUNDS ................................................... OTHER REAL ESTATE .. _ ..___ ......... 1,500.00 DIVIDENDS UNPAID .............................. .... ITEMS IN TRANSIT--..·-.. - I ..... __.. I INDIVIDUAL DEPOSITS...................... BILLS OF EXCHANGE ... - ...···-·---·· PUBLIC FUNDS ................. ............................... DUE FROM NON-RESERVE BAN KS_··--·--·--··-··--·-·····--....... DUE TO NON-RESERVE BANKS ..... CASH ITEMS _ _ _ _ _ __ I LIABILITIES DUE FROM RESERVE BANKS........ 10 9,3 5 DUE TO RESERVE BANKS............. 1 4, 0 '.3 .'.3 .0 0 C/ D'S, DEMAND ............................................... CHECKS ON OTHER BANKS.._..... . 1,317.70 C/ D'S, TIME ............ _ _ _ _ __ CURRENC~- - - - · - -- - 4,966.00 C/ D'S, FOR MONEY BORROWED..... GOLD ... ·-·····..............· - · · · - - - - -······ 1,200.00 CERTIFIED CHECKS ..................... SILVER ..·-···· - - - - - - - - 1 2,612.36 CASHIER ' S CHECKS ..................................... 4.5 0 RESERVED FOR INTEREST.............. OTHER RESOURCES ................................... 6,3 9 2,3 5 6 8,8 6 1.98 3,254.54 18 1.8 0 RESERVED FOR TAXES _ _ _ , OTHER LIABILITIES.................................. TOTAi https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 2 4, 6 8 1.8 7 * TOTAL... .......................... 2 2 4. 6 8 1.8 7 ➔f OFFICERS AND DIRECTORS of W2~ren , Draalay Co., Ar • OFFICERS S. B. Meek Presidenl R. F. Powers First Louis Ederinrton Second Vice Presidenl - - H. G• .Mart-i.n - - - -Cashier • H. liankj_nB A•••t Cashier DIRECTORS s. B. ~eek Louis Ederington R. F. Po,·;ers J. M. Bailey --- _ _ .l..____E. o. H. CapJinger J. T. Eaer1ngton Sr. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis S. Meek \7. R. Watson COPY OF PUBLISHED STATEMENT of \'; ilmo t Ba.,1', r·1mot, Ashisy Co., Ark. AT THE CLOSE OF BUSINESS f\uV 1 0 1915 -- RESOURCES 1 5,0 0 0.0 0 LOANS AND DISCOUNTS.....•................. 3 2,09 2 .0 9 CAPITAL STOCK ...............•....... LOANS ON REAL EST ATE ...•............ 2 2,4 8 3 .1 8 CERTIFIED SURPLUS ························· ·•·· LOANS ON COTTON ............ ···•················· UNDIVIDED PROFITS .......... ..................... OVERDRAFTS....• BILLS PAYABLE ........ --~·- .....•...... 2 8 7.5 0 FURNITURE AND F I XTURES •........ 2,4 5 4.5 0 SAVINGS ACCOUNTS ............. ·················· BANKING HOUS"" 2,7 7 5 .9 5 TRUST FUNDS ..................................................... 1,2 0 0.0 0 DIVIDENDS UN PA I D ................•.................. BONDS AND SECURITIES- ·-- OTHER REAL ESTATE I LIABILITIES I 2 7, 8 4 2.2 3 INDIVIDUAL DEPOSITS BILLS OF EXCHANGE PUBLIC FUNDS .................................................. _ 4,1 0 7.5 6 DUE TO NON-RESERVE BANKS .. I CASH ITEMS DUE FROM RESERVE BANKS ...... 2,2 1 3 .1 5 I DUE TO RESERVE BANKS........... ..... -···· I 2 5,0 0 0.0 0 NOTES REDISCOUNTED ....................... ITEMS IN TRANSIT·-···-·---····-······· DUE FROM NON-RESERVE BANKS 4,4 7 7 .7 5 1 5,1 1 0.5 1 C/ D'S, DEMAND ............ ............................... I C/ D'S, TIME .................. CHECKS ON OTHER BANKS ..·--······ I CURRENCY ..__ GOLD ....·-··········· ··········-··········-·-· SILVER -··········· ··- ·······•···•·· 5,7 1 4 .0 0 C/ D'S, FOR MONEY BORROWED ..... 4 4 2.5 0 CERTIFIED CHECKS .................. ................ 2,7 8 9.4 9 CASHIER'S CHECKS ........................ ........... 1 4,5 1 0.6 7 4 1 3.4 8 RESERVED FOR INTEREST.............. OTHER R ESO U RC ES ........·----··-··········· RESERVED FOR TAXES ...............·-········ OTHER LIABILITIES I ····· ····• 'I I TOT AL ..............·--······-·················-···· .......... ····- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 914 5 7.2 8 .. ~~ TOTAL. .............................................................. 8 914 5 7.2 8 .. ➔~ OFFICERS AND DIRECTORS of Wilmot Ba,11r W'lmot , Ashley Co ., Ark . OFFICERS W.B.deYampert Presideni A.M.Keller Vice Presidenl A.M.Keller Cashier M.H.Keller A88'1 Cashier DIRECTORS -:; • B. de Yampert A.M.Keller_ _ _ _ _ M.H.Keller https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of linthrop "~rxing Co., Winthrop, Little Rive r Co., Ark. ( J?:r,ivate Bank\ NOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS AND DISCOUNTS ........... 8,568.41 CAPITAL STOCK ...... ___ ... _.... LOANS ON REAL ESTATE ..... 3,773.04 CERTIFIED SURPLUS ............--·-.. -· ..-· 7 6 1 .3 0 UNDIVIDED PROFITS........... ___ . 3 7 2 .9 9 LOANS ON COTTON ...... ··-·························· OVERDRAFTS ________ 5 0 3.4 8 BILLS PAYABLE ..... -........... --·-..·.. -·----•-···· BONDS AND SECURITIES--·····-······ 19 4 .1 5 NOTES REDISCOUNTED .. -·-·---· FURNITURE AND FIXTURES __ ,.. 1,200.00 SAVINGS ACCOUNTS ..... _.. __._ .. ___ . BANKING HOUSE _ _ _ _ _ _ TRUST FUNDS ....--....·---.. --·-.. ---·-· 1 OTHER REAL ESTATE---·--·- 2, 2 3 9.5 0 DIVIDENDS UNPAID--·-·- - - ITEMS IN TRANSIT_·---·-·---·--··--· I BILLS INDIVIDUAL DEPOSITS ....... OF EXCHANGE -··---·- --....·---· DUE FROM NON-RESERVE BAN KS _ _ _ _ .__....·--·· ..---·· ... I 8 4 9 .2 9 PUBLIC FUNDS.................. -··-•·-··- DUE TO NON-RESERVE BANK$ __ DUE FROM RESERVE BANKS--·-· 4,811 .25 CHECKS ON OTHER BANKS... - ..... 2 5 2.5 6 C/ D'S, TIME ..............-·-.. --.... -....... - - - 1 6 0 6.0 0 C/ D'S, FOR MONEY BORROWED ..... 2 3 0.0 0 CERTIFIED CHECKS ....·---· 5 2 4.0 6 CASHIER ' S CHECKS ........... _....... --·······-·· .. I SILVER ... - ..- · - · - - -·- - - 1 0TH ER RESOURCES ·-·-·-·-.. -.. -·...... ,___.. _ 12,09 9.11 DUE TO RESERVE BANKS.-·---·--.. CASH ITEMS .....--..· - - - - - - - ! CURRENCY _ _ _ _ _ _ __ 10,000.00 7.0 0 C/ D ' S, DEMAND .. -.... --... __ .. _........... --·----- 41 0.0 0 RESERVED FOR INTEREST .. --.. -· RESERVED FOR TAXES---·-------·-· TOTAL ..._ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 3, 7 5 8 .7 4 ~: OTHER LIABILITIES --·---··· .. •····-·---··.. 11 5 ,3 4 TOT AL. ......- ..•--- _............... _........·---·-..·.. -·- 2 3, 7 5 8 .7 4 ➔~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis " ,... 7 OFFICERS AND DIRECTORS . 1915 01 JNo. M. DA VIS ,----------------- 1n Ui 1U.t1;c co.1U1uis 10N11 tin throp : 0~~ing Co., tli1 t hro , Litt e River Co., OFFICERS Au't Cashier DIRECTORS ~ COPY OF PUBLISHED STATEMENT of ;Jank of Y L·o, farlro, ~ississ1ppi Co., Ar.I INOV 1 0 19)5 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........ LOANS ON REAL ESTATE ..... LIABILITIES 1 2,455 .83 CAPITAL STOCK ............. ................................ 6,450.00 2,5 2 .'.3 .1 9 CERTI Fl ED SURPLUS ............................... . 2,250.00 LOANS ON COTTON _ _ __ OVERDRA F TL _ _ __ UNDIVIDED PROFITS.............................. . 6.01 BONDS AND SECURITIES ..................... BI LLS PAY ABLE ........--··························-·· NOTES REDISCOUNTED. F URNITURE AND FIXTURES .......... 1,497 .75 SAVINGS ACCOUNTS ................................. BANKING HOUSE ····················-···················- 1,5 1 9 .7 5 TRUST FUNDS .............. OTHER REAL ESTATE- - - - 1 DIVIDENDS UNPAID .................................... ITEMS IN TRANSIT _ _ __ INDIVIDUAL DEPOSITS ..· - ----t Bl LL$ OF EXCHANGE _ _ _ _ , PUBLIC FUND$ _ _ _ __ NON-RESERVE BANKS _ _ _ _ _ ···-·················· 5, 7 6 5.5 2 DUE TO NON - RESERVE BANKS.... CASH ITEMS..........·---························ 8 2.0 7 DUE TO RESERVE BANKS ................ DUE FROM RESERVE BANKS ........ 3, 058 .82 C/ D'S, DEMAND .............................................. . 1,617.00 C/ D ' S, FOR MONEY BORROWED ..... 5.0 0 CERTIFIED CHECKS······-········•··················· 8 5,3 7 OTHER RESOURCES .................................. . 1 6, 5 19.5 9 C/ D ' S, TIME .............................................................. CHECKS ON OTHER BANKS............ CURRENCY.. _ _ _ _ _ _ _ _ , 3,5 0 0.0 0 10 3.2 8 CASHIER'S CHECK$ _ __ RESERVED FOR INTEREST..... RESERVED FOR TAXES ......................... OTHER LIABILITIES................................. . TOTA L. ........... https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2 8, 7 1 9 .5 9 ir TOTAL .................. 2 8 7 1 9.5 9 ~~ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OFFICERS AND DIRECTORS of Ban k of Ya!"b,.•o, Yarlro, Mississippi Co •• Ar' OFFICERS DIRECTORS COPY OF PUBLISHED STATEMENT of Bank of Y?llville, Ye llville,fia11on Co., INov 1 o1915 AT THE CLOSE OF BUSINESS RESOURCES LIABILITIES LOANS ANO DISCOUNTS..•.................... 57,229 .74 CAPITAL STOCK.............................................. 2 5, 0 0 0.0 0 LOANS ON REAL ESTATE ................. 2 3,8 0 4 .6 9 CERTIFIED SURPLUS ............................... . 5,0 0 0.0 0 UNDIVIDED PROFITS ................................. 2,6 3 4 .!'.I, 2 LOANS ON COTTON·-····-···-···-······•··· BILLS PAYABLE _ _ _ __ BONDS AND SECURITIES- •••.••.... 8 8 .9 9 1,040.00 2,426 .17 FURNITURE AND FIXTURES_.•.... 2,700.00 SAVINGS ACCOUNTS .... ............................. OVERDRAFTS _ _ _ _ _ __ •, NOTES REDISCOUNTED ...........•........ 17,687.98 TRUST FUNDS .............................................. . BANKING HOUSE ..·-·····•·---- OTHER REAL ESTATE.·-··---··- 5,892 .84 DIVIDENDS UNPAID ........................ ITEMS IN TRANSIT _ __ 1,100.00 INDIVIDUAL DEPOSITS _ __ 80,276 .31 BILLS OF EXCHANGE _ _ _ _ , PUBLIC FUNDS· - - · - - - - 2 0,2 8 2 .1. 5 DUE FROM NON-RESERVE BANKS _ _ _ _ _ _ __ DUE TO NON-RESERVE BANKS .... CASH ITEM$ _ _ _ _ _ __ DUE TO RESERVE BANKS............... . I DUE FROM RESERVE BANKS ........ I CHECKS ON OTHER BANKS--······· I CURRENCY _ _ _ __ I OTHER RESOURCES •..·--···-··----······ 4 5,3 2 1,71 C/ D'S, DEMAND---····················•···· 9 0 5.5 7 C/ D'S, TIME ....... •·•··---························ 4,399.00 C/ D'S, FOR MONEY BORROWED..... 18 5.0 0 CE RT IF I ED CH EC KS-····-···························· 7 9 2 .6 8 CASHIER' S CHECKS .............................. 5,227 .32 2 2 0 .9 5 RESERVED FOR INTEREST........... . RESERVED FOR TAXES ......................... OTHER LIABILITIES TOTA https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 5 1 :i. 1 3 .7 1 ;~ TOTAL............................ ................... 11.9 0 15 1,113 .71 -:r OFFICERS A ND DIRE CTORS of B~nk of Yallville, Y0l lvill e,~arion Co., All OFF I CE R S W.E.Layton PreBidenl L. H.Layton V i ce PreBidenl J:> . ~ .Glass Cashier Ernest Layton Ass'I Cashier DI RECTOR S w. g ,Layton A. S •Layton , Hr s • 1. H.Layton Walton V.L . Mrs. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis COPY OF PUBLISHED STATEMENT of :~ners & 2itizens Ban_. Yellville, Lar on Co., NOV 1 0 1915 AT THE CLOSE OF BUSINESS RESOURCES LOANS AND DISCOUNTS........................ 6 3,3 4 8.3 9 CAPITAL STOCK................................................ 20,00 0.0 0 LOANS ON REAL EST A TE .. •-······ ...... 1,2 0 0.0 0 CERTIFIED SURPLUS ................................. 1,0 0 0.0 0 UNDIVIDED PROF I TS ........·-····················· 4,9 9 2,7 1 ....... LOANS ON COTTON 5 6 6.3 5 BILLS PAYABLE ................................................ BONDS AND SECURITIES_ ..____.. 2,1 6 8 .7 6 NOTES REDISCOUNTED .......................... F URNITURE AND F I XTURES- 2,6 0 0.0 0 SAVINGS ACCOUNTS ...... 2, 3 3 1.2 4 TRUST FUNDS .... OVERDRAFTS ... BANKING Housi=- ' 30 0.0 0 OTHER REAL ESTATE II INDIVIDUAL DEPOSITS BILLS OF EXCHANGE PUBLIC FUNDS DUE FROM NON - R E SERVE BANKS 3,8 4 3.1 3 DUE FROM RESERVE BANKS ........ ·- DUE TO RESERVE BANKS ........... ..... 3 0,5 2 6.0 1 C/ D ' S, DEMAND ................................................... CHECKS ON OTHER BANKS.._... 2,2 3 8.66 C/ D ' S, TIME ............ CURRENCY 2,10 0.0 0 C/ D ' S, FOR MONEY BORROWED ..... GOLD... 5 6 5.0 0 CERTIFIED CHECKS .................................... SIL VER ---·-···-------..·---·-·---·..... 39 2.5 5 CASHIER'S CHECKS ..................................... 3,8 3 7.9 7 RESERVED FOR INTEREST.............. ·· · -··-····~ OTHER RESOURCES 70,5 3 0.0 5 DUE TO NON-RESERVE BANKS .... --··· I' 1 - ,3 6 5.6 2 DIVIDENDS UNPAID ITEMS IN TRANSIT CASH ITE M S ____ I LIABI LITI E.S I ....... 1,1 2 9.6 8 RESERVED FOR TAXES OTHER LIABILITIES TOTAL --····-·-·-· ......... .... _ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1 16, 0 18.06 ~!. " I TOT AL .................. ---....• ·········•·•··•••······· 1 1 6,0 1 s.o 6 ~': OFFICERS AND DIRECTORS of fai. ners & zen s B2,nl~, Ye 1 l vill e, Llaz1on Co ., j •1 i OFFICERS W.R.Jones PreBidenl T.L.Bond Vice President J.F.Car son Cash er T.V.Russel l Ass'I Cashier DIRECTORS __~._7_._R_._J_o_n_e_s_________ Yellvill e~A-r~k..._._._ _________ _ J.L. McCarty A.C.Seawell J .F. Carson T.L.B ond https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis n " " II " " Little R~o~o~k-A~r~k~.- - - - - - - -- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OF CO ~ OF BUILDnrn A! D LO 1915 AS P"7!R OF 1915 . BUIL I 1 G D LO tJTIIO. IZ~D C • SOC TI O./ • • 202 , 478 , 94G.28 TL TOCK I SSU.P , D m TOT IO TS , Al D ,"li!PORT FIL~D UJ'T '~R PRO I 'Hor 3 CT 242 0 O t S<;OCI T ~.IOU STOCK .K 18,127 :164 . 82 OLD IN S .\ S I 1915: I ST 3 ,1 20 , 002 . 50 166 , 000 .. 00 2 , 585 , 7g8 . 62 OT L LI I ,I IRS 2,514,213,59 ffi ',~.". . irn i nt n+ r, • "'1 ., ,r• k ..--•·: l l m:1 · ssi oner l COPY OF ANNUAL STATEMENT of Arg enta Buildint & Loan As s'n, Arg enta, Arkansas. OEC 3 1 1915 AT THE CLOSE OF BUSINESS LIABILITIES ASSETS Cash on hand- - - - - - - ! Loans on mortgage security............ Loans on stock securltY--··········-··· 4,5 1 7.s 1 15 8,075.00 1 9, 786.5 0 Advance payment stock ........................ Dividends on stock (credited) _.... Stocks and bonds- - - - - - 1 Matured stock unpald- - - - - 1 3,2 3 5,3 4 9 3 9.5 0 6 3 0.81 4 8 3.8 2 Real estate------······-····· Delinquent dues- - - - - - - - - - 1 Delinquent Jnteres•. .__ _ _ _ , Insurance and taxes due from Unearned premium _ _ _ _-! Interest paid In advance .. ·-················ Due borrgwers (Incomplete Joans) ................ Contingent undivided profits ......... borrowers _ _ _ _ _ ___, Accounts receivable _ _ ___, Stationery and supplies ...._.................. Contingent or reserve fund ............... Personal Other 1 8 7~9 8 9 .1 8 ~: Advance payments on stock ............ Real estate mortgages redeemed Loans on stock security repaid ... accounts ....................................... Interest - - - - - - - - - 1 - -- - - - -- --1 Fines Transfer and withdrawal fees ..... . Rents 1 8 7. 9 8 9 .1 8 :· TOTAL .....·---···········••··•·········· DISBURSEMENTS 8,202 .6 1 42,423.5 5 7,20 0.00 12,124.00 7,495 .73 Real estate sold- - - - - - - - - - 1 Bills and accounts receivable ...- .. ,1 llabllltles..........- -- - - · · RECEIPTS Cash on hand January 1, 191 ...... . 3 7. 7 8 4.3 Undivided profits _ _ _ _ __, Other asaet,._•- - - - - - - - - - - 1 Installments on stoclr ~ _ ____, 1 2,760.00 BIiis payable .....· - - - - -········· 5 9.9 0 2 5 5.0 0 5.5 0 Furniture and fixtures _ __ _, TOTAL ............................................. . 12 3,0 2 6 .f 2 14,418.22 Due shareholders (dues) ·--·---··· Loans on stock securltY--·--··- 27,616.85 21,349.5 0 Withdrawals of Installment stock 7 ,338 .85 Loans on mortgage security.__ .. I I I I Withdrawals ol advance payment stocL·- ···· Interest or profits on withdrawals Matured stock_ ...• 1,012.42 14,280.4 9 18 1.8 7 18.0 0 Insurance and taxes paid for borrowers--·Bills and accounts payable._.._. Interest on bills payable---·--··· Salaries of officers and directors Other lteme Insurance and taxes repaid ......_ ... Expenses r 25,000.00 2 4 4 .71 4,750.00 1,332.5 ,1. 1,740.00 6 3 4.1 3 20,589 .93 Borrowed moneY- - -···········-····· Other source.,_•- - - - - - - 1 TOTAL-···············---------1 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 22,175.6 5 1 1 5, 1 1 4 .3 2 :: Cash on hand December 31, 191-_ TOTAL. ......·-··················----1 4,5 1 7.e 1 115, 11 4 .3 2 ~;- OFFICERS AND DIRECTORS of 4 nt a., OFFICERS V ic, Pruide111 Ca,hi er A11'I Caillier DIRECTORS J. ,Hemry. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Aaeoo tion COPY OF ANNUAL STATEMENT of ,,,Batesvill e B ·:cin & Lean Ass 'n, Bq tesvi le , Arka nsas. I AT THE CLOSE OF BUSINESS II ASSETS LIABILITIES - - - ~ - - - -----,---1,0 9 5.4 7 Caeh on hand _ _ _ _ _ _ _ , 33,306.0 Due shareholders (dues> -·-··-·-··· 3 5,7 95.00 Advance payment stock........................ Loans on mortgage securlty ...·-····Loans on stock securltY-·-·--··- ··· Dividends on stock (credited) ..._ Stocke and bonds _ _ _ __ _. Matured stock unpaid- - - - ! Real estat.,_ • --------1 Unearned premlum _ __ _---1 Delinquent dues- - - - - - ··· I nterest paid In advance ........--········· Delinquent lnterea•...__ _ _ _ 1 Due borrgwcrs (locomplele loans) ........•....... Insurance and taxes due from Contingent undivided profits·-·-··· borrowers Accounts - - - - - - ---! receivable _ _ _ _ .. 2 6 6.0 8 BIiis payable- - - - - - - · · · · · · Contingent or reserve fund ............... Furniture and fixture,._ - _ _ _ U nd lvlded profits _ _ _ _ ____, Stationery and supplles- - - · ······ Personal Other asaet·- - - - - - - - - - 1 6 4 .1 5 Other llabllltle-,.___ _ _ _ ····-········· TOTAL _ _ _ _ _ _ __ TOT AL ...·-···-····-·-··········-··· ................ . 3,914 .70 accounts---···-··--·· RECEIPTS 3 7. 2 2 0 .7 0 ➔: DJSBU RSEM ENTS - - - - - - - - - - - - -- - - - - - - - - - - -- -- Cash on hand Janua·ry 1, 191..._. Installments on atoc" ~ --__, 1,373 .86 13,876.00 Advance payments on stock.......... _ Real estate mortgages redeemed 2,250.00 Loans on stock securltY--··-··· 10,425.00 2,520.00 Withdrawals of Installment stock 1,130.00 Loans on mortgage security_ ... Withdrawals of adnncc payment s1ocL.-••. Loans on stock aecurlty repa.ld ... Interest or profits on withdrawal s Real estate sold, _ _ _ _ __ Matured stock__ _ __ _ _ _---1 BIiis anct accounts receivable ...__. ------------1 lntereat Fines _ _ _ _ _ _ _ _ ___, Insurance and taxes paid for borro1rerS-.....- 2,902.02 Bllls and accounts payable..._ ........ I ntereat on blll• payable _ _ _ ··· Transfer and withdrawal fee•·-·· Salaries of officers and directors Rents Other ltems- - - - - - - - - - 1 - - - - - - - -········· Insurance and ta x es repaid·-·-··-·· Borrowed moneY- -- - - - 1 Expenses 6 2 0.0 0 Other aource·- - - - - - - - i TOTAL-·-·························- - -··· https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5,4 7 4.4 5 9 1 .7 3 2 4 0 .0 0 4 5.2 .'.3 Cash on hand December 31, 191-- 2 1, 0 2 1.8 8 ~:- TOTAL .................·- - - - - ·· 1, 0 9 5 .-1. 7 2 1, 0 2 1.8 8 ~; 3 OFFICERS AND DIRECTORS of .Batesville Building and Loan Association BBt eavilll) , .. !J":~:nnons. OFFICERS Preaid••II V ic• Pr•rid,111 ca,hier Au'I Ca,hi•r • DIRECTORS T.J . Cha. • !Osby. L• •R eder. J . R. H•• Kennerley. W.L. Landen . rett . J.B. oltt. O.F. C 11. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis J. . D. S itt . COPY OF ANNUAL STATEMENT of ,/ Peopl es Buil~ ing & avngs. ~ss 'n, Batesville, Arkans as. ASSETS Cash on hand, _ _ _ _ _ _ _ , Loans on mortgage security.......... _ Loans on stock securltY-·--············ LIABILITIES 3,690.28 29,760 .7 0 2,370 .9 5 Stocks and bonds, _ _ _ _ __. Due shareholders (dues) .--·-···-··· Dividends on stock (credited) ..... 3 8 2.5 5 Unearned premium _ _ _ _---! Delinquent dues·- - - - - - · ·· Interest paid In advance ...............·-··· Delinquent lnteres•<-- - - - - 1 Due bomwm (Incomplete loans) ....•....•...... 1 2 0.6 0 Insurance and taxes due from borrowers - - - - - - - - - 1 Contingent undivided profits ......... BIiis payable .................· - - - - · · · · ·· 7.5 0 receivable _ _ _ __, Furniture and flxture.,__-_ _--l Undivided profits_····---··········· Personal accounts Other asaet•-- - - - - - - - 1 Other 3 , 3 3 2.5 8 '7~ Cash on hand January 1, 191 __ TOTA'~----········-············· 5 3 7.3 3 11,2 5 0 .9 G Loans on mortgage security__ Withdrawals of Installment stoc~ ,2 5 0.E 2 Real estate sol,"-- - - - - - - < Matured stock_._ _ _ _ _ __ Insurance and taxes paid for borrowers--······ BIiis and accounts pa_yable ..·-········ Fines Interest on bill• payable- - · · · Transfer and w i thdrawal fee•·-·· Salaries of officers and directors Other ltems, _ _ _ _ _ _ _-...J Rents Insurance and taxes repaid ...·--··· Borrowed money_ _ _ _ _ _ , 6 2.0 4 2,000.00 Other •ources _ _ _ _ _ ___, TOTA•-- - - - - - - · · https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 7 5 7 .3 3 Withdrawals of adnnce payment stock ... ____ Interest or profits on withdrawal! 12.5 0 2,5 9 4 .16 10, 3 9 8.0 0 Loans on stock security _ _ _ _ Loans on stock security repaid ... BIiis and· accounts receivable ....._. Interest _ _ _ _ _ _ _ ___, 3 6, 3 3 2 .5 8 ~\' DISBURSEMENTS Advance payments on stock.......... Real estate mortgages redeemed 3,167.08 llabllltles- - - - - · · · · -··· RECEIPTS Installments on stoci.-,___ __ 7.0 0 0.0 0 Contingent or reserve fund ............... Stationery and supplies------·-· TOT AL--····-··•··•···································•··• 2 -5, 1 6 5.5 0 Advance payment stoc'"-'----1 Matured stock unpaid, _ _ __. Real estate•- - - - - - - - - ! Accounts I DEC 3 1 19l 5 AT THE ·CLOSE OF BUSINESS Expenses 7.113.5 5 137 .( 4 3,050.00 5 7 6 .9 2 4 0.0 3 9 0.0 43.9 5 0 5 6 Cash on hand December 31, 191-_ 2 2, 7 0 7 .4 8 ~(- TOTAL .................· - - - -········· 22,707.48 ~ OFFICERS AND DIRECTORS of le A. oo tion 111; .Arkanaa . OFFICERS D.D.A. • Pruidotll Vice PrHidenl Caillier Au'I ca,hier DIRECTORS • B.Sohott. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C. C. Fit h COPY OF ANNUAL STATEMENT of otn ' l Equit'bl oc e Belton, Texas . EC 3 1 191 AT THE CLOSE OF BUSINESS LIABILITIES ASSETS Cash on hand- - - -- -- 2 18 .3 9 57,678.68 5,180 .78 2,000.00 3 5,200.00 1 Loans on mortgage securlty..........Loans on stock security..................... Stocks and bonds,_ _ _ __ _, Real estate- - - - - - - - - 1 Due sha.reholders (dues) .........·-········· Advance payment stock........................ Dividends on stock (credited) ...... Matured stock unpaid ........................... Unearned premium ...-............................... Delinquent dues- - - - - -·· Interest paid In advance ..................... Delinquent lnteres•~ - - - --, Due bomwers (Incomplete loans) ................ Co ntingent und ivided p r ofits ......... Insurance and taxes due from borrowers 6,925 .62 1,602 .24 - - - - - - --1 Accounts receivable _ _ _ _ ... C