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ANNUAL REPORT OF THE COMPTROLLER OF THE CURRENCY SECOND SESSION OF THE FORTY-FOURTH CONGRESS UNITED STATES. D E O E M B E K 4, 1 8 7 6 . WASHINGXOH GOVERNMENT PRINTING OFFICE. 14' iM Me (/J IV REPORT OF THE COMPTROLLER OF THE CURRENCY. The following table exhibits the resources and liabilities of the banks at the close of business on the second day of October, 1876—the date of their last report, the returns from New York, from Boston, Philadelphia, and Baltimore, from the other reserve cities, and from the remaining banks of the country, being tabulated separately: New York City. Boston, Phila- Other reserve delphia, and cities.* Baltimore. 47 banks. 99 banks. Country banks. 1,853 banks. 90 banks. Aggregate. 2,089 b a n k s . RESOURCES. .! 8479,169,333 Loans and discounts On U. S. bonds on demand.... On other stocks, bonds, &c, on demand Payable in gold On single-name paper, without other security All other loans Overdrafts Bonds for circulation Bonds for deposits U. S. bonds on hand Other stocks and bonds Due from reserve agents Due from other national banks. Due from other banks and bankers Heal estate, furniture, and fixtures Current expenses Premiums Checks and other cash items .. Exchanges for clearing-house.. Bills of other national banks .. Fractional currency Specie Legal-tender notes XL S. certificates of deposit. Five per cent, redemption fund Due from U. S. Treasurer 8,0, 277, 492 i 19,114,232 66, 184 9, 025, 493 ! 3,185, 558 i 16, 634, 532 98, 243, 569 70, 9H0 19, 237, 500 775, 000 16, 135, 000 10,061,841 15, 819, 090 9, 355, 654 138, 596, 601 53, 923 45, 701, 200 600, 000 5,113, 700 3, 764, 452 17, 357,152 9, 416, 355 6, 739, 679 | 76,204,245 442, 806 23,164, 250 2, 903, 500 3, 988, 600 2, 898, 144 14, 626, 0-28 6, 316, 500 2, 3C8, 687 1,224,185 8, 786, 985, 2, 674, 1, 856, 63, 940, 1, 249, 105, 14, 576, 27, 902, 17, 365, 829, 241, 099 419 9s9 901 479 038 307 574 384 000 194 225 6, 388, 028 873, 246 952, 269 1,119,261 19,165, 458 3, 595, 725 263, 554 2, 824, 504 14, 452, 686 7, 620, 000 2,036,716 739, 694 2, 257, 546 4, 873, 965, 975, 783, 4, 764, 1, 833, 139, 1, 197, 12, 163, 2, 905, 997, 181, 487 361 954 553 880 969 810 380 255 000 134 212 3S9,223,852 | 311,237,922 | 184,564,975 3,162,106 i 249,067,450 10,419,500 7, 904, 850 17, 720,720 55, 343,771 15, 973,145 3, 729, 735 337,170, 400 14, 698, 000 33, 142,150 34, 445, 15T 87, 326, 95 L 47, 525, 090 6, 210,865 12, 061, 283 23, 074,328 4, 163,618 6, 112, 039 8, 283, 425 43,121, 942 6, 987, 644 10, 715, 251 12, 043,140 87, 870, 817 15, 910, 315 1, 417, 204 21,360,767 84, 250, 847 29, 170, 000 14, 706, 373 2, 037, 323 9,231, 583 908, 533 2, 761,239 29, 733,592 1,280 000 10, 843, 329 875,193 942,238,619 | 1,827,265,368 i 80, ZHO. <)?-> i Capital stock j 66. 400. 000 22. 540. 745 I Surplus fund | 18, 926, 148 4, 729, 2s4 j Undivided profits j 8, 897, 208 National bank notes outstand- ] 38,202,086 \ 14, 832. 784 ing 92, 483 77, 800 State bank notes outstanding.. 1, 462, 452 j Dividends unpaid 212, 279 121,104,228 i Individual deposits 184,063,417 277,719 U. S. deposits 279, 691 Deposits of U. S. disbursing 14, 731 officers 145, 072 32, 255, 097 Due to national banks 71,814,793 Due to other banks and bankers 23, 524, 660 7, 413, 797 Notes and bills rediscounted... 113,415 Bills payable 2,144, 900 50," 000' Total, $927, 574, 979' $1, 031, 631 58, 749, 574 4, 338, 058 Total. LIABILITIES. £843,143 369, 223, 852 311,237, 922 499, 802, 232 47,005,500 | 305.509,747 1 4. 858, 851 i 75, 876, 538 132, 202, 282 46, 445, 216 3, 954, 832 I 28, 863, 892 20,164,866 32, 793 193, 301 67, 185,902 1, 330, 813 218, 344, 284 418, 943 1, 987, 502 279,031,663 5, 368, 578 291, 544, 020 622,019 3, 855, 534 651, 385, 210' 7, 256, 801 918, 603 15,712,932 11, 574,183 589, 399 1, 043, 000 2, 668, 376 11, 753,147 5, 737, 472 3, 761, 593 2,916,884 3, 746, 782 131, 535, 969 48,250,112 4, 464, 407 6,154, 784 184,564,975 | 942,238,619 1, 827, 265, 368 * The reserve cities, in addition to New York, Boston, Philadelphia, and Baltimore, are Albany, Pittsburgh, Washington, New Orleans, Louisville, Cincinnati, Cleveland, Chicago, Detroit, Milwaukee, Saint Louis, and San Francisco. REPORT OF THE COMPTROLLER OF THE CURRENCY. V The following table exhibits the resources and liabilities of the national banks in operation, at corresponding dates for the last eight years: Oct. 9, Oct. 8, 1869*. l«70. 1,617 1,615 banks. ! banks. RESOURCES. Loans Bonds for circulation Other TJ. S. bonds Other stocks, bonds, &c Due from other banks Real estate Specie Legal-tender notes National bank notes Clearing-house exchanges. U. S. certificates of deposit. Due from II. S. Treasurer . Other resources Totals. Oct. 2, 1871. Oct. 3, 1872. Sept. 12, 1873. Oct. 2, 1874. Oct. 1, 1875. Oct. 2, 1876. 1,767 banks. 1,91.9 banks. 1,976 banks. 2,004 banks. 2,087 banks. 2,089 banks. Millions. Millions. Millions. Millions. Millions. Millions. Millions. Million. 682.9 339. 5 44.6 22.2 100.9 25.2 23.0 83.7 10.9 108.7 71G. 0 340. 6 37.7 23. 6 109.5 27.5 18.5 77.2 12.6 91.6 831.6 364. 5 45. 24.5 143.2 30.1 13.2 107.0 14.3 115.2 55.6 55.9 41.2 1,497.2 1, 510. 7 I i I j 877.2 382. 0 27.6 23 5 128. 2 32.3 10.2 102.1 15.8 125.0 6.7 "i7.*3 954. 4 383. 3 28.0 27.8 134. 8 38.1 21.2 80.0 18.5 109.7 42.8 20.3 18.3 1, 830. t 1, 877. 2 493. 8 129. 0 51.5 334.2 683.8 175.8 9.1 944. 2 388. 3 23. 6 23.7 149.5 34.7 19.9 92. 4 16. 1 100.3 20.6 984. 7 370.3 28.1 33. 5 144.7 42.4 8.1 76.5 18.5 87.9 48.8 19.6 19.1 Totals . | ! 1, 882. 2 ! 1, 827. 2 I LIABILITIES. Capital stock Surplus fund Undivided profits Circulation Due to depositors Due to other banks Other liabilities I | 931.3 337. 2 47.8 34.4 146.9 43.1 21.4 84.2 15.9 100.0 29.2 16.7 19.1 426.4 86.2 40.7 296.1 523.0 118.9 5.9 1, 497. 2 | | j j | 430.4 94.1 38. 6 293.9 515. 3 130.0 8.4 458. 3 101. 1 42.0 317.4 631. 4 171. 9 8.5 479.6 110.3 46.6 335.1 628. 9 143. 8 11.5 491.0 120. 3 54.5 340.3 640.0 173. 0 11.5 1, 510. 7 1, 730. 6 1, 755. 8 1, 830. 6 504. 8 134.4 53.0 319.1 679. 4 179.7 11.8 499. 8 132. 2 46.4 292. 2 666.2 179. 8 10.6 1,877.2 ' 1,882.2 I 1,827.2 OTHER SYSTEMS OF BANKING. The Comptroller receives frequent applications for public documents containing statements of the resources and liabilities of the banks authorized by the legislatures of the several States previous to the establishment of the national banking system ; and similar inquiries are also made in reference to the two Banks of the United States authorized by Congress, the first by act of February 25, 1791, and the second by act of April 10, 1816. A resolution of the House of Representatives of July 10, 1832, directed the Secretary of the Treasury to procure and publish such statements of the banks organized in the various States as could be obtained from State officials; and in 1873 it was made the duty of the Comptroller of the Currency to present annually to Congress similar information from official and other reliable sources. In compliance with the resolution of 1832, a compilation of statistics, more or less complete, showing the condition of the banks in the several States, was, with the exception of a few years, published annually until 1863. Many of these reports are out of print, and when comparative statistical information is desired in reference to particular States it can^ not be obtained without consulting a series of volumes. Information in reference to the two Banks of the United States is alike inconvenient of access. The Comptroller, therefore, deeming the present time and circumstances especially appropriate, devotes a portion of his report for 1876 to the presentation, in a concise and convenient form, of the more valuable of the statistics contained in these various reports, together VI REPORT OF THE COMPTROLLER OF THE CURRENCY. with such additional information as he has been able to collect from other official sources. As preliminary to these statistics, a brief sketch is herewith given of the history of the Bank of North America and of the two Banks of the United States, the only banking institutions authorized by Congress previous to the establishment of the national banking system. It is not proposed here to trace the history of banking in this country, nor to sketch in detail its progress in the several States. The execution of such a purpose would require a volume, instead of the space usually allotted to an annual report. A glance at the history of banking in Massachusetts and New York, and in a few of the older Western and Southern States, exhibits the general outlines of the bank legislation of the country previous to 1863. This review presents to us in a favorable light the operations of the charter system of banks in two of the most prosperous States of the Union, while it also exposes many of the imperfections of that system as it existed in some of the other States of the Union during the period when circulation was issued by State authority. BANK OF NORTH AMERICA. The first organized bank in the United States, and " the first one which had any direct relation to the Government of the United States,7' commenced operations on January 7, 1782. The institution had its origin,* as a banking company without charter, in a meeting of citizens of Philadelphia on Jane 17, 1780, at which it was resolved to open a " security subscription to the amount of three hundred thousand pounds, Pennsylvania currency, in real money," the intention being to supply the Army, at the time reported by Washington to be destitute of the common necessaries of life and on the verge of mutiny. Thomas Paine, then clerk of the Pennsylvania Assembly, suggested a subscription, in a letter to Mr. Blair McClenaghan, in which he inclosed a contribution of five hundred dollars to the fund, the latter gentleman and Robert Morris each subscribing two hundred pounds in hard money. The first proceedings in the Congress of the United States in reference to the establishment of a bank were on June 21, 1780, at which time a committee of three was appointed to confer with the inspectors and directors of this proposed association. The committee reported a series of resolutions, which were unanimously adopted, accepting the offerings of the associators as a distinguished proof of their patriotism, and pledging the faith of the Government for the effectual re-imbursement of the amount advanced. The resolution was accompanied by the following preamble: Whereas a number of patriotic citizens of Pennsylvania have communicated to Congress a liberal offer, on their own credit, and by their own exertions, to supply and transport 3,000,000 rations, and 300 hogsheads of rum, for the use of the Army, and have established a bank for the sole purpose of obtaining and transporting the said supplies with the greater facility and dispatch; and whereas, on the one hand, the associators, animated to this laudable exertion by a desire to relieve the public necessities, mean not to derive from it the least pecuniary advantage, so, on the other, it is just and reasonable that they should be fully re-imbursed and indemnified. In the spring of 1781, Robert Morris, then holding the office of Superintendent of Finance, under appointment of Congress, arranged the system of the Bank of North America. On the 26th of May, 1781, * Pained Dissertations on. Government. 1786. REPORT OF THE COMPTROLLER OF THE CURRENCY. VII Congress adopted a resolution approving the plan submitted by Morris, and promising it a cordial support ; and on December 31 following, it granted the bank a perpetual charter, with capital limited to ten million Spanish silver milled dollars. The amount of capital paid in by the individual stockholders did not, however, exceed $85,000. The Superintendent of Finance, to encourage the undertaking, subscribed $250,000 to the stock on behalf of the Government, but the national finances were so far exhausted that the bank was subsequenly obliged to release $200,000 of the subscription, and its remaining stock paid in was sold to persons in Holland. The bank was opened for business on January 7,1782. Before the month of July following, it had loaned to the Government $400,000, and to the State of Pennsylvania $80,000. The legislature of Pennsylvania granted the company an act of incorporation of perpetual duration on April 1, 1782, which was repealed in 1785, but the bank continued its business under the act of Congress. A change of parties in 1787 brought with it a renewal of the charter by the State of Pennsylvania, limited, ho wever, to tbe term of fourteen years, with a capital of two millions of dollars. In 1790 Hamilton, in his report, refers to the " ambiguous situation in which the Bank of North America has placed itself by the acceptance of its last State charter," and concludes that, as this has rendered it a bank of an individual State, with a capital of but two millions, liable to dissolution at the expiration of its charter in fourteen years, it would not be expedient to accept it as an equivalent for a Bank of the United States. The State charter of the bank was renewed from time to time until December 3, 1864, when it became a national bank, retaining its original name, with a capital of $1,000,000, and a surplus of nearly the same amount. The annual dividends of this bank from 1792 to 1875—eighty-four years—have averaged within a small fraction of eleven per cent. The amount of its outstanding State-bank circulation in 18C2 was $687,000. The amount unredeemed is estimated at $40,000. THE FIRST BANK OF THE UNITED STATES. The first Bank of the United States was proposed by Alexander Hamilton, Secretary of the Treasury, in his report on a national bank made December 13, 1790. In that report he acknowledges the essential service rendered by the Bank of North America, as a fiscal agent of the general Government, from the Commencement of its operations, January 7, 1782, to the close of the revolutionary war, which bank at that time (1790) was operating under the charter obtained from the State of Pennsylvania in 1787. In an elaborate report, he gives at length his reasons for the necessity of the organization of the proposed bank, and disapproves of the proposition to issue United States notes. On this point he says : The emitting of paper money by the authority of Government is wisely prohibited to the individual States by the National Constitution, and the spirit of that prohibition ought not to be disregarded by the Government of the United States. Though paper emissions, under a general authority, might have some advantages not applicable, and be free from some disadvantages which are applicable to the like emissions by the States separately, yet they are of a nature so liable to abuse, and, it may even be affirmed, so certain of being abused, that the wisdom of the Government will be shown in never trusting itself with the use of so seducing and dangerous an expedient.* The capital of the proposed bank was fixed at ten millions; and one- * Finance Report, vol. 1, page 64. VIII REPORT OF THE COMPTROLLER OF THE CURRENCY. fourth of all the private and corporate subscriptions was to be paid in gold and silver, and three-fourths in United States stock bearing six per cent, interest. Two millions were to be subscribed by the United States, and paid in ten equal annual installments by loans from the bank, or, as Mr. Hamilton describes the operation, by " borrowing with one hand what is lent with the other." The board of, directors of the bank was to consist of twenty-five persons, not more than three-fourths of them to be eligible for re-election in the next succeeding year. The bank had authority to loan on real estate security, but could only hold such real estate as was requisite for the erection of suitable banking-houses, or should be conveyed to it in satisfaction of mortgages or judgments. No stockholder, unless a citizen of the United States, could be a director, and the directors were to give their services without compensation. The bills and notes of the bank were made receivable in payment of all debts to the United States. The act of incorporation was opposed in the House of Representatives by James Madison and eighteen others, all of whom, with one exception, were members from the States of Virginia, Maryland, and North and South Carolina. It was also opposed by Thomas Jefferson, Secretary of State, and Edmund Randolph, Attorney-General, in opinions requested by the President. The grounds taken by the opponents of the charter were, a denial of the general utility'of banking systems, and opposition to the special provisions of the bill; but the main force of their objections was directed against the constitutional authority of Congress to pass an act for the incorporation of a national bank' The supporters of the bill in the House of Representatives numbered thirty-nine—a majority of twenty; all of them, except four, being representatives of Northern States, among whom were Fisher Ames, Elbridge Gerry and Theodore Sedgwick, of Massachusetts; Roger Sherman and Jonathan Trumbull, of Connecticut; Elias Boudinot, of New Jersey; and Peter Muhlenberg, of Pennsylvania. Hamilton, Secretary of the Treasury, and Knox, Secretary of War, in official opinions rendered to the President, maintained the constitutionality and the policy of the act. Hamilton's plan, substantially unchanged, was adopted by Congress, and the act was approved by Washington on February 25, 1791. The average dividends of the bank, from its organization to March, 1809, were at the rate of 8J per centum per annum. The 5,000 shares of four hundred dollars each, owned by the United States, were disposed of in the years 1796 to 1802, at a considerable profit, 2,220 shares having been sold in the last-mentioned year at a premium of 45 per cent. According to the Treasury records the Government subscription, with the addition of the interest which was paid by the United States on the stock issued for it, amounted to $2,030,427.71, while there was received by the Treasury in dividends, and from the sale of the bank stock at various times, $3,773,580, the profit realized by the Government being $1,137,152.29, or nearly fifty-seven per cent, on the original investment. The act provided that a report of the condition of the bank should be furnished to the Secretary whenever required by him, but not oftener than once a week. The Treasury records do not show that any formal reports were ever made to the Department, and the only balanced statements to be found, showing the condition of the bank are two, which are contained in letters* of Albert Gallatin, Secretary of the Treasury, * American State Papers— Finance, vol. 2, pp. 352 and 470. REPORT OF THE COMPTR' ,LER OF THE CURRENCY. IX communicated to Congress on March 2, 1809, and January 24, 1811. These reports are follows: January, 1809. January, 1811. RESOURCES. Loans and discounts United States six per cent, stock Other United States indebtedness Due from other banks Real estate Notes of other banks on hand Specie 5, 000, 000 $14,578,294 2, 750, 000 57, 046 894,145 500, 653 393, 341 5, 009, 567 23, 510, 000 24,183, 046 10, 000, 000 510, 000 4, 500, 000 8, 500, 000 10, 000, 000 509, 678 5, 037,125 5, 900, 423 1, 929, 999 634, 348 171, 473 23, 510, 000 24,183, 046 800, 000 480, 000 Totals . Capital stock Undivided surplus Circulating notes outstanding. Individual deposits United States deposits , Dae to other banks Unpaid drafts outstanding $15, 000, 000 2, 230, 000 LIABILITIES. Totals . Renewal of charter. The charter of the bank expired by limitation on the 4th of March, 1811, and application for its renewal was made in April, 1808. In 1810 the subject underwent investigation and discussion in Congress. Albert Gallatin, then Secretary of the Treasury, favored the renewal, with some minor changes. Of the conduct of the bank under its first charter he said: "The affairs of the bank, considered as a moneyed institution, have been wisely and skillfully managed." On the final vote in the Senate, on February 20, 1811, the parties stood 17 to 17, and the bill was defeated by the casting vote of the Yice-President, George Clinton. Mr. Clay voted against its passage, and Mr. Crawford and Mr. Pickering in its favor, the latter voting against instructions of the Massachusetts legislature. The legislatures of Pennsylvania and Virginia instructed their representatives to oppose the renewal of the charter on the ground of its unconstitutionally. The bill was lost in the House by a minority of one vote, as it had previously been in the Senate by the casting vote of the Vice-President, The State banks, which the opponents of the recharter believed adequate to thefiscalrequirements of the Government and to the monetary necessities of trade and iridustry, failed in the trial to which the exigencies of the war of 1812 subjected them. In September, 1814, all of them which were south of New England suspended specie payments. Nearly one hundred of them, in different sections of the country, had been, of necessity, in the absence of a national bank, selected as depositories of Government funds. The check of the redemption of their notes being removed, an expansion of their issues followed; its amount, which was estimated in 1811 at $28,100,000, being in succeeding years, according to Mr. Crawford, as follows :* In 1813, from $62,000,000 to $70,000,000; in 1815, from $99,000,000 to $110,000,000; and in 1819, from $45,000,000 to $53,000,000. During the year 1816 the banks continued to issue largely, and that, in addition to this, floods of unchartered currency were poured out, in notes of all denominations, from six cents upward Great distress resulted to the country from the * Finance Report, vol. 12, page 59. X REPORT OF THE COMPTROLLER OF THE CURRENCY. depreciation of tbe currency, and from the failures of banks in 1818, ?19y and ?20. The root of the evil lay in the attempt of the Government to carry on an expensive war by means of bank-loans, and the notes of State corporations over which it had no control, thereby converting an irredeemable paper, issued by irresponsible institutions, into a national currency, assisting in its circulation and encouraging its expansion. In 1814, Treasury funds to the amount of nearly nine millions of dollars were in the suspended banks; and the correspondence of Secretary Crawford with the deposit-banks, from January 1, 1817, to May 8, 1822? fills two volumes, comprising 1237 pages.* The loans of the Government in 1815 amounted to $35,220,671. Treasury notes were not redeemed, and general distrust prevailed. On October 6, 1814, Mr. Dallas was appointed Secretary of the Treasury, and on the 14th of the same month, in response to a communication from the Committee of Ways and Means, he transmitted a report f strongly recommending the organization of a national bank. In that report he says: The multiplication of State banks in the several States has so increased the quantity of paper currency that it would be difficult to calculate its amount, and still more difficult to ascertain its value. * * There exists, at this time, no adequate circulating medium common to the citizens of the United States. The moneyed transactions of private life are at a stand, and the fiscal operations of the Government labor with extreme inconvenience. * * Under favorable circumstances, and to a limited extent, an emission of treasury-notes would probably afford relief; but treasury-notes are an expensive and precarious substitute either for coin or bank-notes, charged as they are with, a growing interest, productive of no countervailing profit or emolument, and exposed to every breath of popular prejudice or alarm. The establishment of a national institution, operating upon credit, combined with capital, and regulated by prudence and good, faith, is, after all, the only efficient remedy for the disordered condition of our circulating medium. The establishment of a national bank will not only be useful in promoting the general welfare, but it is necessary and proper for carrying into execution some of the most important powers constitutionally vested in the Government. At this time, in place of one United States bank acting as its fiscal agent, the Government accounts were distributed among a large number of State banks, scattered all over the Union Such was the state of the public credit in 1813-'14; that in those two years $42,269,776 of six per cent, stocks, issued by the Government, and running for twelve years, were sold at a discount of nearly fifteen per cent., the Government realizing from their sale but $35,987,762. On February 24, 1815, a loan of $8,856,960, running for nine years, but with interest increased to seven per cent., was negotiated at par,- and on March 3, following, another loan of $9,745,745, for nine months, at six per cent, interest^ brought into the Treasury but $9,284,044, the discount in this instance being nearly five per cent.! In addition to these losses, the money received for the loans was at a heavy discount for specie—the depreciation in the local currency at the close of the war ranging to twenty and even twenty-five per cent., and the Government supplies being obtained only at a proportionate rise in price. Such were some of the results of a State-bank system during the period that followed the expiration of the charter of the bank on March 4, 1811, and until its re-establishment on January 7,1817. The effect of this experience was to revolutionize the opinions of Congress, insomuch that on January 20, 1815, and in accordance with the recommendation of Secretary Dallas, a bill was passed re-organizing the bank, many prominent members of both houses who had previously * 18 Cong., 1 sess., No. 140. t American State Papers—Finance, vol. 2, p. 866. I Elliott's Funding System, pp. 567,572, and 584. REPORT OF THE COMPTROLLER OF THE CURRENCY. XI voted against a renewal of the charter now voting in its favor. The bill was vetoed by President Madison,* in his message of January 30, in which, "waiving the question of the constitutional authority of the legislature to establish an incorporated bank/7 he says : " The proposed bank does not appear to be calculated to answer the purposes of reviving the public credit, of providing a national medium of circulation, of aiding the Treasury by facilitating the indispensable anticipations of the revenue, and by affording to the public more durable loans." These objections the President supported with copious arguments, concluding with the suggestion, that if they did not meet with the approval of Congress they could be constitutionally overruled, but that in a contrary event "a more commensurate and certain provision for the public exigencies" could be substituted. SECOND BANK OF THE UNITED STATES. On the 10th of April, 1816, a bill was approved by President Madison? which was the second and last charter of the bank granted by the general Government. The plan proposed by Mr. Dallas was modeled upon the charter of the first United States Bank, and the act of incorporation, as finally passed, did not differ materially from the plan proposed by him. The charter was limited to twenty years, expiring on March 3,1836. The capital was fixed at $35,000,000, seven millions of which was to be subscribed by the Government, payable in coin, or in stock of the United States bearing interest at five per cent., and redeemable at the pleasure of the Government. The remaining stock was to be subscribed for by individuals and corporations, one-fourth being payable in coin, and threefourths in coin or in the funded debt of the United States. Five of the directors were to be appointed by the President, and all of them were required to be resident citizens of the United States, and to serve without compensation. The amount of indebtedness, exclusive of deposits, was not to exceed the capital of the bank. The directors were empowered to establish branches, and the notes of the bank, payable on demand, were receivable in all payments to the United States. The penalty for refusing to pay its notes or deposits in coin, on demand, was twelve per cent, per annum until fully paid. The bank was required to give the necessary facilities, without charge, for transferring the funds of the Government to different portions of the Union, and for negotiating public loans. The moneys of the Government were to be deposited in the bank and its branches, unless the Secretary of the Treasury should otherwise direct. No notes were to be issued of a less denomination than five dollars, and all notes smaller than one hundred dollars were to be made payable on demand. The bank was not, directly nor indirectly, to deal in anything except bills of exchange, gold or silver bullion, goods pledged for money lent, or in the sale of goods really and truly pledged for loans,, or of the proceeds of its lands. No other bank was to be established by authority of Congress during the continuance of the corporation, except such as might be organized in the District of Columbia, with an aggregate capital not exceeding six millions of dollars; and, in consideration of all the grants of the charter, the bank was to pay to the United States a bonus of $1,500,000, in three annual installments. The bank went into operation on January 7,1817. This was at the worst stage of the monetary troubles, which began with the suspension of specie payments in 1814, and continued till the general crash of 1819-'2O. At this time lands and agricultural products had fallen to one- *American State Papers—Finance, vol. 2, p, 891. XII REPORT OF THE COMPTROLLER OF THE CURRENCY. half the prices which were readily obtainable in 18O8-71O, and to onethird of the value they possessed wrhen the excessive indebtedness of the people was incurred—namely, during the inflation years of the State banks. The contraction of the circulation and the general failures of the State banks began in 1818. The second United States Bank, therefore, came into existence on the very verge of a great monetary crisis. A committee of investigation was appointed by the House on November 30, 1818, which reported that the charter had been violated in four instances; and a resolution was introduced on February 9, 1819, instructing the Committee on the Judiciary to report a bill repealing the act incorporating the bank. This resolution failed of adoption. In 1819, the financial affairs of the country were in a wretched condition. The currency was greatly depreciated; very many failures of State banks, corporations, and individuals had occurred, and the country had not yet recovered from the exhausting effects of its late war. In this emergency the bank attempted, by the importation of more than seven millions of dollars from Europe, at a cost of half a million, to restore soundness to the currency; but it became itself embarrassed, largely through the mismanagement of the branch at Baltimore, and was in danger of absolute failure. Its losses were reported to exceed three millions of dollars; but the bank, as well as the business of the country, eventually recovered. The industries of the people and the finances of the Government prospered from 1820 to 1835. In this interval the national debt was paid, and the stock of the bank rose in the market until it commanded a premium of twenty per ucent. u Long before the election of General Jackson,v says Mr. Parton,* the bank appeared to have lived down all opposition. In the presidential campaign of 1824 it was not as much as mentioned, nor was it mentioned in that of 1828. In all the political pamphlets, volumes, newspapers, campaign papers, burlesques, and caricatures of those years there is not the most distant allusion to the bank as a political issue." It was therefore a surprise to all parties when President Jackson, in his first message, in December, 1829, recommended that Congress should take into consideration the constitutional difficulties which might interfere to prevent a recharter of the bank. During the session of 1832-'33, the House of Representatives, by a vote of 110 to 46, passed a resolution declaring that the public moneys were safe in the bank of the United States. Mr. McLane, then Secretary of the Treasury, was, in 1833, appointed Secretary of State, and Mr. Duane succeeded him in the Treasury. After the adjournment of Congress, Secretary Duane declined to remove the public deposits upon the request of the President, in consequence of which he was displaced and Attorney-General Taney appointed in his stead, by whom they were removed. On the re-assembling of Congress, in December, 1833, the Secretary gave his reasons for removing the deposits.! Resolutions of both houses followed upon this procedure of the Executive, and the memoranda of John Quincy Adams thus briefly presents the results :| " The Senate this day (March 28, 1834) took the question on two resolutions offered by Henry Clay: 1. Censuring the President of the United States for usurpation of power in his late measures; passed by a vote of 26 to 20. 2. That the reasons of the Secretary of the Treasury for removing the deposits are insuffi*Life of Andrew Jackson, by James Parton, New York, vol. 3 ; p. 256. t Finance Report, Vol. 3, p. 337. t Memoirs of John Quincy Adams, comprising portions of his diary from 1795 to 1848, Philadelphia, 1876, vol. 9, p. 116. REPORT OF THE COMPTROLLER OF THE CURRENCY. XIII cient; by 28 to 18." Aiid Mr. Adams adds that, in his opinion, the first of these resolutions should not have been passed: It was afterward (March 16, 1837) expunged from the Senate Journal. On April 4, 1834, he has the following entry:* " The first resolution in the House of Representatives (that the Bank of the United States ought not to be rechartered) was carried, 134 to 82. The second resolution, that the public deposits ought not to be restored to the Bank of the United States, passed by a vote of 118 to 103. The third resolution, that the State banks should be continued as depositories, and that Congress should further regulate the subject by law, passed by 117 to 105. The fourth resolution, directing the appointment of a select committee for a bank investigation, with power to visit the bank and any of its branches, was adopted by a vote of 175 to 42." The Treasury records show that the Government realized a profit of $6,093,167 upon its investment in the stock of the bank, as will appear by the following statement: Bonus paid by the bank to the United States $1,500,000 00 Dividends paid by the bank to the United States 7,118, 416 2i> Proceeds of stocks sold and other moneys paid by the bank to the United States 9,424,750 73 Total 18,043,167 07 Five-per-cent. stock issued by the United States for its subscription to the stock of the bank $7, 000, 000 Interest paid on the same from issue to redemption 4, 950, 000 11,950,000 00 Profit 6,093,167 07 The agitation of the United States Bank question, involving the general subject of the currency, which was awakened by President Jackson's first annual message, had become earnest in Congress as early as the session of 1829-'3O; and it grew more and more intense until, as a subject of legislation, it was settled on July 10, 1832, by his veto of the bill for rechartering the bank. The interval of about six years from the time of the President's first intimations of hostility to the bank to the expiration of its charter, in March, 1836, is memorable for the persistence and violence of the warfare between the bank and its party, and the administration and its supporters, in and out of Congress. The most important event which marked the struggle was the removal of the deposits of the Government from the Bank of the United States to the State banks, under the order of Secretary Taney, executed on the 1st of October, 1833, which has already been noticed. Removal of the public deposits. u The Globe, of the 20th of September, 1833, announced that the public deposits would,' after the 1st of October, be made in the State banks, but that it is contemplated not to remove at once the whole of the public money now on deposit in the Bank of the United States, but to suffer it to remain there until it shall be gradually withdrawn by the usual operations of the Government.7 The bank thenceforward knew that if its own policy should be pacific, it had nothing to fear from any unusual call from the Government; yet with specie enough in its vauits to pay the entire public deposit at once, it maintained its stringency, under the pretext that it must be prepared for vindictive attacks from the Treasury Department."* * Memoirs of John Quincy Adams, vol. 9, p. 122. t Autobiography of Amos Kendall, Boston, 1872, p. 398. XIV REPORT OF THE COMPTROLLER OF THE CURRENCY. But other results followed, which were of much more consequence than the question of the fitness or unfitness of a particular fiscal agency of the Government. The State banks which were selected as depositories of the large revenues of the Treasury expanded their issues, and a multitude of other banks, old and new, went wild in a general inflation of the circulation. The aggregate of their circulating notes (exclusive of those of the Bank of the United States) rose from $61,000,000 in 1830 to $149,000,000 in 1837. In March, 1830, the Finance Committee of the Senate had said: u They are satisfied that the country is in the enjoyment of a uniform national currency, not only sound and uniform in itself, but perfectly adapted to all the purposes of the Government and the community, and more sound and uniform than that possessed by any other country.77 And yet, but seven years after this, on the 10th of May, 1837, all the banks then in operation, with the mammoth United States Bank of Pennsylvania among them, went into suspension, as if by common consent; or, as Colonel Benton has it, " with a concert and punctuality of action which announced arrangement and determination such as attend revolts and insurrections in other countries f and he declares that u the prime mover and master manager of the suspension was the Bank of the United States, then rotton to the core and tottering to its fall, but strong enough to carry others with it, and7 seeking to hide its own downfall in the crash of a general catastrophe. '* This allegation derives some support from the report of the committee of the stockholders, made in January, 1841, after the failure of the bank. They say: u The origin of the course of policy which has conducted to the present situation of the affairs 7 the institution dates beyond the period of the of recharter by the State.' Favored by an excess of importations of specie, amounting to nearly twenty millions in the two years ending September 20, 1838, the banks of New York and New England resumed on May 10 of that year. The banks of Philadelphia made three resumptions and as many failures before February, 1841, and did not effectively resume until March of the following year; so that, from the time when the Senate commttee had so highly commended them, a period of twelve years of vicious fluctuation and depreciation of the currency elapsed before the banks again settled into what was then called " a state of regularity.77 During this period they reduced their circulation from 149 millions in 1837 to 58 millions in 1843, which is three millions below the amount at which it stood thirteen years before. The United States Bank did not wind up its affairs, nor even prepare to do so; on the contrary, it applied for and obtained a charter from the legislature of Pennsylvania, which was granted and approved by the Governor of the State on the 18th of February, 1836, just thirteen days before the expiration of its charter from the general Government. This charter differed in nothing essential from that just expiring, except in the term of the bank, which was extended to thirty years, and in the amount of the bonus paid and to be paid for it. It was in effect a renewal and extension of the charter, without change of conditions or purposes, and under the old corporate name. The title ofa the act of incorporation, however, is worthy of note. It is styled, A n act to repeal the State tax on real and personal property, and to continue aud extend the improvements of the State by railroads and canals, and to charter a State bank, to be called the United States Bank.77 The bonus, or cost of the charter to the bank, if it had maintained its ex• istence and solvency long enough to meet the charges imposed, would * Ben ton's Thirty Years in United States Senate, vol. 2, p. 21. REPORT OF THE COMPTROLLER OF THE CURRENCY. XV not have fallen short of five millions of dollars, assuming, which it is safe to do? that the long list of subscriptions required to be made to railroads, canals, navigation companies, and turnpike roads, scattered all over the State, should eventually prove to be unproductive. Colonel Benton describes the Pennsylvania charter as " a transmigration of the Bank of the United States, * # changing itself from an imperial to a provincial institution, retaining all the while its body and essence, its nature and attributes, its name and location ;" and he does not hesitate to ascribe u every circumstance of its enactment to corruption, bribery in the members who passed the act, and an attempt to bribe the people by distributing the bonus among them.w* The subsequent disastrous history of the bank would seem in some measure to justify these charges. This bank, as has been seen, suspended specie payments as often as other State institutions, and finally succumbed to trials which other banks, more prudently managed, survived. It made an assignment of certain securities on May 1,1841. to secure five millions of post-notes which other banks had taken in exchange for its demand-notes. The second assignment was made June 7, 1841, to secure its notes and deposits, " among which were notes and deposits of the late Bank of the United States, incorporated by Congress," so that it appears to have been, up to 1841, using its old issues. The third and final assignment, made on September 4,1841, covered all its remaining property,64 to provide for the payment of sundry persons and bodies corporate which the bank is at present unable to pay." Nicholas Biddle had been the president of the bank from January, 1823, uto March, 1839, when he resigned, leaving the institution, as he said, prosperous." The shares, however, were sold at that time at 111, instead of 125, as in 1837, and were quoted in April, 1843, alter its failure, at one and seven-eighths. The final result of the liquidation of the bank is briefly stated in a letter to this Office from Thomas Robins, esq., president of the Philadelphia National Bank, who is believed to be the only survivor of its numerous assignees. He says: UA11 the circulating notes of the Bank of the United States, together with the deposits, were paid in full, principal and interest, and the accounts of the assignees were finally settled in 1856. There were no funds, and no dividend was paid to the stockholders of the bank ; the whole twenty-eight millions of dollars were a total loss to them. The seven millions of stock held by the United States previous to the institution becoming a State bank was paid in full to the Government, so that the United States lost nothing by the bank." Elsewhere the profit made by the Government upon its shares in the bank is given from official sources. MASSA CHUSETTS. ! Massachusetts followed Pennsylvania very closely in the establishment of banks, for within two mouths after the Bank of North America opened in Philadelphia the State of Massachusetts granted it an act of incorporation. This was on March 8, 1782. The success of this institution led, two years later, to the organization of the Massachusetts Bank, which received its charter from the legislature on February 7, 1784. This was the first local bank established in that State, and the second in the United States. Its capital was limited to $300,000, of * Beuton's Thirty Years in United States Senate, vol. 2, p. 24. tThree articles on early banking in Massachusetts, written by D. P. Bailey, jr., are published in the present volume (Vol. XI) of The Bankers' Magazine, New York, from which hav^e bean obtained many of the facts herein given. XVI REPORT OF THE COMPTROLLER OF THE CURRENCY. which 8253,500 had been paid in when it commenced business on July 5 of that year. During the ninety-two years which have elapsed since this bank was established it has passed but two dividends, the first instance occurring at the close of the war of 1812, and the second during the financial crisis of 183G. But when the bank was converted into a national association it compensated for these omissions by declaring an extra dividend of ten per cent. Up to June 1, 1874, a period of ninety years, the ratio of its losses to the total amount loaned was but four-hundredths of one per cent. In the eighty years of its existence as a State bank, from 1784 to 18G4, the whole amount of circulating notes issued by it was $4,674,177, of which the amount lost or not presented for redemption was $22,111, or not quite one-half of one per cent. No further bank-charter was granted by this State until 1792, in which year the Union Bank was organized, with a specie capital of $1,200,000, of which $400,000 was subscribed by the State. During this interval the currency was in bad condition. Small bills had nearly driven specie out of circulation, when, in 1792, the legislature prohibited any further issue of notes of a less denomination than five dollars. Provision was made for legislative examinations of the Union Bank, and it was made the depository of the funds of the commonwealth. It was also required to loan not exceeding $100,000 to the State at five per cent, interest, and provisions of a similar nature appeared in most of the charters subsequently granted. In 1795 Massachusetts incorporated her third bank, the Nantucket, with a capital of $40,000, and in the same year the Merrimac, at Newburyport, was established. The prohibition against the issue of small bills was waived in the case of these banks, each of them being allowed to issue notes as small as two dollars. Up to 1799 but five banks had been incorporated. In that year a general law was enacted prohibiting the establishment of unincorporated associations, or the farther issue, except by the Nan tucket Bank, of notes of a less denomination than five dollars. In 1803 an act was passed requiring the banks to make semi-annual returns of their condition to the governor and council, to be signed by the directors ; and by an act of 1805 the returns were required to be sworn to. The returns made in June, 1805, showed sixteen banks then in operation, with an authorized capital of $5,760,000, of which $5,460,000 had been paid in. From this time to 1811 but one other bank was chartered. The currency had, in the mean time, again become greatly deranged, notes as small as twenty-five cents being largely in circulation, and specie once more nearly disappeared. Many of the New England banks failed during the crisis of 1808-'9, but those of Massachusetts, resting on a firmer basis, by a sudden contraction of their issues mainly escaped. The discount in Boston on New England bank-notes ranged, in 1809, from ten to sixty per cent., and in Philadelphia many of them were at a discount of fifty per cent, or more. To remedy this evil the legislature of Massachusetts passed an act on January 1, 1810, fixing a penalty of two per cent, a month, payable by the bank to the bill holder, for failure or refusal to redeem their notes on presentation. Two banks were chartered in 1811, one of which was the State Bank of Boston, with an authorized capital of $3,000,000, the State reserving the right to subscribe for $1,500,000 additional. This subscription, however, was never made. It may here be said that in nearly all the charters granted subsequent to the year 1793 provision was made for a State subscription, usually about one-third of the capital. Under these provisions the State became largely interested in the banking business, REPORT OF THE COMPTROLLER OF THE CURRENCY. XVII holding in 1812 about $1,000,000 of bank-stock, the total bank capital in the State being then about §8,000,000. Nearly all the banks were newly chartered in 1811, the new charters generally reducing the authorized circulation from twice the amount of paid-in capital to fifty per cent, in excess of such capital. In L812 the State commenced taxing bank capital, the rate imposed being one-half of one per cent. In 1813 a movement toward a reform in the bank currency began. Bills of banks in other States were then at a discount in Boston of from three to five per cent., and the notes of Boston banks had nearly disappeared. The New England Bank, organized in that year, with a capital of $1,000,000, instituted the system of sending foreign bills for redemption to the banks which issued them, and charging the bill-holders only the actual expense of transmitting the notes and returning the proceeds. This was the beginning of the system of redemption afterward known as the Suffolk Bank system. This system was more fully developed at a later period (1825), when five of the Boston banks—the Suffolk, Eagle, Manufacturers and Mechanics' (now the Tremont), the Globe, and State—undertook its management. For a long time the system was bitterly opposed by those banks interested in preventing a return of their circulation, but it was eventually successful. Its exclusive management was finally assumed by the Suffolk Bank, which bank compelled the redemption at par in Boston of the notes of the New England banks, by a system of assorting and returning the notes to the place of issue, and its operations were continued down to the establishment of the national-bank system. The amount of New England bank-notes redeemed at the Suffolk Bank from 1841 to 1857 was as follows, in millions of dollars: Bate. 1841 1842 1844 1845 . . . Millions. 109 105 126 137 Date. 1846 1847 1848 1849 Millions. 141 165 178 199 Date. 1850 1851 1852 1853 Millions. 220 243 .245 288 Date. 1854 1855... 1856 1857 . . Millions. 231 341 397 376 The Massachusetts banks did not suspend in 1814, which was attributable in a great measure to the fact that the laws of the State imposed a heavy penalty for non-payment of their notes. The whole number of banks chartered previous to January 1, 1825, was forty-nine, with an authorized capital of $20,800,000. Of this number, however, nine had either failed, discontinued, or had never gone into operation. Reductions in capital of many of the remaining banks had also taken place, leaving at the date named forty banks in operation, with $14,305,000 of authorized capital, of which $13,300,000 had been paid in ; so that at the close of the first forty-one years of banking in Massachusetts, not less than eighty-two per cent, of the whole number chartered, together with seventy per cent, of the capital authorized, still remained in existence. In this year, the limit of circulation was still further reduced to the amount of the capital paid in. The first really comprehensive banking law of Massachusetts was passed in 1829, under which new banks were required to have fifty per cent, of their capital bonafidepaid in in specie before commencing business. It also prohibited loans to shareholders until their subscriptions were entirely paid in, and limited the amount of loans on pledges of its own stock to fifty per cent, of the capital. The limit of circulating notes was increased to twenty-five per cent, in excess of the paid-in II C 0 XVIII REPORT OF THE COMPTROLLER OF THE CURRENCY. capital, and debts due to or from any bank, exclusive of deposits, were restricted to twice the amount of such capital, the directors being held personally liable for any excess. On January 1, 1837, there had been organized, in all, 138 banks, with an authorized capital of $40,830,000. Of this number, four had never gone into operation, while, of the remaining 134, no less than thirty-two had either failed or had forfeited or surrendered their charters in consequence of the financial panic of that year. The nominal capital of the banks that failed was $5,500,000; their liabilities were $11,283,960, of which $3,133,129 was for circulation and $1,577,738 for deposits. The loss to their shareholders was estimated at $2,500,000, and to the public at three-quarters of a million more, making a total loss of about three and one-quarter million of dollars, or nearly thirty per cent, of their entire indebtedness. During the iifty-two years from 1784 to 1836 ten banks only had failed or discontinued, the total losses to their shareholders and the public probably not exceeding one-third of a million of dollars. One of the results of this crisis was the adoption by Massachusetts of a system of official examinations of the banks, through the agency of a board of bank commissioners, who were required to make annual examinations of every bank, and special ones whenever requested by the Governor of the State. A free-banking law was passed in 1851, very similar in its provisions to that of the State of New York, but not more than seven banks were ever organized under it; the system of chartered banks which had so long prevailed mainly occupying the field down to the time of the national-banking system. Upon the establishment of the latter system the State did much to facilitate the conversion of State into national banks, and the first institution to avail itself of this privilege was the Safety Fund Bank of Boston, in 1863, under the title of the First National Bank of Boston. The conversions progressed so rapidly that in October, 1865, but a single bank remained doing business under a State charter. At the latter date, of the 183 State banks which existed in 1863, four had been discontinued and 178 had become national banks. A writer in Hunt's Merchants' Magazine for 1840 has compiled the statistics of the dividends paid by the Massachusetts banks in the last half of each of the thirty-two years from 1808 to 1839, inclusive. As the State in 1813 imposed an annual tax of one per cent, on bank capital, the writer mentioned separates the whole time into two periods and finds that for the five years ending with 1812 the average semi-annual dividends paid by all the banks was $3.72 upon each one hundred dollars of capital; while for the twenty-seven years which followed the imposition of the bank-tax the average semi-annual rate was $2.96 per hundred. Taking the whole period of thirty-two years together, the semi-annual average was about three and one-tenth per cent. Assuming that the dividends paid in the first half of these years did not differ materially from those paid in the last half, the average annual dividends on capital were, for the first five years 7.45 per cent., for the succeeding twenty-seven years 5.93 per cent., and for the whole period 6.17 per cent., or at the rate of about six and one-sixth per cent, per annum for the whole period.' The average annual ratio of dividends to capital of the national banks of Massachusetts from 1870 to 1876 was 9.6 per cent., and the ratio of dividends to capital and surplus for the same period was 7.6 per cent. The following table exhibits the number, capital, loans, deposits, circulation, and specie of the banks of the New England States in KEPORT OF THE COMPTROLLER OF THE CURRENCY. XIX various years from 1837 to 18G3, the figures below thousands being omitted: Years. 1837 1840 1843 1846 1850 . 1854 1856 1857 1858 1861 1862 1863 jSTumber of b a n k s . Capital. 321 301 276 267 307 439 506 498 501 506 511 507 $65, 684 61,915 57, 637 56, 024 65, 443 100, 897 114, 376 117, 262 119,590 123, 707 127, 291 126, 820 Loans. $99, 364 81,516 74, 014 89, 243 107, 439 172, 447 187, 540 187, 750 177, 896 194, 867 191,748 216, 342 Deposits. Circulation. Specie. $20, 290 11,647 13, 204 14, 636 17,141 31, 366 35, 373 28,196 41, 877 40, 823 49, 241 66, 732 $20,123 16, 571 16, 324 26, 870 31, 709 52, 749 53, 990 41,418 39, 565 44, 991 39, 307 65, 516 $3, 316 4,538 8,360 4,295 4, 627 6,835 7,308 6,392 13, 774 10, 038 12,116 12, 826 NEW YORK. The Bank of New York began business in 1784, under articles of association drawn by Alexander Hamilton, who was a member of its first board of directors. This bank was chartered by the legislature on March 21,1791, and was the first bank in the State organized under legislative sanction, and the third bank in the United States. It was organized with a capital of $900,000, in shares offivehundred dollars each. The State subsequently subscribed for one hundred shares, making the capital $950,000, and the bank commenced business on May 2, 1791. In 1832 the capital was increased to one million dollars by a State subscription offifcythousand dollars,fifteenthousand of which was for the use of common schools, twenty thousand for Union College, and fifteen thousand for Hamilton College. On May 1, 1852, it was re-organized as a free bank, under the general laws of the State, with a capital of $2,000,000. On January 6, 1865, it became a national bank, the capital having previously been increased to $3,000,000. During its seventy-four years of existence as a State bank it paid 162 dividends, varying in amount from three to five per cent, semi-annually, averaging a little more than eight per cent, per annum, and amounting in all to over six times its capital. Since it became a national bank, dividends have been declared at the rate of ten per cent, per annum. The gross losses during the history of the bank amount to about $750,000, having never exceeded onequarter to one-half of one per cent, of capital during any single year, except during the intervals from 1837 to 1842, and from 1873 to 1875. The bank was a favorite of the federal party at the time of its organization. Between the dates of incorporation of the Bank of New York and of the declaration of war with Great Britain, on June 11, 1812, nineteen banks were chartered by the legislature, with an authorized capital of $18,215,000. Among these banks were the Manhattan Company, Merchants', Mechanics', Union, Bank of America, and City Bank, all of New York City; the New York State and tbe Mechanics and Farmers', of Albany, and the Bank of Utica. Seven of these, including the Bank of New York, have become national banks, while three of them are at present the leading banks organized under State laws, and all have maintained a high credit from the date of their organization to the present time. Twenty-four additional banks were chartered between 1812 and the date of the passage of the safety-fund act in 1829, the amount of chartered capital at the latter date being $25,105,000, of which amount $13,770,000 was authorized for banks in New York City. In 1799 the Bank of New York was under the control of federalists, XX REPORT OF THE COMPTROLLER OF THE CURRENCY. and both branches of the legislature were in the hands of that party. As it was not probable that any bank to be controlled by the opposition would be authorized, a bill was prepared, largely through the influence of Aaron Burr, authorizing a company with a capital amounting to $2,000,000, to supply the city of New York with water, and providing that the surplus capital might be employed in the purchase of public or other stocks, u or in any other money transaction or operation not inconsistent with the laws and Constitution of the United States or of the State of New York." The real purpose of the act was concealed, the majority of the legislature not perceiving that the charter contained a grant for banking purposes, and the act, which incorporated the Manhattan Company, was passed under this misapprehension. In 1792 the Bank of Albany was chartered, capital $240,000. " In 1793 the Bank of Columbia, located at Hudson, where it was proposed to open a foreign trade and establish a whale-fishery business, by a company from Ehode Island, was chartered, with a capital of $160,000."* In the year 1803 application was made to the legislature for the charter of the New York State Bank, at Albany. The applicants for the charter alleged that the Bank of Albany was owned by federalists, and was so managed as to be oppressive to business men who were republicans.! They also petitioned the legislature that the charter for the bank should grant to them, exclusively, the Salt Springs in the State for say sixty years, on the condition that the price of salt at the salt-works should not exceed five shillings per bushel, and that they should pay annually to the State $3,000 for the first ten years, $3,500 for the second ten years, and $4,000 annually thereafter. The bill was reported, including a clause granting the exclusive right to the Salt Springs; but this clause was subsequently stricken out, and the charter granted with an authorized capital of $460,000. The Merchants' Bank of New York applied for a charter at the same session at which the charter of the State Bank was granted. Through the influence of the Clintons and Livingstons, the charter for the State Bank at Albany was granted. u The ground taken in its favor was that the only three banks in the State of New York—the Bank of Columbia at Hudson, the Bank of Albany, and the Farmers' Bank near Troy—were all in the hands of the federalists. The republican character of this new bank, and the passage of its charter were both secured by admitting all the Clintonian members of the legislature to subscribe for a certain number of shares. The prevailing party in the legislature refused a charter to the Merchants' Bank, already in operation under articles of copartnership, and also to a moneyed corporation applied for by the friends of Burr." j The Merchants' Bank of New York, disappointed in obtaining a charter in 1803, had continued business under its articles of association. A fresh application for a charter had been made in 1804 5 but instead of granting one, the legislature of that year passed an act prohibiting banking by unincorporated companies, under severe penalties, declaring notes or other securities for the payment of moneys to such companies absolutely void, and giving the Merchants' Bank one year in which to wind up its affairs. " Similar acts for the restraint of private banking had recently been passed in Massachusetts, copied from the old act of Parliament of 1741, the first enforcement of which in New England had almost produced a rebellion. The stockholders of the Merchants' Bank, not discouraged, again made their appearance at Albany. The ^Hammond's Political History of New York, vol. 1, p. 324. t Ibid., p. 328. $ Hildreth's History of United States, vol. 5, p. 477. REPORT OF THE COMPTROLLER OF THE CURRENCY. XXI leading democrats, from their concern in the Manhattan and other banks, were not only deeply interested in keeping up a monopoly, but they also considered it quite intolerable that an association of federalists should presume to ask a democratic legislature for a bank charter. After very hot debates and a violent altercation, in which two senators, both having the title of judge, came to actual fisticuffs within the senatorial precincts, the bill of incorporation passed the senate by a majority of three votes." * No further serious contests over bank charters occurred until 1812, when application wras made for the incorporation of the Bank of America with a capital of six millions. The applicants offered a bonus of $600,000 to the State, of $400,000 to the common-school fund, $100,000 to the literary-fund, and $100,000 to be paid into the treasury at the end of twenty years, provided that no other bank should in that time be chartered. One million of dollars was to be loaned to the State, to be used in constructing canals, and one million to farmers. The enacting clause of the bill for chartering the bank passed the assembly by a vote of 52 to 46. Disclosures were made of attempts by the applicants to bribe members of both houses, but the bill passed the assembly by a vote of 58 to 39. When it became evident that the bill would pass the senate, Governor Tompkins, who was subsequently twice elected Yice-President of the United States, sent a message to the two houses, proroguing the legislature until May following, under authority of a clause in the constitution of 1777. One cause assigned by the governor for this action was that sufficient proof had been furnished him to show that the bank applicants had used, or attempted to use, corrupt means to secure the charter, f The charter was granted, but the capital was subsequently reduced to $2,000,000, and the subsidy to the State diminished to $100,000. Books for subscription to the stock were opened in ten different States, and stock in the United States Bank, whose charter had just expired, was received in subscription to the stock of this bank, and also of the City Bank, which was organized during the same year. The City Bank w^as to pay $120,000 to the State for school purposes, wrhich amount was subsequently reduced to $60,000. A clause was inserted in the constitution of 1821 which required the assent of two-thirds of both branches of the legislature in order to incorporate a moneyed institution. The only effect of the restrictive clause was to increase the evil by rendering necessary a more extended system of corruption.^ Safety fund banks. The safety-fund system was recommended by Mr. Yan Buren in his message as governor in 1829, and the act establishing it passed the legislature and became a law on April 2 of that year. Forty banks were then in operation, and their charters were about to expire. It is said to have been suggested by a system which originated with the Hong merchants in China, by which each member contributed to uphold and cherish the weak members of the Hong.§ The act authorized the issue of circulating-notes not exceeding twice the amount of capital paid in, and limited the loans to twice and one half the amount of the capital. The feature of most importance in the act was the establishment of a com* Hildreth's History of the United States, vol. 5, pp. 548-50. t Hammond's Political History of New York, vol. 1, p. 309; Buffalo, 1850. t Ibid., p. 328. § Letter of Abijah Mann, page 37, in " Banks and Banking in the State of New York" by A. C. Flagg, late comptroller. 1868. XXII REPORT OF THE COMPTROLLER OF THE CURRENCY. mon fund, by a provision requiring every banking corporation thereafter organized, or whose charter should be renewed or extended, to pay annually to the treasurer of the State a sum equal to one-half of one per cent, of its capital stock paid in, the payments to be continued until every such corporation had paid into the treasury three per cent, upon its capital stock. The fund thus created was made applicable to the payment of the circulation and other debts of any insolvent bank contributing to the same. If the fund became at any time diminished by payments from it, each bank was required to renew its annual contribution until the deficiency was restored. Contributions to the fund were first made in 1831. In 1841-?42 eleven of the safety-fund banks failed, with an aggregate capital of $3,150,000. The sum which had been paid into the fund by these banks was but $86,274) while the amount required for the redemption of their circulation was $1,548,588, and for the payment of claims of their other creditors $1,010,375, making a total of $2,558,933. According to the report of the State comptroller, made in 1849, the whole amount contributed to the fund down to September 30, 1848, was but $1,876,063; and even if full payments, as required by law, had been made by all the banks organized under the system, the fund would still have been insufficient to pay the deficiency occasioned by the insolvency of these eleven banks. This deficiency was subsequently provided for by the issue of a six per cent, stock by the State, to be re-imbursed largely by new contributions from the banks. During the year 1842 the act was so amended that the safety-fund became a security only for the notes in circulation, and not for the other debts of the banks. The safety-fund act did not provide for the organization of new banks ; such banks were still required to obtain special charters, as before the passage of the act. Another feature of the system was the appointment of three bank commissioners to supervise and inspect the several banks, and report annually to the legislature the result of their investigations. It was supposed that in a commission consisting of three persons each would be a check upon the others. To effect this purpose, the governor and senate were to appoint one commissioner, the banks in the southern portion of the State another, and the remaining banks a third. The stock of the safety-fund banks was distributed by agents selected from the neighborhood of the institutions, and was in many instances divided among the political friends or favorites of the agents. The bank commissioners in their report for 1837 say of this: "The distribution of bank-stocks created at the last session has in very few, if any, instances been productive of anything like general satisfaction. In most instances its fruits have been violent contention and bitter personal animosities, corrupting to the public mind and destructive of the peace and harmony of society." The commissioners, in despair at the situation and the general complaints, proposed that the stock should thereafter be sold at auction. The law authorizing the appointment of commissioners was changed in 1837, so as to give the selection of all three of them to the governor and senate. Hon. Millard Fillmore, comptroller of the State of New York, in his report for 1849, says : " This, of course, brought them within the vortex of the great political whirlpool of the State, and the place was sought for and conferred upon partisan aspirants without due regard in all cases to their qualifications to discharge the delicate trust committed to them. This state of things, under the administration of both the great political parties of the State, continued until 1843, when the REPORT OF THE COMPTROLLER OF THE CURRENCY. XXIII legislature abolished the office and conferred the power of examining these banks upon this Office whenever there was reason to suspect that a bank had made an incorrect report, or was in an unsafe or unsound condition to do banking business." The restraining acts. The restraining act of 1804, to which reference has been made, prohibited any person, under a penalty of one thousand dollars from subscribing to or becoming a member of any association for the purpose of receiving deposits, or of transacting any other business which incorporated banks may or do transact by virtue of their acts of incorporation. This restraining law is said to have been passed through the aid of influential men who controlled and were interested in banking corporations then in existence, its purpose being to prevent private banking institutions from continuing business. This law prohibited associations of persons from doing a banking business; but individuals and incorporated institutions subsequently issued bills in denominations as low as six, twelve, twentyfive, fifty, and Seventy-five cents. To prevent the further issue by irresponsible persons of currency in the similitude of bank-notes, which had become a great evil at the close of the war of 1812, the restraining act of 1818 was passed, which provided that no person, association of persons, or body-corporate, except such bodies-corporate as were expressly authorized by law, should keep any office for the purpose of receiving deposits, or discounting notes or bills, or for issuing any evidence of debt to be loaned or put in circulation as money. This law remained upon the statute-books for thirty-two years, and, after various unsuccessful attempts, was finally repealed in 1837, one year before the passage of the free-banking law. Free banking system. The free-banking system of New York was authorized on April 13, 1838. Under its provisions any number of persons was authorized to form banking associations upon the terms and conditions and subject to the liabilities of the act. The law originally provided that such associations, on depositing stocks of the State of New York or of the United States, or any State stock which should be, or be made, equal to a five-per-cent. stock, or bonds and mortgages on improved and productive real estate worth, exclusive of the buildings thereon, double the amount secured by the mortgage, and bearing interest at not less than six per cent, per annum, should receive from the Comptroller of the State an equal amount of circulating notes. Previous to the year 1843, twenty-nine of these banks, with an aggregate circulation of $1,233,374, had failed; and their securities, consisting of stocks, and bonds and mortgages, amounting to $1,555,338, were sold for $953,371, entailing a loss of $601,966. The avails of the securities were sufficient to pay but seventy-four per cent, of the circulation alone. The losses to the bill-holders occurred only in the case of those banks which had deposited State stocks other than those of New York. The law was thereupon so amended as to exclude all stocks except those issued by the State of New York, and to require these to be made equal to a five-per-cent. stock. An amendment in 1848 required that the stocks deposited should bear six per cent, interest instead of ^ve^ and that the bonds and mortgages should bear interest at seven per cent., and should be on productive property and for an amount not exceeding XXIV REPORT OF THE COMPTROLLER OF THE CURRENCY. two-fifths of the value of the land covered by them. Subsequently, on April 10, 1849, the law was again so amended as to require that at least one-half of the securities so deposited should consist of New York State stocks, and that not more than one-half should be in the stocks of the United States, the securities in all cases to be, or to be made, equal to a stock producing an interest of six per cent, per annum, and to be taken at a rate not above their par value and at not more than their market value. The banks were under the supervision of a commissioner appointed under the safety-fund act until the year 1843, in which year they were required to report to the State comptroller; but in 1851 the present office of bank superintendent was established. In 1840 a law was passed requiring the banks of New York to redeem their notes at an agency of the bank, either in New York City, Albany, or Troy, at one-half of one per cent, discount. This discount was reduced in 1851 to one-fourth of one per cent. After the passage of this act, two of the principal banks in the city of New York inaugurated a plan of redemption similar to the Suffolk system. The notes of such associations as kept a deposit with them were returned to the banks of issue, and the discount of one-fourth of one per cent, was divided between the redemption agent and the associations whose notes were redeemed. Those banks which did not provide the means for redemption were forced to close up their affairs. Hon. Millard Fillmore, comptroller of the State of New York, in his report for 1849, says: The safety-fund banks derived much of their credit from the individuals incorporated. By granting a special charter in each case, the legislature had it in its power in some measure to control this matter. The practice of granting exclusive privileges to particular individuals invited competition for these legislative favors. They were soon regarded as part of the spoils belonging to the victorious party, and were dealt out as rewards for partisan services. This practice became so shameless and corrupt that it could be endured no longer, and in 1838 the legislature sought a remedy in the general banking law. This was the origin of the free-banking system. Since that time no safety-fund bank has been chartered, and in 1846 the people set their seal of reprobation upon this practice of granting special charters for banking purposes, by providing in the new constitution that " the legislature should have no power to pass any act granting any special charter for banking purposes, but that corporations or associations might be formed for such purposes under general laws." The constitution of 1846 also provided that, after the year 1850, stockholders of banks issuing circulating notes should be individually responsible to the amount of their shares for all debts and liabilities of every kind, and that in case of the insolvency of any bank or banking association, the bill-holders should be entitled to preference in payment over all other creditors; and the constitution, as amended in 1874, still contains substantially the same provisions. REPORT OF THE COMPTROLLER OF THE CURRENCY. XXV The following table exhibits the number of banks in the State of New York and in New York City, with their principal items of resources and liabilities iu various years, from 1836 to 1876, the national banks being included for the year 1865 and subsequently : State and city of New York. Banks. 1836.. 1837.. 1838.. 1840.. 1843.. 1846.. 1849.. 1852.. 1853.. 1856.. 1857.. 1858.. I860.. 1865.. 1870.. 1871.. 1872.. 1873.. 1874.. 1875.. 1876.. 86 98 95 96 137 152 192 240 280 303 311 301 306 415 351 361 356 356 358 365 365 City of New York. Capital. Loans. Depos- Circula- Specie. Banks Capital. Loans. Depos- Circula- Specie. tion. tion. its. its. Millions Millions Millions Millions MilVns 6.2 31.3 72. 5 19.1 21.1 6.6 37.1 79.3 19.3 24. 2 4.1 61 36.6 15.7 12. 4 5.9 36.8 52.8 16.1 10.6 43.4 61.5 27.4 17.2 11.5 43 72 8 30.6 22.3 8.1 45.5 90.2 38.2 24.2 65 59.7 127.2 27.9 13.3 79 78.1 145.9 32.6 14. 1 34 96.4 96.9 183.9 12.9 107.5 83.5 170.8 27.1 14.3 110.3 108.2 192.2 28.5 28.3 111.8 200.1 116.2 31.8 21.7 134.5 213.8 263.6 38.8 12.5 64 132. 2 288.8 261.2 15.5 135. 5 339.5 303.9 61.6 12.2 59 7.8 135.1 335 317.8 135.2 357.4 294.1 57.8 17.7 55 132.4 320.8 350.2 16.5 6 351 130.9 47.3 291.6 294 128.1 321.7 42.3 16.6 22 23 22 22 24 22 26 41 56 55 52 54 55 69 78 82 78 75 75 76 75 Millions Millions Millions Millions MilVns 7.6 4.7 14.8 43.2 18.4 9.7 4.7 14.9 46.2 20.4 3.6 2.9 12.5 34.1 20.2 4 4.5 12.5 26.9 20.2 5.8 22.1 37.5 24.1 10.5 6.2 7.1 23.8 39.5 23.8 53 6 7.2 23.9 25.4 8.1 50. I 81.8 35.5 12.2 8.3 13 56.1 86.8 46.9 109 8.4 68.5 55.6 11.7 7.4 65 59.5 106.5 13.1 125 7.6 68 81.5 26.8 9.3 81.3 121.9 69.9 20.3 13 203.7 137.8 84.2 11.9 33 202 15 87.2 203.7 89 244 12 233.9 30.7 7.6 248.5 88.3 232.6 28.1 87.5 247.5 218.9 27.5 17.5 245.9 85.1 246.4 25.3 16.2 5.8 217.1 84.2 246.6 18 3 222.6 223.5 81.7 14.9 16.1 OTHER STATES* Ohio.—Thefirstbank organized in Ohio was chartered in 1803—five months after the admission of the State into the Union, under the name of the Miami Exporting Company. It was authorized to continue for forty years, with a nominal capital of $500,000, divided into shares of one hundred dollars each, and payable,fivedollars in cash and the remainder in produce and manufactures such as the president and directors might receive. Its "main purpose was to facilitate trade, then suffering under great depression." It subsequently issued bills and redeemed the same in notes of other banks, but was finally compelled to close up its affairs. The first regular bank in Ohio was established by charter at Marietta in 1808, with a capital of half a million of dollars. During the same year a bank was established at Chillicothe, tlien the seat of the State government, with a capital of $100,000. From 1809 to 1816 four banks were chartered, among which was the Farmers and Mechanics' Bank of Cincinnati, with a capital of $200,000. In 1816, an act was passed chartering six banks, with a capital of $100,000 each, and extending the charters of six others, having an aggregate capital of $1,600,000, one of them being the Bank of Cincinnati, with a capital of $600,000. Among other provisions of this act was one requiring that each new bank, and every old bank rechartered, should annually set apart out of its profits, for the use and benefit of the State, such sum as would, at the expiration of its charter, amount to one-twenty-fifth part of its whole * With the exception of the States of Massachusetts and New York, it has been found exceedingly difficult to obtain more than the most meager and unsatisfactory material for sketches of the history of banking in the several States of the Union. The facts presented in reference to other States have been largely derived from " Banks and Banking in the United States," by Henry F. Baker, Cincinnati, 1854, and from subsequent articles by the same author, published in the Banker's Magazine, New York, in 1854 and 1856. XXVI REPORT OF THE COMPTROLLER OF THE CURRENCY. capital stock. This provision was amended in 1825, so that, in place of the stock, the State was to receive a tax of two per cent, upon all dividends previously made, and four per cent, upon all subsequent dividends. The rate of interest to be charged was limited to six per cent. From 1816 to 1832, charters were granted to eleven banks, with an aggregate capital of $2,700,000. In 1833, the Franklin Bank of Cincinnati, with a capital of $1,000,000, was organized, and in the following year the Ohio Life and Trust Company, with a capital of $1,000,000, was chartered. The latter institution failed on August 24, 1857, with estimated liabilities of $7,000,000. The State imposed a tax of fifty thousand dollars each on the branches of the United States Bank which had been established at Cincinnati and Chillieothe, in case they should continue to transact business after the 15th of September, 1819. As the branches, notwithstanding this provision of law, continued to do business after the date mentioned, the State auditor made preparations to collect the tax. Thereupon the bank filed a bill in chancery in the United States circuit court, asking for an injunction restraining the auditor from proceeding further in the collection of the tax, and, that officer failing to appear, the injunction was granted. Nevertheless, claiming that legal notice of the application for an injunction had not been served upon him, the auditor caused the State writ to be issued to the sheriff, who proceeded to the banking-house at Chillieothe, demanded the tax, and, upon refusal of payment, seized $98,000 in money and turned the same over to the State treasurer. The State officers engaged in this affair were thereupon arrested and imprisoned by the United States circuit court, and the money was subsequently returned to the bank. The decision in the premises was confirmed in 1824 by the Supreme Court of the United States, and the State of Ohio finally ceased further interference with the bank. The bank-tax on dividends was increased in 1831, from four to six per cent. By act of February 24, 1845. a State bank with branches was authorized, on the safety-fund principle, with a capital of $6,150,000. This act required that, in order to create a safety-fund, an amount equal to ten per centum of the circulation of each of the branches should be paid to the board of control, which was authorized to invest the same either in stocks of the State or of the United States, or in bonds secured by mortgages on unencumbered real estate of at least twice the value of the amount secured thereby, which should be payable on demand to the State Bank of Ohio; and each branch was entitled to receive the interest accruing on the stocks and bonds in which its portion of the safetyfund was invested. In case of failure, the stocks and bonds of the insolvent bank were first to be applied to the redemption of its outstanding notes before any part of the safety-fund belonging to the other branches should be so applied. The State was divided into twelve districts, and a portion of the capital of the State bank was allotted to each. Sixty-three branches in all were authorized, with charters to continue until 1866. Five banks, previously chartered, were authorized, upon certain conditions, to avail themselves of the privileges of the act. The branches were under the supervision of a board of control, consisting of one representative from each branch, which was to furnish all the circulating notes. These were limited by the charter to u double the amount of capital on the first $100,000; 150 per cent, on the second $100,000 or part thereof, and 125 per cent, on the third $100,000 or part thereof.'7 There were thirty-six of these branches in operation in 1856, with a capital of $4,034,524, and circulation of $7,112,320. At that date the Ohio Life Insurance and Trust Company, REPORT OF THE COMPTROLLER OF THE CURRENCY. XXVII having a capital of $610,000, was the only one of the old banks remaining in operation. The same act also authorized an independent bank system, requiring State and United States stocks to be deposited with the treasurer, equal to the full amount of the bank issues. In 1856 there were nine of these banks in operation, with an aggregate capital of $587,500, and circulation amounting to $893,839, and having on dej)osit with the State treasurer the required stocks of the United States or of the State of Ohio as security therefor. In March, 1851, the legislature passed an act authorizing free banking, secured by a pledge of bonds of the United States and of the State of Ohio. Ten banks, organized under this law? were in operation in 1856, with a capital of $738,050 and a circulation of $769,397. A new constitution was adopted in June, 1851, which contained an article prohibiting the organization of additional banks, without the approval by the people at the next succeeding general election of the law authorizing the same. The legislature passed a tax law in 1852, which, under a forced construction, levied upon the banks double, and in some instances triple, the rate imposed upon any other property. In 1854 there were in Ohio four distinct classes of banks 5 namely, old banks, incorporated prior to 1845, with a capital of $1,550,000 ,• branches of the State bank, created in 1845, having a capital of $4,100,000; independent banks, with a capital of $720,000; and free banks authorized by the act of 1851, with a capital of $695,000. Most of the banks organized in this State under the act of 1851 were ultimately obliged to go into liquidation, owing to the oppressive taxation from time to time imposed upon them. Mr. Baker, in referring to this subject in his "Banks and Banking," says: u Under the present tax-law, the officer is empowered to use <crowbars7 to break open any lock, vault, or chest, and to seize upon any amount which he can find, for the full satisfaction of his demand. Contrast the policy of Massachusetts and Ohio. The former imposes a tax of one per cent, on her banking capital, and the amount invested in it steadily advances with the increasing prosperity of the State. But Ohio pursues an opposite course, and levies an exorbitant and unconstitutional tax, and cripples the trade of her own citizens, but enables the residents of other States to profit by her mischievous measures. Ohio takes a retrograde step in the financial measures of the present day, and allows the States of Kentucky, Indiana, Illinois, Virginia, and Tennessee, and finally theKew England States, to supply her with currency, who derive a large income there-from." * In April, 1856, an act was passed incorporating the State Bank of Ohio, and other banks, similar in its general provisions to the act of 1845, the charters to continue until May, 1877. The act, however, contained a personal-liability clause, and it also prohibited the general assembly "from imposing any greater tax upon property employed in banking under this act than is or may be imposed upon the property of individuals." In 1835 there were, in all, thirty-four banks in operation in Ohio, having a capital of $5,S19,000: in 1837 there were thirty -three banks, with a capital of $9,247,000; and in 1840 there were thirty-seven banks, with a total capital of $10,000,000. On the 1st of January, 1845, but eight banks were in operation, with an aggregate capital of $2,171,807. In 1855, there were fifty-one banks, whose capital amounted to a little more than $6,000,000. In 1856, thirty-six of " Banks and Banking in the United States/' by H. F. Baker; Cincinnati, 1854. XXVIII REPORT OF THE COMPTROLLER OF THE CURRENCY. the banks which had been organized in the State had failed, their notes being entirely worthless, while eighteen others were in process of liquidation, their notes being quoted at fifty to seventy-five cents on the dollar. There were fifty-six banks in existence in the State in 1863, with an aggregate capital of $5,674,000, of which number seven were independent banks, with a capital of $350,000, and thirteen were free banks, with a capital of $1,270,000. The State Bank of Ohio, with thirty-six branches, had a capital of $4,054,000; loans, $8,653,000; deposits, $5,631,000; circulation, $7,246,000; and specie, $2,217,000; together with safety-fund of $814,800 invested in bonds and mortgages. A table showing the condition of the Ohio banks, organized under the laws of the State, from 1834 to 1863, will be found in the appendix. Indiana.—The State of Indiana was admitted into the Union in 1816. In 1820, it had two banks, with an aggregate capital of $202,857. In 1834, the State Bank of Indiana was incorporated, with ten branches, afterward increased to thirteen, the branches being mutually liable for the debts of each other. Each share was subject to a tax of twelve and one-half cents annually for educational purposes, in lieu of all other taxes. If an ad valorem system of taxation should be authorized by the State, the stock was to be liable the same as other capital, not exceeding one per cent, per annum. The directors of the parent bank were to have charge of the plates and unsigned notes of the branches, and were authorized to deliver to them an amount of circulation not exceeding twice the amount of the stock subscribed. " The capital was almost wholly borrowed from abroad, and through the credit of the State, which took one million of the stock and loaned its credit to individual stockholders to the extent of one-half the stock subscribed by them, taking as security therefor real estate at one-half its improved value. The bank commenced business at one of the most critical periods in the history of the country, at the beginning of the era of speculation wrhich nearly bankrupted the whole nation, and which culminated in the terrible catastrophe of 1837. At this disastrous crisis nearly every bank in the Western and Southwestern States failed, with the exception of the State Bank of Indiana. A very large number of those of the Eastern States were totally ruined. This bank not only paid dividends averaging from 12 to 14 per cent, annually, but returned to the stockholders nearly double the original investment when it was wound up at the expiration of its charter in 1854. For the one million invested in this institution, the State received in profits fully $3,500,000. The bank was the only one of the numerous enterprises in which the State embarked that did not prove an almost total failure." # In 1841, the branches were authorized, on the payment of one per cent, for the privilege, to issue not exceeding five millions of dollars in notes of less denomination thanfivedollars. The aggregate circulation was about $3,800,000, nearly one-sixth part of which was in small notes. In May, 1837, the capital of the State bank was $1,846,921; its loans, $4,208,956; its specie, $1,196,187; circulation, $2,516,790; and its deposits, $1,898,061. The banks of Indiana suspended specie payments in 1838, resuming in 1841, at which time the State bank and branches held $1,127,518 in specie, and had a circulation of $2,960,414, and deposits amounting to $317,890. In November, 1851, the new constitution went into operation, which prohibited the organization of banks except under a general law; and in May, 1852, a general banking law was passed which provided that United States stocks or stocks of the several States, includ- * Sketch of the Life of S. F. D. Lanier; New York, 1871. REPORT OF THE COMPTROLLER OF THE CURRENCY. XXIX ing those of Indiana (then worth about 95 per cent.), should be deposited with the auditor as security for circulating notes, the stocks to be made equal to one bearing six per cent, interest. The law did not require a board of directors, nor that the stockholders should be citizens of the State. In October, 1854, there were eighty-four of these banks, and the returns of sixty-seven of them at that date exhibit $7,425,000 of circulation, with a total authorized capital of $32,900,000. The oppressive tax law of Ohio having driven capital from that State, it was to a considerable extent invested in the free banks of Indiana. In 1856, of ninetyfour free banks fifty-one had suspended, and their notes were selling at from 25 to 75 per cent, discount in Cincinnati. The charter of the State Bank expired in 1854, and the legislature chartered a new bank with a capital of $6,000,000, and having from fifteen to twenty branches. The bank was caretully and skillfully managed; did not suspend in the crisis of 1857; reduced its circulation largely in 1861, upon the issue of legal tender notes; and subsequently re-issued its notes, investing the amount so issued in gold coin. In 1862, its capital was $3,354,200; deposits, $1,723,624; loans, $4,007,590; circulation, $5,559,467; and specie, $3,284,696. A table showing the principal items of resources and liabilities from 1834 to 1863 of the banks organized under the laws of Indiana will be found in the appendix. Illinois.—The State of Illinois was admitted into the Union in December, 1818. The first bank was established under its territorial government in 1813 at Shawneetown, the whole Territory then containing but fifteen hundred inhabitants. In 1816 this bank was regularly incorporated, with a capital of $300,000, for a term of twenty years. It received a large amount of Government deposits and acquired extensive credit, but suspended specie payment in 1831. It transacted but little business until February, 1835, when its charter was extended until January, 1857, and its capital increased from $300,000 to $1,400,000; the additional capital being subscribed by the State, which issued its bonds to provide the funds for the increase. The treasury reports show that $46,909 of unavailable funds were on deposit with this bank at the time of its failure. The constitution of 1818 prohibited the establishment of any new bank except a State bank and branches. The State Bank of Illinois was chartered in 1821 with a capital of $500,000, for a term of ten years, to be owned by the State and managed by the legislature. Three hundred thousand dollars were directed to be issued and loaned on mortgages, with notes for one year at six per cent, interest, and in sums not exceeding one thousand dollars to each individual; the notes to be renewed on payment of ten per cent, of the principal annually. The circulating notes of the bank were receivable for taxes and for all debts due to the State or the bank. These notes were soon thereafter quoted at seventy-five cents on the dollar, then at fifty cents, and finally at twentyfive cents, when they ceased to circulate altogether. Members of the legislature received their compensation in depreciated currency at its market value, which the State was compelled to redeem at x>ar; and a loan of $100,000 received in these notes at par was paid out at fifty cents on the dollar. In February, 1835, a new bank was incorporated with a capital of $1,500,000, which was subsequently increased to $2,000,000, the whole of which was subscribed for by the State. The bank was allowed fifty days for the redemption of its bills, and was required to provide for the loan of $100,000 above referred to, previously issued by the State. It was shortly compelled to suspend payment, and in 1841 it went into liquidation. In the same year an act was passed to preserve XXX REPORT OF THE COMPTROLLER OF THE CURRENCY. its charter, which had been forfeited, provided it would pay $200,000 of the State debt; but in 1843 two acts were passed, one to diminish the State debt and put the State Bank in liquidation, and the other to reduce the public debt by a million of dollars and to put the Bank of Illinois at Shawneetown in liquidation. The stock of these banks subscribed for by individuals was lost, and about $90,000 belonging to depositors and bill holders remained unpaid, as well as $46,909 belonging to the Government. The State took possession of its bonds held by them, amounting to $3,050,000, and by direction of the governor they were canceled and burned in the presence of the legislature in the capital square of Springfield. During the year 1843 a general banking law, similar in its provisions to the free banking law of the State of Indiana, was passed. The report of the bank commissioners for 1861 states that in 1857 the bank circulation of the State amounted to $5,500,000, which was secured by $6,500,000 of the bonds of various States, of which amount $4,500,000 were Missouri sixes. In 1861 the amount of Missouri bonds had been reduced to $3,026,000, and the circulation increased from $5,500,000 to $12,300,000. About three-fourths of the securities then held by the auditor were the bonds of the Southern States. The principal items of the resources and liabilities of the banks of Illinois, from 1834 to 1863, will be found in a table printed in the appendix. Kentucky.—The Bank of Kentucky was incorporated iu 1804—twelve years after the admission of the State, with a capital of one million of dollars. Forty new banks were incorporated in 1817, with an aggregate capital of $10,000,000, but no provision was made for the redemption4of their notes in specie. They issued large amounts of circulating notes, and many of them failed during the first year of their establishment. For relief, the legislature, in 1820, chartered the Bank of the Commonwealth of Kentucky, with a capital of $3,000,000, pledging the public faith for the redemption of its circulation, and setting aside certain lands south of the Tennessee River as a guarantee fund. If a creditor refused to receive the notes of the bank in payment of a debt, the debtor was allowed by law two years in which to pay it. This feature of the law was judicially declared to be unconstitutional; but a new court, which was appointed, reversed the previous decision, and the notes of the bank soon became worth but fifty cents on the dollar. A bitter contest continued for five years between two parties, known as the relief and anti-relief, or old-court and new-court parties, which finally resulted in the repeal of the stay law, known as the replevin act, and the circulation of the bank was ultimately suppressed, and finally destroyed under the provisions of successive acts of the legislature. The charter of the bank provided that it should be established in the name and behalf of the Commonwealth of Kentucky, under the direction of a president and twelve directors to be chosen by the legislature, and that it should be exclusively the property of the Commonwealth. The bank was, by a subsequent act, authorized to issue $3,000,000 in circulating notes, and the dividends were to be paid to the treasurer of the State. In answer to a suit brought by the bank for the collection of a promissory note, in the famous case of Briscoe and others vs. Bank of the Commonwealth of Kentucky, (XI Peters,) the defendants (in the lower court, and plaintiff in error in the court of appeals) claimed that the note given by them was void, inasmuch as the circulating notes received from the bank in consideration therefor were bills of credit issued by the State, and that REPORT OF THE COMPTROLLER OF THE CURRENCY. XXXI the act of the legislature incorporating the bank was therefore unconstitutional and void. The Supreme Court of the United States held that the act incorporating the bank was not unconstitutional, and that the notes issued by the bank were not bills of credit within the meaning of the Constitution. In 1834 there were established the Bank of Kentucky, with a capital of $5,000,000, the Northern Bank of Kentucky, capital $3,000,000, and the Bank of Louisville, with a capital of $5,000,000, all of which were in existence in 1856, with an aggregate capital of $7,030,000. AIL of these banks suspended payment in 1837 and resumed in 1842, with an aggregate circulation at the latter date of $2,800,000. This amount was increased by subsequent issues, until in 1850 it had reached $6,683,000. The Southern Bank of Kentucky went into operation in 1852, with a capital of $1,300,000, and charters were also subsequently granted to four other banks with large capitals. Twenty-seven Kentucky banks failed in 1854, but in 1856 there were thirty-four banks and branches still in operation in the State, with an aggregate capital of $11,730,000, and with circulation of about $13,300,000. A table will be found in the appendix, showing the principal items of the resources and liabilities of the State banks of Kentucky from 1834 to 1863. Tennessee.—The Nashville Bank, in Tennessee, was incorporated in 1807, with a capital of $200,000, which was afterward increased to $400,000. Several branches were also established, which were subsequently closed with loss to all parties. The Bank of the State of Tennessee, at Knoxville, was chartered in 1811, with a capital of $400,000; and in 1817 nine other banks were chartered, which were authorized to become branches of the former. The Farmers and Mechanics' Bank of Nashville was established in 1819, with a capital of $400,000, but it became insolvent within the same year of its organization. In 1820 the State Bank of Tennessee, at Nashville, was incorporated, with a capital of $1,000,000. The State funds were to be deposited in the bank, which was authorized to sell $250,000 of six per-cent. Statestocks, to be used as capital. It created agencies to loan money in every county, according to its wealth and population, in sums not exceeding five hundred dollars to any one person. The loans were to be made on a credit of twelve months, and be secured by mortgage on real or personal property worth double their amount. The proceeds of Hiawassee lands and other funds were pledged for the redemption of the circulation, which was guaranteed by the State, and which was issued to the amount of $1,000,000 ; but it was soon at a discount of ten per cent, below the value of United States bank-notes. The bank was under the supervisory control of directors elected by the legislature. Six years after it commenced operations it had an available capital of about $500,000, chiefly derived from the sales of lands. The bank was finally closed in 1832, with considerable loss to the State. Previous to the passage of the act under which it was established, General Jackson addressed to the legislature a memorial denouncing its provisions, and declaring the proposed act to be in violation of the Constitution of the United States. Judge White, of Tennessee, in a speech in the Senate of the United States on March 24, 1838, stated that u in 1820 there were two State banks in operation in Tennessee having the same name, and that laws were passed to force into circulation paper money and to present levies of execution, unless creditors would agree to receive irredeemable bank-paper." The Union Bank, at Nashville, was incorporated in 1832, with five branches, and with a capital of $3,000,000, one-third of which belonged XXXII REPORT OF THE COMPTROLLER OF THE CURRENCY". to the State; and in the following year the Planters7 Bank, at Nashville, with a capital of $2,000,000, and with six branches, was established. The State had an interest in this bank also. The Farmers and Merchants' Bank of Memphis wTas incorporated in 1835, with a capital of $600,000, but it failed in 1847, with heavy losses to the bill-holders. In 1838 the Bank of Tennessee, at Nashville, was incorporated to take the place of the former State bank, with an actual capital of $3,226,000, the nominal capital being $5,000,000. The capital was made up from the remaining assets of the old State bank and by the sale of $1,000,000 of State bonds. It had several branches, which were under the direction of the parent bank at Nashville. The capital of the bank was reduced in 1849 to two and a quarter millions of dollars. Three other banks were organized between the years 1843 and 1852, with an aggregate capital of $1,100,000. In 1852 a free banking law was passed, authorizing the organization of banks upon a deposit of bonds of the State equal to tho amount of their capital. The number of banks in existence in Tennessee in 1860 was thirtyfour, with a capital of $8,067,037; loans, $11,751,019; deposits,$4,324,799; circulation, $5,538,378; and specie, $2,267,710. A table showing the condition of the banks in Tennessee, from 1834 to 1863, will be found in the appendix. Mississippi.—When Mississippi was admitted into the Union in December, 1817, it had but one bank, with a capital of $100,000; and in 1830 it still had but a single bank, although its capital had been increased to $950,600. In the latter year the Planters' Bank of Mississippi was chartered, with a capital of $3,000,000, of which amount the State subscribed two-thirds, and issued $2,000,000 of bonds, bearing six per cent, interest, in payment therefor. The bonds were sold at a premium of $250,000, which was deposited in the bank as a sinking-fund, and from this fund, together with the dividends received on the State's stock in the bank, the interest on the bonds was to be paid. The investment was apparently a prosperous one, as the bank continued to pay ten per cent, dividends annually until September, 1839, at which date the sinking-fund had increased to $800,000. The State then transferred its stock to the Mississippi Railroad Company, but most of the large sinking-fund was subsequently lost. In 1837 the number of banks had increased to eighteen, with an aggregate capital of about $13,000,000, more than $5,000,000 of circulation, and more than $24,000,000 of loans. In 1838 the Mississippi Union Bank was chartered, with a capital of $15,500,000, to be u raised by means of loans to be obtained by the directors of the institution." The State authorized the issue of $15,000,000 in five per cent, bonds, to be loaned to the bank, for the payment of which the faith of the State was pledged. Five millions of dollars in these bonds were issued to the bank in 1838, and an equal sum in 1839. The first installment of bonds was negotiated by the commissioners of the bank with the Pennsylvania Bank of the United States, through Mr. Biddle, its president, $5,000,000 being received in payment therefor in installments. In 1840 commenced the memorable scheme of " repudiation" in Mississippi, the governor then issuing a warning proclamation against any further negotiation of the bonds, which he followed in 1841 by a communication to the legislature, claiming that his proclamation had prevented an illegal sale of the second issue of bonds. His message also presented a statement of the condition of the Union Bank at that date, exhibiting $13,491,000 of suspended debt and unavailable assets, REPORT OF THE COMPTROLLER OF THE CURRENCY. XXXIII $3,034,000 of circulation, and $4,349,000 of specie. Soon afterward followed his open proposition to the legislature to utterly repudiate the live million issue of 1838, which proposition was at that time rejected by them, the legislature declaring that " Mississippi will pay her bonds and preserve her credit inviolate." But the bonds were subsequently repudiated, and have never yet been paid. The bonds issued to the Planters' Bank were not officially repudiated, but the people of the State in 1852 refused, by a majority of 4,400 votes, to authorize a tax to redeem them. The amount of the latter bonds, principal and interest, was, in July, 1854, $3,518,081. For a table showing1 the principal items of the resources and liabilities of the State banks of Mississippi from 1834 to 1863, see appendix. The State and national systems compared. Many of the States, chiefly Southern and Western, authorized banking corporations with the State as part or sole stockholder, and similar to the organizations in the States to which reference has already been made. In nearly all of the States, banks specially chartered were the favorite organizations. The amount of currency issued was frequently twice, and in many instances three times, the amount of the nominal capital of such banks. These charters were thus very valuable, and the State legislatures were besieged by applicants for such special privileges. Governor Snyder, of Pennsylvania, in 1813 vetoed a bill granting charters to twenty-five banks, with an aggregate capital of nine millions. In the ensuing year a bill was passed, by a two-thirds vote over the second veto of the governor, authorizing forty-one banks, with an aggregate capital of seventeen millions, of which only one-fifth part was required to be paid in. Of this number thirty-seven went into operation. Many of these institutions had but a nominal capital, consisting chiefly of notes given by the stockholders for the amount of their shares. Such banks had usually but an ephemeral existence, andfifteenof the number which were organized in Pennsylvania failed within four years of the date of their organizations. In other cases charters of banks authorized by the New England and Southern States were disposed of to non-residents, who organized banks of circulation with little or no capital, and the citizens of other remote States suffered great loss from the w^orthlessness of such bank-issues. As late as 1854 the circulation of one of the principal Western States consisted chiefly of notes issued by two banks in Georgia, which circulated upon the personal credit of two or three of their non-resident stockholders, and without any reference to the character and management of the banks which issued them. Mr. Gallatin, referring in 1831 to the condition of the banks at an early day, says: u The dissolution of the Bank of the United States deprivedthe country of a forejgn capital of more than $7,000,000 invested in the stock of that institution, and which was accordingly remitted abroad during the year that preceded the war. * * # The creation of new State" banks in order to fill the chasm was a natural consequence of the dissolution of the Bank of the United States, and, as is usual under such circumstances, the expectation of great profits gave birth to a much greater number than was wanted. From the 1st of January, 1811, to the 1st of January, 1815, not less than one hundred and twenty new banks were chartered and went into operation, with a capital of about forty, and making an addition of near thirty millions to the banking capital of the country." He estimates the notes in circulation in 1811, including the notes of 3 c c XXXIV REPORT OF THE COMPTROLLER OF THE CURRENCY. the Bank of the United States, at $28,100,000; in 1815, before the suspension of specie payments, at $15,500,000 ; and in 1816, at $88,000,000; the increase in the circulation during the first fifteen months after the suspension of specie payments being about fifty per cent. In 1820 this amount had been reduced to $14,803,000. He further says: So great a reduction in the issues of the banks could not have been effected without a corresponding diminution of their discounts. Debts contracted during the suspension of specie payments, and while the currency of the country was depreciated, became payable at par. The distress, therefore, that took place at that time may be clearly traced to the excessive number of State banks incorporated subsequent to the dissolution of the first Bank of the United States and to their improvident issues. The numerous failures which had preceded the year 1819, or have since taken place, have also been principally due to the same causes. We have an account of one hundred and sixty-five banks that failed between the 1st of January, 1811, and the 1st of July, 1830 ; the capital of one hundred and twenty-nine of these amounted to more than $24,000,000, stated as having been paid in. The whole amount may be estimated at near thirty millions, aad our list may not be complete. The capital of the State banks now existing amounts to about 110 millions. On a total capital of 140 millions, the failures have amounted to thirty millions, or more than one-fifth of the whole. Of the actual loss incurred we can give no account. There are instances in which the stockholders, by paying for their shares in their own notes, and afterward redeeming their notes with the stock in their name, suffered no loss; and this fell exclusively on the holders of bank-notes and depositors.* As early as 1831 it was proposed to tax out of existence the issues of State banks. On this point Mr. Gallatiu says: f Congress has the power to lay stamp-duties on notes, on bank-notes, and on any description of bank-notes. That power has already been exercised; and the duties may be laid to such an amount, and in such a manner, as may be necessary to effect the object intended. This object is not merely to provide generally for the general welfare, but to carry into effect, in conformity writh the last paragraph of the eighth section of the first article, those several and express provisions of the Constitution which vest in Congress exclusively the control over the monetary system of the United States, and more particularly those which imply the necessity of a uniform currency. * * * Congress may, if it deems it proper, lay a stamp-duty on small notes which will put an end to their circulation. It may lay such a duty on all bank- notes as would convert all the banks into banks of discount and deposit only, annihilate the paper currency, and render a bank of the United States unnecessary in reference to that object. But if this last measure should be deemed pernicious or prove impracticable, Congress must resort to other and milder means to regulate the currency of the country.t A writer § in 1841 says: "The currency of the United States consists of a small amount of gold and silver coins and bullion; a larger amount of State-chartered banknotes, exchangeable for specie; a far larger amount ot bank-notes, not convertible into specie, composed of the notes of non-specie paying banks, the notes of banks of other States, unauthorized paper of individuals, of companies, and of associations, in the similitude of bank-notes, issued and circulated as money, and post-notes, depositnotes, checks, State scrip, and bills of exchange. * * Bank-notes compose so large a proportion of the circulating medium that those who wrill not take them in payment of their debts cannot collect their dues, nor carry on business requiring the use of money. The efforts of State legislators to correct the defects of the currency must ever be as unavailing as their attempts to suppress small bills have hitherto proved. Their actions are desultory, unconnected, and temporary; liable to the influence of private interest, or political party feeling, that may vary in the several States and prevent their uniform action. All the States cannot be expected to pass similar laws upon this subject, simultaneously; consequently, the currency might be changed by State legislation, but it could never be radically reformed. Some of the States have passed laws to suppress the circulation of small bills within their own territories; but their immediate inundation with those of other States, often much more uncurrent than their own had been, aided in obtaining a repeal of the laws or their suppression, just * Considerations on the Currency and Banking System of the United States, p. 50. t Ibid., p. 75. t Justice Story, in his dissenting opinion in the case of Briscoe and others vs. The Bank of the Commonwealth of Kentucky (XI Peters, 349), says : " The States may create banks, as well as other corporations, upon private capital, and may rightfully authorize them to issue bank bills or notes as currency, subject always to the control of Congress, whose DOWera extend to the entire regulation of the currency of the country." § The Present System of Banking Exposed, by Charles Dunscombe ; Cleveland, 184L KEPORT OF THE COMPTROLLER OF THE CURRENCY. XXXV at the moment, perhaps, when the neighboring States, from seeing the advantages of the measure, were about to pass similar laws. The people are the only legitimate source from which to expect permanent and radical relief. Congress is the only proper body, possessing legitimate power and authority, to organize them for that purpose." Mr. McCulloch,late Secretary of the Treasury, in an address delivered before the American Bankers7 Association, at Philadelphia, daring the recent International Exhibition, says: In anticipation of the expiration of the charter of the United States Bank, many banking institutions were chartered by the States, some of which, known at the time as pet banks, became the depositories of the public moneys. It soon became apparent, however, that these banks were likely to become unsafe Government depositories, and all connection of the Government with the banks was terminated by the subtreasury act, under which the public revenues were collected in coin and deposited in the Treasury. From the time of the expiration of the charter of the United States Bank up to 1861, the State banks furnished the country with its paper circulation, and to a great extent controlled its business. It is not necessary to dwell upon the defects of the State-bank systems, or the character of a considerable part of the notes which the people were compelled to receive and treat as money. There were scarcely two States in the Union whose systems were alike. In some States baulks were chartered with proper restrictions upon their discounts and their circulation; in others without any such restrictions. In some there was individual liability, in others no liability whatever, not even in cases of gross mismanagement. In some States the circulation of the banks was secured, partially, at least, by mortgages and bonds j in others there was no security except the capital, which was frequently a myth. In some States banking was a monopoly, in others it enjoyed the largest liberty. The consequence was that we had a bank-note circulation frequently worthless, and, when solvent, lacking that uniform value which was needed in business-transactions between the citizens of the different States. It is enough to say that the circulation of the State banks was entirely unfitted for a country like ours ; that by it the people were subjected to enormous losses, not only in the way of exchanges, but in the inability of a great many of the banks to redeem their notes. After the New York free-banking law had been perfected by various amendments, and subsequent to 1850, a number of the States, among which were Massachusetts, Vermont, Connecticut, New Jersey, Ohio, Indiana, Illinois, Wisconsin, Tennessee, Virginia and Louisiana, adopted the system which had proved so satisfactory in New York. The Massachusetts and Louisiana acts, in addition to the many excellent features of the New York act, required an ample reserve to be kept on hand, and also contained other restrictions, which were subsequently embodied in the national-bank act. In nearly all the States which adopted the free-banking system, charters for banks were still granted which authorized the issue of circulating notes without security and in excess of capital. These were more profitable, and therefore in most of the States but few banks were organized under general laws. In other States the best features of the New York law were omitted. The shareholders were not made personally liable; the security required was not sufficient; the notes were issued in proportion to the stock and bonds deposited, and not in proportion to the cash capital 5 no provision was made for the prompt redemption of the notes at any commercial center, and a majority of the directors and shareholders were frequently non-residents. Many of the organizations were not banks, in any true sense of the word, but were associations without capital, located at places not easily accessible, and owned by non-residents who availed themselves of ill-considered legislation to convert their bonds into currency at rates higher than the marketvalue—drawing the interest on their bonds, but transacting little or no business at the place of issue. When the bonds depreciated in value, and any considerable amount of notes were presented at their counters for redemption, the banks failed, the securities were sold by the authority of the States, and the avails were distributed among the note holders. The governor of Indiana, referring to such banks, says in his message XXXVI REPORT OF THE COMPTROLLER OF THE CURRENCY. for 1853: " The speculator comes to Indianapolis with a bundle of bank-notes in one hand and the stock in the other; in twenty-four hours lie is on the way to some distant point of the Union to circulate what he denominates a legal currency authorized by the legislature of Indiana. He has nominally located his bank in some remote part of the State, difficult of access, where he knows no banking facilities are required, and intends that his notes shall go into the hands of persons w7ho will have no means of demanding their redemption." The governor of Michigan, in his message for the same year, says: "At present we are giving charters to the issues of banks about which we actually know nothing, in whose management we have no participation, and are thus literally paying a large tribute for what generally in the end proves to be a great curse." Governor Ford, in a message to the legislature of New Jersey, says : "In many cases our banks, although ostensibly located in New Jersey, liave their whole business operations conducted by brokers in other States. The facility with which they may be organized and located, without reference to the wants of the community or the business of the place, is destructive to all the legitimate ends of banking.77 The New York Journal of Commerce, in June, 1853, referring to the same subject, says: " The operators in these schemes have turned to the West, and, under the free-banking laws of Indiana, Illinois, and Wisconsin, are prepared to Hood the channels of circulation with their notes. It is not western capital that is seeking profitable employment, nor is it eastern capital invested at the West. Not a dollar of the new currency will be issued where it is likely to be presented for redemption.77 In his report to Congress for the year 1875, the Comptroller gave a sketch of the origin of the national-banking system and its growth, and answered the principal arguments advanced against the continuance of the system. Its establishment was not advocated in the interest of any political party, and from its authorization to the present day it has been free from the control of partisan or sectional influence, its benefits being now open to all who may desire to organize banking-institutions, subject only to the restrictions which are alike imposed upon all. The opportunity occasioned by a great war was seized upon, in the interest of the Government, to get rid of the burden of a circulation issued by authority of many different States, which had been, almost from the beginning of the Government, a grievous tax upon the business and the commerce of the country—the cost to the people for domestic exchange between the commercial points and the remote districts being annually many times greater than the amount of interest now paid to the national banks upon the bonds deposited as security for their circulation, the average rate of exchange between the Eastern and the Southern and Western States having been from six to twelve and some twenty times the rates prevailing under the existing national system. It was shown in the report, from the discussions in Congress at the time of the passage of the legal-tender act, from the reports of different Secretaries of the Treasury, and from the uniform legislation since that time, that the national-banking system was intended to be permanent— the institutions organized under it being by the express terms of the law authorized to continue for a term of twenty years; while it was equally evident that the Treasury-notes issued and still in circulation were intended to be funded, to constitute a temporary currency, issued from necessity and to furnish the Government with the means to save itself from destruction; that the amount was not to be increased, KEPORT OF THE COMPTROLLER OF THE CURRENCY. XXXVII but to be withdrawn from circulation as rapidly as possible; and that all the recent as well as the earlier legislation has been in that direction. It was further shown that the system was not a monopoly, its privileges being free to all, but that it uprooted many real banking monopolies authorized by the several States and which had been in existence almost from the foundation of the Government. It was shown that the profits upon circulation were small, and that the earnings of the banks were not too great a compensation for the risks incident to the business of banking, to which capital loaned directly on mortgage-security is not subject; that the taxation imposed upon the banks is unequaled in the history of monetary institutions; that the losses by failures had been insignificant in proportion to the capital invested, and that the losses upon circulation had not been one dollar, while the losses under the old system were estimated to equal in twenty years the entire amount of the circulation; that the restrictions of the act are such as experience has shown to be necessary for the success of great banking-systems; that publicity is one of the principal features of the national system; that a surplus of more than one hundred millions of dollars—equal to onefourth of the capital, and derived largely from profits accruing out of transactions during the late war, had accumulated, and which surplus cannot be greatly reduced except through losses, thus remaining as a security to depositors in times of revulsion and panic; and finally that the interests of the national banks would be promoted by the reduction to a low rate of the interest on the public debt, because such a reduction would carry with it a reduction of the present onerous taxation, and would furnish to the American banker a fund like the English consols, in which his surplus and reserves could be invested without danger of loss. The Secretary of the Treasury, in his last report, thus refers to the subject of the power of Congress to increase the issue of legal-tender notes : The constitutional validity of such issue was resisted at every point and subjected to the test of judicial decision in almost every court in the country, both State and national. The supreme judicial tribunal of the nation upheld the acts as measures of necessity in a time of great exigency, but it has neither decided nor intimated that such power may be exercised by Congress in time of public tranquillity. Indeed ifc is fairly inferable, from all the court has said in the various cases in which the question has been before it, that the issue of such notes in time of peace is not within the constitutional power of Congress. The language and argument of the court leave no reason to believe thafe it would sustain the claim of power to increase the volume of such issues or to re-issue such as have been redeemed in obedience to law, when the public exigency no longer exists. Those who opposed such issues at a time of supreme necessity, and insist upon further issues when the emergency has passed away, put themselves in the attitude of opposing war-measures in the midst of war and advocating them in a time of profound peace. To the Comptroller it is evident that the true policy of the Government, and the one which will ultimately be adopted, is the funding of the Treasury-notes and the reduction of the rate of interest upon its present indebtedness. In this event, the circulating medium of the country will consist, not of specie and Treasury-notes, but of specie and nationalbank notes, or else, through the repeal of the law imposing a tax of ten per cent, upon other issues, the system of State-bank issues will be revived. It is not supposed that, with a renewal of the State systems, institutions will be again authorized so objectionable as many which have heretofore existed; but it is certain that the principle of monopoly will again be introduced in many of the States in place of the existing free svstem, and that the old system of partisan control and interference in the issue of the circulation of the country will be XXXVIII REPORT OF THE COMPTROLLER OF THE CURRENCY. restored, bringing with it once more all those evils and disasters which are the natural attendants upon the organization and perpetuation of banking-institutions authorized by the conflicting legislation of the different States of the Union. The Comptroller repeats his view upon this subject, as given in his last annual report, in which he said that, " It is very generally acknowledged that the national-banking system is superior to the systems which preceded it in this country, and equal, if not superior, to any other system of banking yet devised; and the principal reason adduced for desiring its overthrow is that money can be saved to the Government by authorizing it to furnish the circulation of the country. Such a course will not result in true economy; for it will immediately injure our credit abroad, and have the effect of preventing the sale in foreign markets of the United States bonds bearing a low rate of interest. The experience of the last thirteen years has shown that the present is a safe and good system ; but even were it much less perfect than it is, the common prudence of ordinary business men would dictate the postponement of the discussion of the repeal and liquidation of a banking system whose resources amount to nineteen hundred millions of dollars, among which are included one thousand millions of loans to the people, with more than four hundred millions to the Government, until the debt of the country shall be funded at a satisfactory rate of interest, and permanent arrangements effected for the redemption of its demand obligations. When the purchasing power of the legal-tender notes shall be made equal to gold, it may then be in order to discuss the policy of the establishment of a different banking system and the issue of additional paper money by the Government/' STATE BANK STATISTICS. The first systematic effort to obtain and compile statistics showing the condition of all the banks in the United States, the need of which had long been felt, was in the passage, in July, 1832, of a resolution by the House of Eepresentatives, directing the Secretary of the Treasury to lay before the House yearly thereafter such statements relating to the banks organized under State laws as could be obtained from the several State officials. Previous to the passage of this resolution, such information upon this subject as was made public was obtained principally by individual effort, any general information of the condition of the banks being procured with great difficulty, and such statistics even as were obtained being found very imperfect. Mr. Xiles, in publishing in the Register a table derived from the report of Secretary Crawford of 1820, giving the capital, circulation, deposits, and specie of the banks in 1819, said: u It will be seen that the preceding returns are very imperfect, asfor instance, the capital paid in in Maryland is given at $86,290, whereas it is nearly eight millions of dollars. Several of the other items, I know from various documents in my possession, are pretty nearly correct, yet some are also much deficient." Mr. Gouge, in his Short History of Paper Money and Banking in the United States,* also says, that " efforts, extending over seven years, to collect the accounts of the banks of the country had proved so unsatisfactory in results, and so little success had crowned the labors of Mr. Crawford, Mr. Gallatin, and Mr. Xiles in the same direction, that it was not thought worth while to arrange for publication the materials that had been procured. To collect and arrange the accounts of five or six * Page 220. REPORT OF THE COMPTROLLER OF THE CURRENCY. XXXIX hundred banks which are or which had been scattered through 77 twentyfour States and two or three Territories would be no easy task. The Comptroller gives in this report such information bearing on the condition of the banks, both before and since the passage of the resolution of 1832, and down to the time of the establishment of the national banking system, as careful research into official reports and the publications of writers on financial subjects during the periods mentioned have enabled him to procure. In the report of Secretary Crawford on the condition of the banks, January 3, 1836, there is printed, on page 216, a statement taken from Blodgett's Economica, giving an estimate of the number of banks in the several States, their capital, circulation, and specie, in various years from 1774 to 1804 ; but an accompanying note says that probably many of the amounts given are largely conjectural. The statement is printed below in a condensed form, and is the only one, known to the Comptroller, containing information of any kind as to the condition of the banks in the years named. In this table, the amounts are expressed in millions of dollars. Number Metallic of banks. medium. Circulation. Capital. Millions. Year. Millions. Millions. 4.0 1774 1784.... 1790.... 1791 1792.... 1793.... 1794 1795 1796.... 3 4 6 16 17 17 23 24 10.0 9.0 16.0 18.0 20.0 21.5 19.0 16.5 2.0 2.5 9.0 11.5 11.0 11.6 11.0 10.5 2.1 2.5 12 9 17.1 18.0 18.0 19.0 19.2 Year. Number Metallic of banks. medium. 25 25 26 28 3L 32 36 59 1797.. 1798.. 1799.. 1800.. 1801.. 1802.. 1803 .. 1804... Circulation. Capital. Millions. Millions. Millions. 16.0 10.0 19 2 14.0 9.0 19.2 17.0 10.0 21.2 17.5 10.5 21.3 17.0 11.0 22.4 16.5 10.0 22.6 16.0 11.0 26.0 17.5 14.0 39.5 Secretary Crawford, in his report on the currency, made to Congress in February, 1820,* estimated the capital, specie, circulation, and loans of the banks of the country, for the years 1813, 1815, and 1819, as follows: Capital. 1813 1815 1819 . Specie. Circulation. Millions. 65.0 88.0 125. 0 Year. Millions. 28.0 16.5 21.5 Millions. 62. to 70. 99. to 110. 45. to 53. Loans. Millions. 117.0 150.0 157.0 In this report he also gives a statement of the bank capital for the years 1814 to 1817, by States, "so far as it was known at the Treasury," which will be found in the appendix to this report. This statement he believed to be substantially correct, for the reason, as stated by him, that it was based upon the applications made to the Treasury Department for compositions of the stamp-duty of about one per cent., which duty was, by an act of Congress of August 2, 1813, imposed upon the amount of notes issued by incorporated or unincorporated banks. The act further provided that, in lieu of this duty, the Secretary of the Treasury might agree with any of the banks to an annual composition of one-half of one per cent, upon the amount of the annual dividends made by them to their stockholders. The aggregates of bank capital given in the years named are as follows: 1814. 1815. $80,378,504. $88,185,823. 1816. $89,380,709. * Elliott's Funding System, pp. 735 to 737. 1817. $125,676,446. REPORT OF THE COMPTROLLER OF THE CURRENCY. XL In respect to the bank capital given for the year 1817, Mr. Crawford says that, after deducting the amount of permanent accommodation enjoyed by stockholders in their respective banks, the active bank capital of the United States may be fairly estimated at a sum not exceeding seventy-five millions of dollars. Referring to the custom then prevalent of paying bank capital with stock-notes, he says: Such, it is believed, has been the process by which the capital of most of the banks has been formed, which has been incorporated since the commencement of the late war, as since that time banks have been incorporated not because there was capital seeking investment, not because the places where they were established had commerce and manufactures which required their fostering aid, but because men without active capital wanted the means of obtaiuing loans which their standing in the community would not command from banks or individuals having real capital and established credit. Hence the multiplicity of local banks scattered over the face of the country in particular parts of the Union, which by the depreciation of their paper have levied a tax upon the communities within the pale of their influence exceeding the contributions paid by them. Mr. Crawford also gives a table, by States, which will be found in the appendix, showing the condition of the banks for the year 1819, which table, however, he admits to be imperfect, and in which the items of capital, circulation and specie, for the banks in the State of New York (the only ones given), are stated to be on the authority of a report made by a committee of the New York legislature. The aggregates of the principal items of the State banks as taken from Mr. Crawford's report, together with those of the Bank of the United States as taken from a report of its condition in October of the same year, are stated below: Capital. State banks Bank of the United States Loans. Deposits. Circulation. Specie. $73, 623, 596 29, 932, 668 $11,192,155 5, 494, 417 $35, 770, 903 3, 810, 111 $9, 828, 745 3, 254, 479 107, 314, 598 Total $72, 340, 770 34, 973, 828 103, 556, 264 16, 626, 592 39, 581, 014 13, 083, 224 In 1831 Mr. Gallatin made an estimate of the number, capital, circulation, deposits and specie of the banks in the United States for the years 1811, 1815, 1816, 1820, and 1829, and also a similar- estimate for the Bank of the United States for the first and the last .two of the years named. These estimates have been combined in the following table: * STATE BANKS. Tears. 1811 1815 1816 1820... 1829 Number of banks. 88 208 246 307 329 Capital. $42, 610, 600 82, 259, 590 89, 822, 422 102, 110, 611 110,192, 268 Circulation. $22, 700, 000 45, 500, 000 68, 000, 000 40, 641, 574 48, 274, 914 Deposits. $31, 244, 959 40, 781,119 Specie. $9, 600, 000 17, 000, 000 19, 000, 000 16, 672, 263 14, 939, 643 BANK OF THE UNITED STATES. 1811 1820 1829 $10, 000, 000 35, 000, 000 35, 000, 000 $5, 400, 000 4, 221, 770 13, 048, 984 $4, 705, 511 14, 778, 809 $5, 800, 000 3,147, 977 7,175, 274 * Considerations on the Currency and Banking Systems of the United States, Philadelphia, 1831, pp. 45, 49, and 53. . REPORT OF THE COMPTROLLER OF THE CURRENCY. XLI SUMMARY. 1811 1815 1816 1820 1829 . . 89 208 246 308 330 $52, 610, 82, 259, 89, 822, 137, 110, 145,192, 600 590 422 611 268 $23,100, 45, 500, 68, 000, 44, 863, 61, 323, 000 000 000 352 898 $35, 950, 470 55, 559, 928 $15, 400, 17, 000, 19, 000, 19, 820, 22,114, 000 000 000 240 917 He also giyes a comparative statement of the principal items of assets and liabilities of the banks at the end of the year 1829, by groups of States, as follows: States. Capital. Maine, New Hampshire, Vermont, Massachusetts, and Rhode Island Connecticut, New York, and New Jersey Pennsylvania, Delaware, Maryland, and'District of Columbia South Carolina, Louisiana, Alabama, and Florida Western States* . j Deposits. Specie. #30, 812, 692 26, 585, 539 87, 394, 566 12, 737, 539 $4, 203, 895 14, 594,145 25, 566, 622 11,274,086 10, 850, 739 4,170, 592 17, 600,129 9, 629, 286 12,183, 863 4, 684, 860 48, 274, 914 6, 952,194 4,180,146 3, 046,141 2, 686, 396 40, 781, 119 14, 939, 643 110, 194, 268 Totals Circulation. $2.194, 768 2, 841, 746 * No banks were in operation in Kentucky, Indiana, Illinois, or Missouri. A third table given by him is printed below, making a] similar exhibit for the same year of the banks in seven of the then principal commercial cities, and for those in the remainder of the country, separately: Capital. Boston, Salem, New York, Philadelphia, Baltimore, Charleston, and New Orleans In the remainder of the United States Totals Circulation. Deposits. Specie. $53, 211, 605 56, 980, 663 $17,144, 422 31,130, 492 $23,137,129 17, 643, 990 $7, 258, 025 7,681,618 110,192, 268 Cities. 48, 274, 914 40, 781,119 14, 939, 643 Mr. Gallatin also gives a list of 328 banks in operation in 1830, with an aggregate capital of $110,101,898 (exclusive of the Bank of the United States); and of 129 banks, having a capital of $24,312,339, which had failed or discontinued business since January, 1811. A list of 38 banks whose capital was not known is also given. He further gives a statement of the discount on bank-notes during the suspension of specie payments from 1814 to 1817, which statement will be found in the appendix. Elliott's Funding System * gives, on page 984, a statement of the number, capital, circulation, loans and deposits of the banks of the country for various years from 1811 to 1840, which is frequently quoted and often erroneously credited to various writers on finance. The statement is as follows: Date. January 1,1811 January 1,1815 January 1,1816 January 1,182U January 1,1830 January 1,1834 January 1,1835 January 1,1836 January 1,1837 January 1, 1838 January 1,1839 January 1,1840 Number of banks. 89 208 246 308 330 506 558 567 634 663 662 722 Loans and discounts. $200, 451, 324,119, 365,163, 457, 506, 525,115, 485, 631, 492, 278, 462, 896, 214 499 834 080 702 687 015 523 Specie. Circulation. $15, 400, 000 17, 000, 000 19, 000, 000 19, 820, 240 22,114, 917 $28,100, 000 45, 500, 000 68, 000, 000 44, 863, 344 61, 323, 898 94, 839, 570 103, 692, 495 140, 301, 038 149,185, 890 116,138, 910 135,170, 995 106, 968, 572 43, 937, 625 40, 019, 594 37, 915, 340 35,184,112 45, 132, 673 33,105,155 Deposits. Capital. $35, 950, 470 55, 559, 928 75, 666, 986 83, 081, 365 115,104, 440 127, 397,185 84, 691,184 90, 240, 146 75, 696, 857 $52, 720, 82, 259, 89, 822, 137, 210; 145,192, 200, 005, 231, 250, 251, 875, 290, 772, 317, 636, 327,132, 358, 442, * House Ex. Doc. No. 15, 1st sess. 28th Congress. 601 599 422 611 268 944 337 292 091 778 512 692 :XLI1 REPORT OF THE COMPTTOLLER OF THE CURRENCY. It is stated by Mr. Elliott * that 55 banks, with an aggregate capital of $67,036,265 and circulation of $23,577,752, failed in 184L. The total bank-capital of that year is stated by him at $317,642,692, and the circulation at $121,665,198; and he also states that in nearly every instance the capital of those banks which failed was entirely lost. He also gives tables of foreign and domestic exchange, of specie at New York and Philadelphia, and the prices of bank-notes, by States, in those cities at various dates from 1814 to 1838, which tables he says were transmitted to the Senate in February, 1838, by the Secretary of the Treasury, in response to a resolution of that body. He says u the document is voluminous ; we have been able to condense it, so as to preserve all its most useful information, into less than one-half the original space, with perhaps the benefit of a more ready reference. The effects of the various suspensions of specie payments during the above period are clearly indicated in the quotations of prices of specie, the fluctuations of the exchanges, and the almost nominal (in many instances) prices of bank paper.77 f He also gives tables of rates of domestic exchange at New York from 1838 to 1841, and the prices of leading State stocks in New York at the latter date. The tables relating to the rates of domestic exchange and the discount upon bank notes for a series of years have been still further condensed for the present report, and will be found in the appendix. The act of June 23, 1836, which made it the duty of the Secretary of the Treasury to select and employ, as depositories of the public money, banks incorporated by the several States, required that each bank should furnish to him as often as he might require, but not exceeding once a week, statements setting forth their condition and business; and that the Secretary should at the commencement of each session lay before Congress a statement of the number and names of the banks employed as depositories of the public money, with their condition, aad "the amount deposited in each, as shown by the returns received by him. This act also provided that no bank should be selected which did not redeem its notes and bills in specie on demand, nor which should, after July 4, 1836, issue or pay out any note or bill of a less denomination than five dollars. The act further provided that thereafter no notes or bills of any bank which issued currency of a less denomination than five dollars should be received in payment of any debt due to the United States. Prior to the passage of this act, and also under its provisions, compilations of the reports of the deposit-banks were prepared at the Treasury Department and transmitted to Congress at sundry times. Many of these statements are published in the reports of the Secretaries, from 1834 to the date of the passage of the sub-treasury act of August 6,1846. The following statement, derived from the report of Secretary Woodbury for September 21,1836, exhibits the condition of thirty-six of these banks on June 1, and of eighty-nine on November 1, 1836 :$ * Elliott's Funding System, p. 1176. t Ibid, pp. 1106 to 1185. t Finance Report, 1829-'36, p. 758. REPORT OF THE COMPTROLLER OF THE CURRENCY. XLIII June 1, 1836, 36 banks. November 1, 1836, 89 banks. LIABILITIES. Capital Profits on hand Circulation Public deposits Other deposits Due to banks Other liabilities $46, 418, 092 83 6, 926, 825 14 I 27, 967,152 40 41,033,952 66 16, 044, 573 40 17,110,822 36 | 6, 763, 654 39 $77, 576, 449 67 11, 048, 695 90 41, 482, 897 82 49,377,986 30 26, 573, 479 65 24, 083,161 28 13, 700, 279 59 162, 255, 068 68 Totals . 243, 842, 950 21 0108, 498, 037 74 $163, 972, 830 24 5,184, 908 45 3, 051, 490 95 26, 662, 669 70 16, 412, 324 57 15,520,202 42 13, 038, 523 88 RESOURCES. Loans and discounts . . Stocks Real estate Due from other banks. Notes of other banks.. Specie Other resources Totals . 1, 892, 342 27 17, 867, 869 49 10, 982, 790 42 10, 450, 415 13 12, 563, 6 L3 63 162,255,068 i 243, 842, 950 21 Iri the appendix is a statement showing by States the capital, specie, and United States deposits of these banks on April 1, 1836. From the information contained in the reports on the condition of the banks, made annually to Congress in compliance with the resolution of 1832, before mentioned, carefully compiled tables, by States, have been prepared in this Office, which appear in the appendix to this report. These tables, with the exception of that for Massachusetts, commence with the year 1834, which is thefirstyear for which an aggregate statement that is even measureably complete is given, and are brought down to the year 1863, a summary of the condition of all the banks in each year being also given. The statistics derived from these reports are not, however, perfectly reliable, and the aggregates for the Southern States in the years 1862-'63 have been estimated to be the same as for the year 1861. The statements of the Massachusetts banks from 1803 to 1863 are the only ones which are complete as to all the principal items, and tables showing their condition for the years named will be found in the appendix. The returns of the banks'of the New England States, and of those of the State of New York since 1834, are generally reliable. Previous to the year 1843, reports were made by the banks of the State of New York either to the legislature, the bank-commissioners, or the State comptroller ; but a few of the older banks made no reports whatever to any official authority. One source of difficulty in determining for any specified date the condition of the banks of the country under the old system lies in the fact that the dates for which reports were required were not uniform in the several States. Each State determined for itself the time for making these reports; and as a consequence the dates of the returns, which are given in the tables mentioned, differ in certain years and for certain States by a period of six and even of nine months. Nor is it even certain that the returns of a given State include, in any instance, all the banks of that State, unless it be those of New England or of the State of New York. No returns are given in these tables from the banks in the District of Columbia, but a separate table has been compiled, showing the condition of the principal banks in the District in the years 1814, 1819, and 1844, the data for which have been derived from other sources.* * American State Papers, vol. 3—Finance, pp. 101 and 302; and Elliott's Funding System, pp. 1185 and 1186. XLIV REPORT OF THE COMPTROLLER OF THE CURRENCY. As full statistics as could be procured of the two Banks of the United States, as authorized by Congress, are given in tables in the Appendix, together with similar statistics of the bank of the same name which was chartered by the State of Pennsylvania. The period covered by these tables extends from 1817 to 1840, at about which time the last-mentioned bank failed. The following table exhibits the aggregate of the principal items of the Bank of the United States and of the State banks, so far as can be ascertained, for various years, from 1811 to 1840 : Bank of U.S. State banks. Bank of U. S. State banks. 1811. Capital Loans Deposits Circulation Specie I $10, 000, 000 1815. §52,601,601 5, 400, 000 5, 800, 000 B a n k of TJ. S. State banks. 1816. $82, 259, 590 $89, 822, 422 45, 500, 000 17, 000, 000 68, 000, 000 19, 000, 000 28,100,666 ! 15,400,000 . . . . 1820. 1830. 1834. 1 Capital Loans Deposits Circulation Specie $35, 000, 000 31, 401, 158 6, 568, 794 3, 589, 481 3, 392, 755 6137,110,611 i $35, 000, 000 ...J 40,663,805 35, 950, 470 16, 045, 782 44, 863. 344 I 12, 924, 145 19,820,240 ! 7,608,076 1835. Capital Loans Deposits Circulation Specie $35, 51, 11, 17, 15, 000, 000 808, 739 756, 905 339, 797 708, 369 $231,250,337 365,163, 834 83, 081,365 103,692,495 43,937,625 1838. Capital Loans Deposits Circulation Specie I i $35, 000, 000 45, 256, 571 2, 616, 713 6, 768, 067 3, 770, 842 $317, 636, 778 465,031,687 84, 691, 184 116,138,910 35,184,112 j $145,192, 268 200,451,214 55, 559, 928 61, 323, 898 22,114, 917 1836. ! $35,000,000 \ 59, 232, 445 ! 5,061,456 23,075,422 | 8,417,988 $251,875,292 457, 506, 080 115, 104, 440 140, 301, 038 40, 019, 594 1839. $35, 000, 000 41,618,637 6, 779, 394 5,982,621 4,153,607 $327,132, 512 492, 278, 015 90, 240,146 135, 170, 995 45,132, 673 $35, 000, 000 54,911,461 10, 838, 555 19, 208, 379 10, 039, 237 $200, 005, 944 324,119, 499 75, 666, 986 94, 839, 570 1837. $35, 000, 000 57, 393, 709 2, 332, 409 11, 447, 968 2, 638, 449 $290, 772, 091 525,115, 702 127, 397,185 149,185, 890 37, 915, 340 1S40. $35, 000, 000 36, 839, 593 3, 338, 521 6, 695, 861 1, 469, 674 $358, 442, 692 462. 896, 523 75; 696, 85? 106, 968, 572 33,105, 155 The Comptroller is indebted to Hon. E. W. Keyes, late deputy superintendent of the bank department of the State of New York, for a tabular statement derived from the advance sheets of the second volume of his History of the Savings Banks of the United States, exhibiting the growth of savings institutions, as shown by their deposits, in the New England States, New York, New Jersey and California, from 1830 to 1875. This table will be found in the appendix. The several statements which have thus far been given in this report, together with those printed in the appendix, are the only ones known to be in existence which aim to show the condition in former years of all the State banks of the country; and the information they contain, though only approximately correct, is still valuable, and much sought for by writers upon finance and political economy. In contrast with the incomplete and untrustworthy returns which were obtained under the old systems of State banking, it is with a feeling of satisfaction that the Comptroller is enabled to present to Congress full and complete statistics of the banks in the national system, at uni- REPORT OF THE COMPTROLLER OF THE CURRENCY. XLV form dates for each year, since its organization. Eeports of the condition of these banks are now received by him five times yearly, each for a day already passed, the statements presenting in detail all the items that can afford information as to the true condition of the banks. Every statement is accompanied by schedules, which show the character and condition of the discounted paper of the bank, the various kinds of stocks and bonds which form part of its assets, the names of the associations in which its funds for reserve are deposited and the amount on deposit with each, the class of matters held as cash-items, the ratio at which a reserve of lawful money has been maintained during the preceding thirty days, and the rate of interest, if any, which the bank pays upon its deposits. Semi-annual reports are also received, showing the earnings and losses of each bank and of the dividends paid to its stockholders; and, in addition to the above and to other reports which are furnished in accordance with the requirements of law, special statements in reference to taxation, or on subjects of particular interest in times of financial revulsion, are called for and obtained from the banks; from all of wiiich the elaborate statistics appearing in the pages of this and former reports of the Comptroller have been compiled. The following table exhibits the principal items contained in the returns of the State banks of the country, yearly, from 1834 to 1861: No. of banks. Years. 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1853 1854 1855 1856 1857 1858 1859 1860 1861 < 506 704 713 788 829 84J 901 784 692 691 696 707 707 715 751 782 824 879 750 208 307 398 416 422 476 562 601 Capital. Loans. $200, 005, 944 231, 250, 337 251, 875, 292 290, 772, 091 317, 636, 778 327,132, 512 358, 442, 692 313, 608, 959 260,171, 797 228, 861, 948 210,872,056 $324,119, 499 365,163, 834 457, 506, 080 525,115, 70-2 485, 631, 687 492, 278, 015 462, 896, 523 386, 487, 662 323, 957, 569 254, 544, 937 264,905,814 288, 617,131 312, 114,404 310, 282, 945 344, 476, 582 332, 323, 195 364, 204, 078 413, 756, 799 408, 943, 758 557, 397, 779 576, 144, 758 634,183,280 684, 456, 887 5S3, 165, 242 657,183, 799 691, 945, 580 696, 778, 421 206, 045, 969 196, 894, 309 203, 070, 622 204, 838, 175 207, 309, 3(51 217,317,211 227, 807, 553 207, 908, 519 3 11, 376, 071 332, 177, 288 343, 874, 272 370, 834, 686 394, 622, 799 401, 976, 242 421, 880, 095 429, 592, 7 L3 Individual deposits. Circulation. $75, 666,986 83, 081,365 115, 104,440 127, 397,185 84, 691,184 90, 240,146 75. 696,857 64, 890,101 62, 408,870 56,168, 623 84, 550,785 ! 88, 020,646 I 96,913, 070 { 91, 792,533 ! 103, 226,177 | 91,178, 623 109, 580,585 128, 957,712 145, 553,876 188,188, 744 190, 400,342 212, 705,662 230, 351,352 185, 932,049 259, 568,278 253, 802,129 257, 229,562 Specie. $94, 839, 570 103, 692, 495 $43, 937, 625 140, 301, 038 40, 019, 594 149,185, 890 37,915,340 116,138,910 35,184,112 135, 170, 995 45, 132, 673 106, 968, 572 33, 105,155 107, 290 214 34, 813, 953 83, 734, 011 28, 440, 423 58, 563, 608 33, 515, 806 75,167,646 49, 898. 269 89, 608, 711 44, 24lj 242 105, 552, 427 42, 012, 095 105,519,766 35,132, 516 128, 506, 091 46, 369, 765 114, 743, 415 43,619,368 131, 366, 526 45, 379, 345 155, 165, 251 48, 671, 048 146, 072, 780 47,138,592 204, 689, 207 59, 410, 253 186, 952, 223 53, 944, 546 195, 747, 950 59, 314, 063 214,778,822 58, 349, 833 155, 208, 344 74, 412, 832 193,306,818 104, 537, 818 207, 102, 477 83, 594, 537 202, 005, 767 87, 674, 507 The table below presents, the principal items of the national banks, on or near October 1 of each year, from 1863 to 1876 : Years. 1863 1864 1865 1866 1867 1868' 1869 1870 1871 1872 1873 1874 1875 1876 No. of banks. 508 1,513 1,644 1,642 1,643 1,617 1,648 1,790 1,940 1,976 2,027 2,087 2,089 Capital. Loans. $7,188, 393 86, 782, 802 393, 157, 206 415, 472, 369 420, 073, 415 420, 634, 511 426, 399,151 430, 399, 301 458, 255, 696 479, 629, 174 491, 072, 616 493, 765,121 504, 829, 769 499, 802, 232 $5, 466, 088 93, 238, 658 487, 170,136 603, 314, 705 609, 675, 215 657, 668, 848 682, 883,107 715, 928, 080 831,552,210 877, 197, 923 944, 220,116 954, 394, 792 984,691,434 931, 304, 714 Individual deposits. Circulation. $8, 497, 682 122,166, 536 500,910,873 564, 616, 778 540, 797, 838 580, 940, 821 511, 400,197 501, 407, 587 600, 868, 487 613,290,671 622, 685, 563 669, 068, 996 664, 579, 619 651, 385, 210 Oth er lawful money.* $128, 660 $45, 260, 504 171, 321, 903 280, 253, 818 293, 887, 941 295, 769, 489 293, 593, 645 291, 798, 640 315, 519,117 333, 495, 027 339, 081, 799 333, 225, 298 318, 350, 379 291, 544, 020 18,072,013 9, 226, 832 12, 798, 044 13, 003, 713 23, 002, 406 18, 460, 011 13, 252, 998 10, 229, 757 19, 868, 469 21, 240, 945 8, 050, 330 21, 360, 767 $1, 317, 946 44, 801, 497 189, 988, 496 205, 793, 579 157, 439, 100 156, 047, 205 329,564,295 122, 669, 577 134, 489, 735 118, 971,104 113,132, 663 139,901,054 141, 501, 927 128,127, 220 rhe redemption-fund with the United States Treasurer is included for the years 1874, 1875, and 1876. XLVI REPORT OF THE COMPTROLLER OF THE CURRENCY. The following statement, compiled in this Office from returns made to the Commissioner of Internal Revenue for purposes of taxation, gives, by geographical divisions, the average amount of capital and deposits of banks and bankers, other than those in the national-banking system, for the six months ending Xovember 30, 1875: i Geographical divisions. State banks and pri- Savings-banks with Savings-banks without capvate bankers. capital. ital. : No. Capital. Depos- N o . Capital. Depos- No. its. its. New England States.. 126 1,270 Middle States 517 Southern States Western States and 1,853 Territories "United States 3, 766 MilVns. MilVns. 11.6 90.8 36.0 24.0 232. 4 42.6 2 3 3 MilVns. MilVns 0.3 0.2 0. 4 5.2 0.8 0.5 Depos- No. Capi- Depostal. its. its. MilVns. 436 218 3 70.9 188.0 19 4.1 32.6 38 209.3 487.0 27 5.0 39.1 695 Total. Millns. MilVns. 564 413.9 382.8 1,491 1.9 523 11.9 91.0 36.4 47.0 1,910 75.0 267.6 845.6 4,488 214.3 1, 371. 7 443.1 616.0 45.0 The table below, compiled from similar data, gives the average capital and deposits of the same class of banks and bankers for the six months ending May 31, 1876. ! State banks and pri- Savings-banks with Savings-banks without cap| vate bankers. j capital. ital. Geographical divis' ions. 1 Capital. Depos- N o . Depos- No. No. Capital. its. its. D s r " j*°- New En gland States.. 1 135 Middle States jl, 256 Southern States j 516 Western States and ; Territories 1,896 United States 3,803 MilVns. MilVns. 1 11.7 89.2 35.7 23.6 ! 223.4 : 44. 9 ! 1 3 3 MilVns. MilVns. 4.4 0.2 1.2 0.3 0.6 0.4 MilVns. 436 212 4 77.4 188.1 ! 19 4.1 31.0 39 214.0 480.0 I 26 5.0 37.2 691 Total. Capi- Deposits. ital. Millns. MilVns. 572 415.1 382. 5 1,471 2.0 523 11.9 89.5 36.1 45.0 1,954 81.5 264.1 844.6 4,520 219.0 1, 361. 8 443.1 607. 1 47.5 If the number, capital, and deposits of the national banks on October 1, 1875, be combined with the number, average capital, and average deposits of the State banks and private bankers, savings-banks, and trust and loan companies, as shown by the foregoing table for the six months ending November 30, 1875, it will give a total number of 6,576, a total banking capital of $719,101,966, and total deposits of $2,036,296,106. A similar combination of the national banks for May 12, 1876, with the State banks, savings-banks, &c, for the six months ending May 31, following, will give for the latter date a total number of 6,609, a total banking capital of $720,012,806, and total deposits of $1,974,189,449. XATIONAL-BANK CIRCULATION. Section 5177 of the Eevised Statutes of the United States limited the aggregate amount of luitional-bank notes to three hundred and fiftyfour millions of dollars; but the circulation issued has never reached that sum, the largest amount outstanding at any time having been on December 1, 1874, when it was $352,394,346, or $1,605,654 less than the amount authorized by law. The amount named as outstanding includes $2,976,138 of mutilated notes, which had been returned to this Office in REPORT OF THE COMPTROLLER OF THE CURRENCY. XLVII order that they might be destroyed and replaced by new notes, as provided by law, and they were therefore not in actual circulation. The following table exhibits the total outstanding circulation, not including mutilated notes in transit, on the first days of May and November of each year, commencing November 1, 1868, when the amount issued was within $112,325 of the three hundred millions of dollars then authorized: Nov. 1, 1868 May 1, 1869 Nov. 1, 1869 May 1, 1870 Nov. 1, 1870 May 1, 1871 Nov. 1, 1871 May 1, 1872 Nov. 1, 1872 #209, 887,675 | 299, 853,765 | 299, 725, 655 299, 464, 963 301, 860, 559 314, 583, 600 324, 477, 222 333,, 759, 67' ! 340, 993, 470 , May Nov. May Nov. May Nov. May Nov. 1, 1, 1, 1, 1, 1, 1, 1, 1873. 1873 . 1874 . 1874 . 1875 . 1875 . 1876. 1876 $344, 893, 744 348, 350, 949 349, 023, 398 348, 791,152 348,106, 886 343.183, 228 334, 555, 046 319, 876,196 The act of June 20, 1874, authorized any national bank desiring to withdraw its circulating notes, in whole or in part, to deposit lawful money with the Treasurer of the United States, in sums of not less than $9,000, and to withdraw a proportionate amount of the bonds pledged as security for its notes; under which law $52,853,560 of legaltender notes have been deposited in the Treasury for the purpose of retiring circulation, and $37,122,069 of bank-notes have been redeemed, destroyed, and retired. The act of January 14, 1875, repealed all provisions of law limiting the aggregate amount of national-bank circulation, and made it the duty of the Secretary of the Treasury to retire legal-tender notes to the extent of eighty per cent, of the sum of the national-bank notes thereafter issued, until the amount of legal-tenders outstanding should be reduced to $300,000,000. During the year ending November 1, 1876, $7,093,680 of additional circulation has been issued, of which amount $1,305,140 was issued to thirty-six banks, having a capital of $3,189,800, which were organized during the year. The whole amount of additional circulation issued since the passage of the act of January 14, 1875, is $18,080,355; and legal-tender notes equal to eighty per cent, thereof, or $14,464,284, have been retired, leaving $367,535,716 of these notes outstanding November 1, 1876. During the year, $31,929,864 of national-bank notes have been retired without re-issue; the actual decrease for the year being $24,836,184, and the total decrease since January 14, 1875, being $30,710,732. Within the same period lawful money to the amount of $28,179,285 has been deposited with the Treasurer to redeem circulation, $25,301,231 of which have been deposited by two hundred and thirty bauks in operation, for the purpose of retiring circulation, and $2,878,054 by banks in liquidation. The amount previously deposited under the act of June 20, 1874, was $27,552,329, and by banks in liquidation $8,210,175; to which is to be added a balance of $3,813,675 remaining from deposits made by liquidating banks prior to the passage of that act. Deducting from the total of the sums named ($65,755,464) the amount of circulating notes redeemed and destroyed, and for which no re-issue has been made, there remained in the hands of the Treasurer on November 1, 1876, $20,910,946 of lawful money applicable to the redemption and retirement of circulation. XLVIII REPORT OF THE COMPTROLLP^R OF THE CURRENCY. The following table exhibits by States the issue and retirement of circulation during the year ending November 1, 1876, and the total amount issued and retired since June 20, 1874: Circulation retired. States and Territories. Maine New Hampshire Vermont Massachusetts Rhode Island Connecticut New York New Jersey Pennsylvania Delaware Maryland District of Columbia Virginia West Virginia North Carolina South Carolina Georgia Alabama Mississippi Louisiana Texas Arkansas Kentucky Tennessee Missouri Ohio Indiana Illinois Michigan Wisconsin Iowa Minnesota Kansas Nebraska Nevada Colorado Utah Idaho Montana Surrendered to this office and retired . Totals for the year ending November 1,1876 ". Add totals from June 20, 1874, to November 1, 1875 Surrendered to this office between same dates Total issues and retirement from \ June 20,1874, to November 1,1876.1 Circulation issued. $329, 800 167, 400 344,110 1, 760, 850 48,100 255, 960 1,197, 770 280, 585 1,187, 530 83,100 37, 500 102, 000 15, 250 6,290 156, 560 6,700 180, 000 27, 000 600 172,140 25, 200 71, 670 206, 790 7, 900 157, 475 27, 400 500 81, 000 102, 500 Under act of Of liquidatJune 20,1874. ing banks. $338, 675 1,000 208,121 3, 507, 969 259, 340 720, 613 5, 816, 279 332, 040 2, 263, 333 557, 478 192, 825 334, 145 106, 640 254, 460 298, 065 165, 839 744, 511 109, 227 42,093 i 398,862 | 223,701 I 1,020,143 ' 809, 688 1, 506, 704 1, 921, 390 779, 033 271, 457 670, 851 317,339 42, 257 5,850 73, 463 46, 763 22,101 ! 7,093,660 15,721,175 ! 24,392,255 | I 12,729,814 ! $11, 455 8,662 59, 278 24, 900 "7,160 330, 353 10, 725 147,140 43, 121 74, 242 231,486 I 198, 727 53,610 I 150 405 127, 010 925 130, 259 98, 828 102, 443 320, 340 132, 951 429, 253 50, 804 117,104 150, 601 54, 960 110, 327 11. 180 1,565 28, 484 43, 008 3,370 Total. $350,130 9,662 267, 399 3, 532, 869 259, 340 727, 773 6,146, 632 342, 765 2, 410, 473 600, 267, 565, 305, 254, 298, 219, 599 067 631 367 460 065 449 150 405 871, 521 109, 227 43, 018 529,121 322, 529 1,122, 586 1,130, 028 1, 639, 655 2, 350, 643 829, 837 388, 561 821, 452 402, 299 152, 584 17, 030 1, 565 101, 947 89, 771 25, 371 4, 422, 883 3,114,726 i 31, 929, 864 4,607,723 | 17, 337, 537 2, 690, 918 22, 814, 855 37,122, 069 7, 722, 449 51, 958, 319 A statement showing, by States, the amount of national-bank circulation issued, the amount of legal-tender notes deposited from June 20, 1874, to November 1, 187G, to retire such circulation, and the amount remaining on deposit at the latter date, will be found in the appendix. REPORT OF THE COMPTROLLER OF THE CURRENCY. XLIX The following table exhibits the total issue and retirement of nationalbank circulation, and the deposit and retirement of legal-tender notes, monthly, during the year ending November 1, 1876, together with the total amount issued and retired since the passage of the act of January 14, 1875: National-bank circulation. Legal-tender notes. Months. Issued. Nov 1875 Dec. 1875 Jan. 1876 Feb 1876 Mar 1876 Apr., 1876 May 1876 June 1876 July, 1876 Aug 1876 Sept 1876 Oct. 1876 .. National-bank notes surrendered to this office and retired Circulation issued and retired from January 14, 1875, to November 1,1875 Legal-tenders deposited from January 14, 1875, to November 1 1875 Legal-tenders retired from January 14,1875, to November 1 1875 Totals from Jan. 14,1875, to Nov. 1,1876 . Ketired. $981, 010 821, 220 702, 370 329, 385 322, 380 225, 815 476, 560 485, 670 144, 880 360,100 1, 045, 510 1,198, 780 $967, 969 898, 039 1, 986, 723 1, 949, 873 1, 853, 549 1, 622, 117 2, 087, 421 4, 744, 747 2, 831, 816 4, 032, 953 2, 330,168 2, 201, 606 7, 093, 680 31, 929, 864 10, 986, 675 Deposited. Ketired. 17, 261, 223 $1, 284, 079 2, 006, 950 2, 629, 900 3, 856, 237 5, 304, 027 3, 001, 600 2, 085. 692 2, 612| 645 1,232,831 1,137, 630 1, 776, 085 1, 251, 609 $764, 472 644, 552 554, 080 329, 748 188,144 227, 372 404, 208 351, 384 153, 056 284, 624 839, 864 959, 024 28,179, 285 5, 700, 528 4, 422, 883 22, 719, 607 8, 763, 756 18, 080, 355 49,191, 087 50, 898, 892 14, 464, 284 The following summary exhibits concisely the operations of the acts of June 20, 1874, and of January 14, 1875, down to November 1, of the present year. National-bank notes outstanding when act of June 20, 1874, was passed. $349, 894,182 National-bank notes issued from June 20,1874, to January 14, 1875 $4,734,500 National-bank notes redeemed and retired between same dates 2,767,232 Increase from June 20, 1874, to January 14, 1875. 1,967,268 National-bank notes outstanding January 14,1875 351, 861, 450 National-bank notes redeemed and retired from January 14, 1875, to date $42,077,286 National-bank notes surrendered between same dates 6, 713, 801 Total redeemed and surrendered National-bank notes issued between same dates 48, 791, 087 18, 080, 355 Decrease from January 14, 1875, to November 1, 1876 National-bank notes outstanding November 1, 1876 30,710,732 321,150, 718 Greenbacks on deposit in the Treasury June 20, 1874, to retire notes of insolvent and liquidating banks Greenbacks deposited from June 20, 1874, to November 1, 1876, to retire national-bank notes 61, 941,789 Total deposits Circulation redeemed by Treasurer between same dates without re-issue. Legal-tender notes on deposit on November 1, 1876 65,755,46.4 44, 844, 518 20,910,946 Legal tender notes retired under act of Jan uary 14, 1875 Legal-tender notes outstanding November 1, 1876 4 CC 3,813, 675 14, 464, 284 367,535, 716 L REPORT OF THE COMPTROLLER OF THE CURRENCY. SECURITY OF CIRCULATING NOTES. The following table exhibits the kinds and amounts of United States bonds held by the Treasurer on the 1st day of November, 1876, to secure the redemption of the circulating notes of national banks : Authorizing act. Class of bonds. Rate of interest. Amount. February 8, 1861 6 per cent Loan of February, 1861, (81s) ....do Loan of July and August, 1861, (81s) .. July 17 and August 5, 1861 March 3. 1863 ....do Loan of 1863, (81s) do Five-twenties of June, 1864 June 30 1864 Five-twenties of 1865.." March 3 1865 do Consols of 1865 do do do Consols of 1867 do Consols of 1868 do do March 3,1864 Ten-forties of 1864 5 per cent Funded loan of 1881 July 14,1870, and January 20,1871 do Funded loan of 1^91 .do 4i per cent Pacific Railway bonds July 1,1862, and July 2,1864 6 per cent Total . . . . 63, 061, 000 45,147, 450 23, 698, 750 24, 500 4, 013, 500 6, 050,100 9, 471, 000 2, 502, 000 88, 950, 300 134, 652, 400 10, 305, 800 9, 851, 000 337, 727, 800 These securities consist of $103,819,300 of six percent, bonds (including $9,851,000 issued to the Pacific Railroad), $223,602,700 of five per cent., and $10,305,800 of four and a half per cent, bonds. Since October 1, 1870, there has been a decrease of six per cent, bonds amounting to $143,097,000, and an increase of five per cents of $127,685,150. During the year ending November 1 there has been a decrease of $24,783,912 of six per cent, and a decrease of $15,443,500 of five per cent, bonds. During the last two months, $10,305,800 of four and a half per cent, bonds have been deposited, of which $3,409,050 were deposited in exchange for six per cent, bonds and $5,357,500 in exchange for five per cent, bonds. REPORT OF THE COMPTROLLER OP THE CURRENCY. LI SPECIE, PAPER-CURRENCY, AND BANK-CHECKS. The table below exhibits the amount of specie held by the national banks at the dates of their reports for the last eight years; the coin, coin-certificates, and checks payable in coin held by the New York City banks being stated separately. Held by national banks in New York City. Dates. Coin. U. S. coin- Checks payacertificates. ble in coin. Oct. 5,1868 $1, 698, 623 24 $6, 390, 140 $1, 536, 353 66 Jan. 4,1869. 1, 902, 769 48 18, 038, 520 2, 348,140 49 Apr. 17,1869. 1, 652, 575 21 3, 720, 040 1, 469, 826 64 June 12,1869 975, 015 82 2, 542, 533 96 11, 953, 680 Oct. 9,1869. 1, 792, 740 73 16, 897, 900 1, 013, 948 72 Jan. 22,1870 6,196, 036 29 28, 501, 460 2, 190,644 74 Mar. 24,1870 2, 647, 908 39 21, 872, 480 1, 069, 094 30 June 9,1870. 2, 942, 400 24 18, 660, 920 1,163, 905 88 Oct. 8,1870. 1, 607, 742 91 7, 533, 900 3, 994, 006 42 Dec. 28,1870. 2,268,581 96 14, 063, 540 3, 748, 126 87 Mar. 18,1871. 2, 982, 155 61 13, 099, 720 3, 829, 881 64 Apr. 29, 1871. 2, 047, 930 71 9, 845, 080 4, 382, 107 24 June 10,1871. 2, 249, 408 06 9,161,160 3, 680, 854 92 Oct. 2,1871. 1, 121, 869 40 7, 590, 260 1,163, 628 44 Dec. 16,1871. 1, 454, 930 73 17, 354, 740 4, 255, 631 39 Feb. 27,1872. 1, 490, 417 70 12,341,060 3,117, 100 90 Apr. 19,1872. 1, 828, 659 74 10, 102, 400 4, 715, 364 25 June 10,1872 4, 219, 419 52 3, 782, 909 64 11, 412,160 Oct. 3,1872. 5, 454, 580 920, 767 37 Dec. 27, 1872 1,306,091 05 12, 471, 940 Feb. 28, 1873 958, 769 86 11, 780 Apr. 25, 1873. 1, 344, 950 93 11, 539, 320 1, 743, June 13,1873 1,442,097 71 22, 139, 080 Sept. 12,1873 1, 063, 55 Dec. 26,1873. 1, 376, 210 50 i 13,522,600 I 170 18,325,760 I Feb. 27, 1874 1, 167, 820 09I 23, 518, 640 May 1,1874 1,530,282 10 23,454,660 June 26,1874 1, 525 Oct. 2,1874. 1, 842, 786 00 13, 671, 660 Dec. 31,1874. 1, 291, 215 56 13, 114, 480 443, 42 Mar. 1,1875. 1, 084, 555 54 14, 410, 940 10, 622, 160 May 1,1875 930,105 76 5, 753, 220 June 30, 1875. 1, 023, 015 86 12, 642,180 Oct. 1, 1875 753, 904 90 4, 201, 720 Dec. 17, 1875 869,436 72 12, 532, 810 Mar 10,1876 3,261,131 36 19, 086, 920 May 12,1876 832,313 70 15, 183, 760 June 30,1878 1, 214, 522 92 16, 872, 780 Oct. 2,1876 1, 129, 814 34 13, 446, 760 Total. Held by other national banks. Aggregate. $9, 625,116 90 $3, 378, 596 49 $13, 003, 713 39 22, 289, 429 97 7, 337, 320 29 29, 626, 750 26 6,842,441 85 3, 102,090 30 9. 944, 532 15 15, 471, 229 78 2, 983, 860 70 18, 455, 090 48 19, 704, 589 45 3, 297, 816 37 23, 002, 405 83 36, 888, 141 03 11, 457, 242 69 48, 345, 383 72 25, 589, 482 69 11,507,060 75 37, 096, 543 44 22, 767, 226 12 8,332,211 66 31, 099, 437 78 13, 135, 649 33 5, 324, 362 14 18, 460, 011 47 20, 080, 248 83 6, 227, 002 76 26,307,251 59 19,911,757 25 5, 857, 409 39 25, 769, 166 64 16, 275, 117 95 6, 456, 909 07 22, 732, 027 02 15, 091, 422 98 4, 833, 532 18 19, 924, 955 16 9, 875, 757 84 3, 377, 240 33 13, 252, 998 17 23, 065, 302 12 6, 529, 997 44 29, 595, 299 56 16, 948, 578 60 8, 559, 246 72 25, 507, 825 32 16,646,423 99 7, 787, 475 47 24, 433, 899 46 19, 414, 489 16 4, 842, 154 98 24, 256, 644 14 6, 375, 347 37 3, 854, 409 42 10, 229, 756 79 13, 7~8, 031 05 5, 269, 305 40 19, 047, 336 45 13, 498, 549 86 4, 279,123 67 17, 777, 673 53 13, 088, 250 93 3,780,557 81 16, 868, 808 74 23, 581, 177 71 4, 368, 909 01 27,950,086 72 14, 585, 810 55 5, 282, 658 90 19, 868, 469 45 19,701,930 50 7, 205, 107 08 26, 907, 037 58 24, 686, 460 09 8, 679, 403 49 33, 365, 863 58 24, 984, 942 10 7,585,027 16 } 32, 569, 969 26 15, 514,185 00 6,812,d22 27 22, 326, 207 27 14, 406, 266 56 6, 834, 678 67 21, 240, 945 23 15,854, 155 42 6, 582, 605 62 22, 436, 761 04 11,706 715 54 4, 960, 390 63 16, 667,106 17 6, 683, 325 76 3, 937, 035 88 10,620,361 64 13, 665,195 86 5, 294, 386 44 18, 959, 582 30 4, 955, 624 90 3,094,704 83 8, 050, 329 73 13, 402, 246 72 3,668,659 18 17, 070, 905 90 22, 348, 051 36 6, 729, 294 49 29, 077, 345 85 16, 016, 073 70 5, 698, 520 66 21, 714, 594 36 18, 087, 302 92 7,131, 167 00 25, 218, 469 92 14, 576, 574 34 6, 785, 079 69 21, 361, 654 03 The amount of specie held by the national banks during the past year is more than one-third greater than for corresponding dates of the previous year. The amount of silver coin held by the banks on June 30 and October 2, 1876, was $1,627,566 and $2,557,599, respectively. In my last annual report a statement was given, from estimates made by the Director of the Mint, showing that the probable amount of coin and bullion in the country on June 30, 1875, was $142,000,000, of which amount about twelve to fifteen millions of dollars was iu silver coin and bullion. Assuming this estimate to have been substantially correct, the movement of coin and bullion for the year ending June 30,1876, and the amount in the country at the end of that year, is shown from estimates again furnished by the Director of the Mint to be as follows: Estimated amount of coin and bullion in the country June 30, 1875 Estimated product of the mines for the year Importations for the year $142,000,000 85, 250, 000 15, 934, 000 Total 243,184,000 Deduct exports of coin and bullion for the year 56, 506, 000 Total estimated amount of coin and bullion in the country June 30, 1876 * 186,678,000 LII REPORT OF THE COMPTROLLER OF THE CURRENCY. The Director states in his estimate that the amount of gold and silver consumed in the arts and manufactures during the year was probably $5,000,000, which, deducted from the total estimated amount, gives $181,678,000 as the probable amount of gold and silver coin and bullion in the country on June 30, 1876, about $30,113,000 of which consisted of silver coin and bullion. These estimates show that during the year there has been a probable increase of $21,565,000 of gold coin and bullion, and $18,113,000 of silver coin and bullion; or a total increase of $39,678,000 over the amounts estimated to have been in the country on June 30, 1875. The Secretary of the Treasury, in his report for 1867, says that the public debt reached its maximum on August 31,1865, when it amounted to $2,845,907,626, composed as follows : Funded debt Matured debt Temporary loans Certificates of debt Five per cent, legal-tender notes Compound-interest legal-tender notes Seven-thirty notes United States notes, (legal-tenders) Fractional currency Suspended requisitions uncalled for $1,109,568,192 1, 503, 020 107,148,713 85,093,000 33, 954, 230 217, 024,160 830.000,000 433,160, 569 26, 344,742 2, 111, 000 Of these obligations, $684,138,959 were a legal tender in the payment of all debts, public and private, except customs duties and interest on the public debt. The amounts of legal-tender notes, demand-notes, fractional currency, and national-bank notes outstanding on August 31, 1865, and annually thereafter, from January 1, 1866, to January 1, 1876, and the amounts outstanding November 1, 1876, are shown by the following table: United States issues. Date. August31,1&65. January 1,1866. January 1,1867. January 1,1868. January 1,1869. January 1,1870. January 1, 1871. January 1,1872 January 1,1873. January 1,1874. January 1, 1875. January 1,1876. November 1,187( Legal-tender notes $432, 757, 604 425, 839, 319 380, 276, 160 356, 000, 000 355, 892, 975 356, 000, 000 356,000,000 357, 500, 000 358, 557, 907 378, 401, 702 382, 000. 000 371, 827, 220 367, 535, 716 Old demand notes. $402, 965 392, 070 221, 682 159, 127 128, 098 113,098 101,086 92, 801 84, 387 79, 637 72, 317 69, 642 65, 692 Fractional currency. $26, 344, 742 26, 000, 420 28, 732, 812 31, 597, 583 34,215,715 39, 762, 664 39, 995, 089 40, 767, 877 45, 722, 061 48, 544, 792 46, 390, 598 44, 147, 072 28, 555, 478 Totals. Notes of national b a n k s , including gold banks. $459,505,311 452, 231, 809 409, 2.50, 654 387,756,710 390, 236, 7tfrf 395, 875, 762 396, 096,175 398, 360, 678 404, 364, 355 427, 026, 131 428, 462, 915 416, 043, 934 396,156, 886 $176, 213, 955 298, 588, 419 299, 846, 206 299, 747, 569 299, 629, 322 299, 904, 029 306, 307, 672 328, 465, 431 344,582,812 350, 848, 236 354, 128, 250 346, 479, 756 323,241,308 Aggregate. $635, 750, 709, 687, 689, 695, 702, 726, 748, 777, 782, 762, 718, 719, 266 820, 228 076, 860 504, 279 866,110 779, 791 403, 847 826,109 947,167 874, 367 591,165 523, 690 998,194 The exchanges at the clearing-house in New York for the year ending October 1, 1876, as obtained through the courtesy of W. A. Camp, manager of the New York clearing-house, were more than $21,000,000,000; the average daily exchanges being $70,349,428, while the average daily balances paid in money were but $4,218,378, or only six per cent, of the amount of the settlements. The table on the following page exhibits the transactions of the clearing-house of that city, and the amount and ratio of currency required for the payment of daily balances, for the years ending in October from 1854 to 1876, inclusive: REPORT OF THE COMPTROLLER OF THE CURRENCY. LIU Transactions of the New York Clearing-House from 1854 to 1876. Years. No. of banks. * Capital. 50 48 50 50 46 47 50 50 50 50 49 55 58 58 59 59 61 62 61 59 59 59 59 $47, 044, 900 48, 884, 180 52, 883, 700 6% 420, 200 67,146,018 67,921,714 69, 907, 435 68, 900, 605 68, 375, 820 68, 972, 508 68, 586, 763 80, 363, 013 82. 370, 200 81, 770, 200 82, 270, 200 82, 720, 200 83, 620, 200 84, 420, 200 84, 420, 200 83, 370, 200 81, 635, 200 80, 435, 200 78, 435, 200 Exchanges. Average Balances paid Average daily daily balin money. exchanges. ances, paid in money. Ratios. $297, 411, 494 289, 694,137 334,714,489 365,313,902 314,238,911 363, 984, 683 380, 093, 438 353, 383, 944 415,530,331 677, 626, 483 885, 719, 205 1, 035, 765,108 1, 066, 135,106 1,144, 963, 451 1, 125, 455, 237 1,120, 318, 308 1, 036, 484. 822 1, 209, 721, 029 1, 213, 293, 827 1,152, 372,108 971, 231, 281 1,104, 346, 845 1, 295, 042, 029 $19,104, 505 17, 412, 052 22, 278,108 26,968,371 15, 393, 736 20, 867, 333 23, 401, 757 19, 269, 520 22, 237, 682 48, 428, 658 77, 984, 455 84, 796, 040 93, 541,195 93, 101, 167 92,182, 164 121, 451, 393 90, 274, 479 95, 133, 074 105, 964, 277 111, 022,137 68,139,484 75, 301, 558 70, 349, 428 $988, 078 940, 565 1, 079, 724 1,182, 246 1, 016, 954 1,177, 944 1, 232, 018 1,151,088 1, 344, 758 2, 207, 252 2, 866, 405 3, 373, 828 3, 472, 753 3,717,414 3, 642, 250 3, 637, 397 3, 365, 210 3, 927, 666 3, 939, 266 3, 765, 922 3,173, 958 3, 608, 977 4, 218, 378 Pr. ct. 5.2 5.4 4.8 4.4 66 5.6 5.3 6.0 6.0 4.6 3.7 4.0 3.7 4.0 4.0 3.0 3.7 4.1 3.7 3.4 4.7 4.8 6.0 t72, 994, 524 +435, 062,141, 239 +18,153, 440,168 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 1864 1865 1866 1867 1868 1869 1870 1871 1872 1873 1874 1875 1876 t61, 504, 460 t2, 566, 524 4.2 $5, 750, 455, 987 5, 362, 912, 098 6, 906, 213, 328 8 333, 226, 718 4, 756, 664, 386 6, 448, 005, 956 7, 231, 143, 057 5, 915, 742, 758 6,871,443,591 14, 867, 597, 849 24, 097, 196, 656 26, 032, 384, 342 28, 717,146, 914 28, 675,159, 472 28, 484, 288, 637 37. 407, 028, 987 27, 804, 539, 406 29, 300, 986, 682 32, 636, 997, 404 33, 972, 773, 943 20, 850, 681, 963 23, 042, 276, 858 21, 597. 274, 247 * The capital stock is stated at various dates, the amount at a uniform date in each year not being attainable. t Yearly averages for twenty-three years. | Totals for twenty-three years, THE COINAGE ACT OF 1873. The act of June 28, 1834, which reduced the gold standard about six and one-fourth per cent., practically demonetized the silver coinage. Previous to the date of the passage of that act American gold and silver coins of all denominations were equally a legal tender, and the silver coins of less denomination than one dollar were chiefly in use, only $1,369,517 in silver dollars having been issued from the xMiut at that date. The act of 1834 overvalued the gold coinage, driving from the country the full-weight silver coins previously in circulation ; and it may be confidently stated that from 1834 to 1873 no silver dollar-pieces have been presented at any custom-house in payment of duties. The entire customs-duties of the country during this period were, with the exception of silver used in change, paid in gold coin, and from tbis fund the interest paid upon the public debt has been chiefly derived.* It is not probable that in the last forty years one of these silver dollar pieces has been used in this country in the payment of debt, except in certain cases of special contract, while thousands of millions in gold coin have been used to liquidate debts, both public and private. The average amount in silver dollar pieces annually coined during these forty years * Previous to rhe act of August 30, 1842, the duties accruing on all entries of merchandise, the sum of which amounted to fifty dollars or more, were payable in the bonds of importers, with sureties approved by the collector. These bonds were collected at maturity by the banks in which the collector deposited them, in coin or the notes of specie-paying banks. The act of July 4, 1840, provided that after June 30, 1843, all receipts and disbursements of the United States should be in gold and silver only; but the sub-treasury act of August 6, 1846, provided that payments might be made in gold and silver coin, or in Treasury notes. The act of February 25, 1862, authorized the issue of legal-tender notes, making them receivable in payment of all debts, public and private, except duties on imports and interest on the public debt. LIV REPORT OF THE COMPTROLLER OF THE CURRENCY. has been about $160,000. The coin did not pass into circulation, but was chiefly used as a convenient portion of silver in the laboratory of the metallurgist, or was hoarded as an object of curiosity. Daring the three years previous to the passage of the act of 1873 it had, however, come to be used for shipment to China and Japan, as a trade-dollar, which fact will account for the increased coinage of those years, amounting in the aggregate to about $2,600,000. Hamilton, in his Mint Report in 1791, proposed il one gold piece equal in weight and value to ten units, or dollars ; one gold piece equal to the tenth part of the former, and which shall be a unit or dollar ; one silver piece, which shall also be a unit or dollar f and says that " the smaller of the two gold uoins may be called the dollar or unit, in common with the silver piece with which it coincides." From 1793—the date of the first issue of silver coin by the United States—to 1834, the silver and the gold dollar were alike authorized to be received as legal tender in payment of debt, but silver alone circulated. Subsequently, however, silver was not used, except in fractional payments, or, since 1853, as a subsidiary coin. The silver dollar, as a coin of circulation, had become obsolete and useless. The reason why, prior to 1834, payments were made exclusively in silver, and subsequently to that date in gold, is found in the fact that prior to the legislation of 1834 the weight of line silver in the silver dollar was fixed at fifteen times the weight of fine gold in the gold dollar; but after that date, owing to a reduction in the weight of gold required for the standard gold dollar, the silver dollar was made to contain of fine metal almost precisely sixteen times that of the new gold dollar, the actual market value of gold during the entire period having been greater than fifteen and less than sixteen times the value of silver of equal weight. During the earlier period, therefore, the standard silver coins were relatively the cheaper, and consequently circulated to the exclusion of the gold ; while during the later period the standard gold coins were the cheaper, circulatiug to the exclusion of the silver. The Eeport of the Deputy Comptroller of the Currency, transmitted to Congress in 1870 by the Secretary, three times distinctly stated that the bill accompanying it proposed to discontinue the issue of the silver dollar-piece. Various experts, to whom it had been submitted, approved this feature of the bill. The House was informed by its members of this provision, and the bill was printed thirteen times by order of Congress, and once by the commissioners revising the statutes, and was considered during five successive sessions. If the question of the double standard did not become prominent in the discussion upon the bill, it was for the reason that usage had established the gold dollar as the unit, the silver dollar, on account of its greater relative value, having, with the Mexican dollar and pistareen, disappeared from the circulation of the country. The coinage act of 1873 and the Eevised Statutes of 1874 simply registered in the form of a statute what had been really the unwritten law of the laud for forty years. The Director of the Mint, in his report for the present year, in discussing the proposition to authorize the coinage of the legal-tender silver dollar, says: The decline in the value of silver and the approach of the time fixed by law for specie resumption has led to a proposition for the restoration of the silver dollar of 412^ grains, with unrestricted coinage and unlimited legal-tender. This proposition, if adopted, would make the relative value of gold to silver in the coinage as 1 to 15.9884, or very nearly 1 to 16. A dollar of 412.8 grains, which would correspond exactly to the relation of 1 to 16, and one based on the ratio of 1 to 15^, have also been proposed. In the discussion of some of these propositions it has been intimated, if not directly REPORT OF THE COMPTROLLER OF THE CURRENCY. LV charged, that the repeal by the coinage act of 1873 of what may properly be termed the remnant of the silver standard left by the demonetizing legislation of 1853, was done without due consideration, or in the interest of certain creditors of the United States and to insure payment of the latter in gold coin. An examination of the public records will show that the discussion and consideration of the act referred to covered a period of more than two years, that there was no concealment as to any of its provisions, and that all proper care was exercised to render the measure as perfect as possible. The Director was frequently consulted in relatiou to the various provisions of the act, from its incipiency to its final passage, and he is able to state that, from first to last, there was no desire or effort on the part of any one advocating the measure to favor either debtors or creditors or to do anything other than what they believed to be, from the best of their knowledge, entirely in the interests of the public service and of the people of the country at large. The original draught of the bill revising the laws relative to the mints, assay-offices, and coinage of the United States was prepared in 1869 and 1870, under the supervision of the then deputy and now Comptroller of the Currency, and was transmitted to the Senate by the Secretary of the Treasury April 25, 1870, the views and criticisms of the Mint and Treasury officers and other gentlemen conversant with metallurgical and coinage subjects having been previously requested, received, and published, in compliance with a resolution of the House of Representatives. The report of Mr. Knox, which accompanied the bill, explained in detail the proposed amendments, and referred specifically to the silver dollar and its discontinuance as a standard. The bill, after discussion, passed the Senate January 10, 1871, and on the 27 th of May of the following year, 1872, passed the House of Representatives. Having been amended by the House, it was returned to the Senate, and passed that body January 17, 1873. It next came before a conference committee of the two houses, and subsequently, February 12,1873, became a law, nearly three years after its introduction in the Senate. It appears from the official documents that only one or two of the numerous experts who examined the bill recommended the retention of the silver dollar, and that not a single member of Congress in debate opposed its abandonment. These statements need no corroboration. If the provisions of the bill were not well understood it was certainly not the fault of its advocates, but rather of those who neglected to give the subject attention. A note to a speech of Hon. A. S. Hewitt, of New York, taken from the Congressional Record of August 23 of the present year, will be found in the appendix. This extract contains a true history of the act, as shown by the records of the Treasury Department and of Congress, and is a complete refutation of the charge frequently and persistently made that the bill was passed surreptitiously and without consideration. TAXATION. Section 5214 of the Eevised Statutes provides that the national banks shall pay to the Treasurer the following taxes: One per cent, annually upon the average amount of notes in circulation, and one-half of one per cent, annually upon the average amount of deposits, and upon the average amount of capital stock not invested in United States bonds. The table on the followiug page exhibits the amount of United States taxes* collected from the national banks annually, from the organization of the system (1863) to July 1, 1875; which amount has been collected without any expense whatever to the Government except the compiling of the returns in the Treasury: *The amount collected by the Commissioner of Internal Revenue from State banks, savings-banks, and private banks and bankers, during the fiscal year ending June 30, 1876, was as follows : On deposits $2,572,164 97 On capital 1,416,585 39 On circulation *17,947 67 Total 4,006,698 03 * Of this amount, $7,682.15 was derived from the tax of 10 per cent, upon unauthorized circulation. LVI REPORT OF THE COMPTROLLER OF THE CURRENCY. Year. 1864 1865 1866 1867 1868 1869 1870 1871 1872 1873 1874 1875 1876 O n circulation. $53, 096 97 733, 247 59 2, 106, 785 30 2, 868, 636 78 2, 946, 343 07 2, 957, 416 73 2 949 744 13 2,987,021 69 3,193, 570 03 3, 353,186 13 3, 404, 483 11 3, 283, 405 89 3, 091, 795 76 O n deposits. O n capital. Aggregate. Totals $18,402 23 133,251 15 406, 947 74 321, 881 36 306,781 67 312, 918 68 375, 962 26 385, 292 13 389, 356 27 454, 891 51 469, 048 02 507, 417 76 632,396 16 $167, 310 45 1, 954, 029 60 5,146, 835 81 5, 840, 698 21 5, 817, 268 18 5, 884, 888 99 5| 940, 474 00 6,175, 154 67 6, 703, 910 67 7, 004, 646 93 7, 083, 498 85 7, 305,134 04 7,229,221 56 33, 928, 703 18 33, 609, 891 84 . $95, 811 25 1, 087, 530 86 2, 633, 102 77 2, 650, 180 07 2, 564,143 44 2, 614, 553 58 2, 614, 767 61 2, 802, 840 85 3, 120, 984 37 3, 196, 569 29 3, 209, 967 72 3, 514, 310 39 3,505, 129 64 4, 714, 546 94 72, 253, 071 96 Section 5173 of the Eevised Statutes provides that the expenses of this Office shall be paid out of the proceeds of the taxes or duties assessed and collected on the circulation of the national banks. The amount of tax paid upon circulation from the organization of the system to July 1, 1876, is $33,928,703.18, while the whole expenses of the bureau for the same period, together with the cost of printing the notes, have been but $4,060,223.59. The Comptroller, in reply to a circular letter addressed by him to the national banks, requesting them to report the amount of State taxation paid by them for the year 1875, has received returns from two thousand and eighteen banks, having a capital of $493,738,408. The returns made to the Treasurer for the same year, under the provisions of the statute before mentioned, have been classified in this Office by States^ and the following table has been prepared, showing the amount of United States and State taxes, and the rate of taxation, in every State and principal city of the Union for that year : Maine New Hampshire Vermont Massachusetts Boston Rhode Island Connecticut New York New York City . . . Albany New Jersey Pennsylvania Philadelphia Pittsburgh Delaware Maryland Baltimore District of Columbia Washington Virginia West Virginia North Carolina South Carolina Georgia Florida Alabama New Orleans Texas Arkansas $9, 790,104 5, 482, 514 8, 216, 467 43,063,374 ! 51,362,454 ' 20,548,433 I 25,852,987 ! 35,471,333 i 68,466,576 I 2,088,462 ! 14,072,520 29,655,994 17,019,239 ! 10,059,041 ; 1,523,185 2,268,238 i 11,469,355 i 252, 000 1,239,564 3,535,719 1,971,000 2, 23-2, 150 3,135,000 2,716,974 50,000 : 1,638,866 ' 3,766,667 J 1,205,350 i 205,000 ! $112, 652 61, 006 89, 360 491, 157 703,218 201,639 277, 984 529, 804 1, 376, 541 62, 215 208, 559 410. 928 346, 950 141,545 22, 025 30, 468 150, 003 4,555 16, 905 54,132 25, 775 31, 406 34, 747 29, 023 854 18, 865 59, 314 15, 819 1,983 $215, 981 103, 949 169, 044 865,198 957, 283 269, 402 435, 680 962, 982 2, 093, 143 71, 740 300, 894 175, 059 128, 996 56, 246 7, 952 31, 355 230, 368 262 3,462 70, 710 30, 102 34, 584 106, 760 45, 790 1,056 22, 204 9,870 20, 844 3,288 $328, 633 164, 955 258, 404 1, 356, 355 1, 660, 501 471, 041 713, 664 1, 492, 786 3, 469, 684 133, 955 509, 453 585, 987 475, 946 197, 791 29, 977 61, 823 380. 371 4,817 20, 367 124, 842 55,877 65, 990 141, 507 74, 813 1,910 41,069 69, 184 36, 663 5, 271 Per cent. Per cent. Per cent. 1.2 2.2 3.4 1.1 1.9 3.0 1.1 2.2 3.3 1.1 2.0 3.1 1.4 1.9 3.3 1.0 1.3 2.3 1.1 1.7 2.8 1.5 2.7 4.2 2.0 3.1 5.1 3.0 3.6 6.6 1.5 2. 1 3.6 1.4 0.6 2.0 2.0 0.8 2.8 1.4 0.5 1.9 1.5 0.5 2.0 1.3 1.4 2.7 1.3 2.0 3.3 1.8 0.1 1.9 1.4 0.3 1.7 1.5 2.0 3.5 1.3 1.7 3.0 1.4 1.6 3.0 1.1 3.4 4.5 1.1 1.6 2.7 1.7 2.1 3.8 1. 2 1.4 2.6 1.6 0.3 1.9 1.3 1.7 3.0 1.0 1.6 2.6 REPORT OF THE COMPTROLLER OF THE CURRENCY. Amount of taxes. States and Territories. Tennessee Kentucky Louisville Ohio Cincinnati Cleveland Indiana Illinois Chicago Michigan Detroit Wisconsin Milwaukee Minnesota Iowa Missouri Saint Louis Kansas Nebraska Oregon California San Francisco New Mexico Colorado Utah Idaho Montana Wyoming Dakota Total Capital. United States. $3, 468, 992 7, 201, 765 3, 358, 000 21,110, 393 4, 000, 000 4, 550, 000 18, 588,189 11, 873, 363 7, 673, 757 8, 568, 270 1, 900, 000 2,974,651 700, 000 4, 391, 068 6, 416, 607 2, 742, 199 6, 360, 300 1, 588, 821 994, 758 250, 000 1, 552, 622 2, 917,112 300, 000 923, 478 300, 000 100, 000 350, 000 125, 000 50, 000 $47, 341 80, 777 45, 012 292, 900 80, 198 51, 011 229, 606 186,188 173, 506 105, 676 33, 331 47, 584 16, 263 60, 781 104, 667 36, 361 75, 135 22,901 22, 277 5,654 17,186 35, 780 4, 228 18, 997 3,472 1,429 7,047 2,049 742 503, 687, 911 7, 317, 531 State. Katies to capital. Total. 3, 250 25, 714 2,550 2,367 9,137 3,523 900 $125, 768 117, 088 61, 302 800 131 185, 397 155,883 700, 442 457 824 362, 030 252, 669 58, 075 102, 740 35, 492 154, 517 230, 755 129, 828 252, 599 68, 449 43, 966 8,691 17,186 35, 780 7,478 44, 711 6,022 3,796 16,184 5,572 1,642 10, 058,122 United States. State. Total. Per cent. Per cent. Per cent. 3.7 1. 4 2.3 1.6 1.1 0.5 1.8 1.3 0.5 3.8 1.4 2.4 4.6 2.0 2.6 3.4 1. 1 2.3 3.8 1.2 2.6 3.9 1.6 2.3 4.8 2.3 2.5 2.9 1.2 1.7 3.1 1.8 1.3 3.5 1.6 1.9 5.3 2.3 3.0 3.7 1.4 2.3 3.6 1.6 2.0 4.8 1.3 3.5 4.0 1.2 2.8 4.6 1.4 3.2 4.5 2.2 2.3 3.5 2.3 1.2 1.1 1.2 1.4 2.5 1.1 2.1 5.4 3.3 1.2 1.3 2.5 1.4 3.8 2.4 2.0 2.6 4.6 1.6 4.4 2.8 1.5 3.3 1.8 17, 375, 653 $78, 427 36,311 16, 290 507 231 105, 199 ! 104,872 1 470, 836 271 636 i 188, 524 146, 993 24, 744 55,156 19,229 93, 736 126, 088 93, 467 177, 464 45, 548 21, 689 3,037 LVII 1.5 2.0 3.5 NOTE.—The capital of the banks that paid State, county, and municipal taxes on stock and real estate is $493,738,408. Banks in California pay no taxes upon capital stock. Similar returns for the year 1874 were last year received and tabulated in this Office, and in a previous year tables were prepared, giving the amount and rate of taxation by States for the years 1867 and 1869, which tables will be found in the appendix. Eeturns were also received from the national banks in 186(3, but were not tabulated by States. The United States taxes for the year last mentioned were $8,069,938, and the State taxes were $7,949,451; total, $L6,019,389. The rates of taxation—national, State, and total—upon nationalbank capital in those States in which the taxation has been highest will be found, from the tables for 1874 and 1875, to have been as follows : 1874. 1875. States. U. S. New York New Jersey... Ohio Indiana Illinois Wisconsin Kansas — .. Nebraska ... . South Carolina Tennessee 1.9 1.5 1.4 1.2 1.8 1.8 1.5 2.0 1.1 1.5 State. Total, 2.9 2.1 2! 2 2.6 2.2 2.3 3.3 3.3 3.6 2.2 4.8 3.6 3.6 3.8 4.0 4.1 4.8 5.3 4.7 3.7 U. S. 1.8 1.5 1.4 1.2 1.8 1.7 1.4 2.2 1.1 1.4 State. Total 2.9 2.1 2.4 2.6 2.4 2.1 3.2 2.3 3.4 2.3 4.7 3.6 3.8 3.8 4.2 3.8 4.6 4.5 4.5 3.7 LVIII REPORT OF THE COMPTROLLER OF THE CURRENCY. The unequal rates of taxation are exhibited in thefollowing table, which gives the percentages of national and State taxation in the principal cities of the country for the year 1875. Kates of taxation. Cities. U.S. Boston New York Albany Philadelphia Pittsburgh Baltimore Washington New Orleans Louisville Cincinnati Cleveland Chicago Detroit Milwaukee Saint Louis Saint Paul State. Total. 1 4 2.0 30 2.0 1.4 1.3 1.4 1.6 1.3 1.9 33 5.1 6 6 2.8 1.5 3.3 1.7 1.9 1. 8 2.0 . 3.1 3 6 0.8 0.5 2.0 0.3 0.3 0.5 2.6 2.3 2.5 1.3 4.6 1.1 2.3 1.8 2.3 3.0 5.3 1.2 1.3 2.8 2.2 3.4 4.8 3.1 4.0 3.5 The following table gives the amount and ratio to capital of State and national taxation for the years 1874 and 1875, by geographical divisions: 1874. Amount of taxc, 8 . Geographical divisions. Ratios to capital. Capital.* State. U.S. Total. $160,517,266 $1, 896, 533 $2, 980, 484 $4, 877, 017 New England States 7, 236, 796 190,162,129 3, 325, 425 3,911,371 Middle States 517, 792 954, 332 33, 558, 483 436, 540 Southern States Western States and Terr's 109, 513, 801 1, 597, 585 2, 210, 679 3, 808, 264 United States 493, 751, 679 7, 256, 083 9, 620, 326 16, 876, 409 U.S. State. Total. Per ct. Per ct. Per ct. 1.2 1.8 3.0 1.7 2.1 3.8 1.3 1.5 2.8 1.5 2.0 3.5 1.5 2.0 3.5 4, 137, 859 1. 2 1. 7 1. 3 1. 5 1.8 2.1 1.4 2.4 3.0 3.8 2.7 3.9 375, 653 1. 5 2.0 3.5 1875. $164, 316, 333 $1, 937, 016 $3, 016, 537 New England States 193, 585, 507 3, 300, 498 4, 062, 459 Middle States 445, 048 476. 236 34, 485, 483 Southern States Western States and Terr's 111, 300, 588 1, 634, 969 2, 502, 890 United States 503,687,911 7,317,531 10, 058, 122 953, 553 7, 362, 957 921, 284 * The capital of the banks which reported State taxes in 1874 was $476,836,031; in 1875 it was 1493,738,408. REPORT OF THE COMPTROLLER OF TKE CURRENCY. LIX An estimate of the total taxation of the national banks for the ten years ending in 1875 was given in my last annual report, and is repeated here, with the substitution of the correct amounts for 1875, in place of the partly estimated ones then given : Ratio of tax to capital. A m o u n t of taxes. Years. Capital stock. United States. 1866 1867 1868 1869 1870 1871 1872 1873 1874 1875 $410, 593, 435 422, 804, 666 420,143, 491 419, 619, 860 429, 314, 041 451, 994,133 472, 956, 958 488, 778, 418 493, 75i, 679 503, 687, 911 $7, 949, 451 9, 525, 607 9, 465, 652 10,081,244 10, 190, 682 10, 649, 895 6,703,910 7, 004, 646 7, 256, 083 7, 317, 531 State. 1 |8, 069, 938 8,813,127 8, 757. 656 7, 297, 096 7, 465, 675 7, 860, 078 8, 343, 772 8, 499, 748 9, 620, 326* 10, 058, 122* Total. $16, 019, 389 18, 338, 734 18, 223, 308 17, 378, 340 17, 656, 357 18, 509, 973 15, 047, 682 15,504,394 16, 876, 409 17, 375, 653 TJ. S. State. Total. Per ct. Per ct. Per ct. 1.9 2.0 3.9 2.2 2.1 4.3 2.2 2. 1 4.3 2.4 1.7 4.1 2.4 1.7 4.1 2.4 1.7 4.1 1.4 1.8 3.2 1.4 1.8 3.2 1.5 2.0 3.5 1.5 2.0 3.5 Section 5204 of the Revised Statutes provides that no national bank shall withdraw, or permit to be withdrawn, either in the form of dividends or otherwise, any portion of its capital. It also provides that losses and bad debts shall be deducted from the net profits before auy dividend shall be declared, and that all debts due to an association, on which interest is due and unpaid for a period of six months, unless the same are well secured and in process of collection, shall be considered bad debts within the meaning of the law. This provision is construed to include stocks and bonds upon which interest is past due, as well as promissory notes. The national-bank examiners have been specially instructed to scrutinize the loans of the banks and report the amount of bad debts held by them ; these instructions have been carefully observed, and have been followed by extensive correspondence from this Office with the banks, to which facts may in a great degree be attributed the charging off of a very considerable amount of losses, as shown below. The following table, which is the first of the kind in reference to national banks ever prepared, exhibits by States and principal cities the losses charged off by the national banks during the two dividend periods of six months each, ending on March 1 and September 1, 1876: March 1,1876. States and cities. Maine New Hampshire. .. Vermont Massachusetts Boston Hhode Island Connecticut New York New YorR City Albany New Jersey Pennsylvania Philadelphia .. Pittsburgh Delaware Maryland Baltimore Washington... Virginia West Virginia North Carolina September 1,1876. Total. No. of Banks. Amount. 16 $69, 913 35 13 69, 274 06 10 47, 040 80 65 337, 254 65 30 471,115 98 24 224,163 45 43 246, 769 22 98 471, 725 71 36 2,288,694 10 3 57, 687 01 25 118, 276 08 60 197, 013 13 15 72, 485 07 11 76, 533 97 2 1, 032 59 6 893 67 10 260, 665 29 2 8,122 17 12 30, 554 02 5 9, 777 49 3 21, 375 27 No. of Banks. Amount. 24 #97, 775 10 $187, 688 45 24 168, 389 65 237, 663 71 17 192, 390 16 239, 430 96 109 919, 404 60 1, 256, 659 25 43 1,127, 606 70 1, 598, 722 68 21 203, 482 25 427, 645 70 44 365, 079 55 611,848 77 123 828,951 80 1, 300, 677 51 43 4, 585, 065 87 6, 873, 759 97 5 39, 327 09 97,014 10 37 181,632 15 299, 908 23 81 536,812 13 733, 825 26 13 80.491 07 152, 976 14 14 257^ 317 59 333, 851 56 5 3, 250 20 4, 282 79 8 25, 252 35 26, 146 02 11 615, 542 03 876, 207 32 4 2, 706 19 10, 828 36 13 68, 408 46 98, 962 48 4 176 25 9.953 74 6 29, 344 75 50, 720 02 LX REPORT OF THE COMPTROLLER OF THE CURRENCY. March 1, 1876. States and cities. South Carolina Georgia Alabama New Orleans .. Texas Arkansas Kentucky Louisville Tennessee Ohio Cincinnati Cleveland Indiana Illinois Chicago Michigan Detroit Wisconsin Milwaukee Iowa Minnesota Missouri Saint Louis Kansas. Nebraska Oregon California San Francisco . Colorado Utah New Mexico Wyoming Idaho Montana Totals. September 1, 1876. Total. No. of i Banks. I Banks. $30, 005 40,280 15, 764 73, 8'29 26, 353 24, 486 8, 637 18,611 9,176 187, 825 35, 392 22, 033 143, 564 76, 350 193, 323 51,712 5, 165 53, 304 16, 574 95,931 26, 238 32, 757 39, 159 8, 815 12, 763 45 2, 198 121, 250 16,914 34 3,190 18 09 88 58 99 66 69 41 01 41 75 95 30 63 24 66 91 06 89 15 48 59 31 30 01 29 82 23 55 87 85 04 50 9, 082 64 6,501,169 82 $73,861 120, 270 56, 264 445,871 15, 603 04 30 44 42 93 20, 193 40, 492 26, 403 362, 699 66, 817 30, 275 309,039 167,676 202, 068 138, 064 46, 454 16, 186 26, 868 186,443 28, 504 11,712 318,059 18, 729 3, 906 5,709 15, 655 81, 868 45,137 2,781 126 2, 645 2, 666 392 77 78 70 67 50 63 14 16 59 04 78 29 77 66 01 05 15 94 90 76 32 65 33 25 32 30 85 22 1,034 |13, 217, 856 60 $103, 866 160, 560 72, 029 519,701 41, 957 24, 486 28,831 59,103 35, 580 550, 525 102, 210 52, 30» 452, 603 244, 026 395, 392 189, 776 51,619 69,491 43, 442 282,375 54, 742 13 18 02 41 59 69 18 79 11 42 45 93 77 40 25 95 84 18 92 14 60 44, 469 36 357,218 45 27, 544 95 16, 670 19 5,755 58 17, 853 55 203,119 20 62, 052 20 2, 816 10 3, 316 36 2, 663 80 2, 666 85 9, 474 86 19, 719, 026 42 This table represents returns from all the national banks transacting business which charged losses to profit and loss or surplus accounts during the periods named; and it shows that the total losses disposed of were, during the first period, $6,501,169.82, and in the second period $13,217,856.60, making a total of $19,719,026.42. The amount charged off by the New York City banks during the year was $6,873,759.97, by the Boston banks $1,598,722.68, by the Pittsburgh banks $333,851.56, by the Baltimore banks $876,207.32, and by the New Orleans banks $519,701.41. A small proportion of these unavailable assets will doubtless be ultimately recovered; but there are still other considerable amounts of doubtful debts held by the banks, and it is probable that an amount nearly as great as that shown by the foregoing table will be charged to surplus or profit and loss during the ensuing year. The banks in the principal cities have for three years past held large amounts of currency as a dead weight, which greatly augments the nominal amount of deposits reported by them. There is no provision of law for disposing oi this excess, either by funding, as originally authorized by the legal-tender act, or by redemption in specie, either of which would reduce the amount of circulation. The rate of interest prevailing has therefore been unprecedentedly low, the average rate in he city of New York for the three years ending June 30, 1876, having been 3.4 per cent, upon call loans and 5.8 per cent, on commercial paper; while the average rate during the year has been 3,3 per cent, on call loans ;*nd 5.3 per cent, on commercial paper. It is therefore seen that the rate during the fiscal year of 1875-'76 was somewhat less than REPORT OF THE COMPTROLLER OF THE CURRENCY, LIX the average rate for the three years mentioned.* The banks have thus held a large amount of money which could not be used at remunerative rates. The Government is receiving a revenue from the banks which is more than equal to all taxes paid by them before the war; while the States are also increasing the burdens which previously were as great as could be borne. Within the past two years seventyone banks, and since the organization of the system two hundred and seven banks, have gone into voluntary liquidation, chiefly on account of excessive taxation, while during the last year fewer banks have been organized than in any previous year since 1869; and unless some favorable legislation is obtained a very considerable number of banks will retire from the system to engage iu private banking. In previous reports the Comptroller has called the attention of Congress to the fact that the amount of tax to which the national banks are subject (the average rate, including State and national, being about three and one-half per centum per annum) is much greater than that imposed ou any other capital in the country. The reason for this will be apparent when it is remembered that the data for the assessment and taxation of national banks can always be obtained from their published statements, while the amount of the capital of other corporations, private firms, and individuals cannot be as accurately determined. The tax on bank deposits was essentially a war tax; and such impositions having been long since removed from every other similar interests, the Comptroller is fully of the opinion that justice to all parties requires its removal from this one also. The recommendation for the repeal of the provision imposing a tax upon bank deposits, and also of the one requiring the affixing of a two-cent stamp upon bank-checks, is renewed, if, in the judgment of Congress, a sufficient amount of revenue for the support of the Government can be more equitably derived from other sources. DIVIDENDS AND EARNINGS. Section 5212 of the Revised Statutes provides that the national banks shall report to the Comptroller, within ten days after declaring any dividend, the amount of such dividend, and the amount of net earnings in excess of such dividend. From these returns the following table has been prepared, exhibiting the aggregate capital and surplus, total dividends, and total net earnings of the national banks, with the ratio of dividends to capital, and to capital and surplus, and of earnings to capital and surplus, for each half-year, commencing March 1, 1869, and ending September 1, 1876; from which it will be seen that the average annual dividends upon capital during the last year were less than nine and one-half per cent., while the ratio of dividends to capital and surplus in the same period was only seven and one half per cent: *The average rate of interest in New York City for the fiscal years ending June 30, 1874, '75, and '76, as ascertained from data derived from the Journal of Commerce and the Financial Chronicle of that city, was as follows: 1874, call loans, 3.8 per cent. ; commercial paper, 6.4 per cent. 1875, call loans, 3.0 per cent.; commercial paper, 5.6 per cent. 1876, call loans, 3.3 per cent.; commercial paper, 5.3 per cent. LXII REPORT OF THE COMPTROLLER OP THE CURRENCY. Period of six No. of months end- banks. Total divi- Total net earnings. dends. Surplus. Capital. Divi- Divid" n d s dends to to capital capital. a n d surplus. Earnings to capital and surplus. Per ct. Sept. Mar. Sept. Mar. Sept. Mar. Sept. Mar. Sept. Mar. Sept. Mar. Sept. Mar. Sept. 1.1869 1.1870 1.1870 1.1871 1,1871 1.1872 1, 1872 1.1873 1, 1873 1.1874 1, 1874 1.1875 1,1875 1, 1876 1, 1876 1,481 $401, 650 802 $82,105, 848 416,366,991 \ 86,118,210 1,571 1,601 425,317,104 | 91, 630, 620 428, 699, 165 I 94, 672, 401 1,605 445,999,264 j 98, 2S6, 591 1,693 450,693,706 } 99, 431, 243 1, 750 465,676,023 I 105, 181, 942 1, 852 475,918,683 | 114,257,288 1,912 1, 955 488,100,951 j 118, 113,848 489,510,323 I 123, 469, 859 1,967 489,938,284 | 128, 364, 039 1,971 2, 007 493,568,831 I 131,560,637 2,047 497,864,833 | 134, 123, 649 2, 076 504,209,491 ! 134, 467, 595 500,482,271 2,081 132, 251, 078 $21, 767, 831 $29, 221,184 21,479,095 2-, 996, 934 21, 080, 343 26, 813, 885 22, 205, 150 27, 243, 162 22, 125, 279 27,315,311 22, 859, 826 27, 502, 539 23, 827, 289 30, 572, 891 24, 826, 061 31, 926, 478 24, 823, 029 33,122, 000 23, 529, 998 29, 544,120 24, 929, 307 30, 036, 811 24, 750, 816 2!>, 136, 007 24, 317, 785 28, 800, 217 24,811,581 23, 097, 921 22; 563, 829 20, 540, 231 Per ct. 6.04 5.77 5,19 5.21 5.02 5.00 5.36 5.41 5.46 4.82 4.86 4.66 4.56 3.62 3.25 4 50 4 27 4 08 4.24 4 07 4 16 4 17 4.21 4 3 4 3 3 3 3 09 84 03 96 85 88 57 The following table exhibits similar ratios by geographical divisions for the years 1875 and 1876: 1876. Perct. I 9.6 i 9.8 ! 8.7 i 10.7 9.9 New England States Middle States Southern States Western States and Territories United States Per ct. 7.6 7.6 7.7 8.6 7.8 Per ct. 8.7 8. 2 9.8 11.6 9.3 Per ct. 8.4 9.8 8.8 10.3 9.4 Divid'nds to capital and surplus. Earnings to capital and surplus. Per ct. 6.7 7.7 7.6 8.1 7.5 • Divid'nda! Earnings Divi[lendstol tocapitaljtooapital dends to d raniHl a n uds s u r " Ia n u s s u r - capital. capital. l l Geographical divisions. Per ct. 6.5 5.5 9.6 9.9 6.9 A tabular statement is subjoined showing by geographical divisions the ratios for the last six years, and the average ratios for the whole period: Rati o of dividends to capital for six months ending— Geographical divisions. 1871. 1872. 1873. 1874. 1875. 1876. Average. Mar. Sept. Mar Sept. Mar. Sept. Mar. Sept. Mar. Sept. Mar. Sept. 1. 1. 1. 1. 1. 1. 1. 1. 1. 1. New England States Middle States Sonthern States Western States and Territories United States P'r ct P ' r c t . P'r ct. P'rct. P'r ct. 5.1 5.0 6.1 5.7 5.2 4.9 4.9 5 2 5.2 5.0 4.9 4.9 5.3 5.9 5.1 5.0 5.1 5.0 5.3 5.1 5.1 5.1 5.2 5. 5 5.2 P'r it. 5. L 5.0 4.6 5.5 5.1 P ' r c t . P'r ct. 4.9 4.8 4.3 5.0 4.8 4.9 5.0 4.8 5.6 5.1 P'rct. 4.9 5.0 4.3 5.4 5.0 P'rct. 4.8 4.8 4.4 5.3 4.9 P'rct. 4. 4 5.2 4.5 5.2 4.9 P'r ct. P'rct. 4.0 4.6 4.3 5.1 4.5 4.9 5.0 5.0 5.4 5.0 3.2 3.6 3.7 4.0 3.6 4.0 3.9 4.5 4.4 4. 1 Ratio of dividends to capital and surplus. New England States ! 4. 2 ! 4.1 j 4.1 Middle States ! 4.0 | 3. 9 j 4. 0 ! Southern States 5. 5 j 4. 8 j 4. 7 Western States and Territories! 4. 7 j 4. 3 j 4. 4 United States | 4. 2 4.1 ; 4. 2 4. 0 4.1 3.9 I 4.0 4. 9 I 4. 7 4.9 I 4.5 4. 2 4. 2 4. 1 3.9 4.2 4.5 4.1 3.8 3.7 3.9 4.1 3. 8 3.9 3.8 4.3 4.5 4.0 1 3. 8 3. 8 3.9 3. 7 I 3.8 3. 9 i 4.4 4. 2 i 4 . 0 3. 9 3. 4. 3. 4. 3. 5 1 9 1 9 REPORT OF THE COMPTROLLER OF THE CURRENCY. LXIII RESERVE. The following table exhibits the movements of legal-tender reserve, consisting ot specie and legal-tender notes, of the New York City national banks, weekly, daring the month of October, for the last five years: Specie. Week ending— Legal-tenders. Total. Ratio to liabilities. $8,469,700 ! $37, 998, 500 $46, 468, 200 50; 745, 300 10,070,200 | 40, 675,100 10,657,400 ; 4(], 260, 100 56, 917, 500 9,234,300 ! 46, 885, 000 56,119,300 9,240,300 ! 9, 251, 900 18, 492, 200 10,506,900 I 18, 556, 200 8, 049, 300 11,650,100 ! 16, 829, 900 5,179, 800 11,433,500 ! 18,620 800 7,187, 300 15,373,400 : 53, 297, 600 68, 671, 000 14,517,700 I 52, 152, 000 66,669,700 12,691,400 ! 51,855, 100 64, 546, 500 11,457,900 ! 49, 893, 900 61, 351, 800 10,324,900 61, 097, 900 50, 773, 000 5,438,900 ! 56,181, 500 61, 620, 400 5,716,200 ! 51, 342, 300 57, 058, 500 5,528,500 ; ! 48, 582, 700 54, 111, 200 5,735,000 53, 035, 900 47, 300, 900 8,975,600 | 45, 762, 800 54, 738, 400 17,682,600 ! 45, 535, 600 63,218,200 ! 16,233,600 | 43. 004, 600 59,238,200 I 15,577,500 | 41, 421, 700 56,999,200 | 14,011,600 I 41, 645, 600 55,657,200 | October 5,1872 . October 12,1872 . October 19,1872 . October 26,1872 . October 4,1873 . October 11,1873 . October 18, 1873 . October 25,1873 . October 3,1874 . October 10,1874 . October 17,1874 . October 24,1874 . October 31,1874 . October 2, 1875 . October 9,1875 . October 16,1875 . October 23,1875 . October 30, 1875 . October 7,1876 . October 14,1876 . October 21,1876 . October 28,1876 . 24.9 26.8 28.6 27.8 11.6 11.6 10.7 12 2 3(h 0 29.6 29.0 28.8 27.9 28.1 26.5 25.4 25.3 26.5 30.5 28.8 27.8 28.0 The smallest amount of reserve held by the national banks of New York City rwas in 1873, for the week ending on October L8, when the amount w as reduced during the panic to $16,829,900, or to 10.72 per . cent, of their liabilities, of which only $5,179,800 was in legal-tender notes. The percentage held for the corresponding week in the September previous was 23.55 per cent., and for the corresponding week in November of the same year, 24.10 per cent. The average amount of the reserve held by the banks in October, 1874, was fully equal to the average of the previous years, being 29 per cent, of their liabilities. The amount heldin October, 1875, was 26.4 per cent., and in 1876 it was 28.8 per cent., upon liabilities. The following table, compiled from weekly returns to the New York clearing-house, exhibits the average liabilities and reserve, together with the average amount of legal-tender notes and specie and the ratio of each to liabilities, of the New York City banks in October of each year from 1870 to 1876: Reserve. Dates. October , October October October , October , October October , Liabilities. 1870 $194, 034, 979 1871 209, 421, 950 1872 194,103,050 1873 157, 171, 475 1874 222, 510, 980 1875 212, 787,180 1876 204, 033, 625 Legal tenders. $46, 603, 058 45, 799, 550 42, 954, 675 7, 417, 075 51,594,320 49, 834, 040 42, 901, 875 Specie. $10, 8, 9, 10, 12, 6, 15, 762, 769, 607, 707, 873, 278, 876, 843 000 900 700 060 840 325 Ratio to liabilities. Total. $57,365,901 54, 568, 550 52, 562, 575 18, 124, 775 64, 467, 380 56,112,880 58, 778, 200 Legaltenders. Specie. Total. Per cent. Per cent. Per cent. 5.6 24.0 29.6 4.2 21.9 26.1 4.9 22 2 27.1 4.7 11.5 6.8 23.2 29.0 5.8 23.4 3.0 26 4 21.0 7.8 28.8 A table showing the average weekly deposits, circulation, and reserve of these banks for the months of September and October, since 1870, will be found in the appendix. The following tables exhibit the amount of circulation, net deposits and r ^ r v e held by the national banks in the States and Territories LXIV REPORT OF THE COMPTROLLER OF THE CURRENCY. (exclusive of reserve cities), in New York City, and in the other principal cities, together with the total amount in the country, at three periods in each year from 1871 to the present time : S T A T E S AND T E R R I T O R I E S , E X C L U S I V E OF R E S E R V E C I T I E S . Dates. I Liabilities. Number of banks. Circulation. posits. Millions 202. 8 204.2 210. 2 April 29,1871 J u n e 10,1871. October 2,1871 1,482 1,497 1,537 April 19,1872 J u n e 10,1872 October 3,1872 1,616 1,626 1, 689 220.1 222. 0 227. 3 April 25,1873 J u n e 13,1873 September 12,1873 1,732 1,737 1,747 231.9 232. 8 233. 1 May 1,1874 J u n e 26, 1874 October 2,1874 1, 751 1, 755 1,774 235. 8 235. 4 234.1 May 1,1875 Tune 30,1875 October 1,1875 May 12,1876 Tune 30,1876 October 2,1876 1,815 1,845 1,851 1,853 1,855 1,853 231.5 229. 8 230.7 222. 4 218.8 218.6 Millions Millions Millions Perce it. Millions Millions Millions Millions >. Millio m 226.9 56.7 65. 7 29.0 11.9 | 53.8 31.8 I 195.1 242. 0 11.4 I 65.2 60.5 76.6 31. 7 31.0 211.0 221.9 8.7 | 50.5 30. 6 191. 3 55. 5 59.2 26. 7 200.6 50.1 53.4 11.9 26. 6 41.5 28.6 172.0 225. 2 15.2 28.3 56.3 65. 6 29. 1 50.4 196. 9 186. 1 6.4 28.1 39.0 46.5 45.4 24. 4 158.0 163. 6 191.6 47.9 47.3 24. 7 13.1 28.0 34.2 214. 2 186.5 23.6 27.7 53.6 64.4 30. 1 40.8 200. 2 14.6 28.2 172. 0 50.0 46.9 23. 4 32. 3 207. 6 234. 8 25. 0 46. 3 27. 2 58.7 71.3 30. 4 232. 6 15.5 56.3 206. 4 26.2 58. I 71.8 30. 9 229. 9 14. 4 53. 9 57.5 2u4. 6 68.3 29. 7 25.3 6.7 21.0 197. 5 218. 5 54.6 57.8 26.4 51.1 218. 4 237. 6 13.7 19.2 62.9 59.4 76.6 32. 2 202. 3 220.6 5.0 55.5 18.3 55. 1 60.5 27. 4 180.5 196.6 16.1 49.2 53.4 27. 2 16.0 37.4 195. 8 211.4 15.6 65.1 18.1 52.8 30. 8 47.0 212. 8 14.8 198. 0 14.6 53.2 60.7 46.1 28. 5 April 29, 1871 J u n e 10,1871 October 2, 1871 April 19.1872 J u n e 10,1872 October 3,1872 April 25,1873 J u n e 13, 1873 September 12,1873 May 1,1874 J u n e 26, 1874 October 2,1874 May 1,1875 J u n e 30,1875 October 1,1875 May 12, 1876 J u n e 30, 1876 October 2, 1876 OTHER RESERVE CITIES. April 19,1872 J u n e 10,1872 October 3,1872 171 172 176 176 176 180 April 25,1873 J u n e 13, 1873 September 12, 1873 . 181 182 181 78.2 78.2 77.8 196. 0 210. 5 197.5 274. 2 288.7 275.3 68.6 72 2 68.' 8 Percent. Millions Millions Millions 31.5 3.9 45.8 29.4 31.7 2.8 47.2 33.1 28.7 1.5 42.6 31.2 71.4 27.4 5.1 36.4 29.9 28.8 79.1 42.6 2.8 33.7 25.9 36.7 66.8 1.9 28.2 72.4 26.4 2. 2 40.4 29.8 80.8 28.0 2^7 43.2 34.9 71.8 3.2 36.3 26.1 32.3 May 1, 1874 Juiie 26. 1874 October 2, 1874 179 180 182 77.3 76.9 73.1 210.9 219. 1 218. 5 288. 2 296. 0 293. 1 72.1 74. 0 73. 3 84.2 87.4 76.0 29.2 29.5 25.9 5.1 4.5 4.5 45.4 47.4 40.4 33.7 35.5 31.1 May 1,1875 Tune 30 1875 October 1, 1875 183 183 188 189 189 189 70.8 6') 1 69.4 217. 9 222. 9 288.7 294 6 292. 3 72.2 73 7 73. 1 72.0 78. 0 74. 5 25.0 26.4 25.5 2.4 3.7 1.5 41.1 43.0 40.7 28.5 31.3 32.3 61.7 GO. 0 58.4 213. 9 219. 0 216. 3 275. 6 279. 0 274. 7 6S. 9 69.8 68. 7 72.7 77. 8 76.1 30.0 27.9 27.7 i! 38.8 42.4 40. 30.1 30.7 32.0 April 29,1871 J u n e 10,1871 October 2,1871 May 12, 1876 Juiie 30, 1876 October 2,1876 Millions Millions Millions Millions. 251. 2 179. 6 62. 8 71.6 262. 4 189. 9 65.6 72. 5 262. 7 188.1 65.7 74.6 183. 9 260. 5 65.1 76.6 198. I 274.9 68.7 76. 8 257. 7 64.4 179. 6 78.1 2-25 5 79.1 83.1 75.3 4.0 REPORT OF THE COMPTROLLER OF THE CURRENCY. LXV SUMMARY. Dates. Liabilities. Reserve held. Classification of reserve. NumReserve ber of Other Due req'red. Ratio banks. Circula- Net deAmount to liabil- Specie. lawful from tion. posits. Total. money. agents. ities. April 29,1871 J u n e 10, 1871 October 2,1871 April 19,1672 J u n e 10,1872 October 3 , 1 8 7 2 . . . . April 25,1873 J u n e 13,1873 September 12,1873 May 1,1874 J u n e 26,1874 October 2 , 1 8 7 4 . . . . May 1,1875 J u n e 30,1875 October 1,1875 . . . . May 12,1876 J u n e 30,1876 , October 2,1876 Millio ms Millions Milkions Millions MillionsPercent. Millions Millions Millions 18.3 916.6 185.3 243.5 26.6 140.1 85.1 306.1 610.5 16.2 949. 7 261.4 27.5 152.8 92.4 641.9 192. 9 307. 8 12.0 952.2 233.4 24.5 134.5 86.9 636.7 191.3 315.5 623. 2 948.5 188.4 23.5 19.6 325.3 222.9 121. 2 82.1 990. 9 195.6 246.5 20.0 327.1 663. 8 24.9 134.9 91.6 209. 9 953. 3 187.4 10.2 333. 5 619.8 119.0 22.1 80.7 988.4 650.3 194.9 225. 4 22.8 16.9 119.7 338.1 88.8 691.9 I, 030. 7 204. 9 254.1 24.7 28.0 129.0 338.8 97.1 673.3 1, 012. 4 199.5 229.1 22.6 19.9 113.1 96.1 339.1 25.7 340.3 704.7 1, 045. 0 209.1 268.1 32.5 141.8 93.8 25.7 338.5 713.0 1, 051. 5 210.6 270. 7 22.3 150.9 97.5 23.3 332.5 716.5 1, 050. 5 210.0 244.9 21.3 139.8 83.8 22.1 10.6 2,046 323.3 720.6 1, 043. 9 207.3 230.5 139.3 80.6 24.2 2,076 318.1 755.4 1, 073. 5 214. 3 259.8 19.0 151.1 89.7 22.3 2,087 318.4 731.9 1, 050. 3 208. 9 235.1 141.4 8.1 85.6 993. 3 2,089 693.1 196.3 23.2 21.7 300.2 230.6 122.1 86.8 2,091 24.5 25.3 294.4 713.5 1, 007. 9 200.2 246.7 133.5 87.9 2,089 23.7 21.4 87.4 997.3 • 198. 4 236. 8 128.0 291.8 705.5 1,707 1, 723 1,767 1,843 1,853 1,919 1,962 1,968 1,976 1,978 1,983 2,004 REDEMPTION. The following table exhibits the amount of national-bank notes received monthly by the Comptroller of the Currency for the year ending November 1, 1876, and the amount received for the same period at the redemption-agency of the Treasury, together with the total amount received since the passage of the act of June 20. 1874 : Received by Comptroller. From From banks for redemption - ofNotes Under act re-issue agency lor in banks of J u n e 20, liquior sur1874. dation. re-issue. render. Months. 1875. Total. Received at redemptionagency. $194, 993 138, 910 $7, 492, 600 8, 099, 200 $208, 795 198, 305 $973, 969 $8, 870, 357 1, 464, 767 9, 901,182 $13,160, 961 16,166,127 56, 800 221, 330 572, 570 276, 141 144, 890 200, 204 45, 950 87, 350 112, 415 59,153 7,161, 645 7, 209, 400 4, 984, 810 3, 625, 800 5, 663, 600 7, 428, 800 4, 885, 000 6, 691, 000 5, 250, 900 4,141,400 281,108 228, 950 251,600 192,177 269, 958 348, H66 309, 938 405, 750 352, 358 136, 280 1, 713, 983 9, 213, 536 1, 945, 137 9, 604, 817 1, 501, 802 7, 310, 782 1, 737, 617 5, 831, 735 3,051,476 9,129, 924 3, 346, 656 11, 324, 526 1, 608, 033 6, 848, 921 3, 745, 914 10, 930, 014 2, 142, 354 7, 858, 027 1, 632, 847 5; 969, 680 20,344,691 15, 990, 050 15,191, 539 14, 728, 674 21,196, 260 23, 606, 005 22, 549, 397 19,512,869 17, 910, 848 15, 792,180 Total 2,110, 706 72, 634,155 3,184, 085 24, 864, 555 102, 793, 501 Received from June 20, 1874, to November 1, 1875 7, 356, 766 141,962,100 4, 486, 923 13,129, 464 166, 935, 253 216,149, 601 November December January February March April May June July August Sept ember October 1876. Grand total , 9, 467, 472 214,596,255 7, 671, 008 37,994,019 269, 728, 754 219, 336, 445 435, 486, 046 From the above table it will be seen that there was received at the redemption-agency of the Treasury, during the year ending November 1, 1876, $216,149,601; of which amount about $72,000,000, or 33J per cent., was received from the banks in New York City. The total amount received by the Comptroller for destruction from the redemption-agency 5 cc LXVI REPORT OF THE COMPTROLLER OF THE CURRENCY. and from the national banks direct was $102,793,501; of which amount $47,863,288 were issues of the banks in the city of New York, $39,008,292 of Boston, $15,210,718 Philadelphia, $8,926,713 Baltimore, $7,682,207 Pittsburgh, $3,387,940 Cincinnati, $6,860,763 Chicago, $4,334,385 Saint Louis, $2,514,883 New Orleans, $2,517,640 Albany, and $2,609,690 Cleveland. There was $104,188,948 of national-bank circulation outstanding on November 1 upon which the charter-number had not been printed, and $215,687,248 in circulation having that imprint. The following table exhibits the number and amount of national bank notes, of each denomination, which have been issued and redeemed since the organization of the system, and the number and amount outstanding on November 1, 1876: Number. Amount. Denominations. Issued. 2 5 10 20 50 100 500 1 000 Add and subtract for notes lost or destroyed. Totals . Redeemed. Outstanding. 18, 849, 264 6, 307, 448 51, 783, 528 20, 008, 652 6, 086, 492 985, 615 710, 900 18, 721 5,539 15, 556, 708 5, 324, 546 32, 382, 056 10, 3K9, 214 2, H52, 246 515, 7H4 395, 785 16,217 5,272 3, 292, 556 982, 902 19,401,472 9, 639, 438 3, 234, 246 469, 831 315, 115 2,504 267 — 9, 126 + 9,126 104, 756, 159 67, 417, 828 37,338,331 747, 468, 410 427, 592, 214 319, 876, 196 Issued. Redeemed. $18, 849, 264 $15, 556, 708 12, 614, 896 10, 649, 092 258, 917, 640 161, 910, 280 200, 086, 520 103, 692, 140 121, 729, 840 57, 044, 920 49, 280, 750 25, 789, 200 71,090,000 39, 578, 500 9, 360, 5(0 8, 108, 500 5, 539, 000 5, 272, 000 Outstanding. $3, 292, 556 1, 965, 804 97, 007, 360 96, 394, 380 64, 684, 920 23, 491, 550 31,511,500 1, 252, 000 267, 000 It will be seen from the above table that there was outstanding on the 1st day of November, 1876, $5,258,360 only, in notes of denominations less than five dollars, and $97,007,360 in five-dollar notes. At the same date there was outstanding $59,500,260 of legal-tender notes in denominations less than live dollars and $51,870,390 in five-dollar notes. The following table shows the amount of national-bank notes received at this Office and destroyed yearly since the organization of the system: Prior to November 1, 1865 During the year ending October 31, 1866 Duiing the year ending October 31,1867. During the year ending October 31,1868 During the year ending October 31,1869 During the year ending October 31,1870 During the year ending October 31,1871 During the year ending October 31,1872 During the year ending October 31, 1873 During the year ending October 31,1874 During the year ending October 31,1875 During the yt ar ending October 31,1876 Additional amount destroyed of notes of banks in liquidation Total $175,490 1, 050, 382 3,401,423 4, 602, 825 8,603,729 14, 305, 689 24, 344, 047 30,211,720 36, 433,171 49, 939, 741 137,697,696 98, 672, 716 18,153, 584 427,592,213 LOST AND UNREDEEMED BANK-NOTES. In his report for last year the Comptroller gave some statistics in reference to the percentage of banknotes not presented for redemption. Beturns were given for two hundred and eighty-six banks in the State of New York, organized under the authority of its legislature. It was found REPORT OF THE COMPTROLLER OF THE CURRENCY. LXVII that the maximum amount of circulation issued to them was $50,754,514, and that the total circulation then outstanding was $1,336,337, the proportion of unredeemed circulation being 2.63 per cent, of the whole amount issued. The maximum amount of circulation issued to thirty State bauks which are still in operation, either as national or State banks, was $7,763,010 • the amount unredeemed in October, 1875, $142,365; amount unredeemed in proportion to that issued, 1.83 per cent. Similar returns were obtained from the State bank superintendent of Wisconsin, from which it was found that the greatest amount of circulation issued to two hundred and forty State banks was $7,565,409, the amount unredeemed being $134,747 ; proportion unredeemed, 1.78 per cent. Eeturns have been recently received, in answer to circulars from this Office, from two hundred and ten banks originally organized under State authority in the six New England States, which show the largest amount of circulation issued to these banks to have been $39,245,380, the amount remaining unredeemed being $792,767; proportion of unredeemed circulation, 2.02 per cent. The returns from three hundred and thirty-two banks in New York, New Jersey, Delaware, and Maryland, including those received last year, show the maximum circulation to have been $65,684,176; amount still unredeemed, $1,707,428; percentage of unredeemed circulation, 2.60. Eeturns from twenty-five banks in Ohio give the largest amount of circulation, $2,196,381; amount unredeemed, $61,340; percentage of unredeemed notes, 2.79. The following table gives the greatest amount of circulation issued to seven hundred and seven banks, the amount outstanding, and the percentage unredeemed in twelve States of the Union. The percentage of outstanding circulation in all these States was 2.35. States. Maine jSTew Hampshire . Vermont Massachusetts... Rhode Island Connecticut NewYork Xew Jersey Delaware .' Maryland Ohio Wisconsin Totals . Number of banks. 29 27 16 41 44 53 286 25 5 16 25 140 Greatest circulation. PercentCirculation outstanding. ige unredeemed. $3, 375,130 2, 520, 339 3, 143, 348 10, 986, 357 6, 369, 652 12, 650, 554 50, 754, 515 7,111,047 950, 770 6, 847 844 2,196, 381 7, 565, 409 $53,102 35, 660 37, 027 254, 954 158, 834 253, 190 ., 336, 337 16* 961 35,461 172, 669 61, 340 134, 747 1.6 1.4 1. 2 2.3 2.5 2.0 2.6 2.3 3.7 2.5 2.8 1.8 114, 671, 346 2, 696, 282 2.4 The greatest amount of circulation of the fifteen national banks which foiled prior to 1870 was $1,554,400, and there now remains unredeemed of that circulation but $21,051, a percentage of 1.35 only. Of fifty-one national banks in voluntary liquidation previous to 1870, with a circulation of $5,832,940, there remains outstanding $289,844, or 4.97 per cent.; and of seventy-six banks in voluntary liquidation prior to 1872, with a circulation of $8,635,180, there remains outstanding $435,894, equal to a percentage of 5.04. The amount of demand Treasury notes issued from July 17, 1861, to December 31, 1862, was $60,000,000, in denominations of five, ten, and twenty dollars; and the amount remaining outstanding on the 1st of November was $65,692, the portion unredeemed being a little more than one-tenth of one per cent. LXVIII REPORT OF THE COMPTROLLER OF THE CURRENCY. INSOLVENT BANKS. Since my last annual report receivers have been appointed for nine national banks, as follows: Capital. $150, 000 200, 000 50,000 50, 000 100, 000 50, 000 250,000 75, 000 60, 000 Miners' National Bank, Georgetown, Col Fourth National Bank of Chicago, 111 First National Bank of Bedford, Iowa First National Bank of Osceola, Iowa First National Bank of Duluth, Minn First National Bank of La Crosse, Wis City National Bank of Chicago, 111 Watkins National Bank, Watkins, N. Y First National Bank of Wichita, Kan 985,000 Dividends have been paid to the creditors of five of these banks as follows.: Per cent. First National Bank of Osceola First National Bank of Dulnth First National Bank of La Crosse Watkins National Bank City National Bank, Chicago 25 25 20 50 25 The aggregate amount of these dividends was $245,562 33, the average dividend being 25| per cent. Dividends have also been declared during the year in favor of the creditors of banks which had previously failed, as follows: First National Bank of Washington, D. C Gibson County National Bank, Princeton, Ind Crescent City National Bank, New Orleans First National Bank, Carlisle, Pa „ First National Bank, Mansfield, Ohio Merchants' National Bank, Petersburg, Va First National Bank, Petersburg, Va First National Bank, Anderson, Ind First National Bank, Tiffin, Ohio New Orleans National Banking Association Venango National Bank, Franklin, Pa Charlottesville National Bank, Va 40 per cent.; 60 per cent. 10 per cent. 15 per cent. 10 per cent. 10 per cent. 16 per cent. 10 per cent. 20 per cent. 15 per cent. 15 per cent. 10 per cent.; total, 100 per total, 100 per total, 60 per total, 40 per total, 45 per total, 34 per total, 76 per total, 25 per total, 20 per total, 15 per total, 15 per total, 10 per cent. cent, cent, cent, cent, cent, cent, cent, cent, cent, cent. cent. The total amount of dividends disbursed during the year to creditors of insolvent banks was $1,093,178 43. The affairs of The First National Bank of Washington, D. O., Gibson County National Bank of Princeton, Ind., First National Bank of Petersburg and The Merchants' National Bank of Petersburg, have been finally closed, the creditors of the two first-named banks having been paid in full. A dividend of eight per cent, has been declared in favor of the creditors of The Cook County National Bauk of Chicago, which will probably be paid during the month of December. Suits have been brought for the enforcement of their individual liability under section 5151 of the Kevised Statutes against delinquent shareholders of the following banks: The First National Bank of New Orleans, Crescent City National Bank of New Orleans, New Orleans National Banking Association, Atlantic National Bank of New York City, First National Bank of Norfolk, Ya., First National Bank of Anderson, Ind., Scandinavian National Bank of Chicago, First National Bank of Mansfield, Ohio, and Cook County National Bank of Chicago. Tables showing the national banks which have been placed in the hands of receivers, the date of appointment of receivers, the amount of capital and claims proved, and rate of dividends paid to creditors, together with the amount of circulation issued, redeemed and outstanding on November 1, 1876, will be found in the appendix. REPORT OF THE COMPTROLLER OF THE CURRENCY. LXIX GEOGRAPHICAL DISTRIBUTION OF NATIONAL-BANK STOCK. In reply to a resolution of the House of Bepresentatives, the ^Comptroller transmitted during the last session a list of shareholders!of the national banks, showing the number of shares held by each and the residences of the shareholders. The Comptroller has prepared for his present report a classified table, showing by States and geographical divisions the aggregate number of shares of national-bank stock; the number of shares held in each State and the number held by non-residents; the number of shareholders residing in each State, and the number holding bank-stock in other States. It also shows the number of shareholders owning ten shares or less, over ten and less than twenty, over twenty and less than thirty, over thirty and less than forty, over forty and less than fifty, over fifty and less than one hundred, over one hundred and less than five hundred, and the number owning over five hundred shares. An additional table has been prepared, showing by States the total number of shares held by non-residents, classified by States and geographical divisions. A separate table exhibits the number of shares held in Great Britain, France, and Germany, and other foreign countries. The total number of shares is 6,505,930, and of shareholders, 208,486. The average amount of stock held by each shareholder is about $3,100. In the Eastern States it is about $2,100 ; in the Middle States, $3,100 ; in the Southern States, $3,400; in the Western States, $4,800; and in the Pacific States and Territories, $8,300. Shareholders of national-bank stock reside in every State and Territory in the Union except in Washington and Alaska; in eleven countries or provinces of this continent and adjacent islands; in twenty-five countries in Europe, Asia, and Africa, and in the islands of the sea. These tables are commended to the lovers of the interesting and the curious in monetary statistics. The capital stock of the national banks in operation on the 1st day of July, 1876, was $505,482,866, which would be represented by 5,054,828 shares if of one hundred dollars each. Under the national-bank act, however, State banks are authorized to convert into national banks with shares of the same amount as they were before conversion. Some of these State institutions divided their capital into shares of less than one hundred dollars. In some instances the shares were eighty dollars, in othersfiftydollars, and in a few cases as low as ten dollars. The shares of the national banks, which thus number more than six and one-half millions, and are distributed among more than 208,000 shareholders, were issued by banks in the various geographical divisions as follows : In the Eastern States, 2,018,826, of which the banks of Massachusetts issued 988,700; in the Middle States, 3,051,378, of which the New York banks issued 1,482,746; in the Southern and Southwestern States, 429,393; in the Western States, 937,333, and in the Pacific States and Territories, 69,000. The number of shares held in the Eastern States was 1,858,398 ; in the Middle States, 2,702,269 ; in the Southern and Southwestern States, 358,335 ; in the Western States, 839,391; and in the Pacific States and the Territories, 62,515—total, 5,820,908. The number of shares held in these geographical divisions which were issued in States other than those in which the holders resided, was as follows: In the Eastern States, 337,626; in the Middle States, 207,982; in the Southern and Southwestern States, 35,651; in the Western States, 69,275; and in the Pacific States, 4,827—total, 655,361. The number of shareholders residing in the Eastern States was LXX REPORT OF THE COMPTROLLER OF THE CURRENCY. 86,975, of whom 46,564 were in Massachusetts. In the Middle States there were 68,126, of whom 26,339 were in New York, and 28,612 in Pennsylvania ; in the Southern and Southwestern States, 11,004 ; in the Western States, 17,1705 and in the Pacific States and Territories, 721. The total number of shareholders holding1 ten shares or less is 104,976; over ten and not more than twenty, 39,206; over twenty and not more than thirty, 18,415; over thirty and not more than forty, 9,941 ; over forty and not more than fifty, 9,934; over fifty and not more than one hundred, 15,163 $ over one hundred and not more five hundred, 10,084, of which 2,491 were held in Kew York, 1,386 in Pennsylvania, 1,304, in Massachusetts; over five hundred, 767, of which number 205 were held in New York, 104 in Maryland, 83 in Pennsylvania, and 53 in Massachusetts. The number of shares held in the Dominion of Canada is 6,519, of which number 3,1)92 are shares of banks in the State of New York, 1,205 in Massachusetts, 707 in Maine, and 312 in Michigan. The number of shares held in Great Britain is 6,778, of which 3,025 are stock of the banks of New York, 671 of Pennsylvania, 664 of Rhode Island, 643 of Louisiana, 366 of Indiana, 238 of Massachusetts, and 183 of Maryland. The number held in France is 3,764, of which 2,214 are stock of banks in New York, 474 in Pennsylvania, 282 in Maryland, 275 in Massachusetts, 250 in Louisiana, and 105 in Illinois. The number held in Germany is 4,162, of which 1,916 are stock of the banks of Maryland, 671 of Pennsylvania, 200 of Rhode Island, 150 of New York, 141 of Louisiana, and 200 of Wisconsin. The number held in other foreign countries is 13,755, of which 8,874 are stocks of banks in New York, 1,690 in Massachusetts, 553 in Maine, 489 in South Carolina, 470 in Connecticut, and 300 in Michigan. The table below gives the number of shares of national-bank stock held in different foreign countries : Countries. England Scotland. Ireland Great Britain (not specified) Europe, (not specified) Grermany (not specified) Prussia Bavaria France.. . . . . . Spain New Brunswick Nova Scotia Newfoundland Canada Switzerland Cuba West Indies Bermuda amaica .. . Countries. Shares. 4 650 1 271 223 634 665 4 162 30 20 3, 764 2,242 3, 656 1 495 166 1 202 1,308 749 826 73 25 Holland i Italy 1 Mexico 1 South America Corsica Russia ' East Indies Turkey ! Egvpt India ' Africa Syria Azore Islands Japan Sandwich Islands Persia China ... Total Shares. 685 473 366 327 192 136 99 68 40 33 30 18 15 10 3 3 2 29, 661 STATE BANKS, SAVINGS-BANKS, AND TRUST AND LOAN COMPANIES ORGANIZED UNDER STATE LAWS. In accordance with the requirements of section 333 of the Revised Statutes, the Comptroller has endeavored to obtain, for the present report, returns from State officials showing the condition of the State and savingsbanks and trust and loan companies organized under the laws of the sev- EEPORT OF THE COMPTROLLER OF THE CURRENCY. LXXI eral States. The tabular statements in the appendix exhibit the result of his inquiries, from which it will be seen that complete returns of State banks have been received from five of the New England States (Massachusetts having none), and from New York, New Jersey, Pennsylvania, Michigan, Iowa, Minnesota, and the District of Columbia, together with partial returns from fourteen other States. Complete returns of savings-banks have been obtained from the six New England States and from New York, New Jersey, and Minnesota, and partial returns from Pennsylvania, Maryland, and California. The trust and loan companies are given complete for Massachusetts, Ehode Island, Connecticut, New York, New Jersey, and the city of Philadelphia. Through correspondence with the State executives it is ascertained that no general reports of the condition of thebanks are made in Delaware, Virginia, West Virginia, North Carolina, Tennessee, Alabama, Mississippi, Florida, Ohio, Illinois, Nebraska, California, and Oregon. In some of these States the taxable funds of the banks are reported to county commissioners and other financial officers, generally upon averages, and the returns are therefore defective in the data required for the uses intended by the act of Congress. The reports of nineteen banks in Virginia have been obtained by applications made direct to the banks themselves, and are aggregated in the tables of the apppendix. Returns from some of the individual banks of other States have been received, but they are so few in number that they have been omitted from this report. The Comptroller was last year indebted to the San Francisco Commercial Herald for carefully prepared reports of the savings-banks ot that State in former years; but for the year ending July 1, 1876, that paper gives returns for the city of San Francisco only, which are printed in the appendix. The State law requires reports to be published in the « respective localities of the banks, but they are not received and published by the executive authorities. It has been found necessary to force balances, in the tables of the appendix, in the State-bank report of Pennsylvania and in the savingsbanks report of Massachusetts. The discrepancies are added to the items of a other liabilities77 and "other investments,77 in the tables for these two States, and they of course re-appear in the aggregate tables of resources and liabilities. The data obtained from official reports showing the condition of the State banks and savings banks in the several States are very unsatisfatory, as has been seen. A few States require returns to be made annually, but many have no legislation upon the subject, and it is not probable that future legislation will remedy this defect. The laws of the United States, however, require returns to be made to the Commissioner of Internal Revenue, for purposes of taxation, of the amount of capital and deposits, not only of the banking institutions authorized by law, but also of private bankers. These returns have been obtained from the Commssioner, and the table on the following page has been compiled therefrom in this Office, showing the number of State banks, savings-banks, trust companies and private bankers, and their average capital and deposits for the six months ending May 31, 1876: In this table the number of State hanks and private bankers is 3,803; their average capital, $214,007,833; their taxable capital, $186,641,616; and their average and taxable deposits, $480,002,034. The number of savings banks havingcapital is 26; their capital, $5,022,966; taxable capital, $4,456,700; deposits, $37,269,144; and taxable deposits, $13,314,233. The number of savings-banks without capital is 691; their deposits, $844,563,173; and taxable deposits, $91,958,883. LXXII REPORT OF THE COMPTROLLER OF THE CURRENCY. Number of State banks and savings-banks in the United States, with their average capital and deposits, and tax paid thereon, for the six months ending May 31, 1876. Tax paid. Capital. States. Deposits. On capital. On deposits. 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40 41 42 43 44 45 46 47 48 49 50 51 52 53 54 55 56 57 58 59 60 61 62 Maine New Hampshire Vermont Massachusetts Boston Rhode Island Connecticut New York New York City Albany New Jersey Pennsylvania Philadelphia Pittsburgh Delaware Maryland Baltimore Dist. of Columbia Washington Virginia West Virginia North Carolina South Carolina Georgia Florida Alabama Mississippi Louisiana New Orleans Texas A rkansas Kentucky Louisville Tennessee Ohio Cincinnati Cleveland Indiana Illinois Chicago Michigan Detroit Wisconsin Milwaukee Iowa Minnesota Missouri Saint Louis Kansas Nebraska Oregon California San Francisco Colorado Nevada Utah New Mexico Wyoming Idaho Dakota Montana Washington Territory Totals. 69 72 21 179 64 58 109 361 476 13 71 356 72 42 9 18 40 1 12 81 24 19 19 69 4 2L 30 4 22 101 14 69 18 28 267 23 10 143 321 47 142 13 84 12 262 65 163 59 108 33 7 83 38 25 17 6 3 4 7 6 4 4,520 $219, 267 256,311 275, 833 875, 500 3.135, 991 3, 954, 642 3, 206, 358 11,136, 565 48, 453, 724 561, 000 2, 518, 969 12, 713, 678 2,811,399 5, 291, 371 680, 563 683,612 4, 069, 883 20, 000 534, 291 3, 625, 307 1, 400, 696 716, 330 1, O-'tt, 107 4, 692, 014 44, 000 1.136, 983 1, 123, 181 59, 500 3, 743, 810 3, 30-2, 388 236, 839 7, 465, 268 5, 916, 530 1, 580, 457 6, 287, 893 2,100, 948 782, 253 5, 912, 190 5, 570, 650 5, 002,186 2, 565, 0-28 1. 097, 269 1,368,057 676, 901 4, 650,139 1,155,173 3, 444, 886 8, 373, 003 1, 653, 303 377, 139 597, 085 9, 485, 661 19, 070,158 488,138 295, 290 149,179 18, 107, 25, 90, 207, 208 030 106 713 847 131,281,265 31, 023, 481 7, 955, 724 167, 055,141 70, 716, 589 53, 316, 780 81, 764, 813 151, 570, 427 275, 426, 580 12, 782, 864 36, 218, 558 42, 05-2, 918 45, 070, 375 13, 635, 3! 0 1, 533, 681 645, 515 24, 438, 736 32, 750 3, 713,194 6, 965, 072 3, 908, 727 1, 067, 788 990, 958 3, 676,176 284, 743 1, 977, 297 1, 475, 077 59, 303 7,185, 104 4, 713, 759 315,687 6, 544. 273 5, 553^ 056 2, 807, 959 17, 6-29, 732 8, 662, 757 11,242,332 11,072,778 18, 142, 348 14, 766, 453 5,115, 879 5. 962, 811 3, 995, 066 6, 084, 045 8, 825, 677 2, 161,661 10, 007, 773 25, 866, 232 2, 680, 551 1,003, 110 1, 241, 469 16, 477, M 2 89,181,515 897, 939 1, 953, 237 599, 557 41, 797 22, 876 22, 995 114, 704 67, 251 234, 505 219, 030, 800 1, 361, 834, 352 $530 555 634 2,079 4,203 9,266 6,493 23, 666 84, 890 567 5,751 30, 028 6,647 12, 287 1,606 1,479 9,125 50 305 8, 920 3,479 1,777 2,593 11,718 110 2,637 2,212 136 9,359 7, 642 592 18, 075 14, 550 3,791 14,181 4,087 1,808 12, 458 12, 639 10, 385 6, '299 2,205 3,012 1,548 11, 225 2,746 7,596 20, 034 3,933 907 1, 391 23,157 46, 928 1, 220 738 373 Total. 46 268 63 227 520 $7, 537 14, 000 4,966 8, 332 20,105 45,411 51, 444 114, 795 269, 266 9, 727 29, 659 104, 491 74, 709 24, 322 1,716 1,147 18, 803 82 8, 231 16, 337 9,772 2,670 2,318 9,026 712 4,943 3, 688 148 14, 474 11,784 789 16, 361 13, 883 7,020 42, 434 19, 829 14, 539 23, 840 43, 356 20,105 12, 790 14, 907 9,987 15, 210 21, 902 5,295 25, 019 63, 716 6,701 2,508 3,104 33, 649 151,937 2,245 4, 883 1,432 104 57 57 287 168 586 $8, 067 14, 555 5,600 10,411 24, 308 54, 677 57, 937 138,461 354,156 10, 294 35, 410 134, 519 81, 356 36, 609 3,322 2,626 27, 928 132 8,536 25, 257 13, 251 4,447 4,911 20, 744 822 7,580 5,900 284 23, 833 19, 426 ,1, 381 34, 436 28, 433 10, 811 56, 615 23, 916 16,347 36, 298 55, 995 30, 490 19, 089 17,112 12, 999 16", 758 33,127 8,041 32, 615 83, 750 10, 634 3,415 4,495 56, 806 198, 865 3,465 5,621 1, 805 104 103 325 350 395 1,106 477, 746 1, 463, 315 1, 941, 061 A table similar to the foregoing, for the six months ending November 30, 1875, will be found in the appendix. REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXIII SYNOPSIS OF SUPREME COURT DECISIONS. A synopsis of the decisions of the Supreme Court of the United States relative to the national banks, was prepared for the last annual report by Hon. Charles Case, late receiver of the First National Bank of New Orleans, now practicing his profession in this city. Mr. Case, at my request, has revised the synopsis, adding not only the recent decisions of the Supreme Court, but many adjudications of other Federal courts, and, in a few instances, the rulings of State tribunals upon points pertaining or applicable to national banks. ABATEMENT. An action brought by a creditor of a national bank is abated by a decree of a district or circuit court dissolving the corporation and forfeiting its franchises. (National Bank of Selma vs. Colby, 21 Wallace,]?. 609.) ACTIONS. I. A national bank may be sued in proper State court. (Bank of Bethel vs. Pahquioque Bank, 14 Wall, 383,^. 395.) II. Such banks may sue in Federal courts. The word " by" was omitted in section 57 of act of 1864 by mistake. (Kennedy vs. Gibson, 8 Wall., pp. 506-7.) Receivers may also sue in United States courts. (Ibid., pp. 506-7.) III. When the full personal liability of shareholders is to be enforced, the action must be at law. (Kennedy vs. Gibson, 8 Wall., p. 505.) IV. But if contribution only is sought, the proceedings should be in equity, joining all the shareholders within the jurisdiction of the court. (Ibid., pp. 505-6.) V. In such equity suit a decree interlocutory may be entered for the per centum ordered, and the case may stand over for the further action of the court if necessary until the whole personal liability is exhausted. (Ibid., p. 505.) VI. In such equity suit it is no defense that shareholders not within the jurisdiction are not joined. (Ibid., p. 506.) VII. Suits to enforce personal liability of shareholders may properly be brought before other assets are exhausted. (Ibid,, pp. 505-6. See also "COMPTROLLER, III," " DEBTORS, L") VIII. When a creditor attaches the property of an insolvent national bank, he cannot hold such property against the claim of a receiver appointed after the attachment suit was commenced. Such creditor must share pro rata with all others. (National Bank of Selma vs. Colby, 21 Wall, p. 609.) ATTORNEYS. I. Section 56 of currency act is directory only, and it cannot be objected by defense that a suit is brought by private attorney instead of the United States district attorney. (Kennedy vs. Gibson, 8 Wall., p. 504.) BY-LAWS. I. A national bank cannot by its by-laws create a lien on the shares of a stockholder who is a debtor of the association. {Bollard vs. National Bank, $c, 18 Wall., p. 589.) See also case of Bank vs. Lanier, 11 Wall.,p. 369, cited under " LOANS ON SHARES," post. [NOTE.—In Young vs. VaugJi, 23 N. J. Equity E.,p. 325, it was held that a national bank could by its by-laws prohibit the transfer of shares by a shareholder while indebted to the bank, and that transfers in violation of such bylaws were void. As it is held by the Supreme Court of the United States that such by-laws can create no lien for indebtedness, it would seem that a regulation prohibiting such transfers can be of little practical use, even if the power exists.] CHECKS. I. The holder of "a check on a national bank cannot sue the bank for refusing payment, in the absence of proof that it. was accepted by the bank. (National Bank of the Republic vs. Hillard, 10 Wall., p. 152.) II. The relation of banker and customer is that of debtor and creditor. Eeceiving deposits is an important part of the business of banking, but the moment they are received they become the moneys of the bank, may be loaned as a part of its general fund, and the check of the depositor gives no lien upon them. (Ibid.,per Davis, J.,p. 155.) LXXIV REPORT OF THE COMPTROLLER OF THE CURRENCY. CHECKS—Continued. III. Perhaps, on proof that check had been charged to the drawer, and that the bank had settled with him on that basis, the holder or payee could recover on a count for "money had and received." (Ibid.,pp• 155-6.) IV. The facts that the bank was a United States depository and the check was drawn by a United States officer to a United States creditor do not vary the rule. (Ibid., pp. 155-6.) CITIZENSHIP. I. National banks are citizens of the State in which they are organized and located, and when sued by national banks of other States have a right to demand a removal of the suit from a State to the proper Federal court. (Chatham National*Bank vs. Merchants' National Bank, 4 Thomp. ty C, (ThompsonfyCook,) JV. Y. Sup. C, p. 196, and 1 Hunter, N. Y., p. 702.) COMPTROLLER. I. Comptroller must decide when and for what amount the personal liability of the shareholders of an insolvent national bank shall be enforced. (Kennedy vs. Gibson, 8 Wall., p. 505.) II. His decision as to this is conclusive. Shareholders cannot controvert it. (Ibid., p. 505.) III. In any suit brought to enforce such personal liability, such decision of the Comptroller must be averred by the plaintiff, and, if put in issue, must be proved. (Ibid., p. 505.) V. Comptroller appoints the receiver, and therefore can remove him. (Ibid., p. 505.) VI. Comptroller cannot subject the United States Government to the jurisdiction of a court, though he appears and answers to the suit. (Case vs. Terrill, 11 Wall,, p. 199.) CURRENCY ACT. I. The purpose of the currency act was, in part, to provide a currency for the whole country, and, in part, create a market for the Government loans. (Per Strong, J., in Tiffany vs. Missouri, 18 Wall., p. 413.) II. National banks organized under the act of Congress of June 3, 1864, are the instruments designed to be used to aid the GovernQient in the administration of an important branch of the public service; and Congress, which is the sole judge of the necessity for their creation, having brought them into existence, the States can exercise no control over them, nor in anywise affect their operation, except so far as Congress may see proper to permit. (Per Swayne, J., in Farmers and Mechanics' National Bank vs. Dearing, 1st Otto, p. 29.) III. The constitutionality of the act of June 3, 1864, is unquestioned. It rests on the same principle as the act creating the second Bauk of the United States. The reasoning of Secretary Hamilton and of this court in McCulloch vs. Maryland, 4 Wheat., p. 316, and in Osborne vs. Bank U. S., 7 Wheat.,p. 708, therefore applies. IV. The power to create carries with it the power to preserve. The latter is a corrollary of the former. (Ibid., per Swayne, J., pp. 33, 34.) DEBTORS OF NATIONAL BANKS. I. Debtors of an insolvent national bank, when sued by the receiver, cannot object that pleadings do not show a compliance with all the steps prescribed by statutes as preliminary to the appointment of such receiver. (Cadle, receiver, <fc, vs. Baker 3r Co., 20 Wall,p. 650.) II. Such ordinary debtors may be sued by receiver without previous order of Comptroller. (Bank vs. Kennedy, 17 Wall., p. 19.) DIRECTORS OF NATIONAL BANKS. I. Directors of a national bank may remove the President, both under the law of Congress and the articles of association, where the latter so provide. The power exists, if the bank has adopted no by laws. (Taylor vs. Rutton, 43 Barb., N. Y. Sup. C, p. 195. S. C, 18 Abb., Pr. B.,p. 16.) ESTATE, REAL. I. The want of power of a bank, or of its trustee (receiver) in insolvency, to purchase and hold real estate, does not render void an arrangement whereby land subject to a lien in favor of the bank, and to other liens, is discharged of those other liens by funds from the assets of the bank, the land being then sold, and the entire proceeds of such sale realized to the bank assets, provided the title does not pass through the bank or its trustee. (Zantzingers vs. Gunton, 19 Wall, p. 32.) REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXV INTEREST. I. Under section 30, act of 1864, a national bank in any State may take as high rate of interest as by the laws of such State a natural person may stipulate for, although State banks of issue are restricted to a lesser rate. (Tiffany vs. National Bank of Missouri, 18 Wall, p. 409.) [NOTE.—In Missouri, natural persons may take ten per cent., but State banks are restricted to eight per cent. In this case the national bank had taken nine per cent. Held, legal.] II. Held, also, that as the action was virtually brought to recover the penalty for usury, the statute (section 30) must receive a strict construction. {Ibid., p. 409.) (See also Title, "USURY," post.) JUDGMENTS. I. A judgment against a national bank in the hands of a receiver upon a claim only establishes the validity of such claim; the plaintiff can have no execution on such judgment, but must await pro rata distribution. (Bank of Bethel vs. Pahquioque Bank, 14 Wall, p. 383. JURISDICTION. Clifford, J., p. 402.) I. United States district court has jurisdiction to authorize a receiver of an insolvent national bank to compromise a debt. (Matter of Plait, 1 Ben.,p. 534.) II. A resident (citizen) of Keutucky was a creditor of a national bank located in Alabama, and commenced a suit on his claim against said bank in the supreme court of the State of New York, at the same time attaching certain moneys belonging to said bank, in the hands of the National Park Bank, in New York. Subsequently the receiver of the Alabama bank (which had failed) was, on his own motion, made party defendant to the action pending in the New York supreme court, and pleaded 4> want of jurisdiction" and other defenses. The supreme court overruled his plea to the jurisdiction, rendered judgment against the receiver on the merits, and ordered satisfaction to be made from the moneys attached. Thereupon the receiver filed his bill in chancery in the United States circuit court for the proper circuit, praying an injunction to restrain the collection of the judgment rendered by said supreme court, and that the moneys attached be paid to him, as receiver. Held, that, by the provisions of the currency act, the State court was deprived oi jurisdiction of the attachment proceedings ; that the receiver was not estopped by the proceedings in said State court from asserting his rights in said circuit court, and that he was entitled to the relief prayed for in his bill. (Cadle, receiver, <fc, vs. Tracy, 11 Blatchf.,p, 101.) (Vide Title, "RECEIVERS, VII,"post.) LOANS ON SHARES. I. National banks are governed by the act of 1864, which repealed the act of 1863, and cannot, therefore, make loans on the security of their own shares, unless to secure a pre-existing debt, contracted in good faith. (Bank, fyc, vs. Lanier, 11 Wall,,p. 369.) II. The placing of funds bjT one bank on permanent deposit with another bank is a loan within the spirit of section 35 of act of 1864. (Ibid., p. 369.) III. Loans by such banks to their shareholders do not create a lien on the shares of such borrowers. (Ibid.,}). 369. See also Billiard vs. Bank, 18 Wall,p. 580; and " BY-LAWS," supra.) LOANS IN EXCESS. I. A loan b.v a national bank in excess of the restriction of section 29 of the act of 1864 (Revised Statutes, section 5200), which provides that the total liabilities of any person (borrower) shall not exceed ten per centum of the capital stock, &c, is not void on that account. The loan may be enforced, though the bank may be liable to proceedings for forfeiture of its privileges, &c, for making it. (Stewart vs. National Union Bank of Maryland, 2 Abb., United States, p. 424.) LOCATION. I. Under sections 6, 8, 10, 15, 18, and 44, of the original currency act (13 Stat. at Large, 101), respecting the location of banking associations, a national bank is to be regarded as located at the place specified in its organization certificate. If such place is in a State the association is located in that State. (Manufacturers' National Bank vs. Baack, 8 BlatcJif, p. 137.) RECEIVERS. I. The receiver of a national bank is the instrument of the Comptroller and may be removed by him. (Kennedy vs. Gibson, 8 Wall, p, 505.) LXXVI REPORT OF THE COMPTROLLER OF THE CURRENCY. RECEIVERS—Continued. II. Such receiver is the statutory assignee of the assets of the hank, and may sue to collect the same in his own name, or in the name of the bank, for his use {Ibid.,p. 506.) III. In such suit t is not necessary to make the hank or creditors parties. (Ibid., p. 506.) IV. The receiver of a national bank represents such bank and its creditors, but he in no sense represents the United States Government, and cannot subject the Government to the jurisdiction of any court. (Case vs. Terrill, 11 Wall., p. 199.) V. The decision of a receiver rejecting a claim against his bank is not final. Claimant may still sue. (Bank of Bethel vs. Pahquioque Bank, 14 Wall., p. 383.) VI. The clause of section 50, act of 1864, which77prescribes that the receiver shall be " under the direction of the Comptroller, means only that he shall be subject to his direction, not that he shall not act without orders. He may and must collect the assets. That is what he is appointed for. {Bradley, J., in Bank vs. Kennedy, 17 Wall., pp. 22-3.) VII. Receivers of national banks are officers of the United States, within the meaning of the act of Congress of March 3, 1815, giving United States courts jurisdiction of actions by United States officers, and may sue in such courts. (Plait, receiver, <fc, vs. Beach, 2 Ben., p. 303.) [NOTE.—The judge places stress upon the provision of section 31 of the act of 1864, which requires (in that particular instance) that the Secretary of the Treasury shall concur in the appointment of the receiver.] SET-OFF. I. In an action brought to enforce the individual liability of a shareholder of an insolvent bank, such shareholder cannot set off against such liability the amount due to him as a creditor of the bank. (Garrison vs. Howe, 17 N. T., pp. 458; In re Empire City Bank, 18 N. Y., p. 199.) [NOTE.—Though these cases were decided by a State tribunal (New York court of appeals), and the rulings were based upon provisions of a State constitution and a State statute, yet these provisions were similar to those of the national currency act as to the personal liability of shareholders, rights of creditors, <fec.; while the reasoning of the judges would seem to be so clear that it cannot but be approved by Federal courts whenever the question is made before them. ] SHAREHOLDER, LIABILITY OF TRANSFEREE. I. The transferee of shares, when such transfer is absolute on the books of the bank, is liable to creditors to the amount of such shares, although in fact he holds them as collateral security for a loan to the sharehelder who transferred them. (Hale vs. Walker, 31 Iowa, p. 344.) [NOTE.—This also is a State court adjudication, but it is believed to be in harmony with the rulings of other high and eminent State tribunals upon the same question. (Adderly vs. Storm, 6 Hill, p. 624, and Worrall vs. Johnson, 5 Barb., p. 210.) [In the Banker's Magazine for January, 1875, is a notice of the case of Mann, receiver, vs. Dr. Cheeseman, decided by Blatchford, J., in the United States circuit court, in New York, in which the judge held that until there was a transfer of shares on the books of the bank, the shareholder whose name there appeared was liable for the debts of the bank ; that an actual sale and the signing the ordinary power of attorney on the back of the certificate will not relieve the seller. The learned judge also held that such shareholder could not question the action of the comptroller as to the necessity of suing the shareholder.] (See also " SET-OFF,77 " supra.17) SHARES OF STOCK. I. A national bank whose certificates of stock specify that the shares are transferable on the books of the bank on surrender of the certificates, and not otherwise, and which suffers a shareholder to transfer without such surrender, is liable to a bonafidetransferee, for value, of same stock, who produces such certificate with usual power of attorney to transfer ; and this is so though no notice had been given to the bank of the transfer. (Bank vs. Lanier, 11 Wall., p. 369.) II. Shares quasi negotiable. (Ibid,, p. 369.) TAXATION OF SHARES. I. The act of 1864, rightly construed, subjects the shares of the association in the hands of shareholders to taxation by the States, under certain limitations set forth in section 41, without regard to the fact that part or the whole of the capital of such association is invested in national securities which are declared by law exempt from State taxation. (Van Allen vs. Assessors, 3 Wall., p. 573.) (Chase, C. J., and other judges, dissented.) REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXVII TAXATION OF SHARES—Continued. II. Act thus construed is constitutional. (Ibid., p. 573.) .. III. A certain statute of New York which taxed shares of national-bank stock declared void, because shares of State banks were not taxed, although their capital was; the act of Congress prescribing that shares of national banks shall be taxed only as shares of State banks are. (Ibid., p. 573.) The ruling as to taxing shares of stock re-affirmed in Bradley vs. People, 4 Wall., and National Bank vs. Commonwealth, 9 Wall., p. 353.* In last case, held that a State law requiring the cashier to pay the tax was valid. Held, also, that a certain State tax-law virtually taxed " shares of moneyed corporations," &c. (Ibid.,p. 353.) IV. Shares of stock in national banks are personal property, and though in one sense incorporeal, the law which created them could separate them from the person of their owner for taxation, and give them a situs of their own. (Tappan, Collector, vs. Bank, 19 Wall, p. 490.) V. Sec. 41 did thus separate them, and give them a situs of their own. (Ibid., p. 490.) VI. This provision of the national-currency act became a law of the property (in shares), and every State in which a bank was located acquired jurisdiction, for taxation, of all the shares, whether owned by residents or non-residents, and power to legislate accordingly. (Ibid., p. 490.) VII. Under the act of Congress of February 10, 1868, enacting that each State legislature may direct the manner of taxing all shares of stock of national banks located within the State, subject to the restriction that the taxation shall not be greater than the rate assessed upon other moneyed capital in the hands of individual citizens of such State, and of a certain act of the legislature of Pennsylvania which provided that such shares shall be assessed for school, municipal, and local purposes at the same rate as is now, or may hereafter be, assessed and imposed upon other moneyed capital in the hands of individual citizens of the State ; held, that shares of national-bank stock may be valued for taxation, for county, school, municipal, and local purposes at an amount above their par value. Wall, p. 480.) (Hepburn vs. School Directors of the Borough of Carlisle, 23 [NOTE.—In this case it appeared that Hepburn owned several thousand dollars of national-bank stock, the par value of which was $100 per share, and that it was valued for taxation, for a school tax, at $150 per share. This assessment was held valid, notwithstanding that by a certain act of the State legislature, applicable to the county of Cumberland, in which the borough of Carlisle was situated, certain specified kinds of moneyed obligations were exempt from taxation, except for State purposes.] (See also Saint Louis National Bank, National Bank of Missouri, Third National Bank, Valley National Bank, and Merchants^ National Bank of Saint Louis vs. Papin, in United States circuit court, eastern district of Missouri, September term, 1876. Also, Gallatin National Bank of New York vs. Commissioners of Taxes, supreme court New York, first department, general term, November 1876. These latter cases are published in the Bankers' Magazine for December, 1876.) TAXATION OF INTEREST AND DIVIDENDS. I. Under the Internal-revenue act of July, 1870, interest paid and dividends declared during the last five months of 1870 are taxable, as well as those declared during the year 1871. (Blake vs. National Banks, 23 Wall.,p. 307.) USURY I. State laws relative to usury do not apply to national banks. (Farmers and Mechanics' National Bank vs. Bearing, 1 Otto, p. 29.) II. The only forfeiture declared by the 30th section of the act of June 3, 1854, (Revised Statutes, section 5193,) is of the entire interest which the note or bill carries with it, or which has been agreed to be paid thereon, when the rate knowingly received, reserved, or charged by a national bank is in excess of that allowed by that section ; and no loss of the entire debt is incurred by such bank, as a penalty or otherwise, by reason of the provision of the usury law of a State. (Ibid.) To same effect are National Exchange Bank vs. Moore, 2 Bond, p. 170, and several State decisions. (The New York court of appeals had decided the other way.) * See also 4 Wall., p . 244, and 19 Wall., p . 490. LXXVIII REPORT OF THE COMPTROLLER OF THE CURRENCY. BILLS AND NOTES. I. Where bills, indorsed by a national bank for accommodation only, had been negotiated by the bank through its usual channels of communication with its correspondents, as its own bills, and the proceeds thereof had been placed to the credit of the bank, which thereupon gavu the same credit to the parties for whom it had thus indorsed, and received no benefit therefrom : Held, That although an accommodation indorsement by a national bank, in such cases, was void in the hands of holders against whom notice of the character of the indorsement could be concluded, yet that the bank was liable for the same to holders, for value, without notice. (Blair vs. First National Bank, Mansfield, Ohio. United States circuit court for Ohio, at Cleveland, November term, 1875, Emmons, J.) Query, whether, under the provisions of section 5202 of the Revised Statutes of the United States, any indorsement by a national bank is not ultra vires. CORPORATE POWERS I. National banks cannot sell bonds for third parties on commission, or engage in business of that character. (Susan Weleker vs. First National Bank of Hagerstown, court of appeals of Maryland, April term, 1875.) APPENDIX. Attention is especially called to the carefully prepared tables contained in the report and appendix, a full index to which will be found on the following page. An index to the detailed report of each of the 2,089 banks in operation on October 2 of this year appears at the end of the volume. In concluding this report the Comptroller gratefully acknowledges the fidelity and industry with which the Deputy Comptroller, heads of divisions, examiners and receivers of national banks, and clerks associated with him in this Office have performed their respective duties. JOHN JAY KNOX, Comptroller of the Currency. The SPEAKER OF THE HOUSE OF REPRESENTATIVES. TABLES CONTAINED IN EEPORT AND APPENDIX. REPORT. BANK OF THE UNITED STATES. Pag©, I. Table of the resources and liabilities of the Bank of the United States in January, 1809 and 1811 II. Statement showing the profits of the Government on its stock of the Second Bank of the United States III. Table of the principal items of the Bank of the United States and of the State banks in 1819 IV. Table of the number, capital, circulation, deposits and specie of the Bank of the United States and of the State banks, for various years, from 1811 to 1829. V. Table of the principal items of the Bank of the United States and of the State banks, for various years, from 1811 to 1840 STATE BANKS. VI. Table of the amount of New England bank-notes redeemed at the Suffolk Bank, yearly, from 1841 to 1857 VII. Table of the number and principal items of the State banks in New England, for various years, from 1837 to 1863 VIII. Table of the number and principal resources and liabilities of the banks in the State and city of New York, in various years, from 1836 to 1876 IX. Table of the number, metallic medium, circulation and capital of the State banks in the country, in various years, from 1774 to 1804 X. Table of the capital, specie, circulation and loans of the State banks in the country, for the years 1813,1815 and 1819 XI. Table of the principal items of the State banks and of the Bank of the United States in 1819 XII. Table of the number, capital, circulation, deposits and specie of the State banks and of the Bank of the United States, in various years, from 1811 to 1829 XIII. Table showing, by groups of States, the principal assets and liabilities of the banks therein in 1829 XIV. Table of the principal assets and liabilities of the banks in certain cities, and in the remainder of the United States, in 1829 XV. Table of the principal items of the banks in the United States on January 1, in various years, from 1811 to 1840 XVI. Table of the condition of the deposit-banks on June 1 and November 1,1836 . . XVII. Table of the principal items of the State banks, and of the Bank of the United States, for various years, from 1811 to 1840 XVIII. Table of the principal items of the State banks, yearly, from 1834 to 1861 XIX. Table, by geographical divisions, of the number, capital and deposits of the State banks and private bankers, savings-banks and trust and loan companies, for the six months eivding November 30,1875 XX. Table, similar to the one preceding, for the six months ending May 31,1876 XXI. Statement of the amount of taxes collected from banks, other than national, for the fiscal year 1875-'76 XXII. Table showing the maximum circulation issued, andthe amount and percentage unredeemed, of banks in various States XXIII. Table, by States and reserve cities, of the number of State banks, savings-banks, &c, with their average capital and deposits, and the tax paid thereon, for the six months ending May 31,1876 IX XIII XL XL XLIY XVII XIX XXV XXXIX XXXIX XL XL XLI XLI XLI XL1II XLIV XLV XLVI XLVI LV LXVII LXXII NATIONAL BANKS. XXIV. Table of the resources and liabilities of the national banks on October 2, 1876, classified by reserve cities, &c XXV. Table of the resources and liabilities of the national banks in October of each year, from 1869 to 1876 IV V LXXX REPORT OF THE COMPTROLLER OF THE CURRENCY. Page. XXVI. Table of the principal items of the national banks on October 1 of each year, from 1863 to 1876 XXVII. Table of the outstanding circulation of the national banks on May 1 and November 1 of each year, from 1868 to 1876 XXVIII. Table showing, by States, the issue and retirement of circulation for the year ending November 1, 1876, and the total amount issued and retired since June 20,1874. XXIX. Table showing the issue and retirement of circulation, and the deposit and retirement of legal-tender notes, monthly, for the year ending November 1,1876, and the total amounts issued, deposited and retired since January 14,1875... XXX. Statement exhibiting the operation of the acts of June 20, 1874, and January 14, 1875, down to November 1,1876 XXXI. Table of the amounts and kinds of United States bonds held as security for national -bank circulation XXXII. Table of the amounts of specie held by the national banks at the dates of their reports, from October, 1868, to October, 1876 XXXIII. Table of the amounts and kinds of outstanding United States and national-bank issues, at various dates, from 1865 to 1876 XXXIV. Table showing the United States taxation of national banks, yearly, from 1864 to 1876 XXXV. Table, by States and reserve cities, of the capital and the amount and rate of taxation of the national banks, for the year 1875 XXXVI. Table of the rates of taxation of the national banks in certain States for the years 1874 and 1875 XXXVII. Table of the rates of taxation of the national banks in certain cities for the year 1875... XXXVIII. Table, by geographical divisions, of the capital, and the amount and rates of taxation of the national banks, for the years 1874 and 1875 XXXIX. Table of the taxation of national banks, yearly, from 1866 to 1875 XL. Table, by States and reserve cities, of the amount of losses charged off by national banks during the year ending September 1, 1876 XLI. Table showing the capital, surplus, dividends and earnings of the national banks, semi-annually, from 1869 to 1876 XLII. Table, by geographical divisions, of the ratios to capital and to capital and surplus, of the dividends and earnings of the national banks for the years 1875 and 1876 XLIII. Table, by geogrphical divisoins, of the ratios to capital and to capital and surplus of the dividends of the national banks, semi-annually, from 1871 to 1876. XLIV. Table showing the weekly movement of the legal-tender reserve of the New York City national banks in the month of October, from 1872 to 1876 XLV. Table of the liabilities and reserve of the New York City national banks in October of each year, from 1870 to 1876 XLVI. Table of the liabilities of the national banks, and the reserve required and held, at three dates in each year, from 1871 to 1876 XLVII. Table of the amount of national-bank notes received by the Comptroller and at the redemption agency of the Treasury, from June 20, 1874, to November 1,1876 XLVIII. Table, by denominations, of the number and amount of national-bank notes issued and redeemed from 1863 to 1876, and the number and amount outstanding November 1,1876 XLIX. Statement of the amount of national-bank notes destroyed, yearly, from 1863 to 1876 L. Table of the number of shares of national bank stock held in various foreign countries LI. Synopsis of judicial decisions relative to national banks MISCELLANEOUS. LII. Statement showing the movement of coin and bullion in the United States for the fiscal year 1875-'76, and the estimated amount in the country at the end of that year LITE. Statement of the items of the public debt of the United States at the date of its maximum, August 31,1865 LIV. Table showing the transactions of the New York clearing-house, yearly, from 1854 to 1876 XLV XLVII XLVIII XLIX XL L LI LII LVI LVI LVII LVIII LVIII LVIX LVIX LXII LXII LXII LXEII LXIII LXIV LXV LXVX LXVI LXX LXXIII LI LII LIII REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXXI APPENDIX. BANK OF THE UNITED STATES. Page. I. Table showing the principal resources and liabilities of the Bank of the United States, yearly, from 1817 to 1840 LXXXIII II. Circulation of the Bank of the United States in September, 1830, and where payable . XCIII STATE BANKS. III. Table showing the condition of the banks in the United States in the year 1819. LXXXIY IV. Table showing the number and capital of the banks in the United States at eight different periods, from 1792 to 1830 LXXXV V. Table showing the highest and lowest prices of bank-notes at Philadelepbia in each year, from 1814 to 1823, and from 1834 to 1838 LXXXVI VI. Table showing the discount on bank-notes at New York from 1835 to 1838 LXXXVIII VII. Table showing the discount on domestic exchange and premium on American gold at New York from 1828 to 1838 LXXXVIII VIII. Table showing the rates of domestic bills in New York from 1838 to 1843 LXXXVIII IX. Table showing the percentage of depreciation of bank-notes during the suspension of specie payments from 1814 to 1817 LXXXIX X. Table showing the growth of savings-banks from 1830 to 1875 LXXXIX XI. Table of the capital, specie, and United States deposits of the deposit-banks, and summary of their condition, on April 1, 1836 XC XII. Table, by geographical divisions, of the principal items of resources and liabilities of the State banks from 1854 to 1863 XCI XIII. Table showing the aggregate number and principal resources and liabilities of the banks in the United States from 1834 to 1863 XCIV XIV. Tables, by States, of the principal resources and liabilities of the State banks from 1834 to 1863 XCVI XV. Table showing the condition of certain banks in the District of Columbia in 1816,1818,1819, and 1844 CXXII XVI. Table, by States, of the bank capital in the United States from 1814 to 1817 CXXIII XVII. Table showing the population of the United States,, with the per capita of circulation and deposits, from 1834 to 1863 CXXIII XVIII. Table, by States and reserve cities, of the number of State banks, savings-banks, &c, with their average capital and deposits, and the tax paid thereon, for the six months ending November 30,1875 CXXIV XIX. Table, by States, of the resources and liabilities of State banks, at dates named. CXXV XX. Table, by States, of the resources and liabilities of savings-banks, at dates named CXXVIII XXI. Table, by States, of the resources and liabilities of trust companies, at dates named CXXIX XXII. Table showing the aggregate resources and liabilities of trust companies, 1875 and 1876 CXXIX XXIII. Table showing the aggregate resources and liabilities of State banks, from 1873 to 1876 CXXX XXIV. Table showing the aggregate resources and liabilities of savings-banks from 1673 to 1876 CXXX XXV. Table, by States, of the aggregate deposits of savings-banks, the number of their depositors, and the average amount due to each, in 1875 and 1876 . . . . . . . . . . . . CXXXI NATIONAL BANKS. XXVI. Table, by States and reserve cities, of the dividends and earnings of the national banks, with their ratios to capital, and to capital and surplus, from September 1, 1875, to March 1,1876 CXXXII XXVII. Table, by States and reserve cities, of the dividends and earnings of the national banks, with their ratios to capital, and to capital and surplus, from March 1,1876, to September 1,1876 CXXXIII XXVIII. Table, by States and reserve cities, of the ratios to capital, and to capital and surplus, of the dividends and earnings of the national banks, from March 1, 1872, to September 1, 1876 CXXXIV XXIX. Table, by geographical divisions, of the dividends and earnings of the national banks, semi-annually, from 1869 to 1876 CXXXVI XXX. Table, by States, of the taxation of the national banks for the year 1867 CXXXVIII XXXI. Table similar to the one preceding, for the year 1869 CXXXIX 6 cc LXXXII REPORT OF THE COMPTROLLER OF THE CURRENCY. XXXII. Similar table for the year 1874 XXXIII. Table showing the weekly liabilities and reserve of the national banks in New York City, as reported to the clearing-house, in September and October of each year from 1870 to 187G XXXIV. Table showing the liabilities and reserve of national banks at the dates of their reports, from 1870 to 187G XXXV. Table showing, by States and geographical divisions, the total number of shares of capital stock issued in each State by national banks now in operation ; the number of shares of each State held by its residents and by nonresidents, respectively ; the number of resident and non-resident shareholders ; and the number of shareholders holding respectively specified amounts of stock XXXVI. Table showing the distribution of national-bank stock in geographical divisions of the United States and in foreign countries XXXVII. Table showing the total number of shares of national-bank stock of each State held in foreign countries not specifically mentioned in the preceding table.. XXXVIII. Table showing the number and denominations of national-bank notes issued, redeemed, and outstanding November 1 in each year, from 1868 to 1876 XXXIX. Table showing, by States, the amount of national-bank circulation issued, and of legal-tender notes deposited to retire circulation, from June 20, 1874, to November 1,1876, and the amount remaining on deposit at the latter d a t e . . . XL. Table, by States and geographical divisions, of the number of banks organized, closed and closing, and in operation, with their capital, bonds, and circulation, November 1, 1876 XLI. List of national banks in voluntary liquidation, with their capital, circulation issued and retired, and circulation outstanding November 1, Ib76 X L I I . List of insolvent national banks, and date of appointment of receivers, with their capital stock, claims proved, and dividends paid XLIII. List of insolvent national banks, with their capital, circulation issued and retired, and circulation outstanding November 1, 1876 XLIV. History of the coinage act of 1873 XLV. Names and compensation of officers and clerks in the office of the Comptroller of the Currency XLVI. Expenses of the office of the Comptroller of the Currency for the fiscal year ending June 30, 1876 XLVII. Table of the aggregate resources and liabilities of the national banks at the dates of their reports, from 1863 to 1876... XLVIII. Abstracts, by States and reserve cities, fcc, of the reports made by national banks since October 1, 1875 XL1X. Report of the condition of each national bank on the second day of October, 1876 ." Page. CXL CXLI CXLII CXLIV CXLVI CXLVIII CL CLI CLII CLIII CLVIII CLIX CLX CLXVI CLXVII 1 13 57 APPENDIX. BANK OF THE UNITED STATES. Principal items of resources and liabilities of the Bank of the United States, from 1817 to 1840. Resources. Year. Loans and discounts. 1817 1818.... 1819.... 1820 . . 1821 1822.... 1823.... 1824.... 1825.... 1826.... 1827.... W28.... 1829 1830 1831.... 1832.... 1833 1834 1835.... 1836.... 1837 1838.... 1839.... 1840 Stocks. $3, 485,195 41,181, 750 35, 786, 263 31,401,158 30, 905, 199 28, 061,169 30, 736, 432 33. 432, 084 3i; 812, 617 33, 424, 621 30, 937, 866 33, 682, 905 39, 219, 602 40, 663, 805 44, 032, 057 66, 293, 707 61 695 913 54 911 461 51, 808, 739 59, 232, 445 57, 393, 709 45, 256, 571 41,618,637 36, 839, 593 $4, 829, 234 9, 475, 932 7,391,823 7,192,980 9, 155, 855 13 318, 951 11,018,552 10,874,014 18, 422, 027 18. 303, 501 17i 764, 359 17, 624, 859 16, 099, 099 11, 610, 290 8, 674, 681 2,200 Real estate. 1*4," 862,108 17, 957, 497 16, 316, 419 $563, 480 626, 674 1, 302, 551 1, 495, 150 1,848,354 2, 039, 226 2, 295, 401 2, 345, 539 2, 886, 397 2, 629, 125 2, 136, 525 1, 855, 169 1, 741, 407 1, 760, 632 1, 486, 561 816, 855 1,061,663 1, 054, 523 1, 228, 630 Bankinghouses. Due by EuDue ropean from State banks. bankers. $8, 848, 315 1, 203, 894 2, 624, 797 2, 727, 080 1,178,197 1, 717, 723 1, 407, 573 1,287,808 2, 130, 095 747, 375 1, 683, 510 $175, 201 $1, 033, 682 621, 667 433,808 261,548 1, 296, 626 83, 548 1, 886, 724 1, 855, 946 1, 107, 637 24, 599 1, 956, 764 1, 871, 635 1, 434, 020 24, 178 1, 852, 935 421, 524 1, 792, 870 460, 686 1, 678, 192 356, 740 1, 634, 260 482, 240 1, 557, 356 1, 444, 801 1, 530, 553 1, 344, 761 2, 383, 331 91, 668 1, 159, 637 1, 181, 071 3,106, 833 I, 189,125 1, 801, 669 1,218,896 1, 922, 498 73,171 967, 404 420, 244 443,109 424, 382 610,504 1, 723, 297 1,199, 458 3, 3, 3, 4, 4, 2, 3, 5, 7, 944, 849 688,143 058, 870 609, 973 088, 005 284, 598 657, 261 833, 000 469, 422 Notes of State bauks. Specie. $587, 201 1, 837, 254 1, 877, 909 1, 443, 166 677, 022 917, 629 766, 248 705,173 1, 056, 224 1,114,831 1, 068, 483 1, 447. 386 1, 293, 578 1, 465. 047 1, 494, 506 2,171, 676 2, 292, 655 1, 982, 640 1, 506, 200 1, 736, 491 1, 206, 754 866, 597 1, 791, 580 1, 383, 686 $1, 724,109 2, 515, 949 2, 666, 696 3, 392, 755 7, 643,140 4, 761, 299 4, 424, 874 5, 813, 694 6, 746, 952 3, 960,153 6, 457, 161 6,170, 045 6,098,138 7, 608, 076 10, 808, 047 7, 038, 023 8, 951, 847 10, 039, 237 15, 708, 369 8, 417, 988 2, 638, 449 3, 770, 842 4,153, 607 1, 469, 674 Principal items of resources and liabilities of the Banlc of the United States, tfc.—Continued. Liabilities. Year. Circulation. 1817.. 1818.. 1819.. 1820.. 1821.. 1822.. 1823.. 1824.. 1825.. 1826.. 1827.. 1828.. 1829.. 1830.. 1831.. 1832.. 1833.. 1834.. 1835.. T836.. 183?.. 1838.. 1839.. 1840.. Deposits. Due to State banks. $1, 911, 200 $11, 233, 021 8, 339, 448 12, 279, 207 6, 563, 750 5, 792, 869 3, 589, 481 6, 568, 794 4, 567, 053 7, 894, 985 5, 578, 782 8, 075,152 4, 361, 058 7, 622, 340 4, 647, 077 13, 701, 936 6, 068, 394 12, 033, 364 9, 474, 987 11, 214, 640 8, 549, 409 14, 320,186 9, 855, 677 14, 497, 330 $1, 697, 401 11,901,656 17, 061, 918 12,924, 145 16, 045, 782 734, 900 16,251,267 17, 297, 041 21, 355, 724 22, 761, 434 1,951, 103 17, 518, 217 20, 347, 749 2,091,891 19, 208, 379 10, 838, 555 1, 522,124 17, 339, 797 11, 756, 905 3, 119,172 23, 675, 422 5, 061, 456 2, 660, 694 11, 447, 968 2, 332, 409 2, 284, 598 6, 768, 067 2, 616, 713 4, 957, 291 5, 982, 621 6, 779, 394 3, 061, 895 3, 338, 521 4,155, 366 6, 695, 861 Due to banker s a n d others in Europe. $1, 357, 1, 434, 2, 053, 2, 053, 2, 040, 1, 292, 1. 020, 2, 407, 251, 280. 1, 467, 1, 447, 364 034 000 619 CapitaL $7, 987, 434 9, 260, 351 8,119, 468 $35, 000, 00O 35, 000, 000 35, 000, 000 35, 000, 000 35, 000, 00035, 000, 000 35, 000, 000 35, 000, 000 35, 000,000 35, 000, 000 35, 000, 008 35, 000, 00ft 35, 000, 000 35, 000, 000 35, 000, 000 35, 000, 000 35, 000, 000 35, 000, 000 35, 000, 000 35, 000, 000 35, 000, 000 35; 000,000 35, 000, 000 35, 000, 000 778 022 650 074 000 710 000 282 494 056 806 748 6, 12, 12, 4, Other liabilities. 926, 492, 770, 971, LXXXIV REPORT OF THE COMPTROLLER OF THE CURRENCY. STATE BANKS. Statement of the condition of the hanks in the United States in the year 1819. .RESOURCES. Loans and discounts. States and Territories. Maine j New Hampshire j Massachusetts j Vermont i j Rhode Island Connecticut New York i New Jersey ' Pennsylvania \ Delaware | Maryland District of Columbia..! Virginia i North Carolina | South Carolina j Georgia ] Alabama Mississippi ! Tennessee ! Kentucky i Ohio ! Indiana ; Illinois i Missouri j Totals B a n k of t h e U. S Aggregates $2, 512, 7ir> 1, 446, 089 12, 928,183 77, 326 3,269,044 496, 453 Due from j other banfes. j 73 39 04 00 28 23 291, 405 O j O 13,183, 861 9; 1, 509, 999 49; 127, 579 75 6, 823, 374 98 7, 326, 777 GG 6, 255, 928 001 2,165, 639 73| 1,175, 397 32| 858, 729 05 1, 257, 859 46 2,214, 72!) 5i> 5, 859, 262 30 2. 779, 314 63! ' 300, 278 91 206, 694 32 O 456, 946 O j Specie. U. S. stocks. Other stocks and miscellaneous effects. Real estate. $251, 730 129, 587 1,451,303 135, 269 288, 256 52, 688 51 $339, 749 45 $6, 294 38; $90, 780 59 26! 153, 831 53: 51,112 93 01! 901, 700 41 $128, 844 03 48/498 26 421, 230 37 03 49, 690 69 14, 714 23 98: 406, 807 80 131,660 60 91, 539 88! 'i37*474"69 70! 44, 645 70 88, 040 00: 10, 988 00 2, 000,000 00' 53, 780 00 21, 413 00 109, 600 00 40,125 00 2,200 00 1,208,828 44; 1,061, 067 23 411, 676 00 405,631 26i 351, 537 02 115, 502 95 120, 500 06 1, 285 26 75, 920 00 91, 684 51 21, 030 15 10, 835 52; 2, 925 10 234 00 100,443 46 635,931 93j 301, 970 54 749,209 14! 993' 072 76 250, 988 74' 87, 302 Oil 330, 965 64 705, 582 00 506,388 00 152,093 00 190,620 00 245, 487 98 63,832 9o ! 811 17 75,399 87' 76,341 57 , 346, 445 61 136, 325 00 11, 700 00 353, 033 93 192, 708 46 60, 688 93! 4, 675 00 56,361 97 Id,60S 01 32, 338 00 41 . 218, 060 73; 18, 905 40; 343, 40, 423 58 ! 150, 610 98! 243, 737 08 693, 381 19 6,367 62 294, 765 99! 422,269 60 433, 612 04 . 92,999 70 I 25, 000 00; 305, 932 70 86, 350 83 . 2, 656 10 6, 614 00! 59, 3.?2 18 '4. 715 51 . 175 00 447,941 00 563 50 . 11, 667 38 : ! 73, 623, 595 76; 7, 616, 252 54 I 29, 392, 668 30; 2, 964. 860 65 9, 828, 745 21 1, 506, 320 52 2, 278, 075 12J2, 262, 923 40 3,254,479 917,252,501 34 2, 968,738 10j 780, 992 59 103, 016, 264 15| 10, 581,113 19 13, 083, 225 12 8, 758, 821 86 5, 246, 813 22J3, 043, 915 99 LIABILITIES. Deposits. States and Territories. Capital. Due to I Undivided other banks.! profits. Circulation. Public. Private. 66 $1, 336,783 00! $34, 609 86 $253, 582 2V 589, 114 00!. 00 117, 441 261 185, 342 00,. 00 46, 121 77 68 2, 474,107 00,1 106,341 29 2, 510, 194 44 $4, 860 55: 738, 192 97: 38. 857 81 12 464, 654 08 953 44| 138, 234 00 50 22, 348 49 53,431 401 1,748 00 00 12, 500,000 00! , 25,417 00 110, 624 00 127, 186 00 00 15, 772 00 59 3.919, 85)4 80! 37,322 84 2, 880, 928 33 1,, 009, 565 53 ' 405, 75 211,454 37 177,237 75 00 44, 435 50!. 27, 153 41 1,727 91 00 838, 030 36 980, 510 08 464, 393 30 765, 510 32 50 2, 733, 745 88! 37, 396 47 844, 659 201 88, 931 96, 00 3, 851, 919 00 . 635,761 00 142, 568 00! 200 00 . 00; 377, 163 00 6,047 501 203 50 00 1.165 18 202,481 76 109, 215 54J ' 705,' 50 166, 086 62, 888, 138 79 70,243 92 00 275, 447 00 . 212, 980 01 50 898, 129 00; "17,003" 7*1 262,866 22 29, 884 00! 56 1, 403, 404 71 . 1, 035, 653 18 1, 752 25 21; 1, 203; 869 46 191, 454*22! 262, 999 88 578,891 9l| 0"'| 276, 288 50! 191, 484 95! 25, 264 68 104, 737 23 021 00 119, 036 92 00 32, 568 60 258 50! 700, 679 05 00' 72, 973 00 $39, 629 87 68, 789 85 581 18 319, 134 16 100,059 81 9,116 24 Maine New Hampshire Vermont Massachusetts Rhode Island Connecticut New York New Jersey Pennsylvania Delaware Mai \ land District of Columbia.. Virginia North Carolina South Carolina Georgia Alabama Mississippi Tennessee Kentucky Ohio ' Indiana Illinois Missouri $1, 536, 666 1, 005, 276 44, 955 10, 475, 116 i 2, 982, 026 | 467, 937 20, 488, 33 214, 740 j 8,595, 788 ! 974, 900 ! 86, 290 j 5, 525, 319 j 5, 212, 192 ! 2, 964, 887 j 1, 600, 000 | 600, 000 ' 321, 112 i 900, 000 ! 1, 545, 867 j 4,307, 431 ! 1, 697, 463 ! 202, 857 140, 910 250, 000 Totals ". Bank of the U. S 72, 340, 770 U4| 35, 770, 903 42 3, 391, 766 66 11,192,155 08 3, 039, 403 89 2, 469, 836 46 ! 34, 973, 828 63| 3, 810, 111 40 2, 862, 964 14 2, 631, 452 76 817, 858 33 1, 913, 431 42 Aggregates 24, 784 279,192 145, 326 2, 763 302, 460 72,780 315, 476 278, 102 51,801 23,653 37,740 82, 253 205,117 88, 283 9,586 2,994 10,207 00 39 78 76 99 80 00 78 95 54 43 25 47 28 11 49 33 107, 314, 599 27 39, 581, 014 82,6, 254, 730 80 13, 823, 607 84 3, 857, 262 224, 383, 267 88 REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXXV Number and capital of all the banks in the United States at eight different periods. 1805. 1801. 1792. 1811. States and Territories. Banks. Capital.* Banks. Capital.* Banks. 1 1 1 2 1 1 2 2, 800, 000 400 000 500, 000 1, 260, 000 6 5 5 5 3, 1 2, 4, 1 2, 000, 000 1 1 400,000 500, 000 2 1 2 2 5, 000, 000 110,000 1, 600, 000 1, 500, 000 1 675, 000 2 3, 000, 000 5 $1, 250, 000 815, 250 7, 425, 000 1, 728, 000 2, 000, 000 5, 430, 000 1,000,000 7, 000, 000 110,000 5, 800, 000 2, 000, 000 1, 500, 000 450, 000 3, 000, 000 15 13 5 8 3 4 6, 292,144 1, 917, 000 1, 933, 000 7, 522, 760 739, 740 6, 153,150 2 500,000 6 4 1 3 4 1 1 1 1 1 850, 000 070, 000 000, 000 720, 000 6 8 18 12 5 7 2 3 1 4 3 1 2 $300, 000 400, 000 $1,100, 000 1,100,000 1 Maine . Xew Hampshire Vermont Massachusetts Rhode Island Connecticut "Vew York "N^ew Jersey Pennsylvania Delaware Maryland District of Columbia Virginia Xorth Carolina South Carolina Louisiana Tennessee Kentucky Ohio $400, 000 Capital.* Banks. Capital.* 150, 000 200, 000 I 4, 895, 202 2, 341, 395 1, 500, 000 1, 576, 600 3, 475, 000 210,000 754, 000 100, 000 240, 460 895, 00 . 8, 935, 000 10, 000, 000 12 32 23, 550, 000 10, 000, 000 75 1 40, 493, 000 10, 000, 000 88 1 42,610,601 10, 000, 000 18, 935, 000 Total of State banks Bank of the "United States... 33 33, 550, 000 76 50, 493, 000 89 52, 610, 601 1830. 1820. 1816. 1815. States and Territories. Capital.! Banks. Capital.! Banks. 8 10 Florida Alabama Mississippi Louisiana Tennessee Kentucky . . . Ohio Indiana Illinois Missouri Michigan 14 10 !$1, 860, 000 i nq.R 121 15 11, 050, 000 2, 027, 000 3, 655, 750 18, 946, 318 2, 121, 932 15, 0(38, 81S 966, 990 7, 832, 002 4, 078, 295 4 121 097 1, 576, 600 3, 730, 900 623 580 26 16 10 °7 11 43 11 650 000 2 317.320 4 017, 575 18 fS66 756 1 2' 072' 115 15. 384. 597 28 30 8 33 14 36 6 14 13 4 3 5 4 1 3 2 2 ' 12 Total of State banks Bank of the United States... $1, 380, 000 941, 152 21 14 10 26 11 42 5 17 10 4 3 5 2 M^aine "NTevv H a m p s h i r e Vermont Massachusetts Rhode Island Connecticut ]STew York Xew J e r s e y Pennsylvania Delaware Maryland . . District of Columbia Virginia l^Torth Carolina South Carolina Grand totals Banks. 100, 000 1 432 300 212,962 959 175 1, 434, 719 5 20 10 12 3 5 3 1 3 4 2 21 ! Q74 fiOO 8 406 782 4.294.013 4 51-2 177 2, 776, 600 ! 3,832,758 1 502 600 ion 000 1 422 300 ft15 9.R1 2 059 000 9 OKI Q97 3 1 4 8 42 20 2 2 1 Capital.! Banks. Capital.! $1, 654, 900 1, 005, 276 44, 955 10, 485, 700 2, 982, 026 3, 689, 337 18, 988, 774 2, 130, 949 14,681, 7fcO 974, 900 6, 708, 131 5,525,319 5 212 192 2, 964, 887 4, 475, 000 3 401 510 469 112 900, 000 2 597 421 2, 119, 782 8 807 431 1, 797, 463 202 857 140,910 250, 000 9 1 2 1 4 1 $2, 050, 000 1, 791, 670 432, 625 20, 420, 000 6, 118,397 4, 485, 177 20, 083, 353 2, 017, 009 14, 610, 333 830, 000 6, 250, 495 3, 875, 794 5 571 100 3, 195, 000 4, 631, 000 4, 203, 029 75, 000 643, 505 950, 000 5 665 980 737, 817 11 1, 454, 386 18 18 10 GQ 47 13 37 18 33 5 4 I 1 ; 1 100, 000 208 82, 259, 590 246 89, 822, 422 307 1 [102,210,611 35, 000, 000 329 1 110, 192, 268 35, 000, 000 208 82, 259, 590 246 89, 822, 422 308 137, 210, 611 330 145,192, 268 * Authorized ! Estimated. LXXXVI REPORT OF THE COMPTROLLER OF THE CURRENCY. Highest and lowest prices of hank notes at Philadelphia, Banks of— 1814. 18J5. | 1816. 1817. 1818. 1819. Standard Standard 1 Standard Philadelphia Standard., Standard. Standard., 0 to 7g-d.. - to 7 to 3 a lOd 10 to 4% a 14d to 9d... parto6a30d par to 5d... Other Pennsylvania par par to 5d par New Jersey par par t o 2 d . . . 3d to Ah p. a 9dpar to 10d.. par to 30d.. par . „ . . . . . Delaware 1 to 4d . . . 5 to 2d Baltimore 3 to 5d ... U to 2 a 3d 7 to 2^1 4hd. to par . par to 1^-d.. 7 "to 3 a lOd 2 to 30d ... 2 to 8a Other Maryland 3 to VH\ Hd t o WAV District of Columbia . ' 10 to 4d par to 2-|d l i to 3£ a Id ;1 p. to 2d... par to 10d.. H to 8 a 3d. Virginia 5 to lOd .. 8 to 2d. a par... 6 p. to par l 8 to 12|d Virginia Western 5 to lOd.. 8d. to ?4 p North Carolina Op. to par 1 p. to 3d... U to 6d . . . . 3 to 17| a, 4d ! 8 p. to 2 p 4 p. to 2d...fto3d 5 to 10d.. South Carolina 2 to 8 a l i d . 0 to Id Georgia 5 to 10d.. 1 to 4d 2| to 14 a 2d ITlorida Alabama New Orleans Other Louisiana Mississippi i 6 to 5d 4| to 12Jd .. 12\ to 20d.aTennessee 6 to lOd. Kentucky 6 to 4i-d ... 4|to 10d.. 0 to 25 a 12-|d Missouri Illinois Indiana Ohio .„ . . 17* to 5d 7 to 3 a lOd 4J to 12Jd .. 0 to 15 a 30d 5 to 12d 15 to 4d Michigan 2 to lOd 9d. to tip 3 to 11 a. 4p ..''A-Ti Treasury notes 7 to 12p.. 17 to 2 a. lGp ... 17 to 7p 5 to 4p.a.par American gold REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXXVII in each year, from 1814 to 1823, and from 1834 to 1838. 1820. 1821. 1822. 1823. 1834. 1835. 1837. 1838. Standard., Standard., Standard .. Standard ..' Standard., .1 Stand'd. Standard Stand'd. Stand'd. Star par to 4 a 2d par to 3d... par to 3d ... jpar to 5d . . . jpar to lAd . par to 2d par to 2|d par to 3d|par to2d. par to I d . . par par to Id ... jpar to id ... jpar to Id .jpar to Id par to 1 par to 2d par to ^d d par par j par to Id ... par to Id. a pi par to d par to Jd par to Jd par to | d par -|d id i to |d lid id .lUoid".. i to ^d i to 1 a id * to l^d d H to 3d j;V t o l i d i i to 2d.... . 1 to|d .. i t o I d . . . par to 2d 1 to 2 o 3 a ljd 1 tol^d Tto 3d A to l i d . . . . {U to Id l i to 3 a Id. -\ktold..\ " to I d . . . parto3£d 1 to 2d. 1 to 3d to 2d . . . . 1 to 3d i2*to2-d !U to 3 a Id | to Id., i to ^ to 3d. i to 4d. 10 to 12i a 8d 8 to 5d 5d r>a l i t o if a . . . . 2 to ld..!»i to 2id 3 to 5d. 1 2&tol0a2£d 2 to 4J a 2id !d |2 to 3d"... ki to 6d 3 to 5d. tfi to 12£ a 3d 3 to 1 a ;M... par to 6 a Id to 2 a Id 1 to 5d J2 to 3d... |2i to lOd 3 to lid. 5 "to 2d 2 to 7 a 2d ... i2d H to 10 a l|d to 5 a If d 2* to 9 a UiVtib to 15 a 2d.4 to 7 a 3d. -. 2 to 3d . . | 2 t o ~3d...|3 to " ' 3itol0d. 12d. '• io sales, jno sales.. no sales no sales. i t o 4 d . . | 3 to 7d... 5 to lod 7 to 20d. .,1 to lOd :S - U to 8 a 5k (1 7 to 3d .". ". few sales . i- to 35d. a - 35 t o - a 30d 35d 70d 12ito -a30d 130 to 50d . 45 to 75d 12i to 25d .. J5 to 12id. 1 to 5p 5 to 8 a 6 d . . | 6 to 5d 5i to 7|p .. 5 to i p . i5d 10 to 8d. !5d . 2 to 5d 0 to 5 d . . 2 to 4d . 2 to 2+d. . I 3 t o 2 i d . 2A to fid. .J5 to 4d . . 3V) 6d.. .|od J3 to 6 d . . . i3 to 2M . |2 to 3 d . , 'no s a l e . . Ino sale . 0 to 4d . . | 3 to 5 d . . . 0 to 4 a 3d 3 to 3.Vd. . 2 * to 3d .12 to 3 d . . .2(1 2 to 3 d . . 5 to 15d 5 to 12i(l. 6 to 20d 15 to 35d. 5 to 15d 12ito30d. 2J to 8d 3h to 7id. sale.. •o sale. 3 to 8d.. 5 to 7id. 3 to 8d.. 5 to 7-id. 3 to 6d.. 4 to 7(1. 2J to 15 c!0 to 20d. LXXXVIII REPORT OF THE COMPTROLLER OF THE CURRENCY. Discount on bank notes at New York in January of the following Banks of— 1835. Maine " New Hampshire Vermont Massachusetts Rhode Island Connecticut. . New York, city New York, country .. Philadelphia '.... Pennsylvania New Jersey Delaware Baltimore Maryland District of Columbia . Virginia North Carolina South Carolina Georgia Alabama Louisiana Mississippi Ohio Michigan Canada Virginia, western Florida Tennessee Kentucky Illinois Indiana 4 i to 1 h to § L I tO 1-1 h tO 1 n to 2 1£ to 2 n to a 1 to 2 4 to 5 3 to 4 5 to 6 5 to 6 5h to 5 :f to 6 1* to 4 l i to 1£ 2 to 2* 1836. years: 1837. 1838. 1 1 1 1 1 2i to 3 2£ to 3 2£ to 3 2i 2i to 3 i 1 to 2* Par. Par. Par. 1 Par to £ Par. -f 2 i to l i f 2 to 2i Par to i Par to i 1 to 2i 1 to 2~ 2 to 3 1 to 2 i 3 1 to 2 1 to 2 3 to 4 1 to l i 1 to l i 3 Par to 1 3 to 4 H 2 to 2\ 5 to 6 4 to 5 1% to 2 3 to 3i 2* to 3 5 to 6 2 to 2i 2k to 3 8 to 10 5 to 6 2§ to 5 5 to 7 2 to 5 12 to 15 5 U to 3 4 to 5 H to 2 1 to H 3 to 5 3" to 5 5 to 6 3 to 5 12 to 15 10 15 5 5 to 6 5 7 to 8 7 to 8 Discount on domestic exchange and premium on American gold at New York in January of the following years: 1834. Boston Philadelphia Baltimore Richmond North Carolina Charleston Savannah New Orleans . American gold \ Par. I i to i i to i i to i i to £ i to i Par. i Par to £ i t o £j i t o ^ : i to | i to U A to |i i A to f; % | to ;{ £ to [ £ to 1 Jl 1 i 'I to 1 $ to 1 i ^ to 1 ! to i 8' to 10 J3-i to 4 2 to 2i U to 2 H to 2 L2^ 1 to kI i | l i t o 2 I Uto 2" T t o l i T t o U 2 if to 2 '" ,0 2i;2i |li to 2 1 to H I tolA,2 1 to l-il to H I to H L to 1 toll d to 4 to 41 3 to 3^ 5r] to 6 :3 1835. 1836. 1838.* Par. i Par. Par. Par to 2 i • Ii Partoi l i t o 5 t § ! Par to-iIf to 5^ tol i t o fll toll to 7i 5 I t o l I I t o l 2 | to 3 2 to 8 1 to 111 to 1^2i to 3 2| to 10 \ to 1 j \ to 1 3 to 4 2 to 12 7 to 9 * May. Bates of domestic bills in New York in the years 1838 to 1843. 1838. ; 1839. May.* Boston Philadelphia Baltimore Richmond North Carolina Charleston Savannah Mobile New Orleans Nashville Louisville Cincinnati 1839. Feb.! Nov.J i t o I2 lito 2 5 to 6 5 8 20 8 20 7 8 to 6 to 10 to 22 to 10 to 25 to 8 to 9 1841. April. 1 h to i 3i to 4 U ito 3 14 3 | to 4 1 4 i to r 12 to 15 5 2 6 to 8 1 8 to 10 l | t o 2 n to 2 15 3i to 4 Ik to 2 9 to 10 10 to 11 P"ar. 54 to 6 4-i 15 to 16 2" 16 6 to 7 2i 9i to 10 Par to i Par. 4 Sept. ito i 3i to 4 | 2 3i to 3 | 3i to 3-1 1-i to H 3i to 3£ 8 to 8i 4 to 6 10i to 10^ 6 | to 7 8* to 9 1842. Feb. Dec. 1843. Mar. i to | i t o § Par to | 7 to 8| Par to i 2 to 3 Par to i 9 to 12i 1 to 1+ 51 to 5i 1J to If Hto U \\ to If lito If 2i to 3 2* to 3 ito § 17 to 17i 121 to 13 14 to 16 6i to 7 1 to 2p. 94; tO 9 | 15 to 16 14 to 14i 3 to 31 11 to H i 9i to 10 1 to l i 13i to 14" 15 to 16 1 to H 5 | to 4 to 61 to 5* to 6 4| 6i 5f - New York resumption, May, 1838. f General resumption, February, 1839. + Re-suspension, Nov., 1839. REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXXIX Percentage of depreciation of bank-notes during the suspension of specie payments from 1814 to 1817.* Date. 1814. September.. October November .. December ... 1815. January February March April May June 1. July August September.. October November .. December ... In New In Pliila- In Balti- | York. delphia. j more. | Per cent. Per cent. Per cent. 20 10 15 10 10 11 14 11 15 2 5 5 9 11 11 15 15 16 14 124 13 16 12i 12* Date. 1816. January February March .'. April May June July August September October November December 20 5 5 10 14 16 20 1817. 19 20 January 21* February 15 18 In New York. I n Philadelphia. In Balti- Per cent. Per cent. Per cent. If 21 15 13 18 23 20 20 15 12 10 8 9 9 ^ \ 3 2* 12* 9 12* 10 12* 12* 6 5 I 3 14 14 121 14* 14 17 15 10 * Considerations on the Currency and Banking System of the United States, p. 106 ; by Albert G-alla tin, Philadelphia, 1831. Growth of the savings-banks in the States named, as shown by their deposits from 1830 to 1875.* Years. Maine. shire. P- Ve 1830.. |250, 000 1840 .. 750, 000 641. 543 1850 .. 776, 768 1851 .. 009, 617 1852 .. 507, 909 1853 .. 222,261 1854 .. 341, 256 1855 .. $867,131 537, 363 1856 .. 919, 571 748, 285 1857 .. 968, 325 588, 658 1858 .. 968,194 138, 822 1859 .. 923, 397 1860 .. 1, 539, 257 860, 024 186L .. 1, 708, 961 590, 652 1862 .. 1, 876, 165 653, 585 560, 308 1863 .. 2,641,47*1 1864 .. 3, 672, 975 661, 738 1865 .. 3, 336, 828 831, 335 1866 .. 3, 946, 433 857,601 1867 .. 5, 598, 600 10;463,418 541, 534 1868 . . 8, 032, 246 13, J869 .. 10, 839, 955 379, 857 1870 .. 16, 597, 888 18.759, 461 1871 .. 22,787,802 21' 472, 120 1872 .. 26,154, 333 ; 700, 774 1873 .. !29, 556, 52: 29, 671, 114 A 1874 .. 31, 051, 963 28,829, 376 214, 585 1875 .. 30,757,651 Massachusetts. Rhode Island. New Jersey. California. 000 $200, 000 $350, 000 $2,623,304 $2, 500, C 554 5, 819, £ 500, 000 1, 500,000 5, 431, 966 13, 660, 024 1, 495,545 5, 466,444 20,832,972 $199, 15, 554, 089 1, 907,233 6, 698,158 24, 006, 599 282, 18, 401, 308 ~ 474, 109 8, 135,016 27,541,923 407, 23, 370, 102 3, 308, 769 8, 883,397 32, 824, 177 704, 25, 936, 858 4, 104, 10, 006,131 j 33,453,781 901, 27, 296, 217 4, 834, 10, 844.933 26,012,713 897, 30, 373, 447 (97, 857 12, 162,136 41,699,502 897, 5, 875, 909 33, 015, 757 6, 079,053 12, 562,594 41, 422, 672 18l! 48,194,847 "" 819, 650 33, 914, 972 6, 349,621 14, 052, 940, 846 39, 424, 419 7, 765, 77]16, 565,284: 58, 178, 160 670 67, 440, 397 1, 111,532 45, 054, 236 9, 163; 760 19, 377, 9591 64, 083,119 1,231, 940 44, 785, 439 9, 282, 879 19, 983, • 1, 348,833 50, 403, 674 9, 560,44123, 146, 936| 76, 538, 183 802! 93, 786, ~ " '$5, 500, 000 56,883,828 11,128,713 """26,954, !, 384 >, 1, 678, 62, 557, 604 12, 815, 09?29,142, 288 111, 737, 763 6, 570, 839 ~ 1,952, 27, 59, 936, 482 13, 533, 06; 319,013115,472,566 6, 450, 357^., 005, 062 1, 708, 464131,769,074 7, 620, 186! 10, 358, 888 67, 732, 26417, 751, 713 31, 224, 1, 589, 80,431,583 21,413, 36, 283. 460 151,127, 562 9. 431, 807117, 365, 597 1,815, 94, 838, 336 24, 408, 41, 803, 681169,808, """ ., 545, 526 23, 818, 533 2, 046, 91028, 893, 645 >, 2,601, 940 112,119, 016 27, 067, 072 47, 904^834194,360,217 15J 428, 20, 001, 951! 36, 555, 909 50155,297, 705 230, 749, 2, 745,779 135, 745, 097 30, 708, ""' 703 3,172, 525 163, 704, 077 36, 289, 62,717. 814267, 905, 826 25, 231, 311|44, 235, 610 3, 836,224 184,797,313 42,583, 538 68, 523, 397,285, 286, 621 28, 754, 482(51, 431, 326 4, 478,842 202,195,343 46,617, 183 70, 769, 407|285. 520, 085 30, 060, 534 57, 833, 373 32, 044, 5, 011,831 217, 452, 120 48, 771501 73, 783, 802303| 935, 649 32^ 044, 840 69, 026, 603 6, 004,694 234,974,69151,311, 331 76, 875, 049 319, 260, 202 32, 727, 342(70, 062, 568 * From advance sheets of Yol, II of History of Savings-Banks in the United States, by E. TV. Keyes, late deputy superintendent of the bank department of the State of New York. xc REPORT OF THE COMPTROLLER OF THE CURRENCY. Capital, specie, and U. S. deposits of the dejMsit-banks, according to the returns made to the Treasury Department April 1, 1836. Specie. Names of banks. Maine Portland Commercial ! Portsmouth Boston Commonwealth. ---.do Merchants' Burlington Burlington Farmers and Mechanics' Hartford Mechanics' Xew Haven Arcade Providence Mechanics and Farmers' Albany Bank of America Now York Manhattan Company ...do Mechanics' ...do Girard .. Philadelphia Moyamensing d Union, Maryland Baltimore do Franklin Bank of the Metropolis. Washington Virginia and Branches-. Richmond, &c North Carolina j Raleigh Planters and Mechanics' (Hi arleston Planters', Georgia Savannah Augusta j Augusta Branch of Alabama | Mobile. Commercial j New Orleans Union Bank of Louisiana j do Merchants and Manufacturers' ..! Pittsburgh Franklin ; Cincinnati Commercial | do Clinton ; Columbus Savings Institution i Louisville Union Bank, Tennessee j Nashville State I Indianapolis Agency C. Bank, Cincinnati Saint Louis Planters' Natchez . Michigan Detroit .. Farmers and Mechanics' ....do . . . . 630, 000 00 102, 000 00 500, 000 00 750, 000 00 127, 912 00 410, 496 00 472, 970 00 300,' 000 00 442, 000 00 2, 001,200 00 2, 050,000 00 2, 000.000 00 1, 500,300 00 174, 950 00 1, 845,5C2 50 508, 970 00 500, 000 00 3, 240,000 00 1, 20(3,100 00 1, 000,000 00 535, 400 00 897, 000 00 2, 000, 000 00 2, 945,430 00 7,. 051,000 00 GOO, 000 00 1, 000,000 00 1, 000,000 00 289, 225 00 96, 512 00 1,817, 255 00 1, 279,857 78 4, 143,940 00 448, 200 00 150, 000 00 | $27, 339 82 11, 065 56 209, 064 54 295, 546 30 12, 082 35 10, 763 80 153, 546 38 52. 231 26 114, 032 33 1, 274,220 66 1, 028,946 33 1,271, 593 00 461, 374 86 93, 030 32 107, 943 24 124, 197 74 217, 219 39 G33, 700 07 292, 018 15 317' 162 81 178, 472 45 3L3, 750 03 339, 723 01 202, 533 17 255, 559 01 127, 514 59 167, 020 90 266, 803 87 121, 143 47 50, 807 58 116, 585 17 964, 758 34 513, 859 06 438, 324 32 62. 139 34 59, 923 70 43, 690, 980 28 I ! ! j 10, 885, 996 92 United States deposits. $113, 074 94 128, 338 33 1,009,731 52 931,105 79 52, 893 48 67, 560 89 41,315 06 115,132 40 217, 430 22 3, 858, 750 20 3, 462, 800 38 3, 985, 083 72 2, 516, 858 76 502, 042 25 906, 491 54 347, 388 74 200,394 40 358,230 56 38, 471 07 252, 522 42 111] 862 48 129,770 95 1, 623, 818 12 1,119,314 50 1,261,116 73 51, 095 72 244,048 12 395, 175 82 328, 127 52 494, 842 26 484, 086 61 1,377,949 98 1, 978, 383 94 2, 732, 319 38 1, 070, 820 03 703, 675 25 33, 294, 024 08 Summary of condition of deposit-banks. Loans and discounts Domestic exchange Real estate Due from banks Notes of other banks Specie Foreign exchange Expenses Other investments Total. 668, 850, 287 67 32, 775, 529 42 1, 929, 056 H8 15, 931, 916 22 11, 107, 447 78 10, 885, 996 92 532, 450 96 184, 901 22 10, 651, 759 92 152, 849, 346 79 j Capital Treasurer of United States Public officers Due to banks Contingent fund Profit and loss, &c Circulation Private deposits Other liabilities Total $43, 690, 980 23 33, 294, 024 08 3, 477, 252 42 15, 366, 674 49 1,102, 763 15 4, 094, 358 12 28, 796, 186 68 15, 453, 092 11 7,574,015 16 152, 849, 346 79 REPORT OF THE COMPTROLLER OF THE CURRENCY. XCI Comparative table, by geographical divisions, ofthe principal items of resources and liabilities of the State banks from 1854 to 1863. RESOURCES. LOANS AND DISCOUNTS. Years. 1854-'55 1855-'56 1856-'S7 1857-'58 1858-59 1859-'6O 1860-61 lS61-'62 1862-'63 1854-'55 1855-'56 1856-57 1857-'58 1858-59 1859-60 1860-'61 1861-'62 1862-'63 Eastern States. Middle States. $173, 513, 958 177,411,938 187, 750, 276 177, 896, 0-20 179, 992, 400 190,186, 990 194, 866, 619 191, 747, 787 216, 341, 927 $241, 671, 978 279, 232, 487 299, 874, 750 247, 669, 341 284, 716, 143 289, 636, 640 304, 227, 203 276, ()4«, 381 206,821,503 $1, 560, 379 1, 674, 165 1, 459, 758 1,131, 869 1, 206, 564 1, 657, 908 1 489 949 3, 407, 991 8, 019, 037 Southern States. Southwestern States. $69, 598,123 $64, 397, 883 75, 875, 681 73, 512, 343 82, 412, 657 82, 813, 257 70, 040, 568 i 64, 633, 845 85, 980, 791 77,039,922 | 82,231,888 i 101, 468, 716 79,282,290 ! 89, 069, 505 75, 875, 815 79,781,790 i 61, 682, 561 79, 282, 290 I $24, 451, 870 24, 753, 765 27, 702, 286 26, 576, 900 29, 924, 425 31, 227, 492 33 521 858 63, 873, 252 146, 126, 096 $7, 252, 541 7, 925, 596 8, 796, 041 9, 354, 305 8. 625, 484 9, 625, 777 9 947 427 9, 947, 427 9, 947, 427 "Western States. United States. $26, 962, 816 28, 150, 831 31, 605, 937 22, 925, 468 29, 454, 543 28,421,346 29, 332, 804 23, 224, 007 24, 473, 582 $576,144, 758 634, 183, 280 684, 456, 887 583, 165, 242 657, 183, 799 691, 945, 580 696, 778, 421 646, 677, 780 648, 601, 863 $12, 886, 439 9, 677, 525 13,187, 205 13,618,466 15, 232, 613 18, 655, 893 20 793 853 6, 339,107 8, 508, 942 $52, 727, 082 49, 485, 215 59, 272, 329 60, 305, 269 63, 502, 449 70, 344, 343 74 004 879 99, 010, 987 180, 508, 260 $7, 913, 766 13, 979, 927 13, 911, 656 13, 188, 355 21, 168. 632 17, 317. 715 7, 623,183 7, 694, 239 10, 961, 979 $7, 417,283 7, 512, 422 8, 870, 062 6, 484, 812 7, 482, 565 8, 083, 726 9, 391, 585 5, 909, 065 9, 245, 388 $55, 738, 735 62, 639, 725 65, 849, 205 58, 052, 802 78, 244, 987 57, 235, 457 58, 793, 990 65, 256, 596 96, 934, 452 $4, 399, 474 3, 569, 433 3, 715, 120 4, 537, 783 3, 720, 584 3, 613, 520 3, 722, 463 3, 996, 266 2, 235, 830 $749, 033 881, 324 804, 976 1, 034, 579 1, 299, 804 1, 529, 268 1,157, 783 1, 481, 956 1, 640, 047 $24, 073, 801 20, 865, 867 26, 124,522 28, 755, 834 25, 976, 497 30, 782,131 30, 748, 927 32, 326, 649 31, 880, 495 $113, 856 16, 037 62, 767 47, 393 1, 635, 943 973, 792 7, 420, 351 7, 200, 625 1, 810, 721 $505,121 576, 975 209, 385 441,930 303, 646 365, 575 271, 332 295, 921 1, 037, 226 $21, 935, 738 19, 933, 710 25, 081, 641 15, 380. 441 26, 808, 822 19, 331, 521 29, 297, 878 27, 827, 971 46,171, 516 $6, 575, 853 5, 454, 164 7, 127, 039 9, 623, 729 8, 513, 363 9,177, 273 8 251 792 10, 443, 210 7, 906, 758 D U E F R O M O T H E R BANKS. 1854-'55 1855-'56 1856-57 1857-'58 1858-'59 1859-'6O 1860-61 1861-'62 1862-'63 $14, 13. 15, 12, 16, 14, 14, 18, 25, 826, 842, 304, 215, 333, 310, 015, 273, 221, 567 046 943 423 357 756 271 564 286 $21, 018, 905 21,989,653 21,961,008 20, 843, 384 23, 137. 793 20, 061, 485 22, 625, 292 28, 241, 119 46, 367, 140 $4, 562, 214 5, 315, 677 5, 801, 536 5, 320, 823 10, 122, 640 7, 461, 775 5, 138, 659 5, 138, 659 5, 138, 659 R E A L ESTATE. 1854 '55 1855-'56 1856 '57 1857-'58 1858-'59 1859-'6O 1860-'61 1861-'62 1862-63 $2, 136, 037 2, 273, 850 2, 707, 588 3,310,486 3 640, 675 3, 844, 810 3, 623, 549 4, 161, 804 4, 505, 888 $7, 037, 778 7, 707, 859 8, 832, 442 9, 596, 524 10, 675, 795 11,481,225 11,685,602 12, 1-27, 993 12, 939, 200 $9, 751, 479 6, 433, 401 10, 064, 396 10, 276, 462 6, 639, 639 10, 313, 308 10, 559, 530 10, 559, 530 10, 559, 530 CASH ITEMS. • 1854-'55 1855-'56 1856-'57 l857-'58 1858-59 1859-'6O 1860-61 1861-'62 1862-'63 $240, 992 314, 065 285, 688 307, 073 495. 220 325,511 365, 602 571, 772 1,112,563 $20, 745, 011 3 8, 490, 937 24, 477, 093 14, 318, 182 23, 423, 266 17, 480, 612 21, 060, 613 19, 579, 673 42, 031, 028 $330, 535, 46, 265, 950, 186, 179, 179, 179, 758 696 708 863 756 031 980 980 980 XCII REPORT OF THE COMPTROLLER OF THE CURRENCY. Comparative table of Slate bank resources and liabilities— Continued. RESOURCES—Continued. MILLS OF OTHEK BANKS. Eastern States. Years. 1854-'55 1855-'56 1856-'57 1857-'58 1858-'59 1859-'6O 1860-'6t 1861-'62 1862-63 i | | ! ; | | ! 1 $7, 456, 556 6.807,215 : 7,452,318 6,216,504 6, 495, 545 ! 7,026,319 7,003, 127 i 5,766,319 11, 950, 014 $6, 746, 711 6, 796, 314 7, 269, 426 6,391,617 13, 774, 125 10, 098,162 10, 037, 304 12,115,855 12, 826, 267 1854-55 1855-'56 1856-'57 1857-'58 1858-'59 1859-'6O 1860-'61 1861-'62 1862-'63 Middle States. Southern States. $9, 459, 951 I 9, 444, 234 11,071,854 i 8,698,885 | 3,588,204 i 9,220,661 ; 4,476, 163 I 7,834,522 29,091,963 ! $21, 509, 993 22,009,791 23, 390, 763 38, 020, 756 43, 971, 104 33, 229, 061 37,749,614 45,939,614 J 51,267,527 $2, 610, 478 2, 649, 264 3, 895, 232 3,401,629 2,452,404 3, 446, 976 3,732,997 3,782,997 3,782,997 Southwestern States. j | j ! $1, 240,681 | 428,926 | 638, 067 201, 783 479, 624 964, 599 403, 069 968, 245 945, 873 $6, 755, 082 $14, 305. 640 7, 6915, 291 17, 672, 577 7,149,616 15, 704, 308 6.268,319 19, 796.184 10,679,614 31, 359, 021 10, 130, 310 i 25, 793, 477 8, 119,036 ! 25, 999, 992 8, 119, 036 26, 670, 590 8,119,036 i 21, 564, 993 Western States. $2, 3, 3, 1, 2, 2, 3, 2, 7, 661, 449, 066, 928, 842, 844, 238, 901, 393, United States. 852 410 537 635 512 012 546 506 481 $4, 627,120 5,139, 090 4, 844, 725 3, 935, 956 4, 753, 954 4, 343, 527 5,768,161 9, 301,120 7, 449, 546 $23, 429, 24, 779, 28,124, 22, 447, 18, 858, 25, 502, 21, 903, 25, 253, 58,164, 518 049 008 436 289 567 902 589 328 $53, 944, 546 59, 314, 063 58, 349, 838 74, 412, 832 104, 537, 818 83, 594, 537 87, 674, 507 102,146,215 101, 227, 369 OTHEH INVESTMENTS. 1854-'55 1855-'56 1856-'57 . 1857-'58 1858-'59 1859-'6O 1860-'61 1861-'62 1862-'63 $685, 083 792, 750 611,152 682, 708 1 044 319 1, 075, 879 1 141 438 318,361 2, 627, 282 .. $1,082,257 1,205,630 1, 725, 876 1,951,349 4, 102, 185 3, 067, 297 3, 460, 720 3, 460, 780 3, 460, 720 $% 150, 063 1, 452, 309 616 619 1, 015, 752 1 309 619 1, 319, 363 3 829 149 4, 392, 647 8, 236, 957 $2,418,273 2,912,838 1, 883, 250 1, 439, 020 1,025,804 1, 383, 083 3, 323, 320 4, 577, 568 5, 159, 698 $2 398, 864 2 458, 989 1 083, 439 987, 077 841,114 4 277, 549 4 902, 834 898, 650 2, 468, 786 LIABILITIES. CAPITAL. 1854-'55 1855-'56 1856-'57 1857-'58 1858-'59 1859-'6O 1860-'61 1861-'62 1862-'63 ! $101,804,621 $120, 758, 047 110,415,090 125, 994, 239 114,611,752 140, 298, 876 154, 442, 049 1 117,261,990 156, 382, 227 119, 590, 423 159, 091, 05 L 123, 449, 075 160, 085, 360 123, 706, 708 156, 363, 765 127, 291, 316 155, 270 418 126, 819, 972 $49, 48, 50, 52, 48, 54, 56, 56, 56. 255, 657, 554, 077, 578, 533, 282, 282, 232, 264 450 582 587 132 256 622 622 622 $11,016,635 41, 829, 363 44, 630, 333 49, 633, 352 54, 254, 042 59, 383, 524 62, 941, 011 62, 777, 683 50, 971, 577 $19, 16, 20, 21, 23, 25, 26, 15, 15, 342, 978, 739, 207, 171, 373, 577, 424, 701, 721 130 143 821 418 189 012 355 240 $332, 177, 343, 874, 370, 834, 394, 622, 401, 976, 421, 880, 429, 592, 418, 139, 405, 045, 233 272 686 799 242 095 713 741 829 CIRCULATION. 1854-'55 1855-'56 1856-'57 1857-58 1858-'59 1859-'6O 18tiO-'61 1861-'62 1362-63 $53,816,469 47,762,301 53,554,041 41,417,692 39,564,689 44, 510, 618 44, 991, 285 39, 306, 729 65, 516,155 $57, 298, 622 58, 993, 468 62, 696, 774 41,187,749 49, 4H2, 057 53, 146,871 52, 873, 851 55, 105, 112 82,372,091 $30,941,217 | $25,130, 695 35, 362, 506 I 34, 972, 674 38, 738, 552 j 37,792,261 27,751,551 [ 23, 727, 772 37, 400, 883 I 42, 632, 764 35, 863, 618 46, 000, 759 34, 600, 785 39, 552, 760 39, 558, 760 | 29, 439, 176 31,545,648 39,558,760 I $19, 765, 220 18, 652, 001 22,147, 194 18, 123, 580 24, 226, 425 27,580,611 29, 987, 086 20, 382, 302 19, 684, 564 $186, 952, 223 195, 747, 950 214, 778, 822 155, 208, 344 193,306,818 207, 102, 477 202, 005, 767 183, 792, 079 238, 677, 218 REPORT OF THE COMPTROLLER OF THE CURRENCY. XCIII Comparative table of State bank resources and liabilities—Continued. LIABILITIES—Continued. DEPOSITS. i ! Years. Middle States. Eastern States. 1854-'55 1855-56.. 1856-'57 1857-'58 1858-59 1859-;60 1860-61 ! $29, 900, 989 $117, 465, 664 j 31,596,935 127,410,259 ! ; 34, 520, 868 139,873,112 I 28,196,426 113,814,435 | ! 41,877,420 150,620,922 | 41, 319, 550 145, 829, 987 j 40,822,523 156, 899, 656 \ 1861-'62 1862-'63..J , ; 49, 241, 324 66,731,741; 188, 932, 745 267,750,903 Southern States. j Southwestern j States. $11, 651, 12, 898, 15, 196, 13,180, 18,119, 18, 250, 16, 480, 16, 480, 16, 480, Western States. $11, 14, 14, 8, 10, 10, 12. 11, 21, 702, 844 300, 616 523, 139 356, 416 581, 455 973, 832 576, 820 922, 299 21, 482,136 679, 498, 237, 384, 368, 428, 450, 745, 240, 300 955 370 282 705 413 083 560 966 United States. $190, 400, 342 212, 705, 662 230, 351, 352 185,932,049 259, 568, 278 253, 802,129 257, 229, 562 296, 322, 408 393, 686, 226 DUE TO OTHER BANKS. 1854-"55 1855-'56 1656-'57 1857-'58 1858-59 1859-'6O 1860-61 1861-'62 1862-63 $9, 173, 754 8, 209, 891 7, 310, 540 6, 929, 552 9, 370, 024 8, 987, 151 9, 666, 483 10, 014, 087 20, 534, 823 $27,135, 476 33, 667, 304 36,710,832 31, 890, 583 42, 286, 596 35, 213, 553 36, 386, 050 40, 082, 575 68, 496, 549 $4,410, 5, 364, 5, 709, 6, 999, 9,197, 6, 764, 7, 661, 6, 143, 6,071, 4, 117, 4, 117, 4,117, $1, 849,173 2,145, 269 1, 806, 970 759, 992 720, 448 937, 289 $2, 630, 079 3, 508, 657 2, 213, 845 2, 770,116 2, 224, 354 2, 859, 607 2, 674, 929 7, 795, 981 5, 594, 891 $2, 587, 3, 333, 6, 136, 4, 590, 6, 641, 4, 030, $1, 349, 947 1, 902,170 2, 071, 080 1, 880, 435 2, 499, 499 2, 432, 805 2, 563, 697 5, 306, 782 4. 598, 480 3, 443, 9*63 786, 424 1, 306, 538 $45,156, 697 52, 719, 956 57, 674, 333 51,169, 875 68, 215, 651 55, 932, 918 61, 275, 256 61, 144, 052 100, 526, 527 OTHER LIABILITIES. 1854-'55 1855-'56 1856-57 1857-'58 1858-'59 1859-'6O 1860-61 1861-'62 1862-63 $1, 957, 913 1, 440, 876 2, 625, 089 3, 304, 554 2, 819, 422 1, 541, 091 2, 811, 728 10, 144, 408 11, 455, 789 $8, 339, 986 4, 658, 402 7, 574, 093 3, 541, 058 3, 731, 452 4, 391, 664 11,072,379 24,191,148 28, 029, 714 $1,321,698 717, 762 4, 332, 643 2, 670, 550 3, 833, 720 3, 436, 648 4, 135, 271 4, 135, 271 4, 135, 271 $15, 12, 19, 14, 15, 14, 23, 51, 53, 599, 227, 816, 166, 048, 661, 258, 573, 814, 623 867 850 713 427 815 004 590 145 N O T E . — I n t h e foregoing table t h e geographical divisions are as follows: Eastern. Maine. New Hampshire. Vermont. Massachusetts. Ithode Island. Connecticut. Middle. New York. New Jersey. Pennsylvania. Delaware. Maryland. Southern. Virginia. North Carolina. South Carolina. G-eorgia. Florida. Soutlnvestcrn. Alabama. Louisiana. Mississippi. Tennessee. Kentucky. Missouri. Western. Ohio. Indiana. Illinois. Michigan. Wisconsin. Minuesota, Kansas. Nebraska. Actual circulation of the Ban~k of the United States in Sejrtejnljer, 1830, and where the noien were payable. Where payable. Where payable. j Amount. Amount. Where payable. Amount. 1 I Bank United States.. $1, 367,180 Portland .. . .1 79, 280 Portsmouth 101, 985 Boston ; 271,180 Providence \ 113, 920 Hartford • 171,532 New York . .j 834, 733 Baltimore . . I 528 638 Washington i 647, 602 469, 440 Richmond Norfolk . .. Eayetteville Charleston Savannah Mobile New Orleans Saint Louis Nashville Louisville Lexington $532, 400 713. 760 835J 840 522, 605 940, 825 2, 623, 320 228, 700 1, 235, 275 662, 375 908, 625 Cincinnati $647, 240 Pittsburgh 554,102 Buffalo...... 258,130 Burlington j 96, 595 Cincinnati and Chillicothe 2,375 Total 15, 347, 657 XCIV REPORT OF THE COMPTROLLER OP THE CURRENCY. Table showing the aggregate number of the State banks and Principal Years. 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 No. of banks. 506 704 713 788 829 840 901 784 692 691 696 707 707 715 751 782 824 879 750 1208 1307 1398 1416 1422 1476 1562 1601 1492 1466 Loans and dis counts. Stocks. $324,119,499 $6,113,195 365, 163, 834 9, 210, 579 457, 506, 080 11,709,319 525,115, 702 12, 407, 112 485,631,687 33, 908, 604 492,278,015 36, 128, 464 462, 896, 523 42,411,750 386,487,66 2 64,811, 135 323, 957, 569 24, 585, 540 254, 544, 937 28, 380. 050 264, 905, 814 22, 858^ 570 288,617,131 20, 356, 070 312,114,404 21, 486, 834 310, 282, 945 20, 158, 351 344, 476, 582 26, 498, 054 332, 323,195 23, 571, 575 364, 204, 078 2!), 606, 759 413, 756, 799 22, 388, 389 408, 943, 758 22^ 2*4'. 692 557, 397, 779 44, 350| 330 576, 144, 758 52, 727, 082 634,183, 280 49,485,215 684, 456, 887 59, 272, 329 583,165, 242 60, 305, 260 657, 183, 799 63, 501, 449 691, 945, 580 70, 344. 343 696, 778, 421 74, 004, 879 646, 677, 780 9!), 010, 987 648,601,863 180, 508, 260 resources. Real estate. $27, 329, 645 $10,850,090 40, 084, 038 11, 140,167 51,876,955 14, 194,375 59,663,910 19,064,451 58, 195, 153 19, 075, 731 52, 898, 357 16, 607, 832 41, 140,184 29,181,919 47, 877, 045 33, 524, 444 30, 752, 496 33, 341, 988 20, 666, 264 22, 826, 807 35, 860, 930 22, 52), 863 j 29,619,272 2-2, 177, 270 31,689,946 19, 099, 000 31, 788, 641 21, 219, 865 38, 901, 525 20, 530, 955 | 32, 228, 407 17, 491, 809 41,631,855 20, 582,166 50, 718, 015 20, 219, 724 48, 920, 258 10, 180, 071 55, 516, 085 22, 367, 472 55, 738, 735 24, 073, 801 62, 639, 725 20, 865, 867 65, 84!), 205 26, 124, 522 58, 052, 802 28, 755, 834 78, 244, 987 25, 976, 497 ' 67, 235, 457 30, 782, 131 58, 793, 900 30,748,927 65, 256, 5% 32,326,649 ' 96, 934, 452 31,880,495 Notes of other banks. $22,154, 919 21, 086, 301 32, 115,138 36, 533, 527 24, 964, 257 27, 372, 966 20, 797, 892 25, 643, 447 19, 432, 744 13, 306, 677 11, 672, 473 12, 040, 760 12, 914, 423 13, 112. 467 16, 427, 716 12, 708, 016 16, 303, 289 17, 196, 083 30,431, 189 22, 659, 066 23,429,518 21, 779, 049 28,124, 008 22, 447, 436 18, 858, 289 25, 502, 567 21, 903, 902 25, 253, 589 58,164, 328 Specie funds. $26, 3, 4, 5, 641, 753 061, 819 800, 076 366, 500 904, 006 3,612,567 3, 623, 874 3,168,708 3,115, 327 6, 578, 375 6, 729, 980 6, 786, 026 8, 386, 478 13, 789, 780 10, 489, 822 8, 680, 483 11, 603. 245 15, 341, 196 25, 579, 21, 935, 19, 937, 25, 081, 15, 380. 26, 808^ 19, 331, 29, 297, 27, 827, 46,171, 253 738 710 641 441 822 521 878 971 518 N O T E . — T h e figures for the years 18 54 to 1.810 are t a k e n from E x . Doc. No. 111,26th Congress, 2d to 1863. (with t h e exeention of the vear 1853) tliev are taken fr om the renort on t h e p.nnditin n of t h « h a n k s REPORT OF THE COMPTROLLER OF THE CURRENCY. XCV their principal resources and liabilities, from 1834 to 1863. Principal resources. Principal liabilities. Years. Specie. $43 937 625 40 019, 594 37 915, 340 35 184 112 45 132, 673 33 105 155 34 813 958 28 440, 423 33, 515,806 49, 898 269 44, 241 242 42, 012, 095 35,132, 516 46, 369, 765 43 619, 368 45, 379, 345 48^ 671, 048 47, 138, 592 59, 410, 253 53. 944, 546 59; 314, 063 58, 349, 838 74, 412, 832 104, 537, 818 83, 594, 537 87 674, 507 102,' ]46, 215 101, 227, 369 Other resources. $1, 723, 547 4, 642^ 124 9, 975. 226 10, 423| 630 24,194, 117 28, 352, 248 24, 592, 580 11,816,609 8,186, 317 13, 343, 599 12, 153, 693 10, 072, 466 7,913, 591 12, 206, 112 8, 229, 682 7, 965, 463 11, 949, 543 8, 935, 972 3, 873, 571 7, 589, 830 8, 734, 540 8, 882, 516 5, 920, 336 6, 075, 906 8, 323, 041 11,123, 171 16, 657, 511 13, 648, 006 22, 003, 443 Circulation. Capital stock $200, 005 944 231 250, 337 251 875, 292 290 77'.', 091 317 636, 778 327 132, 512 358 442, 692 313 608, 959 260 171, 797 228,861, 948 210 872, 050 206, 045,969 196, 894,309 203 070, 622 204 838, 175 207 309, 361 217 317, 211 227 807, 55P, 207, 908, 519 301, 376, 071 332, 177,288 343, 874,272 370, 834,686 394, 622, 799 401, 976, 242 421, 880, 095 429, 592, 713 418, 139, 741 405, 045, 829 D eposits. 1 $94 839, 570 $75 666 986 103 692 495 83, 081 365 140 038 115,104 440 301 149 185, 890 127 397, 185 116 138 910 84 691 184 170. 995 90 240 146 1 135 106 968 572 75 696 857 • 1 0 7 2^0 214 ( 4 890 101 5 1 83 734 011 ( 2 40H 870 5 58 563 608 56, 1(58 628 75 167, 646 84, 550 785 89, 608,711 88 020 640 105 552, 427 96, 913 070 105 519, 766 91, 792, 533 128 506, 091 103, 226, 177 114, 743, 415 91, 178, 623 131, 366, 526 109, 586, 595 155, 165, 251 128, 957, 712 146, 072, 780 145, 553, 876 204, 689. 207 188, 188, 744 186, 952, 223 190, 400, 342 195, 747, 950 212. 705, 662 214, 778, 822 230, 351, 352 155, 208, 344 185, 9.S2, 049 193, 306, 8 1 8 •259, 568, 278 207, 102, 477 '253, 802, 129 202, 005, 767 ;257, 229, 562 183, 792,079 ' 296, 322! 408 238, 677, 218 393, 686, 226 ! ! Dn9 to banks. $26 fina 293 38, 972, 578 50 402, 369 62 421, 118 61 015, 692 53,135, 508 44 159, 615 42 861, 889 25 863, 827 21, 456, 523 31, 998, 024 26 337, 440 28, 218,568 28, 539, 888 39,414,371 30, 095, 366 36, 717, 451 46, 416, 928 49, 625, 262 50, 322,162 45, 156,697 52, 719, 956 57, 674, 333 51, 169, 875 68, 215,651 55, 932, 918 61, 275, 256 61, 144, 052 100, 526, 527 Other liabilities. $19, 320, 475 25, 999, 234 36, 560, 289 59, 995, 679 62, 946, 248 43, 275, 183 42, 896, 226 12, 775,106 7, 357, 033 5, 842, 010 5, 853, 902 5, 331, 572 4, 706, 077 5,501,401 6, 706, 357 8, 835, 309 0, 438, 327 28, 024, 350 13, 439, 276 15, 599, 623 12, 227, 867 19, 816, 850 14,166,713 15, 048, 427 14, 661, 815 23, 258, 004 21, 633, 093 53,814,145 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 session. Those for 184L to 1850 are from Ex. Doc. ]STo. 68, 31st Congress, 1st session. For the years 1851 or 1863. Those for 1853 are from Ex. Doc. N"o. 66, 32d Congress, 2d session, and are incomplete. XCVI REPORT OF THE COMPTROLLER OF THE CURRENCY. Statistics of State banks MAINE. Principal resources. Years. 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1852 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 No. of banks. Loans and discounts. 29 36 55 53 50 50 49 47 40 40 35 35 35 32 31 32 32 39 60 60 70 75 76 70 68 68 71 71 69 j Stocks. $4, 359, 874 6, 631, 135 7, 821, 023 7, 066, 350 C, 549,182 6, 913, 471 5,901,611 5, 820, 792 4, 987, 519 4, 405, 660 4,279,331 4, 785, 313 5, 269, 008 5,150, 208 5,189, 088 5, 275,171 5, 830, 230 7, 042, 461 11,166, 519 12,114,697 12, 770, 181 13, 066, 957 13,277,621 11, 210, 245 11, 815,127 12, 654, 794 13, 406, 295 12, 679, 244 13, 658,172 funds $455, 975 679,471 650, 9G2 599, 894 367, 392 464, 897 333, 515 600, 804 551,395 283, 505 885, 010 1, 015, 942 993, 150 1, 263, 358 579, 143 711, 894 778, 955 956, 489 1, 581, 596 1, 681, 637 1,403,817 1, 396, 430 1, 158, 277 876, 022 1, 478, 896 1, 019, 902 995, 049 2, 084, 263 5,136, 606 $97, 077 110, 323 129, 831 137, 604 128, 154 190, 210 257, 880 322, 750 216, 968 256, 148 262, 627 243, 720 170, 624 Io2, 041 129, 006 118,060 111,905 118,523 116, 842 123,011 108, 192 113, 789 138, 251 135, 263 145, 566 181,199 235, 531 255, 060 260, 529 $132,701 : 287, 629 i 266,606 | 155, 566 ; 113,988 | 170,205 ; 133,479 ! 213,738 ! 145,029 j 103, 522 ! 139,832 i 217,427 ! 165,537 I 265, 890 I 182,353 179,093 ! 187,435 224, 364 ' 365, 490 I 554, 679 399,798 I 464,562 I 375,216 ! 245,121 I 273, 304 i 290, 225 ! 308,707 i 219,370 | 527,107 i j j ' ! j I j ! J N E W HAMPSHIRE. 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1852 1853 1354 1855 1856 1857 1858 1859 1860 1861 1863 24 25 26 27 27 28 27 26 27 24 19 19 17 19 21 23 22 31 35 36 46 49 47 52 52 51 52 52 3, 450, 820 3, 805, 383 4, 501, 701 4, 829, 562 4, 200, 245 4, 476, 442 4, 099, 612 3, 859, 853 3, 831, 454 3, 173, 825 I 2,760,009 2, 768, 730 j 3, 015, 139 3, 174, 999 I 3,613,736 | 3, 779, 509 ! 3,852,157 s 5, 669, 446 6,518, 188 6, 891, 621 8, 037, 427 8, 846, 421 7, 389, 813 8, 250, 754 8, 591, 688 8, 794, 948 8, 368. 941 7, 513! 369 1, 289, 403 531, 638 577, 614 337, 620 389, 759 258, 592 365, 574 400, 523 527, 624 403, 596 377, 604 346, 415 296, 863 432, 782 771, 170 587, 859 602, 447 769, 903 741, 475 £29, 169 889, 330 772, 173 756, 200 907, 440 1, 434, 703 82, 80, 87, 80, 82, 83, 76, 85, 359 890 622 444 250 430 893 618 74, 318 60, 399 36, 155 42, 574 42, 887 49, 251 59, 959 47, 847 50, 483 54, 153 52, 343 56, 519 75, 893 8-2, 000 66, 086 72, 912 75, 646 78, 253 85, 909 92, 623 110, 508 84, 949 154, 306 109, 308 128, 816 64, 594 110, 263 115, 493 182, 743 75, 830 100, 397 86, 541 87, 302 64, 198 51,455 109, 817 120, 929 157, 667 124, 860 241,383 136, 504 158, 132 170, 994 181, 964 157, 385 203, 822 314, 327 I 508, 854 REPORT OF THE COMPTROLLER OF THE CURRENCY. XCVII for various years prior to 1864. MAINE. Principal liabilities. Principal resources. Other resources. Capital stock, j Circulation. Specie. |137, 420 207, 765 387,169 251, 294 271, 981 241, 951 195, 699 269, 730 183, 861 175,301 223, 769 192, 445" 262, 237 472, 776 521, 536 339, 231 475, 589 622, 301 1,132, 610 1,163, 522 877,166 753, 085 703,143 615,441 663, 754 670, 980 653, 334 710, 392 747,145 $2,931,000 ! 3, 785, 000 | 5,226,700 j 5,157,250 ! 4,984,000 ! 4,771,500 | 4,671.500 | 4, 371, 500 ! 3,414,000 | 3,314,000 ! 3,009,000 ! 3, 009, 000 I 3, 009, 000 | 2, 834, 000 I 2,920,000 3, 098. 000 3.248J000 j 3,923,000 i 5,913,870 | 6, 393, 369 7, 326, 302 7, 899, 794 8,135, 735 7, 614, 200 7, 408, 945 7, 506, 890 7, 656, 250 7, 970, 650 7, 983, 000 $1, 355, 914 2, 346, 076 1, 912, 418 1, 366, 785 1,177, 555 1, 909, 097 1, 224, 658 1, 754, 390 1, 585, 820 1,106,261 1, 606, 663 1, 980, 538 2, 242, 846 2, 545, Oil 2, 315, 521 2, 252, 764 2, 654, 208 3, 254, 882 5, 317. 750 4, 623, 906 5, 057, 297 5, 077, 248 4, 641, 646 2, 964, 327 3, 886, 539 4,149,718 4, 313, 005 4, 047, 780 6, 488, 478 Tears. Deposits. $704, 079 1, 402, 145 1, 665, 277 1, 202, 345 826 800 927, 281 669, 199 870, 745 792, 598 542,017 927, 498 1,116,961 1,215,538 1,647,811 1,107, 387 1,119,252 1,223,671 1, 525, 627 2, 545, 673 3, 816,104 2, 548, 999 2.115, 202 2.116, 526 1, 743, 939 2, 472, 993 2, 499,188 2, 869, 873 3, 307, 628 5, 076,107 Other liabilities. Due to banks. $103,598 249,079 279, 479 321, 566 278, 985 172,143 76,712 45,281 15,057 65,961 65,260 70,604 66,145 60,937 112,955 55,183 48,006 93,455 136,880 161,592 145,727 118,976 145, 084 139,304 89,271 102.392 151,437 83,601 128,578 i : ; : i i ! I i i ! j ! j I ! | | I I j i $118,318 91,734 81,114 173,256 191,102 75,734 22,386 38,285 164,625 , , 76,069 638,916 653,397 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1852 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 NEW HAMPSHIRE. 2, 454. 308 2, 555, 008 2, 663, 308 2, 839, 508 2,839,500 i 2,939,500 | 2,837,508 ! 2,735,000 j 2,789,500 i 2,469,200 i 2, 008, 298 ! 1, 587, 488 1, 619, 000 1,738,500 ; 2, 088, 000 2, 178, 000 2, 203, 950 3,076,000.1 3, 376, 000 3, 02<), 000 4,44'J, :JOG 4.831,000 5, 041. 000 5,011,000 5,016,000 4, 981, 000 5, OS I, 000 4, 678, 700 535, 790, 148, 187, 193, 194, 177, 162, 137, 136, 126, 141, 161, 155, 14!), 175, 180, 176. i:36, 243, 318, 356, 7 o o 1, 068,145 1, 347, 124 1, 526,112 1, 662, 953 1,111,074 1, 510, 691 1, 088, 750 1, 229, 708 1, 027, 488 916, 147 1, 021, 914 1, 124, 531 1, 375, 985 1, 508,129 1, 514, 420 1, 508, 608 1, 751, 096 2, 625, 707 3,021,579 3, 079, 548 3, 58'*, 482 3, 677, 689 2, 289, 939 3, 115,643 3. 271,183 3, 332, 010 2, 994, 408 4,192, 034 314, 971 437, 797 816, 570 1, 147, 374 466, 092 522, 036 420, 801 429, 532 371, 234 354, 395 394, 778 696, 492 544, 987 479, 348 440, 332 443, 629 453, 671 743, 857 868, 357 775, 410 958, 474 1, 058, 803 875, 789 1, 06!), 920 1,187, 991 1, 234, 627 1, 376, 853 1, 725, 866 291, 205 397, 111 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1852 It 5* 1854 1855 1856 1857 1858 1859 1860 1861 1863 XCVIII REPORT OF THE COMPTROLLER OF THE CURRENCY. Statistics of State banks MASSACHUSETTS. Tsources. Principal i Years. 1803 1804 1805 1806 1807 1808 1809 1810 1811 1812 1813 1814 1815 1816 1817 1818 1819 1820 1821 1822 1823 1824 1825 1826 1827 1828 1829 1830 1831 1832 1833 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1856 1857 1858 1859 18G0 1861 1862 JNTo. of banks. Loans and discounts, i 7 13 16 15 16 16 16 15 15 16 16 21 25 25 26 27 28 28 28 33 34 37 41 55 (iO (l i (6 1 63 70 83 102 103 105 117 129 120 118 115 114 ni 103 103 101 105 109 112 119 126 131 137 143 153 169 172 173 174 176 178 183 183 Stocks. $3, 857, 491 ! 6 054 574 - -6,298,181 7,058,166 6,890,128 7, 432, 700 I 7, 797, 523 i 8,979,338 10 102 574 10,258,705 10,234,409 13,454,290 13 735 101 ' 13,706,802 12, 647, 088 • 1^ b83 649 12,931,843 13 529 660 13 020 118 --- .. 14, 571, 020 15 638 247 17,401,616 21 973, 061 23, 017, 660 24 271 031 27 073 978 j 28 590,896 '... 27, 987, 234 36, 040, 760 38 889 727 45 261, 008 47^ 200, 477 48, 342, 020 56, 643, 172 ' 58 414 182 48 206 809 44 967 749 46, 513, 685 47, 553, 9f>0 44, 610, 391 42 993 291 48, 770, 975 52 648 729 51, 326,114 57, 260, 938 53,110,100 56 599,310 63, 330, 024 66 341 109 77,172, 079 87 187 177 93, 341, 953 99, 50G, 712 101,132, 792 92, 458, 572 1 104, 423, 472 109,435,512 119,164,434 111 038 828 L-127,592 511 D u e from banks. Real estate. Notes of other banks. $13,000 $30, 213 179,889 ! 24,232 i 183,631 | 93, 607 190,874 i 308, 822 194,994 444, 152 211,185 ; 224, 557 233,592 468, 277 230,609 ! 1,798 990 266 239 ! 2,124, 678 293,711 i 126 O ' 15 329 172 367,015 69, 475 384,021 1 314, 822 387,510 | 359, 172 423,414 : 264,177 414 986 531 783 1 428 440 422 170 724, 667 431,102 437 088 577 642 1,715,617 424, 120 1 056 911 440 020 1,113,948 479, 821 1 310 000 629 631 1 210 786 640 998 1 65l' 323 650 877 2, 191. 087 621,152 2, 427, 679 663, 307 733, 612 2, 307, 784 7<)1 821 3 363 716 2 824 985 867 762 3, 797, 927 922, 544 5 126 901 1 140 005 5 814 2°1 1 155 723 5 027 800 1 0(56 327 3, 773, 458 1, 141,595 4, 702, 491 1, 169, 803 4 461 C46 1 238 191 3, 415, 084 1, 174, 459 8, 280, 895 1,181, 886 5 330 148 1 208 291 4, 902, 907 1, 097, 909 5, 568, 088 1, 098, 000 5, 571, 240 1, 062, 950 3, 469, 034 1, 073, 116 4 472 951 1 126 162 5, 335, 003 988, 235 6, 550, 232 998,213 6, 666, 412 1, 090, 463 ] nnn 852 7 971 690 ] 186,509 8, 225, 682 L, 1 Oio' 323 I 281 602 7, 574,792 L 426 392 5, 522, 088 I, 608 613 1 584 885 6, 366, 721 L, i 601, 072 5,194, 343 L, L. 599. 813 3, 966, 726 9,127, 986 1,626,404 7,153, 822 1, 696, 554 Specie funds. $447,158 241, 485 341,811 535, 772 629, 061 494, 742 492, 973 198, 047 327, 265 285, 106 384, 597 682, 483 416, 788 556,172 718, 878 1,126,315 872, 186 873 681 745, 552 858, 266 721 29° 1, 036, 250 659, 228 1. 011, 790 1 086 793 1 046, 750 1, 236, 178 1,393,855 1, 375,173 1, 201, 930 1 796, 361 1, 952, 417 2, 097, 798 3, 42S, 853 2, 988, 617 2 359 387 1, 552, 070 2, 121, 783 2 314 436 1, 883, 007 1,991,842 2, 393, 376 3, 010, 113 2, 854, 754 3, 263, 463 2, 336, 817 3 737 151 4, 048, 521 6, 235, 787 5, 346,162 7 340 461 5, 325, 595 4, 547 710 5,248 380 4 385, 650 4, 933, 428 5,183, 459 5, 763, 676 4, 050, 939 9, 355, 035 REPORT OF THE COMPTROLLER OF THE CURRENCY. for various XCIX years—Continued. MASSACHUSETTS. Principal liabilities. Principal resources. Tears. Specie. Other $1, 079, 977, 847, 959, 714, 1, 015, 821, 1, 347, 1, 513, 3, 681, 5, 780, 6, 946, 3, 464, 1,260, 1, 577, 1, 129, 3.198, l', 280, 3, 018, 946, 1, 033, 1, 939, 1, 038, 1, 323, 1, 466, 1,144, 987, 1, 258, 919, 902, 922, 1,160, 1, 136, 1, 45f 1, 517, 2. 394, I,' 838, 2, 991, 3, 111, 2, 682, 7, 298, 4, 587, 3, 357, 3, 054, 3, 943, 2, 578, 2, 749, 2, 993, 2, 478, 3, 563, 3, 731, 3, 828, 4, 409, 4, 555, 3,611, 11, 112, 7, 532, 6, 567, 8, 777, 9, 595, •Duo Capital stock. | Circulation. $2, 225, 262 ! 5^ 012, 817 5, 460, 000 i 5, 485, 000 | 5,560.000 I 5, 960, 000 I 5, 960, 000 i 6, 085, 0U0 ' 6, 685, 000 7, 960, 000 ! 8, 895, 000 | 11,050,000 ! 11,462,000 ! 11, 475, 000 ! 9,296,050 ! 9,749,275 | 10,374,750 j 10,600,000 S 9,800,000 ! 10,821,125 I 11,650,000 | 12,857,350 i 14,535.000 ! 16,649^996 | 18, 269, 750 19, 337, 800 20, 420, 000 19, 295, 000 21, 439, 800 24, 520, 200 28, 236, 250 29, 409, 450 30, 410, 000 34, 478,110 38, 280, 000 34, 630, 000 34, 485, 600 33,750,000 I 33,360,000 | 32, 631, 060 j 31,089,800 30,020,000 ! 30,970,000 I 31,160, 000 32,113,150 32, 985, 000 34, 630, 011 36, 925, 050 38, 265, 000 43, 270, 500 49, 050, 175 54, 492, 660 58, 632, 350 58, 598, 800 60, 319, 720 61, 819, 825 64, 519. 200 66, 482, 050 67, 344, 200 67, 544, 200 $1,565,189 1,005,301 1, 553, 824 1, 613, 684 1,481,777 1, 038, 042 1, 334, 94H 2,098,491 2, 355, 571 2, 162,353 2, 186, 137 2, 922, 611 2,740,511 2.134,690 2, 495, 260 2, 680, 477 2, 464, 057 2, 614, 734 3,010,762 3, 132, 552 3, 128, 986 3, 842, 641 4,091,411 4, 549, 814 4, 936, 442 4, 884, 538 4, 747, 784 5,124, 090 7, 739, 317 7,122, 850 7, 889,110 7, 650,147 9, 430, 358 10, 892, 249 10, 273,119 9, 400, 513 7, 875, 322 9, 112, 882 9, 509, 112 8, 049, 906 9, 219, 267 12, 183, 158 14, 339, 686 14, 591, 914 17, 196, 362 13, 196, 029 15, 700, 935 17, 005. 826 19, 694, 698 21, 172, 360 25, 620, 472 24, 803, 758 23, 116, 025 26, 544, 315 18,104, 827 20, 839, 438 22, 086, 921 25, 012, 745 19, 517, 306 28, 957, 630 t o b a n k s §1,522, 1,122, 1, 021, 2, 036, 1, 713, 2, 548, 2, 314, 2, 461, 3, 385,721 4, 734,526 6, 903,593 9, 201,718 4, 057,394 2, 133,278 3, 520,793 2, 905,797 2, 574,346 3,176, 003 5, 448,608 3, 235,828 3, 122,058 5, 238,644 2, 715,375 2! 636!735 2, 991,883 2, 063,072 2, 545,233 3, 574,947 4, 401,965 2, 938,970 182 '3, 7W, 13, 308,059 12, 921,701 8, 784,516 14, 059,449 9, 621,217 717 6, 8, 636,923 7,144, 899 6,130, 164 10, 213,887 12, 234,304 11, 668,133 9, 459,375 10, 265,555 8, 094,970 10, 621,733 11,176, 827 13, 839,903 15, 067,204 19, 007,651 19, 346,595 21, 973,260 24, 369, 17, 631, 32, 076, 29, 249, 30, 246, 33, 956, 44, 737, . Other liaMl- | ! I i ! ! ! ! ! I ! $870, 564 1, 044, 244 1, 050, 307 1,107, 367 1, 566, 203 2,128, 576 2, 477, 615 j 1, 933, 904 2, 881, 447 2, 393, 301 3, 490, 098 5, 063, 887 5, 721, 970 3, 528, 687 2, 428, 021 3, 961, 806 4, 413, 506 3,307,011 8, 195, 813 5, 066, 787 5, 046, 120 j 5, 285, 015 7, 263, 202 I 4, 083, 650 4, 720, 815 I 6, 549, 929 7, 001, 921 8, 608, 238 8, 593, 442 6, 930, 099 5, 947, 836 4, 807, 602 4,106, 694 7, 654, 235 6, 937, 042 8, 960, 681 8, 000, 526 17, 413, 850 $1, 459, 821 1, 326, 238 714, 597 796, 800 1, 083, 218 901, 271 764, 715 470, 014 442, 084 1803 1804 1805 1806 1807 1808 1809 1810 1811 1812 1813 1814 1815 1816 1817 1818 1819 1820 1821 1822 1823 1824 1825 1820 1827 1828 1829 1830 1831 1832 1833 1834 1835 1836 1837 1838 1839 1840 1841 1842 1H43 1844 1845 1846 1847 1843 1849 1850 1851 474, 051 1, 343, 948 5, 902. 598 5, 796, 224 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 REPORT OF THE COMPTROLLER OF THE CURRENCY. Statistics of State VERMONT. Princix>al resources. No. of Years. banks. Loans and discounts. 1834 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 17 19 19 19 19 17 17 17 16 17 17 17 18 21 24 27 31 32 33 40 42 41 41 4i 46 44 40 40 Stocks. $1, 870, 813 $10, 000 2, 594, 675 2,405,249 10,000 2, 705, 367 2, 888, 812 : 5, 160 2.011,296 i 2, 121, 581 : 4, 500 1,832,497 : 157 1, 863, 290 2, 225, 245 2,314,929 2,449,678 ; 25,000 2, 908, 567 2,831,587 I 60,000 3 613, 227 40, 998 4,423,719 ' 40,500 5,566,193 10, 150 5, 660, 724 63, 098 6,840,932 117,125 6,572,951 140,864 6,710,928 ; 151,875 7,302,951 114,589 7,905,711 39,991 6,392,992 ' 106,500 6,946,523 ] 176,400 6,748,500 190,372 6,013,730 82,741 7, 124, 697 ' 81,131 Due from banks. Specie funds I Heal estate. $355, 079 46, 609 431,693 11, 846 8, 125 373, 343 594,718 245, 905 598,711 700, 802 359, 492 466, 624 867, 523 502, 247 648, 421 1, 001, 789 745,819 , 104, 862 , 301, 033 . 079, 686 , , 150, 362 ,142, 104 926, 326 701, 545 . 167, 602 , . 299, 595 , 753, 250 2, 882, 057 §15, 485 40, 502 33, 728 36, 699 38. 975 38, 126 41, 521 42, 04.J 40, 736 60, 323 73, 042 71,510 62, 887 89, 125 94, 497 j 99,698 j 101,086 104,768 | 136,115 | 123,237 135,268 136,582 I 222,560 190,565 I 174, 736 167,380 171, 761 $66,442 126,048 53,793 118, 196 92,684 74,041 82, 777 72, 176 86, 591 154, 471 68, 723 66, 162 158, 791 78, 552 151, 049 127, 637 122, 003 168, 685 185, 999 125, 902 54, 556 43, 146 122, 923 41, 780 69, 435 58, 558 $286,116 801, 913 85, 029 765,045 590, 769 11, 589 58, 986 32, 412 1,483 * 27376" 96, 450 34, 071 32, 845 39, 440 36, 351 232, 625 69, 667 103, 537 138, 550 359, 029 EHODE ISLAND. 1834 1835 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1858 1857 1858 1859 1860 1861 1862 1863 58 61 62 62 62 62 62 62 62 61 ' 61 61 ' 62 62 63 63 6) ! 71 77 87 92 9H 13 ' 83 90 91 90 90 88 9, 607, 285 11, 085, 543 13, 401, 344 12, 612, 721 12, 895, 325 12,' 56l' 215 12, 194, 485 1% 562^ 785 11, 779, 080 12, 621, 542 13,714,255 14, 151,207 14, 558, 863 14,501,940 14, 684, 877 15, 492, 547 17 871 385 IS, T31, 093 22,844,911 2~i, 233, 304 20, :i85, 458 28, 679, 343 25, 823,152 24, 065, 894 25, 131, 150 26, 719, 877 27, 980, 865 26, 560, 718 30, 579, 988 234,980 149,752 ' 143, 362 1 109, 276 119, 740 111,548 135, 845 173, 740 l!)2, HV.i i:)2, 60 L 221, 130 ! 221,716 145,489 151,277 11') 704 j 115,833 121,414 111,9.^ , 131,072 ' I^.TVJO ! 145, 121) j 161,309 ! 161,309 ': 214, 102 195,234 ' 496,638 i 983,313 ; 262, 859 200, 200 451, 978 604, 631 519 °">4 312, 937 603 933 3(i6, 79!) 54!), 681 1, 255, 179 671,8:8 607, 828 5(53, 112 5(i4, 100 539, 452 441,161 948,313 1, 004, 8(i3 Q'A-2, 6 1 9 1, 242, ofi2 1, 255, 322 1,410, 675 1, 700, 185 1, 491, 522 1, 143,591 840, 333 1, 041, 048 2, 081, 620 200, 725 171,680 VJn, 056 322, 225 221, 380 236, 927 228, 260 252, 490 227, 078 221, 558 231, 752 232,412 283, 344 271, 541 258, 923 264, 812 262, 164 323, 092 478, 652 527, 787 536. 403 5'M'K 4,n 6'.M, 01") t.U3, 717 ! 6S1, i«8 i 75^, ^J4 261,109 379, 618 430, 426 447, 807 342, 409 283, 308 318, 998 277, 018 323, 995 526, 350 395, 425 400, 315 342, 461 532, 936 451, 364 537, 761 626, 305 726, 039 844, 329 880, 724 157, 251 281, 754 860 11'c £03. GGO 963, 079 887, 274 . | ..........| REPORT OF THE COMPTROLLER OF THE CURRENCY. for various CI years—Continued. VERMONT. Principal resources. Specie. Other $50, 958 76, 802 97, 333 157, 033 K 9 , 319 120, 315 94, 507 89, 266 74, 990 92, 562 109,137 89, 208 105, 684 121,043 120, 798 127, 325 179,050 j 176,379 | 188.173 196, 680 201, 548 208, 858 188,588 j 178,556 ! 198, 409 | 185,670 I 173,332 | 199,313 | Principal liabilities. Capital stock.' Circulation. $15,408 11, 139 26, 095 91,566 33, 389 32, 512 1,105 15, 996 16, 324 85, 132 49, 428 52, 881 17, 185 73, 954 176,412 j 1G8, 662 | 211, 460 ! Deposits. $921,815 !?!, 463, 713 $180, 792 1,125,624 2, 086, 860 348, 875 1, 274, 970 1, 457, 441 282, 283 1, 304, 530 2, 043, 843 330, 772 1,325,530 I 1, 966, 812 308, 349 1,196,770 i 1, 099, 784 238, 574 1, 116, 026 1, 599, 458 217, 373 1, 153, 997 848, 491 217, 177 1,120. 000 1, 287, 369 223, 439 1, 137, 500 1, 743, 807 289, 079 1,138, 360 1, 400, 617 261, 837 1,161,080 1, 559, 832 329, 723 1, 287, 442 2, 353, 651 394, 560 1, 596, 695 1,733,482 273, 477 1, 826, 975 2, 322, 962 330,195 2, 197, 240 2, 856, 027 546, 703 2, 603,112 3, 377, 027 627, 777 2, 721,168 3, 779, 131 872, 420 2,914,040 4, 764, 439 734, 216 3, 275, 656 3, 986, 709 745, 170 3, 603, 460 3, 704, 341 801,039 3, 856, 946 3, 970, 720 797.535 4, 028, 740 4, 275, 517 746, 557 4, 082, 416 3, 024,141 615, 874 4, 029, 240 3, 882, 983 787, 834 3, 872, 642 | 3, 784, 673 814, 623 3,916,000 ! 2, 522, 687 I 715, 207 3, 911, 000 | 5, 621, 851 925, 627 Due to banks. Years. Other liabilities. $2, 082 23, 874 44,112 4,973 16, 867 61,177 1,117, 383 1834 1836 1837 183S 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 2, 273, 237 153,891 ! 1, 699, 089 189, 486 | 2,113, 270 603,974 ! 1, 395, 466 650,667 | 1, 554, 905 875, 296 j 818, 470 546,856 5S3, 748 1, 455, 682 518, 615 S 693, 046 434, 980 551, 952 808, 534 413, 874 261, 349 1, 577, 266 803. 889 125, 032 1, 407, 466 623, 561 117, 012 1, 292, 854 736, 285 104, 356 1, 376, 136 689, 710 194, 202 1, 260, 499 620, 323 149, 833 1, 335, 648 488, 897 140, 913 650, 560 138,773 1, 488, 596 934, 210 1,910,018 892,108 2, 174, 883 2, 238, 856 1, 062, 615 362,729 2, 772, 367 1, 046, 658 329, 425 2, 914, 596 1,192, 449 357, 539 3,141, 657 1, 475, 221 659, 703 1, 661, 204 2, 510,108 361, 402 2, 624, 226 1, 150,667 296, 889 936, 081 3, 130, 475 296, 889 3,553, 104 1,022,277 | 1, 396, 184 i . 818.714 2, 986, 956 965,208 ! 3, 742, 171 1, 244, 883 5, 376, 414 1,605,121 ! 1,127, 893 1834 1835 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 $26, 701 14,438 14,428 { 1,802 I 25,988 j 10,259 i 977 i 12,252 | 21,448 i 32,984 i 90,455 ; 31,171 22,136 15, 715 : 4, 788 ! 7, 348 1,639 . 5,441 19, 132 : 15,042 I 979 7,647 317 1,443 3,780 RHODE ISLAND. 467, 407 566, 416 243, 482 474, 278 462, 002 537, 895 327, 206 297, 850 310,215 382, 645 283, 379 280, J58 305, 735 320, 531 262, 908 297, 661 277,715 414, 970 359, 699 312, 606 385, 767 548, 348 570, 850 732, 622 608, 833 450, 929 471, 581 606, 977 505, 270 18, 18, 23, *309, *278, 440 078 942 979 809 233, 397 29, 605 24, 744 22, 637 25, 890 23, 614 76, 225 16, 124 12, 856 13, 461 50, 996 22, 757 28,145 35, 429 70, 285 70,133 50, 760 93, 365 93, 365 100, 223 140, 548 195,100 206, 435 8,041,132 8, 750, 581 9,837,171 9, 852, 353 9, 868, 773 9, 880, 500 9, 623, 558 10,041,203 11, 063, 843 10,133,213 10, 244, 370 10, 665, 402 10, 803, 987 10,037,241 11,161, 996 11, 716, 337 9, 418, 810 14,037,441 I 15,917,429 17, 511, 162 18, 682, 802 j 20,275,899 I 20, 334, 777 j 20, 070, 741 | 20,321,069 | 20,865,569 I 21,070,619 ! 21,234,529 ' 20, 890,129 | k 1, 251, 435 1, 644, 289 1, 864, 132 2, 154, 524 1, 886, 108 1, 719, 230 1, 505, 880 1, 666, 846 1,415,203 2, 886, 570 2, 670, 306 2, 534, 309 2,619,154 2, 698, 495 2, 543, 444 2, 553, 865 3, 076, 593 3, 322, 314 4, 895, 529 5, 035, 073 5, 404, 104 5, 521, 909 3,192, 661 2, 644, 195 3, 318, 681 3, 558, 295 3,772,241 3, 306, 530 6, 413, 404 Includes real estate. CII REPORT OF THE COMPTROLLER OF THE CURRENCY. Statistics^ of State banks CONNECTICUT. i Years. P r in c i p a 1 r e s o u r c e s. No. of banks. Loans and dis- Due from banks. counts. 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1852 1853 1854 1855 1356 1857 1858 1859 1860 1862 1863 31 31 31 31 31 31 31 31 31 31 32 32 32 33 36 37 51 53 63 68 71 74 76 74 74 75 75 $8,307,824 ! 8,899,656 | 11,736,163 I 13,246,945 ! 9,769,286 I 12,226,947 j 10,428,630 j 10,944,675 10,683,413 9, 798, 392 10, 842, 955 12, 315, 387 13, 031, 865 12, 781, 857 13, 424, 654 14, 043, 096 14, 510,178 20, 572, 263 24, 601,165 28, 292, 321 23, 704, 453 28, 511,149 33,108, 527 26, 799, 430 27, 856, 785 30, 518, 689 27, 086, 326 29, 873,190 $365, 000 365, 000 383, 700 416,016 562, 871 567, 269 538, 300 565, 025 718, 860 837, 974 656, 466 381, 859 250, 124 301,901 505, 978 275. 904 427, 935 326, 714 644, 962 1, 298, 677 1, 391, 218 1, 216, 630 946, 749 938, 755 1, 267, 406 1, 104,343 2, 828, 612 5, 746, 321 Real estate. $702,979 i 846,643 ' 582, 703 941, 314 730, 283 846, 152 902, 028 1, 192, 403 635, 693 948, 380 1, 360, 905 1,041,717 1, 416, 893 1,250,410 1, 692, 179 1, 470, 853 1,498,815 2, 540, 700 1,890,685 2, 205, 068 2, 272, 606 3, 432, 975 2,651,143 2, 584, 819 2, 994, 958 2, 904, 963 4, 359, 577 6, 532, 478 $169,466 176, 521 191, 056 175 883 194 097 238? 794 287' 324 330 011 368 849 409 419 448' 150 403 603 366 958 349, 044 329, 407 332, 745 335, 347 418, 232 384, 800 386, 212 375, 612 453,132 820, 241 1, 085, 173 1,915,047 922, 817 1,351,519 1, 538, 841 Notes of other Specie funds. banks. $37, 724 52, 632 63, 094 296 725 250 775 223 190 161 245 171 258 206 728 179 274 257 561 264 405 276 758 227, 481 227, 603 196, 268 221, 378 316, 668 436, 538 459, 502 341,754 367, 319 443, 900 273, 381 326, 617 373, 853 404, 923 392, 236 $1,119, 417 1,249,408 1, 770,118 43,139 54, 978 58, 337 85, 846 172, 697 202, 204 206, 921 281,220 246, 243 270, 722 262, 595 255, 844 262, 065 433, 222 753, 534 NEW YORK. 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 78 84 86 98 95 96 96 95 103 107 142 148 150 149 171 179 189 202 232 257 312 329 338 311 294 300 303 306 302 308 57, 689, 704 61, 968, 094 72, 826, 111 79, 313,188 60, 999, 770 68, 300, 486 52, 788, 206 54, 691,163 56, 338, 685 52, 022, 260 70, 025, 734 70, 793, 354 75, 555, 533 73, 502, 744 77,162, 485 81,911,412 95, 637, 807 108, 229, 412 111, 753, 472 141, 458, 233 203, 008, 077 163,216,392 192,161, 111 205, 892, 499 162, 807, 376 200, 577,198 200, 351, 332 209,721,800 198, 058, 966 178, 922, 536 395, 309 551,568 803, 159 1,794,152 2, 795, 207 911,623 3, 653, 170 4, 630, 392 8,182, 629 12, 446, 083 11, 052, 458 10, 244, 043 11,150, 464 11,408,912 12, 581, 625 12, 451, 637 12,113,205 14, 035, 547 19, 363, 937 16,128, 301 21, 453, 585 20, 820, 653 20, 590,150 24, 027, 533 22, 623, 755 25, 268, 884 26, 897, 874 29,605,318 56, 278, 059 118,942,719 9, 560, 018 12,241,905 15, 991,168 18, 832, 254 13,196,195 14,122, 940 6, 543,125 10,061,002 8, 961, 819 7, 700, 044 10, 267, 207 7, 684, 850 10,181,286 11,161, 808 8, 829, 581 8, 561, 090 12, 577, 958 16, 943, 569 14,717,895 13, 800, 955 11, 529, 939 12, 475, 292 12, 665, 517 12,179, 169 11, 726, 973 15,169, 559 12, 524, 249 13, 962, 096 18, 798, 709 27, 684, 461 1, 580, 701 1, 594, 937 1,811,925 2, 263, 857 2, 356, 249 2, 557, 655 2, 937, 695 3, 58£, 132 5, 790, 057 3, 848, 725 4, 072, 661 3, 694, 778 3, 629, 471 3, 601, 249 3, 608, 151 3, 446, 867 3, 745, 579 3, 350, 249 4, 012, 003 4, 262, 480 5, 272, 690 5,178, 831 5, 857, 537 6, 868, 945 7, 423, 614 8, 264, 425 8, 725, 526 8, 827, 331 9, 219, 278 9, 614, 972 6, S88, 734 6, 805, 045 10, 237, 574 12, 487, 610 3, 616, 918 3, 907,137 4,401,400 4, 922, 764 5, 809, 538 4, 888, 987 2, 275,172 2, 387, 008 2, 503,174 2, 610, 790 3, 338, 354 2, 344, 140 2, 453, 919 2, 852, 019 2, 622, 670 16,134, 610 3, 488, 890 3, 665, 954 2, 958, 038 2, 935, 205 1, 857, 658 % 044, 765 2, 261, 723 2, 287, 843 2,121,735 17, 040, 941 670, 363 1, 277, 886 3, 268, 646 618, 277 2, 838, 694 2, 310,161 2,188, 565 1, 634, 472 4, 888, 897 4, 502, 479 4, 839, 886 6, 370, 372 7, 554, 202 6,118, 086 6, 385, 062 9, 259, 681 11, 345, 041 12, 235, 862 18,175, 670 16, 453, 329 18, 096, 545 22, 678, 628 14,130, 673 18, 436, 967 17, 376, 750 16, 044, 322 18, 995, 773 33,103, 776 REPORT OF THE COMPTROLLER OF THE CURRENCY. for various CIII years—Continued. CONNECTICUT. Principal resources. Principal liabilities. Years. Specie. Other resources. Capital stock. Circulation. Deposits. D u e to "banks. O t h e r liabilities. # $13, 652 16, 904 139,454 56,019 250, 205 286, 351 63, 402 160, 149 443, 548 292, 428 441,975 399, 932 $118 640 129) 108 415, 386 535, 447 502,180 499, 032 454, 298 471,238 438, 752 445, 430 454, 508 481, 832 462,165 517, 700 575, 656 583, 841 825, 379 1,145, 857 1, 207, 381 810,101 1, 006, 493 1,129, 708 915, 844 989, 920 950, 753 1, 529, 855 1, 423, 009 268 332, 542 787 5, 283* 713, 414 564, 522 673, 037 488,138 614, 763 877, 000 799, 244 832, 228 123, 261 2, 209, 387 $6, 851, 909 i\ 350^ 766 8, 519, 368 8, 744, 697 8, 754, 467 8, 832, 223 8, 806, 204 8, 826, 382 8, 876, 317 8, 580, 393 8, 292, 238 8, 359, 748 8, 409, 544 8, 605, 742 8, 726, 381 8, 928, 264 9,152, 801 12, 509, 807 13, 164, 594 15,597,891 17,147, 385 18, 913, 372 19, 923, 553 20, 917, 168 21, 512, 176 21, 606, 997 21, 794, 937 21, 812, 943 $2, 407, 496 % 685' 400 3, 874. 212 3, 998, 325 1, 920, 552 3, 987, 815 2, 325, 589 2, 784, 721 2, 555, 638 2, 379, 947 3, 490, 963 4, 102, 444 4, 565, 466 4, 437, 631 4,891,265 4, 511, 570 4, 888, 029 7,118, 625 10, 224, 441 11, 219, 566 6, 871,102 9,197, 762 10, 590, 421 5, 380, 247 7,561,519 7, 702, 436 6,918,018 13, 842, 758 $1,167, 964 1, 257, 030 1, 465, 977 1, 484, 966 869, 801 1, 285, 807 863, 526 1,182, 583 1, 062, 725 1,061,944 1, 847, 447 1, 969, 801 1, 893, 273 1, 782, 921 2, 023, 721 1, 831, 291 2, 251, 525 3, 472, 210 3, 542, 935 3, 910,160 3, 433, 081 4, 090, 835 4, 688, 843 4,140,088 5, 574, 900 5, 506, 507 6,142, 754 8, 890, 237 $25, 673 488, 793 639, 824 224, 378 307, 567 293, 765 364, 819 337, 656 216, 601 347, 939 317, 392 362 128 245, 816 299, 397 378, 403 380, 691 642. 637 716, 770 1, 008, 655 945, 844 875, 287 1, 020, 711 684, 997 926, 308 1,166, 778 964, 752 1, 387, 274 7,809 10, 830 287, 249 299, 671 1, 423, 419 829, 581 1, 022, 940 482, 975 911, 458 1, 503,135 893,155 5,808 153, 916 2, 296, 834 2, 363, 781 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1852 1853 1854 1855 1856 1857 1858 1859 1860 1862 1863 10, 590, 265 16,551,841 19, 783, 482 20, 462, 823 15, 221, 487 15, 344, 098 7, 055, 584 10,374 682 9, 702, 055 12, 072, 679 15, 610, 654 11, 501,102 14, 843, 359 15,128, 305 13, 273, 620 12, 778, 245 18, 498, 239 25, 878, 059 19, 083, 264 30, 303, 446 20, 227, 967 21, 081, 456 26, 045, 439 29, 014,125 21,268,562 35,134, 049 28, 807, 429 29, 492, 678 34, 431, 615 57, 389,106 4, 886, 845 4, 068, 891 7, 078,167 6,142, 047 4, 587, 600 3, 773, 355 2, 937, 485 1, 631, 948 1, 495, 888 1, 953, 435 2, 095, 632 1, 495, 343 556, 770 767, 682 1, 854, 426 2, 945,132 3, 877, 770 4, 869, 099 9, 689,181 5, 848, 627 4, 731, 884 3, 615, 502 6, 767, 333 2, 829, 656 2, 824, 618 3, 059,277 9, 572, 786 14,152, 658 19, 047, 084 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 $2, 000 153,124 288, 130 69, 565 56, 059 80, 987 96, 275 89, 569 70, 414 NEW YORK. 2, 657, 503 7,169, 949 6, 224, 646 6, 557, 020 4,139, 732 6, 602, 708 5, 864, 634 5, 429, 622 5, 471, 694 8, 477, 076 10, 086, 542 6, 893, 236 8, 361, 383 9, 203, 242 6, 722, 326 5, 481, 874 7, 259, 681 11, 937, 798 10, 730, 634 9, 993, 815 14,169, 905 13, 661, 565 10, 910, 330 12, 898, 771 29, 313, 421 28, 335, 984 20, 921, 545 26, 427, 334 29,102, 715 37, 803, 047 27, 813 442, 696 1,123, 225 6, 012, 661 1,139, 662 1, 081, 967 861, 643 770, 372 679, 039 595, 052 313, 536 172, 540 68, 368 537, 821 464, 040 1, 772, 616 735,178 1, 067, 022 151, 528 767, 642 467, 855 397, 330 1,418 430, 449 2,179, 913 2, 094, 397 27, 755, 264 30, 481, 460 31,281,461 37,101, 460 36,611,460 36, 801, 460 36,801,460 36, 401, 460 45, 283, 453 43, 950,137 43, 649, 887 43, 674,146 42, 956, 489 43, 075, 287 43, 908, 746 44, 362, 869 47, 361, 325 49, 866, 820 59, 026, 740 62, 207, 216 79, 018, 980 83, 773, 288 85, 589, 590 96,381,301 107, 449,143 110, 258, 480 111, 441, 320 111, 821, 957 109, 403, 379 108, 668, 297 17, 820, 402 16,199, 505 21,127, 927 24,198, 000 12, 432, 478 19, 373,149 10, 629, 514 15, 235, 056 14, 559, 993 12, 031, 871 16, 335, 401 18, 513, 402 20, 926, 930 21,166, 250 23, 047, 826 22, 509, 982 24, 634, 385 27, 926, 263 27, 311, 954 29, 934, 657 32, 573,189 31, 507, 780 31,340,003 34, 019, 633 23, 899, 964 28, 507, 990 29, 959, 506 28, 239, 950 30, 553, 020 39,182, 819 19,119, 338 20, 088, 685 29, 532, 616 30, 883,179 15, 895, 684 18, 370, 044 16, 473, 235 17, 053, 279 17, 473, 200 19, 313, 826 32, 229, 293 27, 840, 600 33, 279, 752 34,197, 967 31, 981, 407 33, 849, 963 42, 030, 384 53, 092, 447 56,211,535 70, 474, 394 75, 554, 481 84, 970, 840 88, 852, 395 96, 907, 970 83, 043, 353 110, 465, 798 104, 070, 273 114,845,372 146, 215, 488 200, 824, 756 OIV REPORT OF THE COMPTROLLER OF THE CURRENCY. Statistics of State banks NEW JERSEY. Principal resources. No. of Tears. banks. Loans and discounts. 1835 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 24 25 28 22 26 26 25 26 26 26 26 26 24 25 24 26 29 38 32 35 46 47 46 49 50 51 52 $43,189 6, 700, 072 8, 029, 700 6, 725, 742 4, 933, 780 5, 315, 936 5, 252, 403 4, 564, 002 5, 016, 079 5, 509, 996 6,017,282 6,170, 469 6, 292, 288 5, 887, 225 6, 377, 034 7, 237, 451 8, 399, 262 10, 663, 627 9, 177, 334 10, 999, 919 13, 380, 085 11, 364, 319 12, 449, 460 14/909, 174 13| 864, 045 12, 796, 026 15, 767, 274 Stocks. Due from banks. 670, 845 2, 438, 001 3, 002, 297 25,128 40, 098 16, 770 16, 545 19, 138 61,967 88, 818 77, 812 100, 720 87, 932 45, 200 42, 432 636, 416 974, 895 821, 964 760, 697 581,773 721, 098 785, 5-23 962, 911 899, 831 1, 50-2, 513 5, 193, 6e(J Specie funds. Heal estate. $669, 211 645, 909 1, 857, 700 710, 475 1,138, 043 700, 600 539,131 738, 428 720, 324 1, 006, 738 1, 081, 294 1,011,913 1,164, 288 1,100, 162 1, 304, 007 569, 372 432. 378 1, 810, 707 1, 639, 219 2, 237, 204 1, 609, 817 2, 223, 935 2, 395, 028 1, 853, 151 2, 752, 954 4, 633, 317 $28, 528 150, 513 307, 738 286, 889 3-24, 989 343, 696 326, 408 349, 256 351, 841 421,190 387, 887 419, 683 288, 520 271, 440 292, 730 267, 991 254, 387 267, 804 240, 921 265, 228 224, 711 344, 045 421, 793 4 16, 202 469, 724 468, 057 441,181 $8, 736 $344, 560 324, 396 374, 449 257, 052 400, 720 233, 931 181, 346 230,147 233, 284 307, 409 286, 974 301,136 287, 142 383, 008 417,488 42"685 418, 342 502, 949 710, 072 494, 197 578, 006 662,196 533, 669 549, 722 1, 329, 392 75, 413 16, 810 4,179 153, 780 68, 833 9,500 2,064 32, 849 PENNSYLVANIA. 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1554 1855 1856 1857 1858 1859 1860 1861 1862 1863 41 41 44 49 48 49 49 49 49 48 46 47 46 46 47 45 47 53 54 61 64 71 71 76 87 90 89 111 94 31, 587, 030 1,390, 074 28, 395, 900 2,106,619 35^ 987' 776 l,'62l| 018 44, 601, 933 1, 551, 903 i 38, 231, 265 1,340,312 . 37, 613, 266 1,288,315 ! 34, 806, 841 1, 381,319 ! 28, 181, 460 4,400,214 27, 747, 503 4, 846, ( 87 ; 17, 934, 372 3,474,158 i 19, 130, 127 3,278,154 25, 646, 533 2,519,824 I 2, 784, 654 ! 28, 912,133 27, 435, 662 2, 412, 921 ; 33, 870, 857 2,367,204 ! 29, 296, 076 2,383,272 ! 34, 927, 469 1,684,099 37,154, 953 1, 699, 868 i 36, 398, 246 1,501,965 1 48, 656, 884 1, 141, 649 | 48, 641, 393 2,153,492 j 52, 549, 199 2, 714, 232 | 55, 287, 234 2, 301, 626 i 49, 149, 323 2,569,119 46, 825, 266 2, 954, 443 ; 2, 513, 674 | 50, 327,157 55, 3-27, 472 2. 377, 774 \ 46, 749, 190 10,231,700 [ 47, 248, 090 18, 073, '296 : 2,630, 160 '2,600,044 2,' 834* 073 .4, 697, 053 8,111,982 3,653, 815 2,682, 823 4,708, 176 4, 588, 496 1,338,769 2,610,029 2,589,358 2, 660, 625 2, 797, 214 3,904,847 3,131,245 3,023,601 4, 663, 193 3,8.18,433 5, 375, 733 4,840, 118 5, 647, 642 5, 143, 330 3,773,227 4, 418, 436 3, 073, 210 4. 548, 839 000,200 11,020,598 1, 211, 878 1, 633, 159 1, 699' 570 1, 740, 242 1, 890, 647 1, 705, 682 1, 713, 753 1, 782, 922 1, 879, 960 1, 555, 790 1,813,640 1, 544, 324 1, 420, 780 1,749, 23 L 1, 345, 305 1, '267, 909 1, 232, 832 1, 008, 534 998, 970 1, 007, 843 1, 159, 740 1, 128, 674 1, 206, 569 1, 353, 285 1, 423, 253 1, 719, 136 1, 765, 255 1, 8^, 300 1, 844, 612 2, 678, 175 ° 366 8n° 3, 971,270 4, 147, 647 3, 523, 562 3, 483, 977 2, 668, 141 2, 929, 009 3, 013, 395 1, 696, 488 2,118,447 1, 886, 731 2, 097, 973 2, 293, 065 3, 039, 446 2, 298, 445 2,802,118 2, 519, 619 2, 436,147 3, 804, 410 3, 769, 420 4, 460, 673 5, 719, 234 4, 814, 978 834, 124 4, 277, 399 3, 666,130 8, 608, 798 422, 356 589, 509 998, 663 1, 796, 996 1,244,755 1, 630, 760 5, 736, 060 2, 305, 639 2,132, 056 2, 315, 383 2, 088, 091 930, 713 3, 879,120 3, 927, 919 155, 376 1, 593, 696 75, 829 3, 349, 824 4, 912, 286 446,186 8, 793, 957 REPORT OF THE COMPTROLLER OF THE CURRENCY. Jor various CV years—Continued. NEW JERSEY. Principal liabilities. Due to banks. $336, 132 418, 992 433, 778 414, 807 436, 049 449, 859 448, 269 516, 801 515, 871 584, 960 588, 790 636, 387 616, 624 620, 689 652, 885 877, 507 805, 533 826, 452 782, 659 849, 926 1, 308, 851 952, 231 940, 700 1,049,090 1, 493,103 1,180, 884 $8, 028 380,117 421, 882 42, 693 60, 243 25, 255 44, 375 92, 673 45, 234 21, 644 29, 407 24, 090 12, 088 11, 379 134, 336 "" '224*448" 158, 396 71, 587 288, 296 288, 802 391,194 590, 884 2, 353, 059 98, 524 96, 292 $50, 000 3, 970, 090 4, 997, 012 4, 009, 930 3, 822, 607 3, 834, 816 3, 763, 951 3, 634, 298 3, 623, 886 3, 620, 481 3, 596, 048 3, 721, 286 3, 309, 261 3, 497, 061 3, 565, 288 3, 754, 900 4, 325,115 5,147, 741 5, 314, 885 5, 682, 262 6, 582, 770 7, 494, 912 7, 359, 122 7, 844, 412 8, 246, 944 8, 258, 912 8. 187, 162 $30, 247 1, 755, 829 1, 345, 241 1, 795, 188 1,415,708 2, 099, 069 1, 599, 143 1, 079, 479 1, 569, 235 1. 988, 041 2, 394, 371 2, 553,188 2, 722, 541 2,420,714 2,548,351 3, 046, 038 3,126, 083 4, 917, 412 3, 552, 585 4, 285, 079 4, 759, 855 3, 395, 936 4, 054, 770 4,811,832 4,164, 799 3, 927, 535 8, 172, 398 $20, 532 1, 139, 827 820, 805 847, 435 808, 708 1, 074, 843 1, 066, 566 875, 020 1, 224, 895 1, 483, 082 1, 822, 364 1, 821, 837 1, 718, 847 1, 650. 986 1, 894; 237 2, 362, 332 2, 824, 480 4, 133, 454 3, 290, 462 3, 994, 541 4, 891, 970 3, 696, 605 4, 239, 235 5, 741, 465 5,117,817 5, 687, 923 9, 599, 269 Other liabilities. $1, 000 532, 032 4. 365,176 5^ 796, 356 26, 021 $388, 512 495, 993 157, 639 207, 020 211, 307 163, 351 140, 992 141,397 149, 769 192, 619 191, 583 212, 437 223, 522 298, 560 373, 407 433, 230 486, 561 483, 875 616,321 1, 438, 658 507, 077 770, 935 1,141, 664 559, 579 450, 572 853,193 1, 552, 760 1, 503, 792 2, 720, 349 3, 722, 479 4, 097, 333 7, 224, 953 8, 032, 787 3, 819, 604 2,015,220 4, 885, 611 4, 344, 976 1, 738, 853 2, 707, 421 2, 674, 677 3,218,779 3, 419, 161 4,301, 091 3, 316, 543 3, 965, 873 5, 889, 691 4, 148, 640 4, 640, 970 3, 930, 665 4, 955, 485 4,215,515 5, 847, 970 4, 569, 625 3, 837, 554 4, 118, 925 3, 979, 824 8, 447, 311 615,510 i 434, 844 1 411, 498 3 996, 340 3 157, 791 3 576. 544 3, 447, 292 1 342, 254 429, 831 83, 211 28, 000 58, 683 212, 272 291, 179 89, 042 128, 234 515, 975 351, 448 36, 647 2 716, 872 96, 792 127, 059 80, 706 429,167 975,192 1,073, 159 c 707, 008 , 5,899, 983 14, 000 9, 221 8,400 900 12, 400 11,818 4,280 80,763 I Years. 1835 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 PENNSYLVANIA. 2, 909, 105 3, 421, 920 3, 876, 868 3,113,990 3, 726, 343 3, 282, 213 2, 798, 002 3, 280, 207 2, 763, 994 4, 020, 678 4, 944, 383 4, 486, 275 4, 181, 067 4, 638, 073 4, 020, 731 3, 828, 754 7, 212, 919 6, 685, 729 4, 331, 656 3, 944, 602 6, 738, 650 5, 973, 138 4, 580, 528 11,345,536 8, 378, 474 7, 818, 769 11 464, 600 9, 467, 234 11,344 43, 477 2,178,211 2, 782, 433 2,317,603 3, 944, 911 3, 725, 078 4, 482, 341 4, 405, 537 3,718,592 2,190, 300 1, 643, 591 4, 912, 814 1, 809, 224 1, 241, 410 2, 393, 114 2, 099, 549 2, 399, 936 652, 756 599, 662 678,018 303, 730 244, 120 453, 521 685, 561 1,045,641 2,102, 186 5, 994, 876 17, 061, 944 17, 737, 064 18, 858, 482 23, 750, 338 24, 745, 404 23,866,211 24, 206, 405 23, 120, 730 23, 007, 622 18, 638, 743 15, 195, 857 14, 587, 226 14, 871, 837 20, 806, 064 16, 192, 258 16, 011. 830 17, 182J174 18, 675, 487 18, 895,187 19, 768, 864 19, 864, 825 22, 026, 596 23, 609, 344 25, 691, 439 24, 565, 805 25, 565, 582 25, 808, 553 26, 135, 630 25, 917. 650 10, 366 232 7, 569 561 10, 932 023 13, 794 014 10, 569 649 11, 384 151 9, 338 636 6. 983 085 8, 307, 458 6,217 364 6, 846 741 9, 208 530 10, 029 366 11, 230, 092 14, 336 10!) 10, 083 098 11,405 455 11, 990 862 11, 993 456 17, 420 348 16, 739,069 16, 883 199 17, 368,096 11,610, 458 11,980, 480 13,132, 892 15, 830,033 16,384, 643 27, 689, 504 9, 819,140 8,965,311 13, 347, 977 12, 902, 251 8, 786, 192 8,100, 675 7, 524, 387 9, 833, 476 11, 755, 019 7, 677, 86S 11,334,202 13, 183, 585 13, 564, 248 12, 560, 287 15,110,433 12, 727, 700 15,701,150 17, 944, 032 16,132,749 22, 747, 991 21, 076, 464 25, 340, 814 27, 593, 534 18, 924,113 26, 054, 568 26, 167, 843 27, 032, 104 28, 986, 370 43.038,218 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 lt£i 1852 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 CVI REPORT OF THE COMPTROLLER OF THE CURRENCY. Statistics of State hanks DELAWARE. Principal resources. Years. Xo. of banks. Loans and discounts. 1836 1837 1838 1839 1841* 1842* 1843* 1844* 1845* 1846* 1847* 1848* 1849* 1850* 1851 1853* 1854 1855 1856 1857 1858 1859 1860 1861* 1862 1863 3 4 4 4 3 3 3 3 3 3 2 2 2 4 6 4 6 10 11 11 11 12 12 8 6 5 $1, 232, 830 1, 470, 687 1, 557, 969 1, 643, 249 1, 472, 464 1,516,347 1, 332, 901 1, 317, 671 1, 430, 515 1, 550, 321 504, 819 561, 081 539, 997 1, 653, 595 2, 263, 315 1, 359, 501 2, 915, 602 3, 048,141 2, 906, 253 3, 021, 378 2, 544, 212 3, 009, 285 3,150, 215 1, 970, 305 1, 004, 088 963, 934 ^ 6 a £ s ° m ^estate. Stocks. $157, 731 193,126 193, 333 188,164 59,411 44, 473 29. 921 30, 321 28,111 27, 753 6, 397 26, 232 5, 692 1,925 52, 986 50 62, 681 37, 466 44, 086 33, 076 18, 610 22, 610 4,750 4, 550 17, 150 $251 519 277 284 I 269, 496 209, 814 395, 082 179, 278 81, 579 117, 963 160, 562 226, 454 75, 441 95, 164 149, 645 218,314 306, 566 188, 070 352, 286 402, 179 387, 079 506, 514 507, 255 308, 2-22 411,982 213, 515 152,128 477, 696 &PQ 9.75 S3 035 89, 131 78, 966 66, 918 74, 296 75, 843 71, 573 80, 648 86, 265 20, 843 20, 843 20, 857 85, 024 117.983 37, 896 124, 262 124, 356 137, 524 130, 000 57, 655 81, 499 85,182 40, 685 42, 269 39, 400 jSTotes of other Specie funds. banks. $96,138 88, 372 118,142 158. 497 106, 604 105, 250 54, 896 51,645 68, 042 75, 404 30, 770 15, 037 22, 947 72, 992 74, 602 117, 224 81, 511 39, 051 39, 830 40, 680 58, 639 61, 446 122,125 43, 918 27,136 86, 862 $17,727 22, 543 177, 293 267, 215 156, 055 195, 601 108,516 114,812 103, 862 67, 421 17, 238 2,639 MARYLAND. 1834 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1847 1848 1849 1850 1851 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 8 14 21 22 22 21 21 20 20 20 20 14 20 20 21 23 19 25 29 31 31 31 32 31 31 28 32 8, 530, 786 9, 520, 683 14, 986, 487 15, 813, 006 15, 844,163 13, 593, 642 12, 554, 889 11, 442, 062 10, 547, 920 10,104, 829 11, 842,172 11, 503, 278 13, 291,129 12, 384, 850 13, 767, 558 14, 850, 479 15,135, 587 18, 358, 441 17, 588, 718 20, 616, 005 22, 293, 554 21, 804, 111 21, 854, 934 20, 898, 762 22, 299, 233 17, 440, 111 23, 919, 669 497, 295 705, 706 678, 515 505, 641 899, 352 910, 092 939, 953 1,673,811 1, 009, 449 1, 540, 833 1,215,146 726, 074 706, 173 829, 269 966, 080 946, 690 683, 512 825, 339 618,295 644, 600 758, 278 644,318 892, 965 848,283 635, 685 856, 425 3, 899, 242 1, 1, 1, 1, 1, 430, 239 1,669,711 1, 396, 558 2, 806, 764 1, 933, 601 1, 611, 042 2, 007, 906 1, 551, 242 857, 213 1, 542, 912 1, 000, 531 619, 653 764, 506 903, 234 1, 068, 587 1,144, 077 1, 991, 902 1, 681, 036 1, 490, 609 1, 649,166 1, 894, 791 3, 226,112 1, 017, 641 1, 657, 0L6 1, 874, 439 1, 837, 068 2, 553, 068 419,397 464, 903 530, 141 541, 687 553, 818 505, 290 504, 433 594, 771 596, 596 623, 950 636,137 432, 066 527, 530 450, 736 384, 760 421,248 328, 813 321, 007 333, 930 318, 896 402, 217 417, 925 484, 825 505,179 539, 329 540, 089 999, 035 924, 045 715, 366 1, 521, 432 1, 452, 146 1, 358, 239 1,116, 667 1, 022, 382 882, 588 586, 900 620, 853 666, 245 636, 273 609, 456 743, 339 790, 505 965, 795 1,100, 380 158, 827 1, 566, 361 1. 482, 744 \, 666, 663 1,473,413 69, 863 1,897,218 1, 524, 228 1, 469, 799 2, 025, 970 99, 785 24, 000 59, 789 76, 796 127,143 1, 595, 092 96, 518 82, 961 9,168 3, 164 1, 521, 663 320,476 130, 656 DISTRICT OF COLUMBIA. 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1853 8 7 7 7 7 6 6 6 6 6 6 6 3 3, 693, 720 3,115, 524 3,157, 782 4, 204, 512 3,109, 814 3, 221, 299 2,575,613 2, 000, 505 1, 830, 297 1, 859, 904 1, 978,117 2, 621, 698 1,516,641 I 942, 703 366, 712 328, 300 220, 152 272,752 236', 661 230, 868 219, 989 321, 668 246, 761 281,161 286, 266 60, 386 525, 371 263, 731 529,148 433, 233 342, 560 245,186 236, 622 122, 210 66^ 460 103 580 768, 717 451, 342 160, 509 '< Incomplete. 395, 495 268, 425 318, 684 306, 073 311,636 270, 336 2-28, 485 188, 048 185, 428 197, 044 209, 732 195, 317 115, 816 308, 953 338, 060 320, 074 394, 406 394, 925 217, 492 188,278 176, 752 201, 279 142, 856 202, 523 221, 564 103,100 276,198 336,677 130, 081 214, 555 REPORT OF THE COMPTROLLER OF THE CURRENCY. for various CVII years—Continued DELAWARE. Principal resources. Principal liabilities. Years. Specie. Other resources. $173,183 161, 860 122,810 141,589 155, 691 166, 443 100, 717 109,932 107, 770 122, 565 57, 375 74, 410 52 315 147, 612 188, 253 205, 555 133, 367 90, 149 180, 051 146, 367 203, 228 217, 342 208, 924 126,614 196, 725 66,179 $2, 312 2, 337 2,071 29,140 3,814 1, 065 234 3,604 19, 626 Capital stock. Circulation. $730, 000 817, 775 990, 668 1,071,318 881,648 888, 470 890, 000 890, 000 890, 000 890, 000 210, 000 210, 000 210, 000 940, 000 1, 440, 010 610, 000 1,343,185 1, 393,175 1, 493,185 1, 428, 185 1, 355, 010 1, 638, 185 1, 640, 775 1, 088,175 409, 865 385, 000 Deposits. $622, 397 806, 665 668, 386 708, 053 860, 963 725, 829 366, 944 379, 861 468, 488 611,442 225, 845 283, 961 310, 846 651,121 833, 960 770, 440 1,286,933 1, 380, 991 1, 192, 204 1, 394, 094 1, 240, 370 960,846 1,135, 772 675, 278 445, 619 678, 340 $460, 375 410, 824 473, 235 402, 326 312, 247 278, 597 229, 449 243, 003 316,216 373. 506 121,545 148, 793 113,255 290, 556 558, 858 315, 795 860, 947 859, 010 852,164 868, 414 609,179 832, 657 976, 226 516, 393 405, 362 509, 381 D u e to banks. Other liabilities. $20, 473 69, 263 45, 587 57, 898 28, 209 17, 894 24, 085 20, 177 10, 343 30, 815 19, 099 22, 020 22, 950 110, 535 170, 877 55, 138 107, 075 127, 510 125, 303 147, 250 72, 297 86,180 102,166 40, 246 53, 009 7,652 $8,666 147, 582 93,105 1836 1837 1838 1839 1841* 1842* 1843* 1844* 1845* 1846* 1847* 1848* 1849* 1850* 1851 1853* 1854 1855 1856 1857 1858 1859 1860 1861* 1862 1863 MARYLAND. 595, 505 972 090 1,139, 347 1, 259, 908 1, 679, 066 1, 319, 559 1, 556, 020 1, 553, 621 2, 537, 822 3, 790, 905 2, 200, 580 2, 005, 073 2, 244, 884 2,145, 013 2, 468, 235 2, 738, 834 2, 838, 071 3, 405, 090 2, 987, 225 3, 398,101 3, 522, 561 2,614,728 3,120, 011 2, 779, 418 2, 267,158 3, 682. 471 2, 750,183 103, 650 65, 543 57, 649 148,910 72, 555 137,311 158, 582 95,130 145, 808 82, 661 4,302 1,132 19, 682 53, 758 21, 987 28, 256 595, 223 698, 890 23, 528 14, 741 67, 574 41, 500 8,420 81, 766 5, 270, 091 7, 662, 639 10, 438, 655 11, 249, 319 11, 419, 999 10, 526, 494 10, 214, 908 10, 709, 332 9, 746, 279 9, 540, 374 8, 858, 332 7, 999, 004 8, 541, 830 8, 557, 732 8, 704, 711 9,115,156 8, 064, 930 9, 558, 409 10, 411, 874 11, 202, 606 12, 297, 276 12, 451, 545 12, 560, 635 12, 568, 962 12, 567,121 12,155, 979 12,112, 309 1, 433, 698 1, 923, 055 3, 310, 835 3, 002, 085 3, 798, 067 3, 079, 241 2, 529, 843 1, 832, 920 1, 743, 768 2, 273, 550 2, 607, 682 2, 400 267 3,106', 901 2. 780, 476 3| 091, 408 3, 532, 870 4, 254, 412 4, 918, 381 4,118,197 5, 297, 983 5,155, 096 4, 041, 021 3, 977, 971 4,106, 869 3, 558, 247 3, 794, 295 6, 649, 030 3,125, 035 3, 264, 186 4, 840, 477 3,401,238 4, 219, 932 3,186, 438 3,136, 979 2, 934, 824 2, 977,174 4, 231, 664 3, 947,113 3, 863, 891 4, 211,' 278 3, 994,162 5,183, 609 5, 966, 834 7, 282, 355 8, 621, 052 7, 268, 888 8, 370, 345 9,611,324 7, 541,186 9, 028, 664 8, 874,180 9, 086 162 7, 637^ 602 13, 779, 279 596, 236 2 004 560 1,' 44-6, 476 2, 689, 978 2,151, 469 1, 859,174 1, 860, 015 1, 231, 885 753, 499 1, 228, 577 1, 360, 897 982, 731 1, 667', 249 1, 502, 437 1, 732, 813 1, 928, 214 1, 676, 361 2, 348, 791 1,511,970 1, 924, 756 1, 895, 284 4,194, 677 1, 725, 807 1,324,740 2 108 920 l! 167', 555 1, 799, 287 705,139 1,105, 065 1,138, 590 765, 888 225, 529 1, 049, 480 932, 529 929, 436 914, 811 3,556 3,142 3,178 3,395 131, 734 71, 645 891, 230 938,108 679, 701 549, 933 417, 667 357,195 426, 434 1, 631,140 1, 485, 750 1834 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1847' 1848 1849 18501851 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 DISTRICT OF COLUMBIA. 432, 077 474,199 643, 582 438, 327 318, 354 415, 573 199, 472 245, 629 114, 456 229, 501 452, 055 456, 622 175, 546 29, 497 75, 912 169, 793 175, 910 257, 806 87, 637 3,414 3,485 8,769 37, 998 78, 250 3, 337, 305 2, 613, 985 2, 339, 738 2, 204, 445 2,175, 970 1, 855, 790 1, 768, 074 1, 745,155 1, 786, 920 1, 668, 307 1,659,435 1, 649, 280 847, 728 1,109, 389 692, 536 961, 798 1,136, 557 764, 822 950,132 632, 727 121, 975 111, 658 253, 874 557, 279 535, 478 243, 881 1, 247, 655 1,125, 618 1, 385, 523 1, 950, 736 1, 222, 052 1, 397, 399 987,123 653, 386 707, 842 822, 713 1,391,241 1, 869, 749 891,886 * Incomplete. 391, 822 337, 681 460, 768 597, 235 553, 511 327, 008 258, 878 268,197 160, 284 128, 894 189, 834 468, 511 107, 618 13, 796 3,059 3,059 28, 372 3,135 1,408 1834 1835 1836 1837 1838 1839 1840 1841 1842 18431844 1845 1855 €VIII REPORT OF THE COMPTROLLER OF THE CURRENCY. Statistic of State hanks VIRGINIA. Principal resources. Xo. of Years. banks. Loans and dis counts. 1834 1835 1836 1837 1838 1839 3 840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1853 1854 1855 1856 1857 1858 1859 1860 1861 20 22 23 23 23 27 27 27 27 27 27 27 32 32 35 35 36 33 35 55 58 57 57 62 63 65 66 Stocks. $11,752,058 11, 277, 304 14, 329, 680 18, 021, 429 15, 900, 987 17, 019, 567 15, 596, 776 15,495,117 16, 170, 393 13, 386, 722 14, 098, 534 15, 889, 014 16, 368, 166 15, 348, 483 17, 302, 883 17, 338,182 18, 163, 300 19, 733, 325 21, 784, 357 24, 913, 789 23,331,939 25, 319, 948 24, 899, 575 23, 338, 411 22, 419, 512 24, 975, 792 25, 866, 262 $150, 641 128, 715 167, 166 276, 734 439, 781 659, 391 1, 204, 284 1, 204, 567 1,168, 422 1,141,077 1,087,819 1,078,150 1,051,411 583, 825 647,521 585, 671 372, 442 402, 214 740, 947 2, 259, 812 3, 127, 300 2, 647, 366 3, 184, 906 3, 591, 564 3, 569, 437 3, 584, 078 3, 685. 135 Due from banks. Real estate. $913, 476 975,162 2, 264, 746 1, 654, 205 1,477,542 j 1, 467, 302 1, 485, 957 1, 440, 684 525, 618 585, 622 1, 315, 081 1,051,612 1, 540, 590 738, 976 1,563,328 978,127 1,813,048 1, 925, 652 2, 198, 304 2,710,180 1, 596, 434 2,186, 725 2,405,211 2, 085, 424 2, 557, 182 2, 756, 047 1, 893, 416 Xotes of other Specie funds. banks. $649, 762 633, 093 629, 835 632, 710 636, 404 606, 837 713, 859 798,146 911, 677 951, 846 1, 043, 906 1, 059, 604 1. 050, 188 ' 896, 163 871, 222 854, 179 811,270 773, 831 752, 674 756, 551 786, 952 807, 981 872, 368 910,304 954, 6-29 1, 019, 032 1, 070, 669 $592, 998 458, 921 560, 291 797,137 473, 895 760, 596 428, 690 900, 538 753, 715 409, 085 449, 564 637, 245 455, 172 392, 279 635, 438 459, 233 433, 848 552, 153 820, 266 1, 271, 453 1, 125,106 999, 764 1, 509, 089 1, 674, 733 814, 060 1, 294, 093 2, 003, 703 $31, 200 75, 000 199, 848 247, 909 25, 999 13, 402 6,287 496, 663 29, 838 32, 939 XOETH CAROLINA. 1834 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 3855 1856 1857 1858 1859 1860 1861 3 7 10 10 10 10 10 10 10 10 18 18 17 15 15 19 18 20 4 25 26 28 28 28 28 30 31 1, 807, 209 3, 441,-241 5, 769, 094 4, 571, 328 4, 752, 584 5, 047, 528 4, 506, 226 4, 326, 377 4, 048, 810 4, 452, 203 4, 620, 449 4, 688, 514 5,043,84-2 6, 307, 989 4, 937, 174 5, 169, 007 6, 056, 726 6, 075, 419 7, 126, 008 10, 366, 247 11, 468, 527 11,558,430 12, 636, 521 11, 967, 733 12, 247, 30U 12,213,272 j 14, 080, 746 20, 335 333, 000 i 443,000 I 150, 000 150, 000 150,000 150,000 j 64, 175 ' 123, 275 123, 985 94, 116 180, 270 12?, 951 363, 828 537. 714 399, 453 674,213 681, 076 878, 308 571,025 497,261 538, 784 440, 097 279, 695 499,212 379, 579 663, 861 446, 724 329, 40o 174, 438 790, 026 1, 074, 794 1, 074, 794 414, 520 1, 842, 569 672, 991 785, 852 846, 416 709, 830 1, 291, 343 1, 081, 403 630, 355 234,378 107, 704 123,424 i 127,424 ! 130, 702 | 43,767 ! 95,780 i 109, 509 12L, 567 ! 118,270 I 111), 779 I 117,000 j 1-211,279 ! 129,707 129, 797 131, 469 127,806 | 1-27,806 ! 122,905 I 137, 154 | 145,033 I 171,037 192, 475 196, 671 216, 347 188, 568 239, 456 77, 585 141, 164 181, 675 177, 763 132, 149 222, 892 221, 067 328, 681 253, 852 217,470 305, 262 439, 909 337, 175 349, 954 272, 887 402, 517 483, 947 483, 947 354, 870 643, 821 409, 764 317,690 366, 076 383, 018 317, 362 601,115 513,183 56,007 I "7,664" 73, 324 39, 238 1,378 51, 642 54, 254 45, 820 REPORT OF THE COMPTROLLER OF THE CURRENCY. for various CIX. years—Continued. VIRGINIA. Principal resources. Principal liabilities. Years. Specie. $937, 751 1,160, 401 1. 552, 528 1, 624, 899 1, 366, 582 2, 360, 423 1, 889, 568 2, 318, 791 2, 404, 479 2,121, 366 2, 464, 932 2, 730, 683 2, 487, 421 2, 487, 591 2, 888, 718 2, 392, 800 2, 709, (J55 2, 928,174 3, 238, 874 3, 271, 042 2, 728, 482 3, 151,109 3, 092, 741 2,710,777 3, 077, 687 2, 943, 652 3, 017, 359 Other resources. v $3, 482 1,218 123, 305 48, 714 13,190 55, 341 10, 044 3, 808 3, 394 2, 963 58, 471 27, 8-21 42, 155 68, 042 37, 469 126, Deposits. D u e to banks. $2,875,774 i 3,115.974 ! 3,548,414 j 5,309,554 3.028,954 3; 106,136 i 2,819,295 ! 2,754,630 j 2, 707, 153 i 2,105,728 i 2, 873, 832 ! 3.699.241 ; 3.848.242 i 3,096,782 ! 3,958.988 ' 3, 719, 613 4, 238, 875 4, 717, 732 5,191,297 6, 513, 027 5,615,666 j 6,204,340 7,397,474 ! 6, 971, 325 ' 7,401,701 7,729,652 7,157,270 $634, 392 149, 990 457, 685 548, 391 342, 568 1,107, 937 816,144 872, 152 496, 063 441, 476 622, 062 427, 241 273,152 399, 703 305, 035 314, 737 328, 992 328, 841 450, 331 635, 127 815, 830 663, 995 729, 507 899, 796 982, 351 1,138, 327 1, 310, 068 Capital stock.. Circulation. 493 26, 259 75, 309 114,433 484, 682 381, 987 413, 675 433, 423 340, 791 $5,694,500 i $5, 598, 392 5, 840, 000 I 5, 593,198 6,511,3(10 ! 8, 182,763 6,731,200 | 9, 107, 347 7,005.356 ! 7, 178, 776 8,074,456 ; 8, 231, 918 10,139,406 I 6, 707, 701 10, 283, 623 I ' 6,852,485 10,363,362 i 7, 740, 888 10,359,642 ! 4, 947, 036 10,369,137 i 5, 877, 087 10,337,974 i 7, 158, 803 10,336,085 S 7, 762, 694 9,275,524 j 6, 968, 819 9,684,970 ; 8, 997, 598 9, 686, 570 | 7, 825, 832 9,731,370 | 8, 944, 752 9, 868,145 I 10, 256, 997 10, 583, 700 j 12, 020, 378 12, 796, 466 ] 14, 298, 792 14, 033, 838 I 10, 834, 963 13, 014, 926 13,600,188 j 12, 685, 627 13,863,000 ! 10, 347, 874 3 4,651,600 { 10, 340, 342 14,685,370 ! 9, 812,197 16,005,156 ! 19, 817,148 16,486,210 | Other liabilities. $2, 294, 1, 600, 1, 452, 49, 725, 423 747 386 717 290 743 67, 560 39, 713 13, 983 45, 294 16, 5, 51, 36, 98, 87, 58, 34, 317, 301 495 546 602 235 210 780 600 905 1834 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 18491 1850' 1851 18531854' 1855 1856 1857 1858 1859 1860 1861 NOPvTIT CAROLINA. 78, 507 314, 896 883, 011 705, 389 723, 875 586, 628 802, 709 868, 560 893, 917 945,645 1,078,823 1,261,061 J, 339, 928 1 59»i,gf!0 1. 32)J. 038 1.41't, 254 I i, 615, 028 1, 645, 029 I 1, 857, 048 ! 1,291,4.<6 l,3(iO. 1IM5 i 1. 156, 9!)3 i 1, 035, 8G9 I 1, 24 o, 525 \ 1,CS7. T87 ; 1, 059, 715 ! 403,232 115,219; 34,495 I 25,935 ! 30, 273 I 4,076 I 10,332 14,050 i 13,651 ! 11,281 i 18, 785 j 2, 4:»5 ! 3,941 ! 12,709 I 4,0(i7 i 7, 013 ! 14,275 I 45,(196 68. 000 i 28,912 1, 372, 325 1, 769, 231 2, 525, 000 2, 980, 640 3,100, 750 3,154, 761 3, 225, 000 3, 225, 000 3, 225, 000 3, 225, 000 3, 225, 000 3, 225, 000 3, 225, 000 3, 402, 400 3, 407, 300 3, 407, 300 3,789,250 I 3, 789. 250 3, 6 5, 000 4, SI8, 565 5, 205, 073 (i. o:;i. 945 fi, 425, 25!) 6, 5-2.1,10<» li, 525. 200 6, T2H, 473 | 7.R6-J, 4(5tS ! 958, 934 2, 050, 518 3, 319, 428 2, 267, 793 2, 114, 140 2,246, 181 j 2,092,877 I 1, 989. 179 i 1, 520J 999 \ 2,081,853 I 2,351,210 I 2,954,578 ! 3, 088, 060 j 3,512,448 i 2,955, 121 I 3,415,788 I 4,249,883 I 4,249,883 j 4,276,978 I 71;;2O, ^67 j 6, f 67, 7o2 I 5 75i •, C-f*-J 1 421, 012 655, 311 1, 387,120 756, 591 588, 389 525, 387 48!), 188 562, 554 505, 536 489, 687 596, 539 639, 507 663, 687 717, 798 502, 518 720, 788 942, 098 943,125 990,130 1, 808, 587 1, 130, 329 1, 101,113 *:,:*<•)<,<••••> I 1. 17<», 026 :>,()'.'!). 4->7 I 1,037,457 6, 2 0 2 , C Hi j 1,502,^12 1, 4*7, 273 5. C''.VJ, <%<57 2, 034, 3L)i 56, 817 193,181 262, 070 187, 774 156, 436 206, 040 90, 363 67, 712 3l! 855 65, 656 114, 859 67, 199 49, 655 47, 659 44, 557 62 350 60, 682 60, 682 104, 364 186, 993 112, 047 234, 832 221,821 82, 347 184, 356 100,139 105, G31 41, 630 92 00 4, 383 10, 432 11,393 .... 8,078 4,825 10, 51, 16, 10, 6, 772 013 907 710 645 66 7, 766 1,196, 478 291,4C6 1834 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1856 1857 1858 1859 I860 1861 CX REPORT OF THE COMPTROLLER OF THE CURRENCY. Statistics of State banks SOUTH CAROLINA. Principal resources. o. of , Years. ; b a n k 8 1835* 1836 1837 1838 1839 1840 1841 1842* 1843* 1844* 1845* 1846* 1847* 1848* 1849 1850 1851 1853* 1854 1855 1856 J857 1858 ! 1859 I860 1861 ' | Loans and disi counts. 4 10 12 11 13 14 14 11 11 11 11 11 12 9 14 14 14 9 18 19 20 20 20 20 20 20 $3,886,441 i 16,316,319 ! 18,899,838 I , 15,109,465 15, 378, 020 18, 347, 002 16,1C6, 806 13, 890, 033 13,716,220 13, 743, 433 14, 440, 112 14, 181,772 15, 640, 284 14, 620, 575 19, 742, 009 20, 601,137 23, 169, 270 17, 970, 341 24, 365, 690 23, 149, 098 22, 238, 900 28, 227, 370 22, 056, 561 24, 444. 044 27, 801, 912 22, 230, 759 Stocks. D u e from banks. $932, 816 2, 014, 435 882. 473 923,161 1,393,861 986, 864 533, 86!) 492, 238 753, 534 1,233, 112 1, 345, 93!) 1, 103, 446 1, 057, 560 942, 274 1,468, 44:5 2, 850, 942 6, 532, 297 1,061,221 1, (HL. 709 1, 198, 421 1, 057, 476 1, 180, 938 1.331,100 % 200, 450 1, 592, 644 587, 645 $473, 973 984, 198 1, 402, 226 1, 064, 680 1, 090, 936 1,577,712 2, 222, 293 2, 048, 844 1, 920, 9li3 1, 767, 260 1. 470. 774 1, 618, 297 1,710,066 3, 055, 869 2, 308, 764 1, 849, 463 950, 332 1,4*7,785 2, 775, 05!) 1,670,305 3,483,011 3, 268, 876 3, 223, 8^7 3,321,91)9 2, J)!»4, C)^ 2, 9(i9, b 7 2 Heal estate. 863, 519 148,470 210, 191 211,759 3(55, 781 262, 231 333, 497 223, 309 277, 056 273,116 267, 796 424, 272 371, 865 34!), 632 409, 392 377, 571 340, 929 303, 801 419,370 510,565 600, 880 (531,273 698, 688 677, 641 681,245 684, 144 Xotes of other Specie funds. banks. $499, 023 902, 255 819,143 533, 356 566, 025 298, 742 295, 208 197,516 291,297 273, 325 218, 657 249, 084 510, 370 348, 714 411, 986 715, 093 895, 717 544, 083 645, 639 441,864 424, 135 539, 497 889, 722 600, 290 443, 478 277, 649 $141,086 239,278 93, 396 GEORGIA. 1835 1836 1837 1838 1839 1840 1841 1842 1843 1846 1847 1848 1849 1851 1853 1854 1855 1856 1857 1858 1859 1860 1861 23 25 32 36 38 39 29 24 24 22 19 18 18 6 18 21 24 23 30 28 29 18 7, 714, 851 15,138,142 16, 692, 215 15, 768, 683 17, 992, 096 13, 783, 221 8,828,818 7, 721, 899 5, 451, 751 5, 549, 232 6, 758, 158 5, 860, 696 6, 953, 166 11,286,342 7, 088, 252 13, 567, 469 11, 648, 559 16, 758, 403 16, 649, 201 12, 677, 863 17, 929, 066 16, 776, 282 12, 046, 173 1. 229, 662 i l,23ii, 749 ! 1,253,334 I 110, 708 1, 682, 445 i 1, 785, 304 I 1, 339. 688 I 2, 006, 801 i 1,377,046 | 1, 306, 251 1,891,6^4 2, 382, 454 1, 690. 378 2,173,941 421, 193 2, 193, 848 2,331,661 1,671,234 2, 248, 083 2, 358, 5e'4 1, 605, 127 2, 583, 158 1, 644, 597 306, 030 614, 664 I 1, 303, 029 ! 309' 091 1,941,452 | 1, 230, 047 2, 115, 629 j 2. 358, 781 1, 138, 115 ! 3, 648, 757 1, 785, 649 I 4, 217, 493 988, 402 I 4, 808, 222 6, 256. 233 213,579 5, 635, 296 338 910 726, 303 6, 521, 667 885, 261 6, 559, 948 344, 802 3, 958, 497 1, 753, 467 6, 487, 104 2. 990, 039 6, 780, 564 1, 655, 758 245, 839 1, 735, 422 8, 176, 932 1, 094, 368 8, 308, 929 1, 285, 624 4, 853, 503 1, 368, :)71 8, 368, 280 1, 194, 465 8, 470, 709 4, 073, 665 4,791,022 2, 005, 768 8, 424, 463 1, 244, 391 4, 696, 243 703 963 016* 322 ! 571 377 512 048 442 220 140 161 ' 479,685 ! 548,379 ! 403,646 1 326 410 ) 335 142 1 174, 158 S 315, 535 i 535,506 i 334 844 ! 603,957 i 633,744 j 846,675 ; 1,480,570 i 454,156 1 720,692 1 1,083,710 768,151 1 i 1 1 2 1 2 42, 806 47, 074 133, 738 128, 885 359, 325 682, 719 247, 43, 513, 31, 259, 402, 101, 26, 852 6J1 697 928 576 451 939 721 FLORIDA. 1835 1836 1837 1838 1839 1840 1860 1861 2 5 4 8 7 5 0 2 2, 2, 3, 4, 4, 233, 340, 444, 270, 686, 737, 464, 424, 209 850 642 015 543 631 630 262 7,959 152, 430 5,000 337, 840 759,000 100,025 125, 000 8,385 213, 900 408, 887 316,527 244, 833 102, 845 25, 853 40,118 * Incomplete. 14, 947 15,717 14, 969 466, 134 14, 969 97, 426 16, 280, 76, 107, 247, 69, 24, 18, 220 562 334 392 225 370 580 412 41, 305 223, 700 "*8,"828" 774 REPORT OF THE COMPTROLLER OF THE CURRENCY. for various CXI years—Continued. SOUTH CAROLINA. Principal liabilities. Principal resources. Years. Capital stock.! Circulation. | Deposits, j 1754,219 ! 2,.5OO, 427 • 1,664,786 1,323,779 • 2,000,149 1, 847, 498 1, 608, 537 i 1,355,178 1, 036, 403 | 1,680,553 ; 1.864,999 ' 1,723,561 966, 012 837,767 1,216,774 I 1,711,902 • 2,429,020 i 1,669,550 i 1, 621, 973 1, 283, 284 1,228,221 1,197, 774 1,104, 128 2, 601, 414 2, 324,121 1, 628, 336 $2, 288, 030 $2,156,318 ' 1, 600, 956 ; 4,021,210 i 1, 863, 376 7, 936, 318 7,438,727 8,636,118 7, 223, 616 5,048,477 ! 1 885, 173 , 885, 173 4, 456, 618 3, 490, 206 7, 947, 419 698, 765 4, 566, 327 I 2, 732, 583 8, 952, 343 1, 308, 206 4, 439, 404 I 2,279.218 373, 744 11,584,355 ! 1, 062, 556 107, 212 11, 782, 358 | 3.008,514 I 1, 712, 745 1 589, 597 2,932,154 i 1,743,000 I 11,472,922 220, 570 682, 538 11,459,718 282, 689 2, 914, 443 ! 1,335,817 I 686, 219 246, 292 3, 667, 106 I2,205.227 I 11, 460, 213 368, 311 1,772,498 I 309, 516 4,306,991 11,065,668 1, 358, 454 130, 877 3,911,360 I 2.353,168 I 11,036,260 980,190 436, 110 4, 429, 527 I 2,325,144 i 1,181,093 12, 028, 106 205,886 I 9, 153, 582 3, 981, 683 2,277,568 1, 845, 632 252,050 5, 237, 236 2, 236, 744 2, 023, 359 13, 236, 967 348,530 I 13, 139. 571 8, 741, 765 3, 322,132 2, 047, 779 145,121 11, 771, 270 3, 491, 733 3, 065, 893 13, 213^ 021 1,076,262 9, 825, tieo 7, 050, 573 5, 319, 219 764, 916 1, 309, 582 9,715,783 , 3, 752, 260 1, 878, 291 16, 073, 580 571, 049 6,739,623 | 2,871,095 i 1, 197, 949 16, 603, 253 951, 832 6,504,679 I 3, (168,188 ' 1,100,299 17, 516, 600 698, 662 10,654,652 j 3, 502, 733 3, 518, 962 14, 837, 642 14, 885, 631 6, 185, 825 I 2, 955, 854 3, 074, 740 1, 005, 448 14, 888, 451 9, 170, 333 ' 3, 897, 840 3, 746, 604 2, 964, 540 14, 962, 062 11, 475, 634 1 4,165,615 1, 455, 488 1, 499, 218 14, 952, 486 6,089,036 i 3, 334, 037 1, 312, 659 2, 388, 994 $237, 769 442,392 98, 325 $1,125, 497 803, 578 1, 610, 411 1, 921, 127 2, 795, 469 521, 297 303, 804 312, 798 309, 983 310,032 61, 989 224, 996 26, 860 552, 700 642, 231 702. 043 58, 469 159,193 53, 936 46, 532 3, 355, 119 1,700,612 3, 214, 920 1, 417, 837 2, 868, 100 1835* 1836 1837 1838 1839 1840 1841 1842* 1843* 1844* 1845* 1846* 1847* 1848* 1849 1850 1851 1853* 1854 1855 1856 1857 1858 1859 1860 1861 25,611 349, 000 377, 967 405, 422 1, 403, 825 582, 937 1, 060, 669 1, 241, 243 1, 251, 122 1, 525, 497 1, 021, 315 1, 286, 475 1, 774, 205 2,105, 371 4,260 1, 089, 935 1,199, 309 623, 918 872, 644 882, 662 552, 254 787, 733 272, 402 1835 1»36 1837 1838 1839 1840 1841 1842 1843 1846 1847 1848 1849 1851 1853 1854 1855 1856 1857 1858 1859 1860 1861 GEORGIA. 1, 781, 835 2, 602, 595 2, 860, 326 2, 659, 723 2, 531, 737 1, 300, 694 685, 183 537, 585 1, 206, 971 1, 104, 235 1, 523, 746 1, 264, 573 1, 547, 626 1, 938, 512 1, 443, 714 1, 576, 813 1, 451, 880 1, 955, 966 1, 702, 108 1, 417, 545 3, 751, 988 3, 211, 974 1, 631, 997 267, 027 191,978 187, 016 493, 239 241,093 328, 102 233, 505 301, 401 280, 004 97, 634 119,469 113, 445 1, 404, 775 1, 406, 681 66, 684 712, 950 423,130 135, 298 534, 619 549, 639 678, 274 1, 110, 377 502, 512 6, 783, 308 8, 209, 967 11,438,828 12, 036, 748 16, 037, 315 15, 098, 694 12,100,180 12, 678, 658 10, 250, 702 8, 970, 789 11, 121, 802 8, 035, 070 12, 595, 010 13, 050,198 3, 810, 400 12, 957, 600 13, 413,100 11, 508, 717 15, 428, 690 16, 015. 256 12,479,111 16, 689, 560 10, 357, 200 3, 694, 329 7, 971, 587 8, 058, 739 7, 459, 563 5, 639, 708 5, 518, 822 1, 728. 042 2, 832; 8S2 1, 972, 215 2, 471, 264 3, 400, 667 2, 784, 446 4, 118, 419 9 820, 874 4, 201, 604 9, 518. 777 6, 698, 869 10, 092, 809 9,147,011 5, 518, 425 11, 687, 582 8, 793, 100 6, 040, 775 1, 014, 674 3, 295, 930 2, 943, 632 2, 789, 675 2, 309, 554 1. 985, 413 ' 980, 428 858, 533 1, 056, 842 1, 318, 266 1, 234, 439 1, 017, 636 1, 697, 099 2, 414, 794 1, 639, 354 2, 523, 227 2, 034, 455 2, 525, 256 3, 126, 530 2, 215, 853 5, 317, 923 4, 738, 289 2, 764, 407 499, 827 1, 074, 247 1, 546, 834 2, 414, 223 2, 347, 774 1, 299, 703 681,948 292, 938 112, 050 157, 334 292, 228 104,124 406, 580 609, 763 673, 029 722, 035 462, 091 1, 334, 098 1, 663, 429 533, 819 1, 727, 995 1,287,268 871, 999 FLORIDA. 14, 312 39', 037 108, 663 161,310 188, 288 46, 188 32, 876 55', 071 90, 350 59, 881 122, 412 112, 705 173, 490 12, 302 114, 320 1, 484, 385 2, 046, 710 2, 387, 585 2, 322, 552 3, 976,121 300, 000 425, 000 133, 714, 701, 621. 867, 418, 183, 116, 531 589 801 393 009 778 640 250 * Incomplete. 67, 215 449, 451 442, 097 417,191 820, 324 421,274 129,518 108, 606 6,441 221,165 136, 898 173, 404 307, 751 133, 675 5,144 10, 000 47, 506 33, 455 637, 376 . 162, 041 , 667, 415 1835 1836 1837 183S 1839 1840 1860 1861 CXII REPORT OF THE COMPTROLLER OF THE CURRENCY. Statistics of State tanks ALABAMA. Principal resources. Xo. of Years. banks. Loans and discounts. 1834 1835 1836 1837 1838 1839 1841 1842 1843 1844 1845 1846 1848 1849 1850 1851 1853 1854 1855 1856 1857 1858 1859 1860 1861 5 5 6 6 7 7 2 1 1 1 1 1 1 2 2 3 4 4 4 6 6 $ 8 $6, 381, 595 9 219 586 15, 020, 505 18,133, 788 24, 005, 221 25, 842, 884 24 183, 586 23, 065, 522 2, 948, 929 1, 478,016 1, 430, 751 2,194, 916 2, 379, 026 3 564,189 2, 116, 591 4, 669, 314 4 876 031 5, 865,142 4, 397, 298 5, 117, 427 6 545,209 5, 585, 424 9, 058, 379 13, 570, 027 10, 934, 060 Due from banks. Stocks. Real estate. Xotes of other Specie funds. banks. $68, 047 81 622 140, 862 $492, 549 382 892 429, 436 158, 499 351, 485 599 366 1, 144, 309 781,280 143, 474 141, 117 142. 296 179, 520 155 586 152, 601 125, 697 CS 371 65, 321 ,53,588 80, 648 78, 148 150, 141 160, 410 171, 300 171,300 117, 625 1,119,871 2 693 292 1.749,818 171, 301 259, 740 111 235 25 197 2, 850, 701 75, 705 3, 460, 917 3, 611,876 4, 761,168 3,607,412 1, 395. 737 4, 235, 47G 686 3°9 247 651 7 428 3^5 1, 816, 630 13, 192, 038 2 472 329 3, 022, 589 3,318,355 3, 539, 871 3 127 214 2, 977, 870 2 538 950 2 720 612 3, 879, 996 2, 743, 270 2, 702, 154 2, 633, 243 1,489 9L0 1, 315, 410 2, 438, 219 1, 340, 463 2 416 526 1 954 164 3, 154, 437 3, 317 422 6, 099, 850 2, 341,335 6, 416,728 2 471' 683 3 951 205 2 i°3 4'M 9, 268, 254 2, :;<)"., .r.'"i) 7, 305, 115 2 1 4 1 8-'i 2, ^ - , 4 1 3 u't ii( 43>J """"if"25V~u" 40, 670 1, 680, 565 2, 467, 229 4, 508, 761 1 723 244 782 701 2, 577, 578 $423, 449 1 404 342 1,441,198 2, 126, 373 1, 028, 755 1, 799, 278 1 499 693 1,476,254 65, 282 51,114 182, 235 424, 685 953, 691 566, 743 928, 290 960, 334 698 296 362,084 271, 801 1, 421, 445 665, 302 1,162,972 2, 192, 019 1, 208, 506 1, 131, 530 $600, 000 600, 000 199, 740 32,758 23, 658 23, 568 55, 400 79, 658 75,218 71,018 71, 503 329, 270 471, 156 768, 650 713,026 142, 201 146, 539 160, 219 524, 513 565, 826 $42, 806 100, 000 16 029 63, 865 227 670 111 296 57, 061 561, 482 504 287 151 726 672, 746 643, 657 684, 601 200, 000 45, 647 20, 800 105, 786 LOUISIANA. 1835 1836 ]837 1838 1839 1840 1841 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1856 1857 18^8 1859 l''6O It til 1863 41 45 47 47 1(3 47 47 28 • 28 28 <•>$ 28 98 28 29 29 19 19 19 19 15 12 13 13 6 37, 388, 839 51, 234,158 59,108, 741 55, 593, 371 56 855 610 49 138 700 48, 646, 799 20 420 948 16 737, 125 18, 417, 669 21 582 744 23 869 724 2l' 479 378 19 173 281 18, 602, 649 23,199, 701 22 407 783 17, 038, 359 29 320 582 27 142 907 27 500 348 31, 200, 296 23 229 096 29, 424, 278 35 401 609 26, 364, 513 16, 225, 533 40, 000 807, 563 100, 000 995, 076 5, 742, 304 842 000 4 187, 180 2 591, 400 4, 794, 885 5 318 418 5, 564, 590 5 842, 096 5, 783, 687 3, 667, 361 621 131 346, 090 373 9^0 4-92, 667 1, 241, 4 13 1 21<« 6-:6 1,649, .!;>6 - • - - • - - - 453, 002 6,073,419 1, 028, 039 MISSISSIPPI. 1834 1635 1836 1837 1838 1840 1842 1851 1853 1854 1855 1856 1857 1858 1 10 13 18 26 17 1 1 1 1 1 2 5, 461, 464 10, 379, 650 19,124, 977 24) 351* 414 28, 999, 984 48, 333, 728 13, 349, 481 112 275 ICO, 74(3 362, 585 352, 739 488, 4 M 657, 020 393, 216 21.000 16, 9J0 r.2, ooo ^67, C,V\ 3, T7J, 82;) &J* 299 13, 052 5, 914 4, 894 519 1,007 254, 592 353, 252 599, 343 1, 343, 647 2, 563, 783 4, 638, 258 308, 477 302, 641 5, 943 84, 049 60,710 81, 152 257. 505 2L9, 086 62, C09 128,->0d 196,711 465, 430 1,618,676 4, 83<> 3d3 70ii, 548 8, 400 10 07«> 9, 970 11 9()4 13, 613 11,413 780, 767 11,995 158.410 513,085 03^,148 1, 058, 274 liCJKl.I37.r) 205, 345 13, 309 5 450 7,740 26, 503 975 47, 254 REPORT OF THE COMPTROLLER OF THE CURRENCY. CXIII for various years—Continued. ALABAMA. Principal liabilities. Principal resources. Specie. §477, 992 916,135 1, 562, 494 1, 572, 246 695, 966 1, 687, 046 1,589,510 685,183 28, 204 613, 729 791, 459 1,165, 272 1,108, 608 618, 131 1, 307, 392 1, 798, 820 1,175,107 1, 125, 954 1,125, 490 1, 274, 944 1,139,312 1,302,312 3, 371, 956 2, 747, 174 2, 715,119 Other resources. Capital stock Circulation. $205, 002 213, 989, 434, 98, 35, 26, 380 563 904 857 240 532 1, 229, 201 81, 000 38, 479 31, 500 1,252 24, 506 28, 296 28, 835 $4,308,207 { 5, 607, 623 6, 558, 969 7, 572, 176 8, 399, 248 11, 996, 332 14, 379, 255 14, 346, 834 3, 067, 700 1, 500, 000 1, 500, 000 1, 500, 000 1, 500, 000 1, 500, 000 1, 500, 000 1, 800, 000 2, 000, 000 2,100, 000 2, 296, 400 2, 297, 800 2, 297, 800 3, 235, 650 3, 663, 490 4. 901, 000 4, 976, 000 Deposits. $2, 054, 471 $1, 108, 468 3, 472, 413 1, 247, 926 6, 172, 107 3, 152, 047 7, 090, 819 3, 073, 979 7,235,110 5, 109, 247 6, 779, 678 4, 919, 598 7, 2LI, 141 2, 827, 622 1, 728, 042 980, 423 19, 871 629, 659 124, 031 558, 213 486, 440 465, 443 1, 445, 906 934, 164 2, 133, 210 654, 342 1, 679, 196 1, 160, 064 2, 558, 868 1,216,319 3, 568, 285 1, 474, 962 2, 763, 015 2, 268, 398 3, 171, 487 1, 671, 448 2, 382,176 1, 278, 022 3, 467, 242 2, 837, 556 3,177, 234 2, 423, 269 2,581,791 1, 408, 837 6, 651, 117 3, 830, 607 7, 477, 976 4, 851, 153 5, 055, 222 3, 435, 685 Due to banks. •$292, 817 1, 008, 578 1,123, 864 1,839,237 2, 216, 762 2, 257, 512 1, 486, 345 681,948 106, 089 296, 382 155, 302 37, 443 383, 283 20, 740 194, 911 35, 288 663,164 181,558 481, 289 703, 443 571, 556 1, 006, 832 874, 800 2, 250, 855 Tears. Other liabilities. $186, 364 1, 556, 837 1, 293, 351 1, 574, 179 2,152, 508 1, 060, 669 97, 765 600 9*421 403, 327 141, 487 395,124 660, 732 1,066 15, 666 10,000 5,000 2,131 196. 049 160, 982 1834 1835 1836 1837 1838 1839 1841 1842 1843 1844 1845 1846 1848 1849 1850 1851 1853 1854 1855 1856 1857 1853 1859 1860 1861 LOUISIANA. 2, 824, 904 2, 607, 587 3,108, 416 2, 729, 983 3, 987, 697 2, 847, 497 3,163, 243 4, 451, 023 7, 889, 199 8, 282, 981 6, 636, 394 5, 720, 561 7, 578, 710 8, 153, 450 6, 979, 772 5, 750, 838 4, 355, 381 5, 946, 990 7, 468, 460 6, 570, 568 8,191,625 6,811,162 10, 370, 701 16, 218, 027 12, 115, 431 13, 656, 058 8, 806, 080 2, 531, 684 6, 279, 650 528, 876 1, 791, 030 6, 062, 271 7, 911, 363 5,100, 000 5, 100, 000 4, 644, 075 4, 446, 127 4,210,071 3, 548, 789 3, 018, 716 2, 656, 609 2, 934, 353 4, 130, 216 1,149,015 2,163, 055 1, 985, 373 2,233,412 1, 493, 905 1, 147, 287 873, 471 1, 082, 041 1, 293, 840 4, 742, 578 26, 422,145 34, 065, 284 36, 769, 455 39, 943, 832 40, 930, 376 41, 736, 768 41,711,214 20, 929, 340 20, 049, 140 19, 670, 580 17, 528, 910 17, 090, 250 15, 575, 970 15, 226, 570 14, 257, 520 12, 370, 390 12, 201, 870 10, 934,130 17, 359, 261 20,179, 307 19, 027, 728 21, 730, 400 22, 800, 830 24, 215, 689 24, 496, 866 24, 634, 844 17, 388,166 I 5,114, 082 7, 130, 546 7, 909, 788 7, 558, 465 6, 280, 588 4, 345, 533 6, 443, 785 1, 087, 577 1,721,546 2, 099, 331 4, 206, 748 4,753, 159 3, 709, 053 4, 165, 072 5, 069, 867 5, 090, 086 3, 514, 274 4,409,271 6, 969, 807 6,586,601 7, 222, 614 9, 194, 139 4, 336, 624 9, 094, 009 11,579,313 6,181,374 8, 876, 519 7, 106, 628 3, 997, 667 11, 744, 712 7,161, 452 11, 487, 431 11,817,341 7, 426, 468 9,131, 466 7, 657, 161 8, 119, 708 5,415,230 3, 831, 947 3, 094, 730 7, 090, 815 5, 338, 613 6, 473, 215 8, 418, 764 9, 449, 035 871,159 7, 983, 167 8, 654, 422 1,289,142 8, 427, 792 1, 640,199 8, 210, 705 1, 763, 931 8, 275, 758 1, 384, 232 919, 930 6, 948,116 810, 454 10, 555, 849 11, 743, 152 2, 022, 636 11,688,296 1. 154, 538 14, 747, 470 1. 687, 531 13, 478, 729 ' 965, 555 11, 638, 120 1, 340, 619 21, 822, 538 2, 198, 982 19, 777, 8 L2 1, 165, 675 17, 056, 860 753, 359 352, 463 5, 810, 251 1, 389, 831 4, 091, 574 893, 422 3, 748, 343 3, 522, 093 5, 949, 966 7, 777, 812 1, 604, 885 1, 342, 474 906, 061 450, 529 8, 737, 043 8, 497, 481 8. 098, 377 2, 348, 859 2, 232, 973 % 301! 747 2, 207, 583 1, 781, 058 2, 201, 138 1, 012, 115 125, 519 1835 1836 1837 1838 1839 1840 1841 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1856 1857 1858 1859 1860 1861 1863 MISSISSIPPI. 113,220 359, 302 659, 470 1, 369, 457 766, 360 867, 977 11, 223 ; ; • • ; ; ; ; i, 465, 6ii 5,000 4, 731, 925 3, 863, 649 626,176 19, 211 5, 669 8 063 7,744 7,912 591 8 CC 4,742 50 000 30, 209 2, 666, 805 5, 890, 162 8, 764, 550 12, 872, 815 19, 231, 123 30, 379, 403 9, 261, 200 118,460 132, 726 240,165 240 165 240, 165 336, 000 1,110, 000 1, 510, 426 2, 418, 475 4, 490, 521 5, 073, 425 7, 472, 334 15, 171, 639 2, 374, 189 161, 930 49, 925 234, 745 221 760 324, 080 556, 345 169, 400 545, 353 1, 888, 762 6,401,518 5, 345, 384 4, 638, 669 8, 691, 601 611,695 4,500 12, 428 33, 393 42 738 35, 006 83, 435 49, 781 1, 020, 911 680, 987 1, 0-27, 020 2, 226, 677 3, 039, 201 7, 065, 499 115,242 142, 390 2, 721 31,792 2,106, 688 1, 723, 817 3, 505, 364 1, 532, 220 7, 794, 336 1,222 60 1834 1835 1836 1837 1838 1840 1842 1851 1853 1854 1855 1856 1857 1858 CXIY REPORT OF THE COMPTROLLER OF THE CURRENCY. Statistics of State banics AKKAXSAS. Principal resources. Years. banks. Loans and discounts. CO C O O O O 1838 1839 1840 1841 1845 No. of $374, 791 763 737 3, 956, 636 3, 838, 694 2, 352, 617 Stocks. b^nk ° 8500. 000 500, 000 40. el4 m -K°al estate. 83 678 ! 106 180 237, 649 117, 310 -^in 743 4S, 052 67, 196 27, 790 Xotes of other banks. $2, 450 59, 612 25, 025 157, 123 , 147,174 Specie funds. $203,138 403, 030 KENTUCKY. 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 2 14 14 14 16 17 17 17 17 19 19 17 16 16 16 16 19 4 35 34 33 35 37 37 45 43 44 44 861, 511 8,818,406 11,631,475 10, 346,152 12,123, 707 10, 522, 464 9, 880, 710 9,047,917 7, 710, 382 8, 731, 988 9, 781, 013 11, 061, 733 10,249,519 10, 779, 675 11,043,233 ! 11, 637, 207 | 10,603,640 | 14,088,798 ! 21,398,386 | 17,307,567 i 21,132,519 i 23,404,551 ! 17, 681, 283 j 24, 404, 942 • 25, 284, 869 \ 22,455,175 ! 15,391,666 : 17, 621, 495 i 1, 2, 2, 2, 2, 2, 2, 2, 690, 000 066, 000 256, COO 510, 000 706. 000 935, 200 999. 250 864, 513 675, 786 675, 907 579, 200 566, 107 558, 000 552, 400 546, 000 614, 162 295, 903 802, 124 743, 033 678, 389 739, 126 738, 705 793, 641 851, 562 467, 357 2, 343, 360 650, 957 15, 357 587,611 1,915,015 1, 279, 274 1, 421, 067 1, 342, 284 1, 213, 525 1,098,117 879,471 1, 588, 789 1, 712. 524 1, 536, 484 1,871,773 1, 826, 609 1, 602, 590 1,601,303 2, 093, 304 3, 330, 772 3, 284, 405 3, 319;718 3, 731, 463 4,115, 430 4, 431, 131 6, 535, 215 5, 099, 678 4, 354, 229 3, 659, 4f2 6, 647, 613 231, 046 169, 384 147, 073 208, 562 215, 764 348, 477 444, 026 518, 696 690, 058 758, 856 795, 816 561,941 460, 448 424, i>88 406, 006 417. 312 325, 204 354, 390 416, 192 416, 920 488, 504 465, 907 500, 202 508, 503 477, 971 523. 382 589, 974 623, 039 30, 822 1, 659,168 1,301,518 673, 852 861, 798 576, 997 967, 619 452, 598 536, 355 660,815 792, 760 714, 028 615,222 756, 723 520, 475 700, 054 475, 395 552, 244 1,115,780 686, 370 965, 878 840, 959 725, 460 1. 017, 580 ' 779, 565 763, 683 700, 553 2, 327, 015 36, 575 48, 385 73, 583 65,516 38, 967 543, 978 139 199 20, 900 149,167 203, 698 TENXESSEE. 1834 1835 1836 1837 1838 1839 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1853 1854 1855 1856 1857 1859 1860 1861 1863 1 7 7 7 11 22 23 23 23 23 23 14 14 21 22 22 22 3 28 32 45 40 39 34 33 14 2,117, 371 6 040 087 9, 862, 921 10, 960, 368 11, 249,170 10,021,729 12, 312, 333 11 346 947 8 898 022 9 122 796 9,337 780 6, 224, 544 6,741,035 9,714,559 8 564 013 9, 008, 699 11, 366, 028 7, 207, 691 11, 846, 879 11,755,729 14, 880, 609 16, 893, 390 13, 262, 766 11, 751, 019 11, 696, 435 4, 820, 972 584, 092 59, 750 78. 750 168, 921 440 250 575,553 5.76. 136 725, 687 630, 682 48, 088 1, 096, 932 545 935 624, 081 1, 0H2, 678 120, 985 538, 042 871,076 1, 466, 455 2, 450, 308 1, 577. 578 1, 233, 432 409, 372 1, 726, 801 456, 062 449 454 1, 152, 634 790, 379 581, 711 1, 037, 349 1,301,896 915 174 761 039 614 824 1, 087, 664 520, 466 828, 380 724, 097 539 800 938 786 1,559,418 1,182,524 1, 443, 721 1, 057,140 2, 617, 686 2, 380, 700 2, 575, 465 2,613,910 829, 845 1, 928, 595 31 641 59. 025 70 048 84, 021 106, 004 658, 608 1 110 373 1 225 301 1,328 856 1,140, 232 807, 244 640, 901 899, 309 642 162 582 853 662, 580 289.191 516, 980 486, 455 541, 711 590, 715 486, 622 595, 759 571,219 243, 535 455 034 166 377 206^ 518 412 640 327 817 1, 341, 317 579, 773 347 679 220 589 355 984 300 929 280 824 301, 986 354, 075 250 453 496 656 733,186 278, 576 451,396 491, 800 859, 956 1, 069, 408 581, 723 495, 362 400, 296 1,123, 242 5,000 36, 819 126, 890 68, 209 16, 037 62, 767 1, 287, 077 932, 092 958, 977 472, 598 REPORT OF THE COMPTROLLER OF THE CURRENCY. for various cxv years—Continued. ARKANSAS. Principal liabilities. Principal resources. Specie. Other resources. Capital stock. Circulation. $96, 455 316, 045 227, 867 203,813 35, 940 $141, 052 " 13, 571 $413,105 628, 105 3, 495, 857 3, 532, 706 3, 002, 706 Deposits. | $8,100 4(11,775 I 1,139, 120 995,905 i 410, Due to banks. Other liabilities. $102, 095 134, 309 307,331 140.016 140, 813 442 ! $8, 537 16,898 28, 308 250, 000 Years. 1838 1839 1840 1841 1645 KENTUCKY. 2,284 1,199, 354 1, 456, 384 1, 716, 489 1, 613,133 1, 261, 500 1, 328, 093 1, 491, 805 1, 730,187 2, 228, 090 2, 648, 706 2, 624,132 2,617,955 2, 920,151 2, 858, 585 2, 683, 373 2, 307, 879 3 ' 634' 043 , 4, 596, 249 4,152, 988 4, 611, 766 4, 406,106 4, 027, 825 4, 984,141 4, 502, 250 4, 466, 996 5 ' 991^ 015 , 6, 322, 510 70, 261 113,218 25, 000 321, 301 65, 918 27, 500 124, 402 410, 738 555, 664 183, 885 115, 260 8,750 13, 540 8, 750 39, 363 485, 285 417 819 12! 023 307, 368 216, 505 535, 730 363, 924 2,611 144, 075 188' 391 308,147 339, 952 792, 423 5, 116. 400 7,145, 326 8, 499, 094 8, 918, 004 9, 329, 088 9, 386, 856 9, 451, 053 9, 368, 085 8, 590, 526 8, 203, 428 7, 119, 160 7, 020, 900 7,071,000 7, 030, 000 7, 030, 000 6, 456, 927 7' 658^ 700 10, 869, 665 10, 369, 717 10. 454, 572 10, 596, 305 10, 782, 588 12, 216, 725 12' 835* 670 13, 729, 725 13, 453, 306 13, 798, 030 87, 564 3, 819, 480 4, 105, 155 3, 600, 570 5, 418, 320 3, 940, 333 4, 453, 559 3, 465, 056 2,801,296 4, 038, 824 4, 934, 098 6, 064, 431 5, 710, 994 6, 484, 814 6, 273, 458 6, 682, 524 6 339 023 8' m, 124 , 13,573, 510 8, 628, 946 12, 634, 533 13, 682, 215 8, 884, 225 14, 345, 696 13^ 520' 207 10, 873, 630 7^ 405^ 015 9, 035, 724 7, 828 1, 925,101 3, 428, 666 2, 159, 700 1, 862, 495 1, 049, 648 1,213,078 1, 169, 919 1,192, 086 1, 820, 947 2,024, 181 2,018,121 1, 534, 092 1, 983, 513 1, 870, 820 2, 209, 035 2, 021, 361 2, 456, 267 3, 102,159 3,011,719 3, 608, 757 4, 473, 378 3, 232, 132 5, 144, 879 5' 662,' 892 3, 725, 828 4, 369, 218 7, 676, 305 8,147 1,149, 969 1, 635, 924 872, 112 1, 029, 467 1, 156, 192 766, 983 571, 233 425, 867 759, 009 1,189, 803 1, 175, 077 1, 423, 733 1, 304, 233 1, 038, 282 894, 210 977, 338 2, 060, 923 2, 809, 031 ,2, 577, 824 2, 555, 953 2, 983, 373 3, 195, 352 4, 338, 364 3^ 259' 717 3, 073, 919 1, 352, 737 2, 829, 898 206, 353 1, 769, 017 1, 733, 682 1, 245, 005 972, 803 596, 437 138, 655 94, 725 47, 389 29, 240 25, 636 133, 565 13, 783 15, 090 15, 302 296, 605 532, 000 50, 000 1,915 2, 095, 774 1, 958, 828 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 TENNESSEE. SQ, 455 290, 472 211, 976 378, 930 595, 667 1,177, 969 979, 981 1,140^ 459 930 420 1,109, 909 1, 545, 968 921,' 856 787, 855 1, 312' 770 1,117, 479 l' 143' 919 1, 456, 778 972;034 1, 983, 790 1, 473, 040 2,231,418 2, 094, 632 2, 863, 018 2, 267, 710 1,284,115 ' 55,266 383,391 41, 567 345, 792 26, 239 87, 979 167, 064 87^ 162 79 628 29, 750 143,344 67, 322 166, 395 143, 696 24,169 8, 258 84, 355 995, 366 48, 333 1, 243, 827 2, 890, 381 4, 546, 285 5, 092, 665 5, 309, 454 6, 488,192 8, 635, 581 8, 596, 181 8, 551, 400 8, 536, 567 8 284 929 4. 809, 999 5, 472, 059 8] 243', 299 7. 086, 943 7; 026, 987 7, 452. 265 3, 460J 114 6, 599, 872 6, 717, 848 8, 593, 693 8, 454, 423 8,361,357 8, 067, 037 7, 985, 143 3, 561, 700 1, 520, 880 3, 189, 220 4, 205, 508 4, 272, 635 2,621, 185 2, 607, 830 3, 727, 515 3, 641, 928 1, 777, 075 2, 345, 193 3, 119, 827 2, 425, 999 2, 829, 861 3, 966^ 764 3, 291, 762 3, 913, 491 6, 814, 376 4, 879, 196 6, 821, 836 5, 850, 562 8, 518, 545 8, 401, 948 6, 472, 822 5, 538, 378 3, 844, 796 4, 540, 906 125, 486 664, 002 1, 514, 065 2, 230, 833 1, 502, 271 863, 472 1, 109, 719 1, 101, 944 790, 940 1,186, 749 1, 323,168 700, 476 823 957 1, 300', 060 1, 061, 840 1, 320, 959 1, 949,497 1, 304, 603 2, 200, 922 2, 413, 418 3, 740, 101 4, 875, 346 4, 659, 809 4, 324, 799 2, 852, 767 1, 125, 633 73, 467 119, 795 392, 568 236, 937 660, 513 755, 489 559, 088 338, 716 271, 982 258, 053 558, 578 252, 087 2o6. 315 374, 385 345, 705 43, 852 61, 638 199, 513 108, 470 211,681 467, 070 944,917 1,073,269 264, 627 328, 576 91,136 119,165 1,087,381 380, 495 2, 370, 481 2, 961, 399 428, 155 135, 809 351, 369 61, 865 67, 810 17, 554 33,165 307, 937 672,150 447, 425 85, 501 664, 910 951, 262 441,165 462, 420 1, 501, 922 711,412 1834 1835 1836 1837 1838 1839 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1853 1854 1855 1856 1857 1859 1860 1861 1863 CXVI REPORT OF THE COMPTROLLER OF THE CURRENCY. Statistics of State banks OHIO. Principal resources. Years. 1835* 1836 1837 1838 1839 1840 1841* 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 No. of banks. Loans and discounts. 24 32 33 34 34 37 27 23 8 8 31 34 48 54 57 58 70 68 68 66 65 61 49 53 52 55 55 55 $9 751 973 17 079,714 18 178 699 17 212 694 16 520 360 13, 414, 087 9 878 328 6, 925, 644 2, 968, 441 3,186, 619 7, 963, 404 8 291 875 12 452 665 14 912, 665 16, 305, 869 18 046 754 19, 241, 225 16, 787, 252 17, 380, 255 13, 578, 339 14,921,998 15, 223, 241 9, 558, 927 11,171,343 11,100, 462 10, 913, (107 10, 475, 062 12, 298, 400 D u e from banks. Stocks. $2 500 $1 3 4 1 1 433 83C 318 708 597 579 340 338 588 623 891, 590 571 333 469, 568 740, 86G 528, 655 1, 374, 240 1 835 505 2 656 222 2 117 283 2,198, 997 3 574 165 2, 848, 500 4, 331, 741 3, 534, 970 2,751,312 3,117,178 2, 479, 558 2, 139, 364 2,613,615 2, 667, 763 3, 206, 580 2, 828, 357 4, 440, 726 1, 501,585 1,207,412 137, 769 95, 718 1,249,573 966 238 1,600 433 2, 2, 2, 2, 2, 2, 2, 2, 1, 2, 2, 3, 721. 803, 808, 466, 476, 749, 088, 069, 153, 089, 677, 768, 236 438 337 247 751 686 778 7d9 552 819 253 820 Real estate. $108 223 271 3H7 501 375 558 427 523, 503 869, 306, 376, 371, 521 394 407 359 332 812 400 078 459 3g5 462, 227 432, 569 332, 909 298, 222 350, 708 310,145 522, 011 586, 670 718, 913 671, 590 702, 657 697, 450 Notes of other Specie funds. banks. $1 272 268 2 725,262 1 710 827 '864 597 1 080 379 947, 526 867, 935 458,106 228, 375 259, 890 1,031,865 967 742 1, 533, 978 1, 324, 025 1, 312,157 1 363 985 1, 418, 561 2, 072, 560 1, 438, 342 905, 555 1, 632, 969 1,199, 863 768, 243 1,152, 433 898, 337 841, 682 1, 426, 066 3, 813, 363 $29, 929 9, 025 58, 327 143, 910 4, 407 179, 682 148, 259 96,123 171, 855 158,310 106, 559 39, 007 121, 354 150, 741 157, 378 110, 987 144, 845 261,136 INDIANA. 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 10 11 11 11 11 13 13 13 ' 13 13 13 13 13 13 13 13 14 14 14 44 59 46 46 40 37 37 39 37 37 531,843 2,304,683 3,179,271 3, 556, 341 4, 532, 965 4,581,486 ! 294,000 3,689,595 | 294,000 4,419,104 '< 294,000 2,866,629 259,080 2, 677, 530 : 2,834,421 3,721,805 37,000 3, 596, 391 36, 000 3,498,912 ! 30,000 3,551,544 i 71,000 3.912,796 237,215 4,395,099 106,485 4,621,726 ; 4, 249, 994 ! 163, 846 7,247,366 i 3,257,064 9, 305, 651 6, 148, S37 6, 996, 992 1, 705, 070 7,039,691 I 1,694,357 4, 861, 445 1, 416, 737 6,468,308 ' 1,252,981 7,675,861 1,349,406 8,158, 038 1, 279, 828 6,249,043 1, 358, 002 5, 250, 245 1, 589, 768 29,417 1, 278, 223 1, 457, 204 281, 393 226, 521 208, 301 305, 146 182, 151 227, 634 364, 529 719,331 803, 065 1, 081, 194 693, 064 749, 863 598, 014 925, 325 1, 432, 292 1, 985, 114 3, 087, 827 1, 274, 992 1, 338, 418 920, 441 1,177, 489 950, 830 1, 198, 961 2, 012, 986 2, 801, 282 * Incomplete, 1,715 17,214 48, 901 97, 301 144, 386 180, 343 223, 629 241, 051 260, 847 273, 964 3-26, 059 348, 170 343, 845 368, 178 382, 076 369, 860 364. 233 324, 826 319, 448 289, 673 249, 298 231,929 227, 599 104, 224 195, 711 258, 309 316,024 354, 799 348, 860 78,150 557,612 487, 753 209,185 155, 813 169, 500 166, 251 177, 244 37, 765 61,691 145, 813 84, 188 119, 976 299, 250 147, 451 101, 970 224, 842 334, 286 554, 754 715, 305 911, 000 598, 262 557, 238 395, 536 505, 685 418,991 355, 025 445,144 1, 901, 359 99,035 : 60,730 : 75,952 90, 125 i 8,378 ; 128,860 i 173, 573 : 369,600 I 68,508 i 236,661 36,623 ; 80,799 ; 105, 875 67,275 349,584 REPORT OF THE COMPTROLLER OF THE CURRENCY. for various CXVII years—Continued, OHIO. Principal resources. "S. Principal liabilities. Tears. Specie. $1,707,835 2, 924, 906 3, 153, 334 2, 674, 212 2, 6J 6, 814 1, 752, 446 1, 052, 767 ' 895, 051 792, 483 742, 001 1, 249, 485 1, 619, 336 2, 664, 547 3, 155. 362 3, 369, 470 2, 931, 678 2, 806, 9i:2 2,631 319 2,319,064 1, 690,105 2, 096, 809 2, 016, 814 1, 734, 995 1, 845, 441 1, 828, 640 2, 377, 466 3, 655, 944 3, 023, 235 Other resources. $44, 531 29, 075 1,327,455 2, 688, 692 318, 852 7,345 23, 595 158, 008 1,102,716 1, 013, 919 1, 872, 785 2, 626, 369 2, 982, 728 712, 338 851, 234 1, 006, 525 1, 195, 047 687, 337 910, 436 711, 157 96 L, 720 842 325 1,501,206* Capital stock. Circulation. $5, 819, 09:2 8, 369, 744 9, 247, 29:3 11, 331, 618 10, 153, 846 10, 507, 521 8,103, 213 6, 805, 352 2, 167, 628 2, 171, 807 4, 364, 421 4, 437, 903 6, 056, 357 6, 584, 220 7, 272, 840 7, 623, 333 7, 818, 761 7,115,111 8,013,154 7,166, 581 6,491,421 6, 742, 421 6, 560, 770 6, 707, 151 6, 890, 839 7, 151,039 5, 695, 950 5, 674, 000 Deposits. D u e to banks. 8607, 942 #5,221,5:20 S3, 090, 005 9, 675, 644 '0, 125^914 1,420,613 8, 326, 974 7, 590, 933 1, 471, 659 6, 221, 136 4, 071, 975 481, 344 8, 157, 871 2, 080, 604 1, 254, 879 4, 607, 127 2,017,300 683, 552 3, 584, 341 1,938,682 410,287 213, 294 1, 911, 9d3 1,144,915 505,430 90, 959 2, 246, 999 436, 579 | 104, 020 2, 348, 693 3.038,747 4, 504,130 505, 647 5, 7') 1,002 2, 398, 009 919, 553 8, 647, 327 4,545,081 858, 307 1, 390, 462 9, 49 L, 037 4,507,783 10, 826, 036 4, 878, 236 907, 370 11, 832, 511 5, 522, 974 j 1, 712, 580 11, 545, 105 5, 996, 372 3, 580, 026 11, 373, 210 7,440,650 3, 166, 979 9, 839, 008 7,693,610 | 1, 866,172 8, 074, 132 5,450,566 : 949, 727 9, 080, 589 7, 101, 325 1, 712, 040 9, 153, 629 6,543,420 i 1,202.961 6,2:11,286 3,915,781 280, 786 8, 0-10, 304 4, 389, 831 488, 878 7, 983, 889 4, 039, 614 790, 568 8, 143,611 4. 046, 811 3, 206, 580 9,217,520 5,762,355 I 450, 035 9, 057, 837 11, 697, 818 1, 014, 752 Other liabilities. $213, 713 921, 005 1, 509, 459 1,348,540 1, 022, 503 260, 690 853, 439 437, 410 459, 683 1, 345, 397 1, 528, 753 1, 620, 843 444, 525 138, 487 249, 887 411, 652 296, 202 392, 758 282, 071 206, 235 144, 781 101,696 2, 418, 043 1, 978, 340 1835* 1836 1837 1838 1839 1840 1841* 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1856 1857 1853 1859 1860 1861 1802 1863 INDIANA. 751,083 839, 839 1, 204, 737 1,221,181 1, 345, 832 1,021,490 1, 076, 551 1, 127,901 8LI, 234 965, 226 I 120,013 1, 079, 368 1, 003, 647 1, 083, 979 1, 273, 895 1, 285, 403 1, 197, 880 1, 245, 407 1, 308, 933 1, 820, 760 1,894 357 1, 599', 014 1, 420, 076 1, 261, 720 1, 869, 000 1, 583, 540 2, 296, 648 4, 577, 259 3, 455, 731 1,708 226, 404 270, 197 298, 658 9l,"728*" 717, 782 5, 463 714, 005 563, 549 560, 572 626, 333 538, 828 597, 377 502, 241 210, 515 247, 048 266, 301 207, 803 127, 238 132, 380. 10; 111, 221, 77, 946 911 891 089 457 293 800, 000 1, 279, 857 1, 585, 481 1, 900, 687 2, 216, 700 2, 595, 221 2, 671, 618 2, 743, 191 2, 727, 532 2, 130, 555 2, 105, 212 2, 087, 894 2, 033, 824 2, 082, 874 % 039^ 903 2, 082, 910 2, 082, 950 2, 083, 007 2, 083, 007 5, 554, 552 7, 281, 934 4, 04o' 325 4, 123, 089 3, 585, 922 3, 617, 629 4, 343, 210 4, 744, 570 4, 579, 985 4, 492, 835 450, 005 1, 981, 050 1, 970, 595 2, 308, 130 2, 9*1, 795 2, 985, 370 2, 865, 568 2, 871, 689 1, 828, 371 2, 310, 690 3, 101,000 3, 527, 351 3, 336, 533 3, 600, 452 3, 708, 031 3, 304, 260 3, 421, 445 3, 772, 193 3, 860, 524 7,116,827 8,165, 856 4', 516'422 4,731,705 3, 363, 976 5, 379, 936 5, 390, 246 5, 755, 201 6, 844, 700 6, 782, 890 127, 236 1, 673, 887 2, 738, 405 952, 009 490, 617 372,784 472, 748 317,890 212, 463 211,561 320, 393 402, 067 444, 682 653 445 556^ 050 663, 462 630, 323 657, 843 868, 066 1, 764, 747 2,289, 605 1, 957' 097 1, 852, 742 1, 417, 966 1, 723, 840 1, 700, 479 1. 841, 051 2, 076, 548 3, 017, 597 * Incomplete. 3, 985 73, 823 66, 867 136, 047 269, 905 126, 083 148, 829 116,065 64, 929 39, 912 41,993 76 437 41, 880 34 545 82] 292 107, 242 118, 344 123, 817 103, 392 445, 359 803, 849 379^ 804 272, 815 330, 569 176, 366 89, 530 117,868 162, 890 110,126 128, 392 63, 777 5, 720 270, 008 1, 939 147, 344 98,193 32, 779 76, 867 94, 310 132, 527 357, 863 100, 622 161, 975 177, 309 60, 954 68, 215 140, 895 152, 650 1, 400, 385 1, 303, 776 1835 183o 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1843 1849 1850 1851 1852 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1863 CXVIII REPORT OF THE COMPTROLLER OF THE CURRENCY. Statistics of State banks ILLINOIS. Principal resources. Tears. ISTo. of ! banks. L o a n s a n d d i s . counts. 1835 1836 1837 1838 1839 1840 1841 1843 1845 1853 1854 1856 1857 1858 1859 1860 1861 1862 1863 2 7 8 8 8 9 15 14 15 23 29 36 42 45 48 74 94 19 25 $313, 1, 203, 3, 098, 4, 416, 6, 046, 5, 930, 5, 454, 3, 688, 2, 286, 586, 316, 337, 1, 740, 1,146, 1, 296, 387, 516, 221, 380 Due from banks. Stocks. 690, 263, 544, 128, 085, 424, 780, 8209, 396 55, 689 620, 790 234, 145 701, 290 759. 537 1,105, 817 72, 165 30, 363 880, 541 878,612 2, 354, 571 3, 952, 450 2, 813, 578 2, 627, 690 3,201,416 3, 793, 753 000 750 750 629 552 326 617 671, M 3 777, 676 129. 613 164. 017 4^0. (J52 826, Oiil 204. 580 501, 947 110,151 Heal estate. Xotes of other Specie funds. banks. $4, 671 8,296 14, 179 27, 533 57, 158 108, 994 534, 421 243, 327 191, 505 13, 202 31. 158 79; 940 52, 832 59, 567 87, 769 92, 429 116, 551 820,150 69, 983 268, 653 70, 718 331, 860 199, 381 193,124 24, 784 11, 836 233, 576 385, 339 517, 066 433, 717 265, 034 271,526 343, 269 287, 411 $63, 892 37, 165 19, 297 6,433 9,272 39,397 37,920 206, 231 109, 295 55, 793 22, 794 25, 707 37, 064 123,113 166, 663 74, 499 75, 512 128,644 174, 448 12, 771 217, 356 10, 828 [121,445 200, 710 MIC RIG AX. 1835 1836 1837 1838 1839 1840 1841 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1856 1857 1858 1859 1960 1861 1862 1863 8 10 11 20 28 10 4 2 5 3 6 2 1 1 5 5 5 5 7 6 4 4 4 3 4 2 4 4 1, 336, 225 2, 099, 008 2, 946, 697 3, 773, 370 2, 885, 364 2.152, 954 1, 713, 769 557, 159 1,145, 257 414, 526 1, 024, 693 231, 703 170, 231 233, 268 1, 080, 664 1, 358, 704 1, 273, 709 1, 416, 328 2,199, 093 1,900,942 1, 988, 087 1, 903, 603 1,111,786 1.153, 547 892, 949 578, 043 788, 028 1, 092, 906 272, 210 1, 671, 325 1, 496, 583 569,011 623, 948 223, 599 180, 467 22, 759 265, 459 170, 762 241, 573 63, 502 65, 505 85, 142 166,187 397, 909 216, 401 276, 455 742, 843 392, 550 402, 520 245, 061 77, 034 137, 059 120, 372 133, 796 268, 672 451, 736 14, 250 84, 130 5,570 74,541 3, 825 629 17,085 4, 080 61, 120 62, 953 140, 777 406, 647 743, 890 508, 678 637, 725 555, 431 517, 945 588, 389 322, 406 258, 776 192, 831 79, 973 233, 613 183, 728 18, 237, 226, 181, 129, 144, 146, 124, 60, 077 519 588 938 520 998 035 486 110 308, 305 233, 031 340*, 129 102' 895 71, 964 7,668 75, 092 25, 286 41, 421 11, 239 23, 892 9,850 3,064 2, 093 5, 700 16, 079 5] 894 57, 094 109, C96 G8, 320 %110 417 1,244 3,150 37, 249 10s! 941 4, 282 6,162 6,433 9,141 10, 043 22, 579 23, 871 1,879 17, 903 203, 694 115,661 124, 357 130, 861 39, 200 96, 440 91, 429 118, 784 97, 265 159, 489 31,411 54, 953 44, 644 52, 372 65, 500 44, 826 45 908 3 179 27 432 31 065 2,571 5 452 14 404 48 824 8,461 24, 320 94, 261 150, 315 229, 236 304,142 326, 461 WISCONSIN. 1838 1839 1840 1841 1846 1854 1855 1856 1857 1858 1859 1860 1861 1862 2 1 I 1 10 23 32 49 66 98 108 110 60 152 676 231 624 133 670 224 365 58 789 1,163, 066 1,861,043 3, 906, 079 5, 280, 634 6, 230, 861 9, 262, 457 7, 592, 361 7, 723, 387 4. 573, 512 578, 721 1, 044, 021 1, 200, 083 2, 025. 160 3, 626, 468 5,114, 415 5, 031, 504 4, 949, 6S6 1, 850, 516 325, 306, 363, 453, 498, 892, 890, 745, 4(i4, 946 982 161 771 794 775 454 063 064 317, 880 7 705 29 397 26 329 151, 154 341,174 603, 848 701,161 467, 411 852, 283 925,110 1,162, 936 693, 246 48 492 20,136 103, 184 57, 218 73, 222 67, 439 83, 893 64, 430 61, 448 KEPORT OF THE COMPTROLLER OF THE CURRENCY. CXIX for various years—Continued. ILLINOIS. Principal liabilities. Principal resources. Years. Specie. $243, 223 279, 670 590, 794 684, 487 9S9, 172 756, 964 942, 895 798, 998 78, 697 419, 531 555, 152 759, 474 635, 810 233, 239 269, 585 223, 812 302, 905 Other resources. Capital stock.: Circulation. | Deposits. $4, 465 11, 070 4,944 103. 346 175, 750 1, 3fi8, 203 1, 108, 148 4,757 1,837 1, 679, 277 2, 035, 736 104, 018 425, 460 $123,695 I 8178,810 252, 734 j 41 -. C20 (553, 661 828. 644 ! 2,01 1,',i;o 1, 5o5, 373 789, 562 i 4, (.'73. 0.10 1. 990, 993 1, 591. 535 ' 5, -I.;."!, O.V. 3,729,513 3, 724, 092 • 805, 244 ' 5,4-:3, i •:> 200,844 5,3-d, "•.• .;' 4, 3f>7, 829 18:, 416 ! 5. GUI. uU) 2, 212, 127 41, 145 i 2, 713. < ! » ;• 1, 1*3, 256 522,476 ; 1, 1D2. 4.1.j 1, 351, 788 2, 283, 526 1, 286, 102 I 2,513,V.O 3, f-lt), !»l!5 . 3, 420, 985 1,267,234 ! 5, 534, 945 1, 002, 399 i 5, t?2, lit 658,521 i 5, 238, 930 4, 679, :i-:5 640, 058 I 5, 707, 048 4, 00U, 334 697,'037 I 8, 981, 723 5,251,225 807,763 11, 010, 837 6, 750, 743 1, 415, 076 400, 213 619, 286 894,845 i Due to j Other liabilifaanks. ( ties. $5, 739 13,175 37, 342 348. 995 533, 494 230, 707 149, 104 17, 550 2,219 315, 441 $200, 000 200, 000 1,681 188, 836 24, 891 210, 483 19, 662 15, 621 26, 533 64, 200 23, 000 14, 116 294, 034 241, 903 157. 981 131, 764 525, 344 552, 338 422, 220 110, 739 42,112 1835 1836 1837 1838 1839 1840 1841 1843 1845 1853 1854 1856 1857 1858 1859 1860 1861 1862 1863 MICHIGAN. 112.419 172, 071 564. 275 435, 073 290, 058 42, 784 123, 635 60, 709 242, 845 201, 800 139, 772 68, 487 61, 965 58, 326 107, 210 125, 722 161, 483 197, 294 357, 672 143,123 152, 080 92, 762 23, 776 42, 018 24,175 28, 389 37, 996 30, 339 132, 917 100, 472 28, 161 253, 681 221, 216 117, 000 160,172 44, 520 28, 072 44, 850 46, 520 74, 777 61, 793 588 68, 532 70, 504 216, 429 , 43, 751 95, 170 15, 345 21, 347 11,145 15, 727 14, 440 36,119 19, 249 658, 980 909, 779 1,400, 000 1,918, 365 3,018, 701 1,229, 200 1,000, 000 428, 700 719, 100 202, 650 815, 697 176, 167 139, 450 147, 650 392, 530 431, 338 861,228 665, 803 1,084, 718 980, 416 730,438 841, 489 851, 804 745, 304 755, 465 250, 000 413,030 416, 590 636,676 I 1, 184, 498 1, 350, 325 1, 724, 409 969, 544 2f)l. 296 568, 177 98, 099 681, 976 247, 111 362, 828 141, 854 220, 901 195, 598 624, 431 897, 364 920, 951 896, 140 1, 270, 989 500, 942 573, 840 670, 549 364, 676 331, 978 222, 197 47, 510 120, 124 131, 087 636, 450 114, 943 379, 380 313, 286 298, 598 342, 760 183, 909 73, 353 254, 180 420. 730 294, 890 144, 129 65, 981 101, 156 266, 412 416, 215 698, 470 579, 969 1, 078, 606 1, 170, 974 1, 366, 958 1, 347, 956 310, 479 555, 693 375, 397 436, 837 749, 828 1, 420, 852 2, 2, 1, 1, 15, 729 52, 922 218, 035 196, 366 390, 997 96, 325 5,678 "is," 204* 3,688 205 323 83 16, 802 42, 539 22, 358 63. 034 82, 496 95, 597 53, 425 118, 962 78, 975 35, 165 13, 969 4,777 125, 623 19, 213 25, 000 113,959 711,394 613, 887 512,849 3, 256, 635 260, 375 266, 864 3,133 2,140 4,414 189, 195 494, 102 15, 059 182, 382 438, 488 187, 522 128, 216 52, 646 124, 198 126, 011 76, 206 139, 873 117,800 110, 934 1835 1836 1337 1838 1839 1840 1841 1843 1844 1845 1846 1847 1848 1849 1850 1851 1852 1853 1854 1855 1356 1857 1858 1859 1360 1861 1862 1863 WISCONSIN. 83, 494 65, 680 41, 397 95, 967 182, 482 334, 383 531, 713 542, 938 576, 543 706, 009 419, 947 372, 518 304, 478 187, 513 2,448 80, 537 379,125 8,791 1,501 1,892 45, 266 1, 329, 668 1, 722, 779 550,106 119, 625 139,125 100, 000 100, 000 221, 475 600, 000 1, 400, 000 1, 870, 000 2, 955, 000 5, 515, 000 7, 995, 000 7, 620, 000 6, 732, 000 3, 807, 000 141, 363 235, 573 109,185 90, 305 213, 479 485,121 740, 764 1, 060,165 1, 702, 570 2, 913, 071 4, 695, 170 4, 429, 855 4, 310, 175 1, 419, 423 43, 228 109, 967 9, 591 17,414 129, 635 654, 423 1, 482, 053 2, 806, 341 3, 365, 562 2, 077, 862 3, 022, 384 3, 085, 813 4, 083, 131 2, 341,112 9,435 85 175 85, 451 710, 954 456, 739 1, 073, 874 1, 290, 486 1, 278, 872 1, 573, 694 1, 493, 529 1, 632, 201 1, 257, 713 1833 1839 1840 1841 1846 1854 1855 1856 1857 1858 1859 1860 1861 1862 CXX REPORT OF THE COMPTROLLER OF THE CURRENCY. Statistics of State banks IOWA. Principal resources. No. of Tears. banks. Loans and discounts. 1860 1861 1862 1863 12 13 14 14 | (,,„,„ - D u e from banks. bt0CKS $724,228 I $101,849 \ 1, 169, 870 1, 094, 912 ; 219,723 1, 508, 666 226, 350 ' Heal estate. Notes of other Specie funds. banks. $248,817 284, 008 334, 186 490, 657 $213, 661 522, 695 271, 550 C16,405 MINNESOTA. 5,185 123, 163 50, 000 967 30, 806 18 265 133, 951 1859 1861 1862 1863 324, 212 20, 783 4, 223 9 802 22 200 1,032 512 14 671 50 382 MISSOUET. 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1853 1854 1855 1856 1857 1858 1859 1860 1861 1862 1803 1 1 3 2 3 3 3 3 4 5 6 6 6 6 6 6 6 6 6 6 6 10 29 38 42 42 42 85, 707 976, 185 1, 398, 811 1, 034, 852 1, 570, 431 2, 077, 841 1, 628, 203 1, 013, 409 824, 740 951, 949 1, 166, 601 2, 958, 495 2, 449, 333 2, 698, 086 3, 152, 028 3, 265, 275 3, 533, 463 3,109, 559 3, 958, 055 3, 441, 643 4, 393, 029 4,112, 791 4, 620, 534 9, 830, 426 15, 461,192 17, 373, 469 11,243,288 12, 080, 501 175, 000 175,000 175, 000 51, 872 72, 000 417, 335 725, 670 970, 550 1, 285, 965 1, 295, 813 20, 010 109, 049 508, 204 45, 274 422, 792 303, Oil 186, 520 63 520 95, 622 57, 498 86, 368 47, 899 68, 437 20,519 53, 904 28, 820 66, 028 114, 557 152, 781 49, 960 28, 331 75, 991 96, 626 597, 679 1, 090, 506 1, 281, 748 2,047,551 50, 101 43, 449 5-2, 518 80, 580 56 353 56, 875 62, 320 84, 293 136,015 170, 403 122, 573 125, 850 114, 175 123, 928 122, 869 116, 151 111 1?5 104, 62? 98, 254 29, 773 169, 549 226 609 321, 754 528, 965 621, 520 322, 338 233, 671 449 064 223, 930 593, 550 292, 465 42, 345 148 195 143, 250 2, 465 . 11, 030 38,280 30, 560 36, 820 37, 510 301, 570 282, 590 33, 870 196, 910 324, 705 » 1,007,575 1,046 015 1.531,816 3,160,122 1, 357, 023 83, 750 8,950 9,800 185, 736 8, 760 7,619 8,581 348, 658 97, 559 KANSAS. 1859 1861 3862 48, 256 48,014 43, 450 40, 000 4, 068 6,696 750 2, 295 6, 533 9,280 4,414 3, 975 3,850 1,155 7,885 15, 069 1,000 1,399 2,209 4,450 NEBRASKA. 1857 1858 1859 1861 418, 15, 97, 72, 097 679 087 406 129, 804 35, 601 3,127 4,443 $210 """26" REPORT OF THE COMPTROLLER OF THE CURRENCY. for various CXXI years—Continued. IOWA. Principal liabilities. Principal resources. Specie. Other resources. 255, 545 378, 030 725, 443 544, 967 49. 308 222, 453 321, 715 117, 022 Capital stock. Circulation. 460. 450 589,130 720, 390 797,970 563, 806 689, 600 1, 2*1, 453 1, 249, 000 Deposits. 527, 378 1, 154, 925 809, 387 1, 287, 273 Due to banks. 16, 50, 47, 48, Other liabilities. 689 504 876 603 25, 056 92, 898 108, 422 121, 225 10 16, 202 3, 100 | 1 11, 660 Tears. 1860 1861 1862 1863 MINNESOTA. 15, 272 o 228 1 250 1 894 25, 656 21 337 50 000 156, 000 156, 000 318, 000 48 643 8, 702 81,236 198, 494 13 331 54, 065 92, 876 1859 1861 1862 1863 MISSOUEI. 155, 341 371, 598 222, 924 628, 167 691, 070 562, 902 509, 597 162, 848 332, 730 1, 260, 294 1, 594, 596 1, 453, 614 1, 554, 264 2, 314, 718 2, 427, 685 1, 902, 986 1,198,263 1, 253, 311 937, 835 975, 491 4, 355, 050 1, 245, 184 1, 424, 004 3, 921, 789 4,160, 912 3, 820, 530 2, 967,108 3, 666, 017 2, 044 3, 241 67, 335 122,251 5,060 23, 808 243, 321 340, 210 491, 053 618, 338 315, 437 206,153 191, 533 193, 973 273, 317 48, 028 121, 372 116, 084 1, 562, 395 607, 398 1, 027, 870 1,116,123 1, 178, 866 1,179, 566 1, 200, 264 1, 200, 588 1, 200, 101 1, 200, 582 1, 201, 326 1,204,716 1, 208,167 1, 208, 751 1, 209,131 1, 210, 622 1, 215, 405 1, 215, 398 1, 215, 405 1, 215, 405 2, 620, 615 5, 796, 781 9, 082, 951 11,133, 899 11, 249, 681 11, 247, 681 94. 000 671, 950 410, 740 348, 530 198, 087 303,410 731, 080 798, 880 2,195, 840 1, 743, 220 2, 404,160 2, 569, 950 2, 594, 790 2, 522, 500 2, 427, 720 2, 487, 580 1, 460, 650 2, 805, 660 2, 780, 380 1, 718, 750 6, 069,120 7, 884, 888 8, 204, 845 6, 511, 851 4. 037, 277 526, 398 1, 382, 262 2, 262, 900 748, 655 1,101, 638 1,174, 532 322, 909 354, 243 453, 260 1,116, 672 1, 313, 098 1, 296, 428 1, 298, 849 1, 364, 650 1, 735, 409 1, 377, 288 1, 098, 981 1, 073,138 1, 313, 744 1. 247, 651 1, 331,126 1,188, 982 1, 3, 3, 3, 2, 3, 482, 442 123, 622 357,176 360, 384 068, 473 434, 262 $55, 727 29*7, 928 299, 749 312, 761 481, 972 529, 441 87, 871 56, 097 44, 999 54, 633 154, 456 37, 858 53, 706 138, 073 170, 695 150, 153 76, 280 150, 995 228. 945 284. 776 172; 425 111, 984 242,117 579, 830 1,200,010 1, 247, 335 1, 450, 723 546, 896 297, 803 123,159 19, 743 509, 590 3, 025, 278 2, 638, 240 1835 1836 1837 1838 1839 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 1851 1853 1854 1855 1856 1857 1858 1859 1800 1861 1862 1863 KANSAS. 52 000 93,130 52, 000 8 268 4,350 8 895 5, 443 2,770 2 695 14, 783 6,330 24 125, 291 3,673 23, 748 10, 717 4, 418 422 4,414 1859 1861 1862 NEBRASKA. 136, 325 5,683 6, 629 5, 627 2,154 1,341 404 205, 000 15, 000 56, 000 60, 400 353, 41, 23, 16, 796 641 346 007 1,749 2,576 5,530 1857 1858 1859 1861 CXXII REPORT OF THE COMPTROLLER OF THE CURRENCY. Condition of certain tanks in the District of Columbia in 1816, 1818, 1819/ and 1844.1 [All figures below thousands are omitted.] Principal liabilities. Banks. Bank of Washington Bank of Columbia Union Bank of Georgetown Bank of Alexandria Bank of Potomac Farmers' Bank of Alexandria.. Mechanics' Bank of Alexandria. Farmers and Mechanics' Bank of Georgetown Patriotic Bank of Washington Bank of the Metropolis Bank of the Metropolis Bank of Washington 31,1818 • 555 '61,1818 I 310 2, 1819 ! 84V 11,1844 1, 304 1,1844; 446 486 158 ! 27 96 250 I 135 23 35 500 i 67 !: 361§ 500 231 105 |1,24STT 90 13 I 240|| * American State papers—Finance, vol. iii, p. 303. t Elliot's Funding System, pages 685, 1185 and 1186. \ Of this amount $237,000 is»reported as bills drawn on the Secretary of the Treasury, paid at the bank. § Of this amount 8313,000 is reported to be due the Treasurer of the United States'. I! Of this amount §50,000 is reported to be due the Treasurer of the United States. i\ Of this amount $818,000 is reported to be due the Treasurer of the United States. REPORT OF THE COMPTROLLER OF THE CURRENCY. CXXIII Table, by States, of the bank capital in the Uiiited States, during the years 1814 to 1817, so far as it was known at the Treasury. 1814. State, District, or Territory. Maine New Hampshire. Vermont Massachusetts Rhode Island Connecticut K ew York Xe\v Jersey Pennsylvania Delaware Maryland District of Columbia Virginia Xorth Carolina South Carolina Georgia Mississippi Louisiana Tennessee Kentucky Ohio . . . '. Indiana , Missouri Bank of the United States 61, 380, 000 I 838,230 ; : ' ; j , : ; , \ Totals . 1817. $1,930,000 942, 350 11,350,000 | 11, 600, 000 2,317,320 2, 317, 320 3, 655, 750 i 4. Oii'J, 675 17,185, 352 ! 17, 700, 736 2,121,932 I 2, 071, 957 14,963,333 ; 15,346,432 973, 890 996,090 i 8, 243, 422 7, 872, 002 4, 244, 765 4,060,814 ' 4, 752. 460 3, 592J 000 1, 576, G O O 2, 594, 600 3, 730, 900 3, 832, 758 623, 5^0 | 1.239,440 100, 000 j ' 100, 000 ! 1, 432, 300 1, 402, 300 212, 962 | 365, 610 932, 600 ! 2, 532, 000 1, 435, 8J 9 | 1, 932, 108 I j j 80, 378, 504 : 88,185, 823 j ;l, 720, 000 997, 550 $1, 860. 000 943, 350 11, 2, 4, 16, 2, 15, 300, 000 317, 320 021, 262 991, 704 076, 465 732, 615 974, 500 8, 657,147 5, 008, 527 4, 884, 565 2, 796, 600 3, 919, 973 1, 502, 600 200, 000 1, 432, 300 995, 500 2, 823,100 2, 003, 969 127, 624 193, 125 35, 000, 000 11, 650, 000 2, 317, 320 3, 909, 575 17,145, 979 1, 672, 115 15, 393, 594 974. 500 8, 346, 782 4, 650, 176 5, 521, 415 2, 776, 000 3, 832, "58 1, 502, 600 100, 000 1, 422, 300 498, 506 2, 057, 000 2, 806, 737 89, 380, 707 I 125, 676, 446 Table exhibiting the population of the United States, with the per capita of circulation and deposits, yearly, from 1834 to 18G3. Years. 1834 1835 1836 1837 1838 1830 1840 1841 1842 1843 1844 1845 1846 1847 1848 1849 1850 . 1851 1852 1853 1854 1855 1856 1857 1858 1859 1860. 1861 1862 1863 . . . . General averages Population of United States. Millions. 14.37 14.79 15.21 15. 65 16. 11 16. 58 17.07 17. 59 18. 13 18. 69 19.28 19 88 20.50 21.14 21.80 22. 49 23 19 23. 99 24.80 25 61 26. 43 27 26 28.08 28. 92 29.75 30.60 31.44 32 06 32. 70 33. 36 Circulation per capita. Deposits per capita. Circulation and deposits per capita. Dollars. Dollars. Dollars. 6.6 7.0 9.2 9 5 7.2 8.2 6.3 6.1 4.6 3.1 3.9 45 5.1 5.0 59 5.1 57 6.5 5.3 5.6 7.6 8.1 e g 5.4 4.4 3.7 3. 4 3.0 4.4 4. 4 4. 7 4.3 4. 7 4.1 4 7 5.4 11.9 12.6 16.8 17.6 12.5 13.6 10.7 9.8 8.0 6.1 8.3 8.9 9.8 9.3 10.6 92 10.4 11.9 57 7. 7 6.9 7.0 7. 4 5.2 6.3 6.6 6 3 5.6 7.2 5. 7 7.1 7.0 7.6 8.0 6.2 8.5 8.1 8. 0 9.1 11.8 11.4 14.8 13.9 14.6 15.4 11.4 14.8 14.7 14.3 14.7 19.0 6.0 5.9 11.9 CXXIV REPORT OF THE COMPTROLLER OF THE CURRENCY. Number, and average capital and deposits, of the State banks and %>rivate bankers, savingsbanks, and trust and loan companies, in each of the States and principal cities of the Union, with the United States taxes paid b\j them on capital and deposits, for the six months ending Sftvp.mlip.r 30, 1 87f». 30. 1875. States, Territories, and serve cities. Taxes paid. I Number. Capital. | Deposits. On capital. On deposits.! Total. Maine New Hampshire Vermont Massachusetts Boston Ithode Island Connecticut New York New York City Albany ~. New Jersey Pennsylvania Philadelphia Pittsburgh Delaware Maryland Baltimore District of Columbia Washington Virginia West Virginia North Carolina South Carolina Georgia ,. Florida Alabama Mississippi Louisiana New Orleans Texas Arkansas Kentucky Louisville Tennessee Ohio Cincinnati Cleveland Indiana Illinois Chicago Michigan „ Detroit Wisconsin Milwaukee Iowa Minnesota Missouri Saint Louis Kansas Nebraska Oregon California San Francisco Colorado Nevada Utah New Mexico Wyoming Idaho Dakota Montana Washington Totals . C7 70 2L $271, 992 151,000 200, 000 918, 000 56 107 351 461 13 4 002, 575 4, 002, 575 3, 002, 093 3.0(52, 093 11, 090, 624 1, 090, 624 49, 098. 518 19, 098. 518 3, 144,067 360 63 50 9 19 40 1 15 81 23 20 19 70 4 23 24 4 23 100 14 09 20 29 201 10 141 313 4G 141 14 ' 87 ; 11 ! 241 03 157 ] 59 102 | 33 | 8 ! 82 40 ! 29 10 6 3 3 Si 507 567 233 2, 555, 575 13,013,220 2, ^ 0 , 970 5, 076, 083 620, 563 745, 513 4, 0-<4, 589 20, 000 546, 825 3, 521, 630 1. 309, 503 909, 169 1, 044, 376 5, 114, 917 45, 000 1,195, 208 1, 098, 101 13, 667 3, 012, 520 3, 289. 380 241, 437 7, 374, 523 5, 983, 317 1, 044, 660 6, 238, 334 2, 206, 393 754,570 5, 037, 277 5, 503, 995 5, 136, 631 2, 607, 820 1, 088, 866 1, 233, 454 645, 231 4, 223, 639 1,113, 224 3, 569, 076 8, 515, 426 1, 574, 804 368, 545 625, 922 8, 696, 709 13, 836, 856 452, 638 252, 777 141,455 19,949 121,193 29, 651 89, 319 175, 589 8.30,964,822 i 3;), 588, 040 7,821,859 i 150,092,741 j 83,891,243 ! 54.019,405 i 79, 735, 441 ! 148,932, 948 i 288, 750, 417 12, 853, 859 i 30.905,114 | 41,998,950 ; 43, 182, 210 13, 858, 933 1,003,052 I GOO. 302 24, 183, 797 ' 34,897 ; 3, 000, 860 | 7, 404, 184 $670 301 614 2,238 5, 386 9, 592 6, 117 23, 780 92, 297 876 5,960 30,869 i 6, 824 ! 13,331 I 1, 595 I 1,606 9, 669 50 I 293 8, 720 3, Sl'ti, 104 1 3, 409 1,432,522 ! 2,273 903, 020 2, 611 3,390,830 ] 12, 787 205, 291 | 113 1,514,792 I 2,838 1, 2L1,751 2, 224 114,225 ! 19 G, 422, 953 | 9,031 3, 988, 290 i 7,970 187,344 j 595 0, 206, 108 17, 976 5, 807, 790 I 14, 028 2,312,245 ! 3,902 18,700,260 j 14,173 9, 0 19, 499 j 4,510 11, 039, 899 j 1,724 11,525,574 | 11,915 19,540,207 ; 12, 552 10, 148, 039 i 10, 955 4, 931,949 ; 6,400 6,258,830 I 2,199 3,877,94 7 2,776 5, 847, 490 1,568 9, 484, 508 10,149 2, 400, 915 2,616 8, 234, 400 7,854 28, 173, 141 20, 640 2, 404, 910 3,818 1, 007, 372 921 1, 200, 773 1,465 17, 624, 409 21,144 85, 586, 402 33, 539 1,011,300 1,132 1, 777, 932 632 G29, 770 354 32, 388 17, 333 " 50* 66, 476 303 113, 996 74 79, 478 223 162, 952 439 6 i 4 I 4,488 214,272,197 1,371,716,487 474, 689 $9, 296 11, 140 5, 838 9,121 23, 597 47, 7G8 51, 037 115, 808 300, 754 11, 248 31,424 102, 924 73, 969 26, 334 1,747 1,207 20, 160 87 8,169 17, 593 9, 658 3, 581 2, 245 8, 492 513 3,787 3, 029 280 12, 512 9,971 468 15, 515 14, 520 5,781 45, 281 22, 425 16, 635 25,156 46, 813 22, 456 12, 330 15, 647 9,612 14, 619 23, 517 5,962 20, 586 69, 262 6,012 2,518 3,017 35, 519 137,178 2,528 4,445 1,574 81 43 166 285 199 407 $9, 966 11, 441 6, 452 11, 359 28, 983 57, 360 57, 154 139, 588 393, 051 12, 124 37, 384 133, 793 80, 793 39, 665 3, 342 2,813 29, 829 137 8, 462 26, 313 13,067 5,854 4, 856 21, 279 626 6, 625 5,253 305 21, 543 17, 941 1, 063 33, 491 28, 548 9, 683 59, 454 26, 935 18, 359 37, 071 59,365 33,411 18, 730 17, 846 12, 388 16,187 33, 666 8,573 28, 440 89, 902 9, 830 3,439 4. 482 56; 663 170, 717 3,660 5,077 1,928 81 93 469 359 422 846 1,503,852 1, 978, 541 NOTE.—In the foregoing table the number of State banks and private bankers is 3,766, their average capital $209,261,844, their taxable capital $185,480,794, and their average and taxable deposits $486,916,422. The number of savings-banks having capital is 27, their capital $5,010,354, taxable capital $4,396,349, deposits $39,146,648, and taxable deposits $14,015,273. The number of savings-banks without capital is 695, their deposits $845,653,419, and their taxable deposits $100,608,736. REPORT OF THE COMPTROLLER OF THE CURRENCY. CXXV Resources and liabilities of State hanks at the dates named. Maine, Nov., 1875. Loans and discounts Overdrafts United States bonds Other stocks, bonds, &c Due from banks Real estate Other investments Expenses Cash items Specie Legal-tenders, bank-notes, &c. K » ' rp shire, May, 1876. 3 banks. RESOURCES. 1 bank. $295,026 | 7«n>«nt,. , July, 1876. 700 I 55, 085 4,000 j 4,000 4,875 12, 762 1,'854 | ' i ! April, 1876. 5 banks. $57,258 I 1875. 15 banks. 4 banks. ^1,297,625 j , 519, 062 | 40, 750 290, 200 26, 570 500 9,657 121,931 199. 929 40, 794 5, 032 3,542 18, 407 2,179 199, 228 $2, 500, 088 8,283 336, 768 790, 460 97, 821 16 5,197 55, 547 8,206 115, 566 "i6,899" 265 384,117 81,014 1, 721, 930 5, 091, 697 3, 917, 952 Capital stock Circulation Surplus fund Undivided profits . Dividends unpaid . Deposits Due to banks Other liabilities ... 225, 000 3, 555 50, 000 2S0, 000 3, 227, 850 20, 589 12, 094 2,584 29, 585 2,611 1, 405, 013 1, 450, 000 28, 727 328, 980 Totals. 384,117 I Totals. 56, 628 LIABILITIES. 32, 903 1,695 118, 977 1,987 1,170 Resources and liabilities of State Loans and discounts Overdrafts United States bonds Other stocks, bonds, &c Due from banks Real estate Other investments Expenses Cash items Specie legal-tenders, bank-notes, & c . few York City, Septem ber, 1876. 56 banks. RESOURCES. New York, September, 1876. 28 b a n k s . $24, 734,132 77, 765 $38,328,677 15,705 I 3, 081, 086 3, 333, 591 621, 234 47, 598 200, 601 441, 229 69, 480 975, 421 4,137,437 I 3,550,522 1,625,480 I 43,592 287,118 7, 337, 987 1, 540, 463 10, 310, 526 2,137 252, 351 14, 232 1, 303, 274 231 943 41, 458 5," 210 1, 680, 323 423,179 1,533 5,091,697 i 577 17,173 3, 917, 952 banks—Continued. Pennsylvania November, Maryland, June, 1876. 11 banks. 122 b a n k s . 13 banks. $3,160, 675 1,910 135, 693 111, 989 946, 614 196, 678 37, 561 22, 247 26, 095 7,178 272, 098 $23, 785, 485 j , 1876. 3, 2, 1, 4, 020, 949, 562, 278, 410, 763 062 012 560 255 51,033 2, 433, 243 Totals $5, 291,176 1,002 73,715 954, 927 390, 221 602, 631 96, 659 22, 803 262, 302 6, 321 789, 446 8, 491, 203 LIABILITIES, Capital stock Circulation S urplus fund Undivided profits . Dividends unpaid . Deposits Due to banks Other liabilities . . . 9,128,117 38, 334 1,192, 045 1, 985, 307 15, 335, 200 32,101 1, 372, 711 4, 036, 033 17, 312, 776 2, 147, 287 1, 778, 271 Totals. 33, 582,137 39,462,136 6,639, J28 300,198 1, 620. 000 9; 589 297, 332 20, 399 9,988 2, 780, 035 136, 595 44, 800 21,130, 570 1,609,489 2, 658, 777 3, 457,137 16, 499 167, 979 306, 785 48, 973 4, 213, 780 272, 276 7,774 67,177,507 I 4, 918, 738 38, 490, 413 j 8, 491, 203 10,876,619 I 590 1,307,620 I 906,748 CXXVI REPORT OF THE COMPTROLLER OF THE CURRENCY. Resources and liabilities of Slate District of Columbia, Oct., 1876. RESOURCES. 5 banks. Loans and discounts Overdrafts United States bonds Other stocks, bonds, &c Due from banks Iteal estate Other investments Expenses Cash items Specie Legal -tenders, bank-notes, &c Totals . . West Vir- ! South Caroli- Georgia, b 1 ,8187b!i £ bi n iral'8 7Octo- || na, October, Jan'y, 1876. 76 e 5# 1875> 19 banks. $3, 236, 876 2,264 , 65,719 I 893, 172 | 245,888 I 75,023 i 110, 059 ! 53,679 j 27,889 ! 1, 723 i 241,891 ! 1, 493, 520 Capital stock Circulation Surplus fund Undivided profits . Dividends unpaid . Deposits D u e to b a n k s Other liabilities . . . 4,954,183 ; i banks. 10 banks. •*2,160, 952 3, 295 100,450 206,253 71,902 21,016 8,288 23,883 1,036 8 batiks. §996, 088 $1, 000,138 319, 484 81,130 132, 970 194. 596 2C\ 008 28, 620 39, 632 69, 429 7,301 17, 084 17, 056 i I : : 120, 377 96, 626- 1, 670, 653 1, 275, 886 141,308 i 2,798,383 j 659, 611 585, 783 756, 700 30, 991 232 1,213,344 27, 753 92. 205 194, 906 1, 363 2, 628, 297 155, 438 26, 515 85, 395 35, 310 2, 924 1, 946, 715 64, 653 3,775 50, 000 124,116 2, 775 899, 903 72. 607 135,469 22, 500 92,410 320,177 71,356 12, 743 1, 493, 520 4, 954,183 2, 798, 383 1, 870, 653 1, 275, 886 1,855,399 j Totals. Resources and liabilities of State Xew Orleans, ' Jan'y, 1876. RESOURCES. 6 banks, Loans and discounts Overdrafts United States bonds Other stocks, bonds, &c Due from banks Real estate Other investments Expenses Cash items Specie Legal-tenders, bank-notes, &c . Totals hanks—Continued. i banks—Continued. Kentucky, j Missouri, Texas, | Arkansas, July, 1876. j June, 1876. June, 1876. \ July, 1876. 9 banks. 1 bank. $106,173 2, 551 38 banks. ! 109 banks. $13,179, 540 4,691 $5,195, 358 .$934, 675 4,819 1, 235, 277 1, 025, 733 712, 444 33, 552 89, 341 247,109 126, 052 36, 048 30, 063 165, 278 2,551, 716 11,564 336, 275 76, 015 1,191,753 |22, 027, 877 52,127 389,451 1, 612,199 2,780,117 892, 253 577, 127 265,149 126, 514 5, 279 4, 358, 691 1, 815, 946 262, 865 18, 413,148 33, 086, 784 819, 208 50, 000 10, 919, 358 75,980 I 2,146 i 680,297 1,686,517 I 633, 310 | 1,011,402 25,638 ! LIABILITIES. Capital stock Circulation Surplus fund Undivided profits . Dividends unpaid . Deposits Due to banks Other liabilities . . . Totals. 3, 584. 500 9.217 | 266. 219 6, 300, 854 431, 736 326, 832 94*822' 100 800, 104 97, 326 4,386 10, 919, 358 1,815,946 j 6,000 87 205, 778 1,000 8, 691, 016 227 792 566, 708 807, 784 139, 802 7, 341, 348 537, 372 101, 326 18, 413,148 8,150, 066 826, 656 842, 923 161, 662 22, 611, 980 248, 205 245, 292 33, 086, 784 REPORT OF THE COMPTROLLER OF THE CURRENCY. CXXYII Resources and liabilities of State RESOURCES. banks—Continued. Ohio, ! Indiana, Michigan, "Wisconsin, Jan'y, 1676. Oct., 1675. June, 1876. July, 1876. 21 banks. Loans find, discounts Overdrafts United States bonds Other stocks bonds, &c Due from banks Real estate ° Other investments Expenses. . Cash items Specie Legal-tenders, bank-notes, &c 13 banks. 26 banks. 26 banks. $5, 930, 721 95, 771 4,095,338 1, 983, 561 9, 969, 317 10 617, 868 1,171,480 870, 850 2, 228, 510 33, 758 67,185 244, 287 1, 328, 634 1 404 2,774,049 | 1, 002, 800 34,641 ! 5,701 115,168 3, 267 7, 271, 488 225, 032 2,189,681 4,095,338 | 1, 983, 561 Totals $2, 953, 356 $1, 453. 675 $7, 081, 742 31, 840 10; 330 61,904 61 054 106 592 798 849 191, 556 216,258 : 821,107 17, 882 220, 275 38, 449 155,583 \ 14, 931 87, 663 5, 4-25 945 601,715 ! 189, 314 927, 841 9, 969, 317 10, 617, 868 823 226 2,159, 673 172, 580 6,790 629,143 40 472 759, 492 LIABILITIES. Circulation Surplus fund Undivided profits Dividends unpaid I | Due to banks Other liabilities Totals Besources and liabilities of State RESOURCES. banks—Continued. Iowa, Minnesota, Kansas, Sept., 1876. Oct., 1876. July, 1876. 49 banks. Loans and discounts Overdrafts United States bonds Other stocks, bonds, &c Due from banks Real estate Other investments Expenses Cash items Specie Legal-tenders, bank-notes, &c . 7, 098,149 10 banks. 19 banks. 6, 827, 450 Totals . 30, 905 7,804 452, 702 135, 247 194, 707 38, 536 23, 643 27, 078 17, 266 1,234 149, 040 $1, 286,104 17, 234 12,312 78, 442 244, 535 135, lt?8 26, 6 LI 20, 579 1, 402 1,271 182, 828 2, 008, 378 2, 006, 506 2, 284, 755 766, 863 751,136 50, 000 442, 270 64, 024 64, 380 1,275 1, 047, 203 53,164 11, 469 22, 453 106,258 1, 099, 353 2, 708 24, 598 2, 008, 378 2, 006, 506 $5, 441, 731 $1, 404, 730 16, 897 520, 348 288, 812 85,148 LIABILITIES. Capital stock Circulation Surplus fund Undivided profits . Dividends unpaid. Deposits Due to banks Other liabilities... Totals. 3, 943, 059 ~"*i07?"366 6, 827, 450 CXXVIII REPORT OF THE COMPTROLLER OF THE CURRENCY. Resources and liabilities of savings-banks organized under State laws, at the dates named. N. H., May, 1876. Maine, Nov., 1875. 63 banks. | 68 banks. 8, 666, 485 Loans on real estate Loans on personal and collateral security United States bonds State, municipal, and other bonds and stocks Railroad bonds and stocks Bank stock Real estate Other investments Expenses Due from banks Cash ; Term on t, July, 1876. 15 banks. 888,955 | 180 banks. ! 38 banks. 1,120,400 I 41,294,111 11,811,594 654, 875 18, 228, 338 5, 978, 256 4, 141, 999 1, 200, 400 354, 443 342, 92S 96, 937 461, 50, 78, 60, 365, 690 312 258 572 259 86, 286 201, 223 878,122 16, 969, 007 9, 347, 045 24, 698,165 3, 266, 886 693, 899 218, 455 5, 006, 933 2, 202, 393 32,083,314 ! 32,664,535 6, 965, 536 241, 205,177 30, 757, 651 ! 31,198, 064 421,523 , 731, 487 1, 466, 471 Totals . Conn., R.I., Nov., 1875. Jan'y, 1876. 87 banks. $8, 719, 021 j $3, 886, 661 $119, 279, 945 P28, 846, 390 $55, 363, 219 5,839,846 j 8,932,550 759,197 | 2,019,879 9, 620, 410 4, 217, 289 893, 589 363, 599 833, 944 Mass., Nov., 1875. 6, 653, 540 254, 717 6, 946, 833 1, 864, 916 2, 483, 077 290, 948 47, 728 951, 245 5, 060, 710 4, 974, 423 5, 816, 506 960, 475 3, 777, 878 574, 744 283, 666 2, 726, 037 53, 242, 731 79, 537, 658 51,311,331 76, 489, 310 2, 392, 500 LIABILITIES. Deposits Surplus fund Undivided profits. Other liabilities... Totals 172, 653 I 32, 083, 314 | 32, 664, 535 57,279 234, 974, 691 5, 691, 416 539,070 1, 829, 965 101, 435 655, 848 79, 6, 965, 536 j 241, 205,177 j 53, 242, 731 537, 658 Resources and liabilities of savings-banks—Continued. Penn., New York, N. J., Jan'y, 1876. j Jan'y, 1876. Nov., 1876. Maryland, i Minnesota, California, Nov.", 1876. Dec, 1875. July, 1875. KESOURCES. 154 banks. ; 40 banks. 4 banks. 8 banks. Loans on real estate $122,147, 684 $15, 322, 415 | $7, 207, 417$4,003,940 Loans on personal and col3, 771, 836 lateral security 054,855 | 3, 214, 040 1, 858, 826 United States bonds 118,838 I 4, 963, 561 2, 270, 375 5, 173,138 State, municipal, and other 107, 734, 034 8, 338, 580 3, 693, 835 bonds and stocks 4, 242, 248 Railroad bonds and stocks 1, 592, 932 41, 400 1, 775, 945 136,127 Bank stock 595, 173 75, 967 Real estate 545,980 412,072 200, 921 349, 515 421,277 I 90,508 Other investments , 113,961 75,123 Expenses 3, 394 187, 029 197, 946 Due from banks 528, 964 "i, 169, 275 565, 969 Cash 598,291 953, 311 Totals I 353,796,336 34,332,922 \ 18,553,376 j 20,064,068 | 4 banks. | 25 banks. $58,066 12, 658 866 1,301 3, 984 25, 546 102, 421 $76, 053, 051 99, 539 356, 842 2, 296, 038 78, 805, 470 LIABILITIES. Deposits Surplus fund , Undivided profits. Other liabilities 319, 260, 202 32, 450, 313 33,689,701 ! 1,212,602 846,433 34,332,922 19 077, 026 90, 839 81, 345 879, 732 25, 965 5,154 6,428 18, 553, 376 20 064, 068 102, 421 670, 007 353,796,336 Totals . 16, 627 820 1, 340 862 584 694 72 569 103 6 236, 367 78 805, 470 * Condition of the San Francisco savings-banks, as taken from the San Francisco Commercial Herald. Deposits. Tear. January, 1875... July, 1875 January, 1876... July, 1876 Loans. Gross earnings. Reserve fund. $55, 021,177 $56,112, 999 I $2, 557,151 $2, 632, 59,133, 909 60,886,503 2,911,849 3, 209, 56, 260, 964 56,607,408 2,943,388 3,185, 57, 599, 315 57, 451, 428 I 2, 847, 270 3,148, 932 434 928 251 Expenses and Federal Aggregate dividends. taxes. $222, 239, 258, 264, Cash on hand. $1,529,211 485 $2,232,567 699 2, 457, 974 1, 501,193 012 2,486,039 I 2,726,576 487 2,433,289 I 2,461,318 NOTE.—There were 72,455 depositors, on July 1, 1876 ; average to each depositor, about $795. REPORT OF THE COMPTROLLER OF THE CURRENCY. CXX1X Besources and liabilities of trust and loan companies at the dates named. Conn., New York, P.. I.. N. J\, Mass., Nov., 1875. Nov., 1875. April, 1876. D e c , 1875. J a n ' y , 1876. Penn., Oct., 1876, RESOURCES. 1 bank. 6 banks. Loans and discounts $8, 926,185 $5,011,339 Overdrafts 286, 265 200, 000 United States bonds 619, 045 2, 180,211 Other stocks, bonds, &c 1, 258, 292 180, 653 Due from banks 116, 090 lieal estate 411, 953 57, 363 Other investments 700 Expenses Cash items Specie 232, 862 77, 392 Legal-tenders, bank-notes, &c Totals 12 banks. 10 banks. $2, 865, 413 $39, 22 778 13, 686, 379 8, 747,401 2, 1, 574, 081 1, 17, 376 118, 609 51,983 710, 562 2 banks. $322, 991 2 108 12, 428 6,914 39, 902 7,017 52, 403 7 bank So $19, 772,15T °29 250 121, 555 32, 913 7, 823, 748 11, 734, 602 99, 622 2, 354, 373 6, 588, 097 1,436,945 2, 007? 932 960, 777 58, 922 2,850 5,071 2,145, 484 6,183, 642 66, 094, 903 476, 676 35, 332, 608 638, 706, 009, 028, 590, 580 592 444 527 393 LIABILITIES. Capital stock Circulation Surplus fund Undivided profits Dividends unpaid Deposits Due to banks . Other liabilities 2,165, 600 500, 000 2, 450, 000 9, 611, 600 201, 600 6, 606, 69C 487 332 492 9 190 600 1 125,000 ! 123,972 ! 2,100 ! 2 485 997 820, 378 5, 766, 233 14, 352 249, 472 47, 954, 022 1, 562, 375 410,071 1, 383 25,100,147, 06, 079 4, 520, 600 95 257, 549 3,080 377, 091 980 2, 829, 677 82, 607 Totals 11, 734, 602 7, 823, 748 6,183, 642 66, 094, 903 1,651,942 2, 513, 576 476, 676 35, 332, 608 Aggregate resources and Uabilites of trust and loan companies, 1875 and 77O.. 1874-75.RESOURCE?. 35 banks. Loans and discounts Overdrafts United States bonds Other stocks, bonds, &c Due from banks Heal estate Other investments Expenses Cash items Specie Le^altenders, bank-notes, &c . 38 banks. $65, 900, 174 16, 883 086, 842 323, 062 837, 605 733, 357 880, 342 92, 894 186,004 122, 890,175 Totals . $76, 608, 647 24, 886 16, 491, 646 18, 847, 238 5, 672, 637 4, 733. 647 2, 090, 265. 178, 231 54, 833 234,3-21 2, 709, 828 127, 646, 179 21, 854, 020 21, 535, 490' 6, 967, 693 582, 867 18, 921 85, 025, 371 121, 441 8, 319, 862 8, 288, 825 534, 375 254, 522 87, 817, 992 151, 766 9, 063, 20!> LIABILITIES. Capital stock Circulation Surplus fund Undivided profits., Dividends unpaid. Deposits Dae to banks Other liabilities Totals . 9 CC 122, 890, 175 127, 646,179 CXXX REPORT OF THE COMPTROLLER OF THF CURRENCY. Aggregate resource* and liabilities of Stale banks from 1873 to 1876. 1874-;75. 1872-'73. 1875-'76. 551 banks. 633 banks. RESOURCES. — banks. Loans and discounts Overdrafts United States bonds Other stocks, bonds, <fcc Due from banks Heal estate , Other investments Expenses Cash items Specie Legal-tenders, bank-notes, &c — 0:111 KS. ^119, 332, 341 £154, 377, 672 212, 772 237, 104 1,961,447 1, 544, 296 16,437,815 9,617, 067 19,050,046 12, 605, 100 5. 372, 186 3, 269, 233 1, 164, 999 i 944, 079 1, 284, 344 886, 34 S 10, 434, 018 18,977,324 1, 980, 083 ; 3, 020, 139 25, 126, 106 ; 8, 347, 776 £176, 308, 949 377, 297 344, 984 23, 667, 950 19, 851,146 9, 005, 657 4, 909, 190 1,353,066 8, 624, 086 1,156,456 25, 740, 215 $178, 983, 496 348, 604 869, 144 19,364,450 23, 096, 812 8, 561, 224 6, 863, 083 1,559,404 9, 059, 547 1, 926, 100 27, 623, 988 178, 881, 407 237, 402, 088 272, 338, 996 278, 255, 852 42,705,834 174, 714 2,109, 732 10, 027, 668 ' 33, 492 110, 754, 034 : 8, 838, 355 4,237,578 59, 305, 532 153, 432 2, 942, 707 12, 363, 205 337, 290 137, 594, 961 14,241,604 10, 463, 357 69, 084, 980 177, 653 6 797,167 9, 002,133 83, 722 165 871, 439 10 530, 844 10, 791 058 ~l*i8, 881, 407 ... 237, 402, 0i8 272, 338,996 Totals LIABILITIES. Capital stock Circulation Surplus fund Undivided profits Dividends unpaid Deposits Due to banks Other liabilities Totals : 278, 255, 852 Aggregate resources and liabilities of savings-bank.-t from 1873 to 1876. 1872-73. 1875-'76. KESOURCES. — backs. — banks. 674 banks. $287, 357, 698 107, 3!U, 457 80, 576, 088 143, 543, 487 16, 793, 388 24, 360, 653 10, 350, 716 6, 519, 359 634, 492 15, 465, 474 8, 236, 580 $315,288,088 168,308,332 66,414,629 148, 456, 231 17,981,807 29, 545, 071 11, 378, 364 8, 780, 263 931, 959 18,431,846 15, 715, 134 $351, 336, 551 181, 143, 206 83, 206, 272 161, 334, 436 20, 690, 901 30, 508, 752 14, 136, 748 11, 354, 781 1, 248, 688 23, 378, 937 17, 858,182 $373, 501, 243 164, 024, 477 108, 162, 624 169,601,399 23,992,313 33, 267, 494 15, 540, 384 20, 730, 050 866, 013 23,011,142 18, 456, 405 701, 229, 392 801, 231,124 896,197, 454 951, 353, 544 Deposits Surplus fund Undivided profits Other liabilities 669,329,917 10, 468, 764 20, 879, 425 551,286 759, 946, 632 12, 590, 196 26, 623, 850 2, 071, 046 849, 581, 633 16, 499, 565 29, 072, 493 1, 043, 763 891,459,890 51,321,033 . 5,497,503 3,075,118 Totals 701,229,392 801,231,724 896,197,454 I 951,353,544 Loans on real estate Loans on personal and collateral security . . United States bonds State, municipal, and other bonds and stock Railroad bonds and stocks Bank stock Real estate Other investments Expenses Due from banks Cash Totals 686 banks. LIABILITIES. REPORT OF THE COMPTROLLER OF THE CURRENCY. CXXXI Table., by States, of the aggregate deposits of savings hanks, with the number of their depositors and the average amount due to each in 1875 and 1876. 1875-'76. 1874-"75. States. M!aine New Hampshire Vermont Massachusetts Khode Island Connecticut New York New Jersey Pensylvania Maryland Minnesota California Totals Number of depositors. Amount of deposits. Average to Number of each depositor. depositors. Amount of deposits. 96, 799 96, 938 22, 972 702, 099 98, 359 206, 374 872, 498 93, 800 64, 452 49, 500 458 91, 933 $29, 612, 221 30, 2 L4, 585 6, 004, 694 217, 452,121 48, 771, 502 73, 783, 802 303, 935, 649 30, 954, 877 17, 825, 812 18, 338,104 119,163 72, 569,103 $305 91 311 69 261 39 322 87 495 85 357 52 348 35 330 00 276 57 370 46 260 18 789 36 101, 326 100,191 25, 060 720, 639 101, 635 208. 030 859, 738 *93, 000 *64, 000 *49, 000 *400 91, 933 $32, 083, 314 31,198, 064 6, 653, 540 234, 974, 691 51,311,331 76,489,310 319, 260, 202 32, 450, 313 16, 627, 820 19, 077. 026 90, 839 72, 569,103 2, 396,182 849, 581, 633 354 56 2, 414, 952 892, 785, 553 * Estimated. Average to each depositor. $316 326 265 326 504 367 371 348 259 389 227 789 00 01 50 06 85 69 00 92 79 34 09 36 369 69 CXXXII REPORT OF THE COMPTROLLER OF THE CURRENCY. NATIONAL BANKS. Dividends and earnings of the national banks, ivith their ratios to capital, and to capital and surplus, from September 1, 1875, to March 1, 1876. Ratios. States, Territories, and reserve cities. 1 2 % 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 28 29 30 31 32 33 34 35 36 37 38 39 40 4L 42 43 44 45 46 47 48 49 50 51 52 53 54 55 56 57 58 Maine New Hampshire Vermont Massachusetts Boston Rhode Island Connecticut New York New York City.... Albany New Jersey Pennsylvania Philadelphia Pittsburgh ! Delaware .j Maryland Baltimore District of Columbia .. j Washington .j Virginia j West v irginia j North Carolina j South Carolina i Georgia | Florida i Alabama.. i New Orleans : ' Texas j Arkansas j Kentucky .,. ! Louisville j Tennessee Ohio Cincinnati Cleveland Indiana Illinois Chicago . Michigan." Detroit Wisconsin Milwaukee; Minnesota Iowa Missouri Saint Louis Kansas Nebraska Oregon i California j San Francisco New Mexico Colorado Utah Idaho ... Montana Wyoming Dakota Totals Pr. ct. 460, 000 465, 000 568, 700 359, 500 000, 000 579, 800 963. 620 554,691 200, 000 000, 000 215, 350 340, 360 135, 000 530, 000 523, 165 281, 700 4!) 1 , 6 252, 000 j 260, 000 437, 900 | 746, 0i;0 • 200, 000 | 135,000 ! 72(>, 400 i 50, 000 ! 6:20, 000 ! 250, 000 j 200, 000 ! 205, 00 : 311, OI.'O '• 0!»5, 500 | 410,300 ! 9! 16, 000 • 00'i, 000 j 550, 000 | 492, 000 | 201,000 ! 400, 000 j 367.200 I 900, 000 850, 000 650, 000 450, 000 367, 000 635, 00') 360, 300 420, 000 000, 000 250, 000 600, 000 0 '0, 000 300, 000 675, 000 300. 000 100, 000 350, 000 125, 000 3.84 3.69 4.73 3.66 3.18 3.10 4.16 3.72 0.67 $526, 532 252, 430 334, 685 2, 062, 475 2, 006, 810 865, 572 1, 322, 555 1,713,563 i 4, 082, 792 111.500 ; 08 1, 389, 999 919, 680 462, 000 79, 159 123, 543 549, 632 | 10,080 j 61, 000 139,024 93,110 87, 500 137,750 127,055 5, 000 46, 300 V2>, 000 101. 500 342,231 502, 314 4.68 4.06 152, 775 184, 702 4.94 4. 50 154, 280 231, 891 4.52 3.90 1, 071, 024 1, 270, 595 5. 11 4.16 198,0150 244, 353 4.95 3. 97 226, 500 | 249, 635 4.98 4.26 979, 861 1, 129, 955 5.30 4.21 720, 405 1, 032, 081 5.90 4.54 296, 500 786, 433 4.00 2.48 436, 751 597, 448 5. 22 4. 14 110,000 150, 620 5.79 3. 89 169, 749 203, 050 5. 96 4.67 36, 500 62, 681 5. 62 3.70 257, 950 349, 372 5.80 4.85 353, 825 517, 061 5.56 4.43 144, 800 136, 066 5. 50 4.57 103, 500 230, 727 1.63 1.43 108, 450 96, 289 7.64 6.34 76, 000 74, 675 | 7.60 6. 54 30, 000 54, 238 112. 00 [10.00 108.000 103, 927 6.75 I 6.50 145, 000 48, 999 4.83 4.33 19, 500 24, 798 6. 50 5.76 107, 000 89, 256 112.23 9.38 12, 000 23, 859 4.00 2.96 14. 390 12. 20 10. 05 50. 000 j 2,076 1504, 209, 491 134,407,595 24,811,580 | 23,097,920 NOTE.—Figures in bold-face type indicate a loss. 5.00 i 4.17 4.92 ! 3. 88 3.33 3.72 4.31 4.20 3.95 4.60 5.34 3.05 4.76 5.58 5. 50 5.79 5. 65 4.96 4.82 7.18 2. 95 8.01 6. 58 3. 58 5.96 5.44 5.86 4.94 .90 4.70 4.85 6.51 6. 58 5.66 5.33 5. 59 6.36 6.56 6.47 4.29 3.18 5. 63 6.42 18.08 6.25 1.46 7.33 7.83 5. 11.70 13.13 12.18 5.67 3.62 REPORT OF THE COMPTROLLER OF THE CURRENCY. CXXXIII Dividends and earnings of the national banks, with their ratios to capital, and to capital and surplus, from March 1,1876, to September 1, Ib76. Ratios. States, Territories, and reserve cities. No. of banks. Capital. Surplus. | Dividends. Net earn- -2 i If 3 9 10 11 12 13 14 15 16 17 18 19 20 2L 22 23 24 125 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40 41 42 43 44 45 46 47 48 49 50 51 52 53 54 55 56 57 Maine Xew Hampshire , Vermont Massachusetts Boston Rhode Island , Connecticut New York New York City .. Albany ... New Jersey Pennsylvania Philadelphia Pittsburgh Delaware Maryland Baltimore District of Columbia . Washington Virginia West Virginia North Carolina South Carolina Georgia Florida Alabama New Orleans Texas, Arkansas Tennessee Kentucky Louisville Ohio Cincinnati Cleveland Indiana Illinois Chicago Michigan Detroit Wisconsin Milwaukee Minnesota Iowa Missouri Saint Louis Kansas Nebraska Oregon California San Francisco New Mexico Colorado Utah Idaho Montana Wyoming Dakota Total. 71 45 46 180 54 62 81 227 47 7 66 178 31 23 11 17 14 1 4 19 15 15 12 12 1 10 7 10 2 26 42 8 157 6 6 100 130 14 76 3 38 3 33 79 26 7 18 9 1 7 2 2 10 1 1 5 2 1 $10, 610, 000 5, 615, 000 8, 768, 700 44, 122, 000 52, 200, 000 20, 579, 800 26, 007, 320 35, 297,19 L 66, 400, 000 2, 000, 000 14, 233, 350 28, 593, 940 17, 045, 000 10, 510, 000 1, 523,185 2, 281, 700 11, 491, 98.1 252, 000 1, 300, 000 3,391,100 1, 746, 000 2, 496, 000 3, 185, 000 2, 444, 700 50, 000 1, 693, 000 3, 400, 000 1, 025, 000 205,000 3, 400, 300 7, 261, 000 3, 095, 500 20, 603, 000 4, 400, 000 4, 550, 000 17,843,000 11, 591, 000 7, 150, 000 8, 097, 200 1, 900, 000 2, 800, 000 650, 000 4, 430, 000 6, 339, 300 2, 585, 000 5, 450, 000 1, 570, 000 950, 000 250,000 I 1, 700, 000 3, 000, 000 300, 000 1, 275, 000 200, 000 1G0, 000 350, 000 125, 000 50, 000 $2, 412, 832 $507, 77J 990, 808 239, 400 1, 992, 964 351, 128 13, 197, 393 1, 899, 346 12, 955, 706 1, 634, 500 4,319,935 837, 622 7, 449, 422 1, 300, 378 8,19fi, 051 1, 794, 048 18,861,309 2, 775, 250 102, 000 1, 470, 000 675, 868 3, 924, 426 7, 745, 661 1,349,317 7, 444, 223 914,500 3, 034, 992 445, 000 448,615 79, 159 652, 593 122, 543 488, 807 2, 425, 387 10, 080 44, 000 62, 000 280, 500 135,519 782, 200 82, 675 440, 791 93, 500 257,281 461, 039 133, 250 445,901 84, 795 1, 026 2, 500 168. 160 59, 250 530,217 134, 500 284, 500 48, 500 19, 000 29, 000 564,061 147,680 1, 194, 034 338, 250 328, 420 152, 775 4, 560, 687 1,119, 000 218, 000 990, 000 244, 500 713, 231 915, 020 4, 807, 181 618, 7(52 3, 771, 937 210, 000 4, 787, 500 482, 732 2, 106, 077 105, 000 925, 000 142, 950 790, 927 134, 500 240, 000 247, 750 894, 082 328,100 1, 568, 827 111,250 551, 255 189, 000 899, 020 27, 350 269, 542 52, 000 171, 600 30, 000 50, 000 97, 000 85, 022 100, 000 259, 000 10, 500 40, 065 85, 000 273, 500 35,000 I 12, 000 20,333 ! 20, 000 40, 000 77,250 20, 595 10, 000 2,500 5SS Pr.ctPr.ct. $601, 857 4.79 3.90 159, 091 4.26 3. 62 332, 115 4.00 3.26 1, 792, 736 4.30 3.31 1, 097, 636 3.13 2.51 900, 036 4.07 3. 36 1, 215, 190 5.00 3.88 1, 227, 526 5.08 4.12 1, 445, 239 4.18 3.25 105,137 5.10 2.94 743, 360 4.74 3.72 1. 273, 834 4.72 3.71 1, 032, 570 5.37 3.73 462, 363 4.23 3.28 91,803 5.20 4.01 124, 274 5.37 4.18 168, 089 4.25 3.51 13, 627 4.00 3.40 63, 522 4.77 3.92 130,172 4.00 3.25 105, 214 4.74 3.78 129, 647 3.75 3.40 98, 633 4.18 3. 65 2.93 26, 675 3.47 4.90 5.00 3, 565 3.50 3. 18 39, 483 3.96 140, 477 4.73 3. 42 73, 103 9.27 3.70 5,430 4.34 8.12 174, 999 4.66 3.73 414,966 4. 94 4.00 156, 508 5.43 4.46 977, 890 4.95 4.45 224, 539 5.37 4.04 166, 056 5.13 4.65 979, 016 5.34 4.04 778, 666 2.94 4.03 762, 581 5.96 1.76 485, 950 5.53 4.73 128, 342 5.10 3.72 3.98 212, 993 54, 268 20.69 15. 11 284, 551 5.59 4. 65 282, 153 5.18 4.15 166, 975 4.30 3.55 94,145 3.47 2.98 61,817 1.74 1.48 49, 577 5.47 4.64 47, 248 2.00 .0.00 115,025 5.70 5.43 196, 698 3.33 3.07 21, 728 3.50 3.09 45, 051 6.67 5.49 15, 071 6.00 5.11 7,360 20.00 16. 62 .43 9.36 19, 354 10,781 3.519 5.00 4.17 2,081 (500,482,271 1135,251,078 22, 563, 829 20, 540, 231 4.50 3.57 I Pr. ct. 4.62 2.41 3.09 3.13 1.68 3.61 3.63 2.82 1.70 3.03 4.09 3.51 4.22 3.41 4.66 4.23 1.20 4.60 4.02 3.12 4.81 4.70 2.70 0.92 6.99 2. 12 3.57 5.58 2.32 4.41 4.90 4.57 3.89 4.17 3.16 4.32 5.07 6.39 4.76 4.54 5.93 6. 10 5.34 3.57 5.32 1.48 3.36 4. 42 15.75 6.44 6.04 6.39 2. 92 6.41 6. 12 4.53 7.40 5.86 3.25 CXXXIV REPORT OF THE COMPTROLLER OF THE CURRENCY. Table, by States and reserve cities, of the ratios to capital, and to capital and surplus, of the | Ratio of dividends to capital for six months ending— Ratio of States, Territories, and reserve cities. 1872. 1873. 1875. 1876. 1872. Mar.'.Sept. JMar. |Sept Mar. :Sept. j Mar. Mar. Sept. Mar. Sept. Sept. . 1 . 1 . 1 . 1 . 1 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40 41 42 43 44 45 46 47 48 49 50 51 52 53 54 55 56 57 58 59 Maine New Hampshire Vermont Massachusetts Boston Rhode Island Connecticut New York New York City. Albany New Jersey Pennsylvania Philadelphia Pittsburgh Delaware „ Maryland Baltimore District of Columbia Washington Virginia West Virginia North Carolina South Carolina Georgia Florida Alabama New Orleans Texas Arkansas Kentucky Louisville Tennessee Ohio Cincinnati Cleveland Indiana Illinois Chicago Michigan Detroit Wisconsin Milwaukee Iowa 'Minnesota Missouri Saint Louis Kansas Leavenworth N ebraska Oregon California San Francisco New Mexico Colorado Utah Wyoming Idaho Montana Dakota Averages ;Pr. ct. Pr. t:t. Pr. ft i 5. 1 5.2 j 4. 8 . j 4. 8 .': 5. 4 j 4.7 ; 4.4 5. 2 4.7 4. 9 ! 4.1 ; 5. 7 | 5. 4 " " 5.7 5.4 5. 1 5. 1 5. 1 | j 2. 6 '•• 4 . 6 5. 4 ; 6.0 5. 4 4. 9 3. 4 5. 6 4.4 4. 2 5. 4 5.8 5.8 4. 9 4.2 5.4 5.7 6. 5 5. 3 4. 9 4. 9 4.8 5. 2 5. 2 3.2 4. 6 10. 0 7. 1 6. 0 4.6 4.6 5.4 4. 5 4.4 5.3 4.4 4. 7 5. 7 5 4 5. 2 5.8 5.3 5. 1 5.3 5. 3 4.0 4.6 4.7 5.3 5.0 5.1 5.3 5. 5 4.7 4.7 5.5 4.4 4.4 5.4 5.1 4.8 4.8 5.4 5.4 5 3 5.3 5.0 5.0 5.8 5.8 5.5 5.5 5. 1 5. 1 5.2 5.2 5. 1 4.0 5.0 4.8 5.3 5.3 4. 2 5.3 6.4 ! 4.3 5. 5 5. 3 7.7 11.2 4.8 5.0 6.0 6. 0 5.4 5. 1 5.9 5. 5 6. 2 6.1 5. 0 4.9 19.0 14. 1 5.9 4. 7 3.2 V. ct. Pr. ct. 5. 5 6. 1 4.3 4.8 5.3 4.7 5.4 5.1 4.9 4.4 4.5 4.2 5. 2 5. 1 4. 6 4.7 4. 7 4.6 4.7 4. 9 5.2 4.9 5. 4 4.9 5.4 5. 5.2 4.8 5. 8 5.8 5. 6 5. 1 5. 5_ 1 5.1 5. 1 5. 0 5. 1 5.0 5.0 4.9 4.0 4.0 4.6 2.4 4. 1 4.7 5.4 4.5 5. 5 4.6 4.8 4. 1 5.2 j 5.4 5.4 4.9 4.6 5.2 4.7 4.3 4.7 2.5 5.8 3.7 4.6 3.7 4.7 5.0 4. 9 3.7 4.8 5.7 4.0 5.8 3.6 9. 3 3.3 4.8 5.0 5. 4 5.3 5. 5 4.9 5.6 7.0 5.0 3.4 3. 9 3. 3 4.7 4.5 5. 6 5.7 4.9 4.9 6.5 5.6 4.1 6.2 5. 6 5.5 4. 7 5. 2 6.2 5. 1 5. 5 5. 5 5.9 5.3 4.7 6. 0 3.6 6.7 5. 3 5. 9 5. 6 6. 0 5.9 4. I) 4. 9 7. 1 ! 5. 0 4.6 i 4.9 5. 3 6.9 6.4 j 3.9 3.7 5.7 ill 3.2 6.6 j 6.8 9.8 4.8 6.0 6.0 6. 0 6.0 5.0 3.0 5.6 0. 8 5.0 5.8 5. 0 6.4 \ 7. 0 7.0 7.0 6.5 6. 5 2. 5 3.3 4.5 ! 2.8 2.8 115.0 4.4 50. 0 ' 14. 0 15.0 12.0 23. 0 12. 0 3.4 A 3.9 6.0 \ 5.1 : 5.1 5.2 4.5 4.8 5.0 5.1 5.1 5. 7 5.4 5.1 5.2 5.7 4.0 8.0 4.3 4.3 4.7 4.3 5.3 17.2 6.0 6.6 6.6 6.5 17.9 13.1 2. 7 i 4. 0 'r. ct. 5. 4 4.9 4.6 5.3 4.1 4.5 5.4 4.6 4.5 4.7 4.8 5.0 5.5 4.8 5.2 5.4 5.1 4.0 4.7 4.6 5. 1 4.2 4.4 3.7 Pr. ct.!Pr. ct. 5.0 4.8 4.6 4.3 3.9 4.0 4.6 4.3 3.9 3.1 4.2 4. 1 5.1 5.0 4.8 5.1 6.0 4.2 5.6 5.1 4.7 4.7 4.7 4.7 5.4 5.4 4.4 4.2 5.2 5.2 5.4 5.4 4.8 4.2 4.0 4.0 4.8 4.8 4.1 4.0 5.3 4.7 4.0 3.7 4.4 4.2 •4. 7 3.5 10.0 5.0 2.9 3.5 3.7 4.0 8.5 4.7 9.3 4. 7 4. 3 4.9 I 4.7 Pr. ct. Pr. ct. 4. 3 I 4. 4 4.1 4.0 4.2 4.0 4.3 4.2 3.9 3.7 3.9 3.9 4.3 4.3 3.9 3.6 3.9 3.7 3.0 3.9 4.6 4.3 4.3 4.2 4.1 4.1 4.2 4. 1 4.1 4. I 4.4 4.5 4.3 4.5 3.7 2 1 3.7 4.2 4.2 4.9 4.8 5.7 4.8 5.0 4.8 4.4 4.7 3.9 5.4 4.0 6.2 5.3 7.0 4.5 4.6 5.5 4.7 4.9 4.2 4.6 3.7 4.5 4.4 4.8 4.7 4.5 5.0 5.1 4.3 3.8 4.2 4. 1 3.8 15.2 4.0 9.6 4.6 5.1 4. 2 17 2.9 2^8 4.4 5.0 7.3 6.4 5.9 5.9 ; 5.8 3.9 4.9 4.5 I 4 . 9 5.3 5. 1 5. 4 4. 9 ! 4. 9 5.0 I 5.4 5. 3 | 5. 1 5.6 120.7 5.6 5.2 4.3 3.5 1.7 7.6 7.6 5.5 6.0 12.0 12.0 6.3 6.7 5.7 6.5 4.8 3.3 6.5 6.5 3.5 6.3 ; 6.9 7.2 12. 2 6.7 2. 1 S 2. 8 4.0 4.0 6.0 21.8 I 20. 0 20. 0 20.0 20.0 12.7 111. 7 11.8 12.5 3.6 12.2 11.4 110.9 ! i 4.5 I . . . . 5.0 5 . 0 I i . 1 j 4. 8 | 5. 1 : 5. 0 4.9 j 4 . 9 4. 5 | 4 . 2 [ 4 . 2 REPORT OF THE COMPTROLLER OF THE CURRENCY. CXXXV dividends and earnings of national hanks, from March 1, 1872, to September 1, 1876« dividends to capital and s urphis for months em ing— 1874. 1873. Mar. Sept. 1. i 1S70. Ratio of earn ngs to capital and surplu a for s i x months endin tI— 1873. 1872. 1874. Mar. Sept, Mar. Sept, Mar. Sent, Mar Sept jMar. Sept. Mar. 1. 1. 1. 1. 1. 1 1. ; 1. 1. 1. ; I. Pr. ct. Pr. ct. Pr ct Pr. cf. 4.6 4.6 5. 1 4.4 4.0 3.7 4. 1 4. 1 4.4 3.9 3.8 4.0 4.2 4.1 3.9 ! 4.0 4.0 3.9 3. 5 i 3. 7 3.9 3.8 3.6 3.6 4.3 4.1 4. 0 4.1 4.2 3.8 3. 8 3. 7 3.7 3. 5 : 3. 6 3.7 3.7 3. 3 3.5 3.3 4,3 3.9 4.0 4.2 4.1 3.8 4.0 4.0 4.1 4.1 4.0 4.0 4.3 4.2 3.8 4.1 40 4 0 4. 0 4. 0 4.4 4. 1 4. 2 4. 2 4 2 4.1 4. 1 4. 7 3.6 3. 6 3. 5 3.6 3.7 1.9 6. 2 3.9 4.2 3.6 4. 0 3. 7 4.7 4.7 3.9 3.7 5.0 5.1 4.3 4.3 3.8 4.3 3.1 ! 3.8 4.5 4.7 4.6 4.6 4.0 5.0 9.6 IS 75. six Pr. ct. 4.3 4 1 3.8 4.0 3.5 3.8 4.0 4.1 3.6 3.5 3.9 3.9 4. 1 3.9 4 0 4.4 4.2 3.5 3.9 3.8 4.2 3.9 4. 2 5.1 4.5 4.7 5.0 4.7 4.1 4.3 5.2 4.5 .4.6 3.2 3. I 3.0 4.3 4.1 5. 1 4.6 4.5 4.1 4 2 5.0 4. 3 5. 3 3.8 2. 3 3. 4 2 7 4.8 7.6 2. 8 3.3 ; 3.0 4.2 ! 4.3 3.6 3. 4 4. 5 4.6 4. 1 i 4. 8 4.3 4. 1 4. 3 4.3 4. 0 1 4. 5 4.0 3.3 4.3 4 . 3 3.8 4.4 4.7 4. 6 5. 6 4.6 3.2 3.9 5.1 4.3 4.5 4.5 4. 4 4.0 5.2 3.2 6.1 4.5 4. 1 4.2 4.4 4.6 5.6 5.0 3.5 4.3 3.0 5.9 5.0 4.9 5.6 6.6 3.9 8.2 5.0 3.0 5.1 6.2 2.2 13.7 13.2 3.6 10.5 4.2 4.1 4.5 4. 3 5.7 3.3 4. 3 5. 5 3. 2 2.9 2.8 2.7 ! 3.9 4. 0 i 4.0 3.5 1 5. 7 i 5. 0 3. 3 ! 3.3 \ 4.9 4.1 15.2 5.0 5.0 5.4 6.3 5.9 6.1 6. 1 6. 0 2.1 13.2 4. 0 2. 3 2.5 4.6 4 2 5.5 3.4 4.5 5. 2 3.8 3.4 3.5 4.5 5.0 6.3 5.9 5.9 9.7 3.2 19.7 16.8 16.5 2. 9 9. 9 10.2 5.8 | 4.3 3. 8 4. 0 3.9 Pr. ot.iPr. ct. Pr. ct. Pr f't 4 . 4 ,' 4 . 2 3.9 5. 2 4. I ! 3. 9 • 3. 6 4.8 Pr. ct. Pr. ct. 5.6 f\ 8 4.9 5. 4 5.3 5. 8 5.5 5.7 4.5 4. 9 5.3 5. 4 5.5 5.3 5.1 5. 1 4.8 4.3 5.2 5.7 5.4 5.4 5.0 5.3 4.6 4.6 5.0 4.4 49 4 9 5.5 4.9 5. 6 4.3 4.8 5.8 5.3 6.2 6.0 6.9 5.9 5.4 3.7 6.5 6.5 6.1 6.7 6.6 3. 8 ' 3. 9 i 3. 6 5.0 5.4 5.4 Pr. ct. Pr. ct. Pr. ct. 5. 7 1 5. 9 5.4 2.7 i 6.3 4.5 5. 3 ! 5. 2 5.1 5.6 i 4 . 7 5.1 4. 8 ! 4. 4 4.4 5. 3 5. 5 4.7 5.2 4.9 4.7 5.0 i 4.5 4.3 5.1 4. 1 4.8 4.7 5. 3 3.9 5.1 4.4 3.5 5.2 5.0 4.6 4. 7 4. 3 4.5 5. 5 4. 4 5.0 4. 7 4. 2 4. 5 5. 6 5. 2 5.4 5.0 5.4 4.7 5.9 5. 7 5. 1 6. 4 4. 9 4.7 6. 4 I 5. 0 4.6 5.2 4.7 4.2 6.7 5.8 5.5 5. 6 4. 9 2.9 7. 9 4. 2 4. 7 5.5 4.8 IS 76. Sept. Mar. Sept. Mar. Sept. 1. 1. 1 1. 4. 9 4.0 , 3.6 3.3 5.0 3. 3 ; 3 1 • '2. 5 4. 6 3.7 3.5 3.4 4.6 4. 1 i 3. 9 3. 9 5. 1 3. 7 3. 9 4. 1 4.5 3. 4 : 4. 6 3. 2 4.0 2.7 i 3.2 i 2.9 5.6 3. 8 : 3. 7 ! 3. 7 5.6 3. 9 j 3.7 i 3. 7 5.2 3.8 j 3.7 j 3.7 4.6 3. 7 j 3. 4 ! 3. 3 4.9 4. 0 i 4 0 ! 4 0 4. 4 4. 3 ! 4.2 [ 4. 2 4.5 4.3 i 3.9 • 3.5 5.4 3. 5 i 3.4 i 3. 4 3. 9 ! 3. 9 3. 9 3.0 3. 9 3. 3 3. 2 5.3 4. 2 I 4. 3 i 3. 8 5.8 3. 9 3. 6 1 3. 4 7.3 3. 8 i 3.8 ! 3. 6 6.7 3.0 ! 4.0 ; 2.9 5.9 19 9 4 9 3. 6 2. 6 i 3. 2 4.3 9.4 5.2 8.6 3.9 5.8 3. 8 3. 2 3. 4 6.3 6.9 6.3 4. 2 3. 3 4.8 6.9 8.8 2. 1 ; 6. 9 ! 3. 7 9.1 12.1 10.7 11.2 0.3 4.3 2. 9 3. 4 3.8 6. 3 j 8. 1 4. 0 : 4 . 1 3. 7 4.8 5.7 5. 8 5.7 5.5 5.3 4. 3 ; 4. 5 4.0 5.5 5.2 5.8 5. 3 5.0 5.8 4. 7 j 3.9 : 4.5 7.8 5.8 6.5 6.4 4.7 5.8 4, 4 i 4. 2 4. 4 6. 1 6.0 5.9 5.7 5.4 5.1 4. 5 ; 4. 0 4. 0 4.8 5.3 5.8 6.0 5.5 5. 2 4.3 I 4 . 3 ; 4.6 5. 7 5.3 6.6 5. 5 4. 6 4.9 4. 2 ! 4. 2 j 4. 0 5.4 5.2 4.7 5 9 ; 5. 2 5. 4 4. 7 ! 4 . 5 : 4. 4 6.1 6.5 6.7 6.7 5.9 6.4 6.8 8.3 8.0 I 5.7 4.5 2.9 | 2.5 1.8 4. 4 ! 4 . 1 4. 7 6.6 7. 1 6 . 6 6. 7 ! 5. 5 5.4 4. 0 ! 3. 9 ! 3 7 6 9 6. 7 6. 2 6. 8 6. 5 6.8 4. 8 | 4. 7 I 4. 0 6.7 5. 5 6 . 8 6. 8 1 6.1 6.1 3. 5 i 3. 7 15.1 4.9 13.0 6.3 7. 4 ! 5. 1 4.5 4. 8 j 4. 8 ! 4. 6 5 9 11. 8 6 4 6. 2 1 6. 1 5. 9 3. 2 1 4. 4 ! 4. 1 7 . 1 7. 3 7. 7 fi. 2 6. 5 7.2 3. 8 | 4. 6 i 3. 5 8 . 0 10.2 8.6 8. 9 5.2 4. 1 4.0 3.9 4. 5 i 3. 6 3.9 3. 2 ! 1 . 4 3. 0 3. 8 j 6. 2 j 1. 5 9.0 6.9 8.5 8. 0 | 5. 2 5.1 6 7 6. 6 ! 6. 5 i 4. 6 6.5 7.5 10.7 8.5 6.4 9.6 5.0 110.0 10.0 15. 2 20.9 17.4 13.4 11.7 10. 1 6. 1 S 6. 5 i 5. 4 7.7 4.8 10.0 8.7 5. 8 1 4. 3 ! 3.15.7 5. 5 9. 9 6.7 7.1 6.6 5. 8 ! 5. 8 : 3. 1 7.7 9.5 8.7 7.8 7.8 7.4 5. 5 ; 9. 4 i 5. 5 6.4 4.7 14. 5 11.1 13. 2 10.3 3. 0 j 3. 0 i 5. 1 47.8 1.5 2. 2 10.7 4. 5 5.7 5.6 6.8 16.3 j 1 6 . 6 15.2 23.6 16.8 9.5 21. 5 18.3 3.0 10.0 i 9.4 16. 7 7.6 13.5 11.7 11.6 0.9 2.0 .7.6 5.1 i 4 . 2 i 4.2 3.7 : 3.2 3.3 1875. 4.9 Pr. ct. 5.3 4.2 4.8 4.7 3.8 4.4 4.6 4.4 3.6 3.3 4.8 4. 1 3.9 4.3 4. 0 5.1 4.2 2.4 5.0 5.8 5.8 5.2 4.3 3.0 5 9 4.6 3.7 6.0 1.2 5.6 5.2 5.2 5.0 5.9 4.9 4.9 6.5 Pr. ct. 3.8 3.7 4.7 3.7 3.2 3.1 4.2 3.7 6.0 9.4 6.6 0.4 5.3 6.2 6.1 6.6 5. 8 8.0 2.8 4.6 5.3 6.3 6.5 5.6 4.2 6. 6 5.2 5.4 1.8 4.2 5.7 5.3 5.6 6.4 6. 6 6.5 4.3 3. 2 5.6 4.8 4 5 5.9 6.1 5. 3 Pr. ct. 5.7 4.8 5.1 4.5 4.1 4.3 4.3 4.3 3.8 3.4 5.1 4.3 4.2 4.4 4.3 4.7 4.8 5.8 6.2 4.6 5.5 5.5 6.2 4.0 0. 1 4.4 2.6 5.7 5.2 5.1 5.2 5.3 4.8 5.7 4.7 6.0 6.4 6.5 7.4 13.5 14. 9 6.1 8.2 9.2 8.7 7.9 6.8 11.9 9.2 11.2 6 . 3 4.1 8 6 18.6 18.1 8.4 7.1 6.6 5.1 4.7 4.6 3.3 3. 7 4.3 4.2 3.9 4 6 5.3 3.0 4.8 5.6 5.5 5.8 5.6 5.0 4.8 7 2 2.9 8.0 6.6 3.6 6.0 5.4* 5.9 4.9 4. 9 4.7 4.8 8.5 Pr. ct. 4.6 2.4 3.1 3. 1 1.7 3.6 3.6 2. 8 1.7 3.0 4.1 3.5 4.2 3.4 4 7 4.2 1.2 4.6 4.0 3.1 4.8 4.7 2.7 0.9 7 0 2.1 3.6 5.6 2.3 4.4 4.9 4.6 3.9 4.2 3. 2 4.3 5.1 3.6 5.3 1 2 3 4 5 6 7 8 9 10 11 13 14 1i 16 17 18 19 20 91 92 93 24 26 97 28 29 30 31 32 33 34 35 36 37 3R 39 40 41 42 43 44 45 1. 5 3.4 47 6.4 4.4 18.1 15.7 6.2 .6. 4 1.5 6. 0 7.3 6.4 7.8 2. 9 5.9 0.4 12. 2 7.4 11.7 6.1 13.1 4.5 5.7 5.9 49 50 51 52 53 54 55 56 57 58 59 3.6 3 2 CXXXVI REPORT OF THE COMPTROLLER OF THE CURRENCY. Dividends and earnings of the national banks, arranged by geographical divisions, for semiannual periods from March 1, 18(39, to September 1, 1876. m Capital. Surplus. Dividends. © March, 1869, to Sept., 1869: New England States ... Middle States Southern States Western States Totals Sept., 1869, to March, 1870 : New England States ... Middle States •Southern States Western States Totals March, 1870, to Sept., 1870: New England States... Middle States Southern States Western States Totals Sept., 1870, to March, 1871: New England States... Middle States Southern States Western States Totals Marrc/b, 1871, to Sept., 1871: New England States... Middle States • Southern States "Western States Totals Sept., 1-871, to March, 1872: New England States ... Middle States Southern States Western States Totals Marou, 1872, to Sept., 1872 : "New England States ... Meddle States Southern States Western States Totals Sept., 1872, to March, 1873: New England States... Middle States Southern States Western States Totals ZMarch, 1873, to Sept., 1873 : New England States... Middle States Southern States Western States Totals 476 $142, 062, 0fi2 $25, 567, 269 543 179, 846, 540 42,031,900 70 12, 498, 200 1, 264, 045 392 67, 244, 000 13, 242, 634 1,481 401,650,802 488 148, 466, 032 187,741,859 12, 850, 100 430 67, 309, 000 82, 105, 848 27, 43, 1, 14, 335, 043, 419, 318, 824 795 995 596 N e t earnings. Dividends to capital. Dividends to capital and surplus. Earnings to capital and surplus. •Geographical divisions. Ratios. Perct. Perct. Perct. 4.4 5.9 5.2 4.3 5.7 5.3 5.3 7.3 5.8 7. 2 6.1 5.1 $7, 350, 939 9, 571, 428 727, 841 4, 117,623 $9, 880, 104 12, 612, 834 969, 037 5, 759, 209 21,767,831 29, 221, 184 5.4 4.5 6.0 10,148, 12, 352, 1, 035, 5, 459, 574 534 938 888 5.0 5.1 6.3 5.4 4.3 4.1 5.6 4.4 5.8 5.3 7.3 6.7 28, 996, 934 5.2 4.3 5.8 9, 609, 11,244, 1, 153, 4, 806, 814 110 852 109 4.9 4.9 5.6 4.9 4.1 4.0 5.0 4.1 5.3 4.8 7 2 5'. 6 7, f 03, 9, 550, 804, 3, 620, 307 034 972 782 1,571 416, 366, 991 86,118,210 21,479,095 491 152, 700, 033 584 18r<,131,868 81 14,441,203 444 70, 044, 00U 29,268,791 45, 455, 429 1,586,312 15, 320, 088 7, 554, 081 9, 250, 780 809, 439 3, 466, 043 1, 600 425,317, 104 91, 630, 620 2i, 080, 343 26, 813, 885 5.0 4.1 5.2 492 153, 419, 032 58.") ltd, 066, 559 83 15,221,574 445 70, 992, (iOO 30, 647, 742 46,418,681 1, 733, 167 15, 872, 811 7, 747, 077 9, 494, 432 924, 477 4, 039,164 9, 547, 922 11, 146, 367 1,138, 066 5, 410, 807 5.0 5.0 6.1 5.7 4.2 4.0 5.4 4.6 5.2 4.7 6.7 6.2 1, 605 428,699, 165 94, 672, 401 22, 205, 150 27, 243,162 5.2 4.2 5.2 493 154,151.032 501 190, 676, 869 113 22, 153. 4(i3 490 79,017,900 31, 933, 761 47,776,315 1, 885,311 16, 686, 204 7,619,422 9, 274, 773 1, 148, 638 4, 082, 446 9, 259,127 11.207,080 lj 317, 419 5,531,635 4.9 4.9 5.2 5.2 4.1 3.9 4.8 4.3 5.0 4.7 5.5 5.8 1, 693 445, 999, 264 98, 286, 591 fc2, 125, 279 27,315,311 5.0 4.1 5.0 949 556 475 263 7,713,428 9, 674 512 1 317 525 4, 154, 361 9,152 734 10, 988, 549 1 700 613 5, 660, 613 5.0 5.1 5. 0 4.1 4.0 4. 7 5.3 4.4 4.9 4.6 6.0 6.0 1, 750 450, 693, 706 99,431,243 22, 859, 826 27, 502 539 5.1 4.2 5.0 497 155,220,568 594 191, 776, 11? 141 29,513,235 620 89, 166, 102 34, 113, 635 50,328,781 2, 353, 213 18, 386, 313 9, 721 12, 099 1,967 6,784 465 457 089 880 4.9 4.9 5.3 5.8 4.0 3.9 4.9 4.8 5.1 5.0 6.2 6.3 30, 672 891 5. 1 4.2 5.4 10, 324 11,642 2,170 7,789 5.1 5.1 5. 1 5.5 4.1 4.0 4.7 4.5 5.4 4.7 6.3 6.4 494 154, 869, 032 589 190, 985, 969 129 26 182 281 538 78, 656, 424 33, 48, 2 15, 163, 754, 118 394, 1, 852 465, 676, 023 105,181,942 495 155,659,232 594 192, 845, 669 147 31,328,787 676 100, 684, 995 549 709 664 367 23, 827, 239 7,938,341 9, 766, 087 1,612,680 5, 508, 953 1,912 480, 518, 683 114, 257, 288 24. 826, 061 31, 926 478 5.2 4.2 5.4 887 089 607 26.3 7,941,687 9, 575, 193 1, 544, 046 5, 762,103 10, 103, 736 12, 565, 331 2,216,024 8, 206, 909 5.1 5.0 4.6 5.5 4.1 ?. 9 4.2 4.5 5.2 5.1 6.1 6.4 1, 955 488, 100, 951 116,113,84? 24, 823, 029 33, 122 000 5. 1 4. 1 5. 5 38, 53, 3, 22, 858, 303, 207, 887, 625, 432, 552, 216, 324 503 788 673 496 157, 014, 832 591 192,234,009 161 33, 259, 530 707 105, 592, 580 36, 53, 3, 20, 7, 9, 1, 5, 303, 431, 600, 778, 340 716 179 243 REPORT OF THE COMPTROLLER OF THE CURRENCY. CXXXVII Sept., 1873, to March, 1874: New England States... Middle States Southern States Western States Totals March, 1874, to Sept., 1874: New England States... Middle States Southern States Western States Totals Sept., 1874, to March, 1875: New England States... Middle States Southern States Western States Totals March, 1875, to Sept., 1875: New England States... Middle States Southern States Western States Totals Sept., 1875, to March, 1876: New England States... Middle States Southern States Western States Totals March, 1876? to Sept., 1876: New England States... Middle States Southern States Western States Totals General averages Ratios. Capital. Surplus. •S PI -t-3 S 489, 510, 323j 123, 469, 859 500 159, 531, 832 586 189,385,019 159 33, 138, 800 720 107, 882, 633 1,971 Net earnings. It 503 $159, 041, 832 $39, 714, 859 588 190, 368, 669 55, 931, 654 159 32, 605, 522 3,864,491 717 107, 494, 300 23, 957, 855 1,967 Dividends. 41, 978,153 57, 176, 298 4,121, 405 25, 088, 183 489, 938, 284 128, 364, 039 510 160, 461, 832; 589 189, 639, 519 169 33,681,310 739 109, 786, 170 Per ct. Perct. Per ct. 3.8 4.9 4.8 $7, 627, 811 $9, 682. 704 4.5 3.7 4.8 9,104, 682 10, 983, 048 3,9 4.3 4.8 1, 750, 914 1, 415, 933 4.9 4.0 5.4 7,127, 454 5, 321, 571 29, 544, 120 4. 8| 3. 8 4.8 007 707 208 384 9, 603, 512 11,214,753 1,871,562 7, 346, 984 4.9 5.0 4.8 5.0 3.9 3.8 4.3 4.5 4.8 4.5 5.0 5.5 27, 929, 306 30, 036, 811 5.1 4.0 4.9 9, 10, 1, 7, 031, 409 361, 652 861, 756 881,188 4.8 5.0 4.3 5.4 3.8 3.9 3.8 4.4 4.4 4.2 4.9 5.8 29, 136, 007 5.0 4.0 4.7 978 736 203 300 48 4.8 4.4 5.3 3.8 3.7 3.9 4.2 4.3 4.0 4.9 5.8 23, 529, 997 7, 9, 1, 6, 838, 463, 594, 033, 43, 020, 505 57, 749, 497 4,646,468 26,144,167 7, 785,166 9, 537.118 1, 463, 170 5, 965, 362 2, 007 493, 568, 831 131, 560, 637 24, 750, 816; 512 161, 928, 732 603 190, 775, 569 175 34, 640,100 757 110, 520, 432 385 444 170 650 7, 758, 460 9,151, 653 1, 539, 234 5, 868, 438 2,047 497, 864, 833 134,123, 649 24, 317, 785 28, 800, 217 4.9 3.8 4.6 43, 739, 079 56, 319, 205 5, 348,175 29, 061,135 7,371,060 10,174, 655 1, 509, 125 5, 756, 741 7, 548, 855 5, 770, 198 2,211,357 7, 567, 511 4.4 5.2 4.5 5.2 3.5 4.1 3.9 4.1 3.6 2.3 5.7 5.4 2, 076 504, 209, 491 134, 407, 594 24, 811, 581 23, 097, 921 4.9 3.9 3.6 060 758 630 630 6, 770,149 8,818,572 1, 432, 194 5,542,914 6, 098, 661 6, 751, 345 1, 498, 873 6,191, 353 4.0 4.6 4.3 5.1 3.2 3.6 3.7 4.0 2.9 3.2 3.9 4.5 2,081 500, 482, 271 132, 251, 078 22, 563, 829 20, 540, 232 4.5 3. 6; 3. 3 1,838 465,239,781 111, 595, 656 23, 526, 481 28, 257, 979 5.1 4.1 4.9 531 166, 396, 620 625 193,834,271 174 33, 390,100 746 110, 588, 500 539 167, 902, 820 626 190, 928, 351 179 33, 392, 600 737 108, 258, 500 43, 57, 4, 27, 43, 54, 5, 28, 563, 826, 965, 768, Dividends to capital and surplus. Earnings to capital and surplus. Geographical divisions. Number of banks. Dividends and earnings of the national banks, J-c.—Continued. 319, 527, 486, 917, 8, 9, 1, 8, 767, 985, 956, 090, CXXXVIII REPORT OF THE COMPTROLLER OF THE CURRENCY. Amount and rate of taxation ( United States and State) of the national banks for the year 1867. Amount of taxes. States and Territories. United States. Maine New Hampshire Vermont Massachusetts Rhode Island Connecticut New York New Jersey Pennsylvania Delaware Maryland District of Columbia Virginia West Virginia North Carolina Georgia Alabama Louisiana Texas Arkansas Kentucky Tennessee Ohio Indiana Illinois Michigan Wisconsin Iowa ' Minnesota Missouri Kansas Nebraska , Oregon Colorado Utah Idaho Montana Totals Hate of taxation. ICapital stock.J I $9, 0S5, 000 I 4, 735, 000 i 6,510,01-2 79,932,000 i 20, 364. 800 i 24,584,220 j 116,494,941 11,333,350 i 50, 277, 795 | 1, 428. 185 ! 12,590,203 ! 1,350,000 i 2, 500, 000 2,216,400 5«3, 300 1, 70J, 000 ; 500,000 | 1,300,000 i 576, 450 j 200, 000 | 2, 885, 000 I 2, 100, 000 ! 22,404,700 12,867,000 i 11,620,000 I 5,070,010 j 2, 935, 0(;0 j 3. 992, 000 ! 1,660,000 7,559,300 i 400,000 ! 250,000 ! 100,000 j 350, 000 ! 150, 000 ! ioo, ooo ! 100, 000 i 422, 804, 006 State. \ Total. United State. Total. States. Per ct Perct. Perct. $180,119 $141, 226 88, 773 93, 179 122,214 144, 164 1,616,825 1, 562, 128 324, 844 195, 355 387,146 434,440 3, 022, 662 4, 058, 706 223, 106 253, 359 278, 2(i8 1, 242, 037 32, 621 1,261 260, 261 166, 054 3,286 j 15, 33D 43, 345 13, 926 I 46, 966 51,457 9, 049 5, 144 6, 050 j 40, 845 3, 830 i 8, 763 35, 894 20, 042 I 6, 865 2, 149 j 1,351 ! 5, 745 17,467 j 59, 816 27,975 52, 460 520,951 514,681 200, 372 ! 278, 798 321, 406 231,917 i 68,061 ! 111,790 62, 012 j 76, 583 88,281 106, 349 29, 522 39, 132 189,248 j 133, 142 7, 801 I 10, 229 7,014 j 10, 735 1, 624 1,615 j 9, 702 1,097 | 1, 887 1, 405 I 479 560 837 $321,345 181,952 266, 377 3,178, 953 520, 200 821,567 7, 081, 368 476, 465 1, 520, 305 33, 881 426, 315 18,615 62, 270 98, 424 14,193 46, 895 12, 592 55, 936 9,015 7,096 77, 283 80, 435 1, 035, 633 479,170 553, 323 179, 851 138, 595 194, 6 I 68, 655 322, 389 18, 030 17, 749 1, 624 11, 317 . 2, 984 1,884 1, 397 9,525,607 j 8,813, 126 i18, 338, 734 2.0 1.9 1.9 2.0 1.5 1.7 2.6 2.2 2.5 2.3 2. 1 1.3 1.9 2.1 1.5 2.5 1.7 2.8 1.2 2.9 2.1 2. 7 2^3 2. 2 2! 8 2.2 2.6 2.7 2.0 1.4 2.5 4.3 2.4 2.8 1.3 0.5 0.8 1.5 1.9 2.2 2.0 1.0 1.6 3.5 2.0 0.5 0.1 1.3 0.3 0.6 2.3 0.9 0.4 1.0 1.5 0.4 0.7 0.6 1.4 2.3 1.5 2.0 1.3 2.1 2.2 1.3 2.0 2.0 2.8 0.4 0.7 1.4 0.6 3.5 3.8 4.1 4.0 2.5 3.3 6.1 4.2 3.0 2. 4 3! 4 1.6 2.5 4.4 2.4 2.9 2. 7 4.3 1.6 3.6 2.7 4.1 4.6 3.7 4.8 3.5 4.7 4.9 3.3 3.4 4.5 7.1 2.4 3.2 2.0 1.9 1.4 2.2 2.1 4.3 REPORT OF THE COMPTROLLER OF THE CURRENCY. CXXXIX Amount and rate of taxation (United States and State) of the national banks for the year 1869. Hate of taxation. Amount of taxes. States and Territories. jCapital stock. United States. Maine New Hampshire Vermont Massachusetts Rhode Island Connecticut New York New Jersey Pennsylvania Delaware Maryland District of Columbia Virginia' "West Virginia North Carolina South Carolina Georgia Alabama Louisiana Texas Arkansas Kentucky Tennessee Ohio Indiana Illinois Michigan "Wisconsin Iowa Minnesota Missouri Kansas Nebraska Oregon Colorado Idaho Montana Totals $9,185, 000 4, 835, 000 6,385,012 81, 282, 000 20,164, 800 24, 606, 820 112,267,841 I 11,465,350 49, 560, 390 1, 428, 185 12, 790, 203 1, 050, 000 2, 221, 860 2, 116,400 683, 400 823, 500 1, 500, 000 400, 000 1, 300, 000 525, 000 200, 000 2, 835, 000 1,987,400 21, 917, 399 12, 752, 000 12, 370, 000 5, 510, 000 2, 710, 000 3,717,000 1, 770, 000 7, 810, 300 400, 000 400, 000 100, 000 350, 000 100, 000 100, 000 419,619,860 United State. Total. States. State. 55, 929 200, 057 246,166 3. 020, 638 ' 520,153 842, 701 5, 938,193 479,531 1, 578, 605 34,172 425, 444 25, 664 68, 163 89, 032 18,167 27, 715 54,0 6,416 34, 562 15, 559 11,282 73, 072 53, 734 1, 209, 511 517, 224 587, 394 178, 033 131, 626 175, 783 75, 096 291, 918 33, 452 25, 431 2, 917 23,188 3,720 4,014 10,081,244 7,297,096 17,378,340 Per ct. Per ct. Perct, 2.1 2.0 2.0 1.8 2.1 1.8 l.Q 0.9 1.5 2.7 1.8 0.5 0.2 1.1 0.2 0.4 1.7 0.4 1.0 0.6 0.1 0.6 0.8 3.5 0.4 0.3 2.6 1.7 1.8 0.6 1.9 1.4 1.7 1.5 4.0 2.2 2.4 2.9 2.4 3.0 2.6 3.0 3.3 2.5 2.2 4.4 3.7 2.9 3.4 1.2 1.7 2.5 2.3 3.9 4.1 3.8 3.7 2.6 3.4 5.3 4.2 3.2 2.4 3.3 2.4 3.1 4.0 2. 7 3^4 ,3.6 1.6 2.7 3.0 5.6 2.6 2.7 5.5 4.1 4.8 3.2 4.9 4. 7 4.2 3.7 8.4 6.4 2.9 6.6 3.7 4.0 2.4 1.7 4.1 21 1.1 1.9 2.6 2.4 2. 7 2. 2 2. 2 2.2 2.7 2.3 2.3 2.4 3.0 1.5 2.1 2. 2 2. 1 27 3.2* OXL KEPORT OF THE COMPTROLLER OF THE CURRENCY. Amount and rate of taxation (United States and State) of the national banks for the year 1874. Amount of taxes. States and Territories j Capital stock.; \ United States. State. | Rate of taxation. Total. Per ct. Perct Per ct. 1.2 3.2 2.0 1.1 3.2 2.1 1.1 2.9 1.8 1.3 3.4 2.1 1.0 2.1 1.1 1.1 2.9 1.8 1.9 4.8 2.9 1.5 3.6 2.1 1.6 2.3 0.7 1.4 1.8 0.4 1.3 2.8 1.5 1.5 1.9 0.4 1.5 3.1 1.6 1.4 3.2 1.8 1.4 3.3 1.9 1.1 4.7 3.6 1.1 3.0 1.9 1.2 2.9 1.7 1.5 2.9 1.4 1.4 3.7 2.3 1.2 5.1 3.9 1.1 1.6 0.5 1.5 3.7 2.2 1.4 3.6 2.2 1. 2 2.6 3.8 1.8 4.0 2.2 1.3 2.8 1.5 1.8 4.1 2.3 1.6 3.7 2.1 1.5 3.5 2.0 1.2 3.3 2.1 1.5 4.8 3.3 2.0 5.3 3.3 2.3 3.7 1.4 1.4 1.4 2.3 4.4 2.T 1.2 3.6 1.4 1.2 2.3 1.1 1.4 3.9 2.5 1.4 1.5 0.1 1.2 3.7 2.5 1.9 4.2 2.3 j Maine New H a m p s h i r e . . . . . . Vermont Massachusetts Rhode Island Connecticut New Y o r k . . . . . New Jersey Pennsylvania Delaware Maryland District of Columbia. Virginia West Virginia North Carolina South Carolina Georgia Alabama Louisiana Texas Arkansas Kentucky Tennessee Ohio Indiana Illinois Michigan "Wisconsin Iowa Minnesota Missouri Kansas Nebraska Oregon California Colorado Utah New Mexico Wyoming Idaho Dakota .'... Montana Totals. $9, 654,019 5, 317,037 862, 712 7, 754, 078 91, 504, 800 20, 424. 620 599, 708 830, 466 178, 261 523, 185 720, 997 309,512 580,913 375, 216 I 173,338 I 3, 156,250 | 2, 843.962 ; 1, 634, 883 ] 4, 000,000 I 1, 054,897 ! 205,000 i 9, 076,127 | 3, 457, 897 I 29, 112,642 I 11, 936,404 i 20, 507.963 i 10, 098,162 3, 704, 032 6, 048, 562 4, 268, 026 9, 308, 198 1, 783, 235 1, 025, 000 250, 000 358, 594 748, 581 439, 402 300, 000 125, 000 100, 000 50. 000 350i 000 *493,751,679 i $111,403 ! $192,290 ' 60, 002 106, 587 88, 152 ! 139, 297 1,163,858 1, 878, 368 201,317 224, 540 271,801 \ 439, 402 2,026,960 ; 3, 044, 565 205,451 I 282, 645 871,220 377, 546 20,798 i 6, 630 181,249 | 194, 697 19,747 5,288 54,957 52, 207 34, 507 33.484 : 38, 601 30,837 ! 34,421 i 111,654 31,656 ; 53, 872 18,746 | 25,289 | 61,642 : 52,270 I 14,384 ! 22,863 i 2,488 8,030 | 103,635 47, 655 50,290 7(», 844 403,697 | 642, 054 214,977 ! 429, 585 367,718 i 420, 461 134,052 i 149, 720 67.485 ' 76, 330 98, 421 117, 115 63, 224 76, 876 190,140 112, 525 41,867 26, 182 34, 282 20, 883 3,488 5,808 46,044 10, 750 16, 983 4, 137 5, 387 3, 150 3,718 1, 180 1,697 129 1, 393 1, 225 614 8,190 6,777 7,256,083 | 9,620,326 t»te. Total. $303, 653 166, 589 227, 449 3, 042, 226 425,857 ! 711,203 j 5,071,525 I 488,096 1,248,766 27,428 I 375,946 i 25,035 I 107, 164 I 67,991 69,438 I 146,075 I 85,528 44,035 I 113, 912 37, 247 10, 518 151,290 121, 134 1,045,751 644, 562 788,179 283, 772 143, 815 215, 536 140,100 302, 665 68, 049 55, 165 9, 296 46, 044 27, 733 9,524 6,868 2,877 1, 522 1, 839 14, 967 16,876,409 1.5 2.0 3.5 * Including capital of banks from which returns of the amount of State taxation were not received. REPORT OF THE COMPTROLLER OF THE CURRENCY. CXLI Average weekly deposits, circulation, and reserve of the national banks in New York City, as reported to the New York clearing-house, for the months of September and October in each year from 1870 to 1876. Liabilities. Iteserve. Wee £ endingCirculation. Dollars. Net deposits. Dollars. Total. Dollars. Spec te. Dollars. Legal-tenders. Dollars. Total. Dollars. Ratio to liabilities. Percent. 29.67 29.43 29.39 29. 31 29. 23 29.11 29. 05 29.75 30.05 Sept. 3,1870.. Sept. 10, 1870.. Sept. 17, 1870.. Sept. 24,1870.. Oct. 1, 1870.. Oct. 8, 1870.. Oct. 15,1870.. Oct. 22,1870.. Oct. 29,1870.. 32, 672, 815 32; 833, 323 32, 686, 884 32, 669, 207 32, 654, 378 32, 529. 395 32, 458, 049 32, 453, 226 32, 356, 866 172, 315, 962 168,343, 150 166, 312, 076 163, 691, 615 163, 874, 962 159, 205, 353 159,194, 742 160, 794, 105 164, 653, 818 204, 988, 777 201, 176, 473 198, 998, 960 196,360,822 196, 529, 340 191,734,748 191, 652, 791 193,247 331 197, 010, 684 26, 070 16,260 14,444 12, 770, 11,427 10, 658 10, 064 10,296 11,367 522 859 365 922 962 402 025 819 009 34, 760 42, 938 44, 040 44, 773 46, 321 45, 149 45,618 47, 193 48, 732 841 351 077 758 566 713 563 012 435 60, 831 363 59,199, 210 57, 544 680 58, 484 442 57, 749, 528 55,808,115 55, 682, 588 57, 489 831 60, 099 444 Sept. 2,1871.. Sept. 9,1871.. Sept. 16,1871.. Sept. 23,1871.. Sept. 30,1871.. Oct. 7,1871.. Oct. 14,1871.. Oct. 21, 1871.. Oct. 28,1871.. 29, 835, 300 30, 087, 200 30, 071, 600 29, 944, 100 29. 992, 800 30; 199, 100 30, 273, 000 30, 233, 400 30, 431, 800 212, 534, 300 213,442,100 211, 537, 700 203, 048, 400 193,691,500 189, 277, 300 183, 192,100 172, 343, 800 171, 737, 300 242, 369, 600 243, 529, 300 241,609,300 232, 992, 500 223, 684, 300 219,476,400 213,465, 100 202, 577, 200 202, 169, 100 10,196 600 9, 193 400 9, 050 100 8,291, 700 11,554, 000 9, 153 400 8, 025 300 8, 647, 600 9, 249, 700 60, 957 60, 106 56, 847 53, 275 49, 933 49, 589, 45, 835 44, 079 43, 694 800 800 200 600 900 300 200 000 700 71,154 69, 300 65, 897 61, 567 61, 487 58, 742 53, 860 52, 726 52, 944 400 200 300 300 900 700 500 600 400 29. 36 28. 21 27.27 20.42 27. 49 26. 76 25. 23 26. 03 26. 19 Sept. 7,1872.. Sept. 14,1872.. Sept. 21, 1872.. Sept. 28,1872.. Oct. 5, 187-:.. Oct. 12,1872.. Oct. 19, 1872.. Oct. 26,1872.. 27, 487, 200 27, 580, 600 27, 622, 300 27, 689, 400 27,551,100 27, 692, 900 27, 661, 300 27, 641, 000 183,510.100 179, 765, 800 171, 742, 500 165,721,900 158, 840, 300 161, 816, 200 171, 115, 000 174, 086, 400 210, 097, 3H0 207, 346, 400 199, 364, 800 193,411,300 186, 3!)9, 400 189, 509,100 198, 776, 300 201, 727, 400 11,619, 600 11, 130,700 16,851, 600 10, 045, 900 8, 469, 700 10, 070, 200 10, 657, 400 9, 234, 300 43, 42, 39, 39, 37, 40, 46, 46, 500 300 300 700 500 100 100 000 55, 486 54, 124 56, 270 49, 697 46, 468 50, 745, 56,917 56, 119 100 000 900 600 200 300 500 300 26. 30 26.10 28. 22 25.18 24. 93 26.77 28. 63 27. 82 Sept. 6,1873.. Sept, 13,1873.. Sept. 20,1873.. Sept. 27, 1873.. Oct. 4,1873.. Oct. 11,1873.. Oct. 18, 1873.. Oct. 25,1873.. 27, 323, 300 26, 351, 200 27, 382, 000 27, 295, 400 27, 393, 700 27, 419, 400 27, 421, 200 27, 390,100 182, 177, 168, 150, 131, 131, 129, 125, 775, 700 850, 500 877, 100 171, 300 855, 500 958, 900 575, 800 671, 300 210, 099, 000 204,201,700 196, 259, 100 177, 366, 700 159, 249, 200 159. 378, 300 156, 997, 000 153, 061, 400 19, 935, 900 17, 655, 500 16, 135, 200 11,448, 100 9, 240, 300 10, 506, 900 11, 650, 100 11, 433, 500 33, 993 600 32, 500 800 30, 083 800 17, 883 300 9,251 900 8,049 300 5, 179, 80!) 7,187,300 53, 929 500 50, 156 300 46,219 000 29, 331 400 18, 492, 200 18, 556, 200 16, 829 900 18, 620, 800 25.66 24. 56 23. 55 16. 54 11.61 11. 64 10.72 12.16 Sept. 5,1874.. Sept. 12,1874.. Sept. 19, 1874.. Sept. 26,1874.. Oct. 3,1874.. Oct. 10,1874.. Oct. 17, 1874.. Oct. 24,1874.. Oct. 31,1874.. 25, 630, 500 27, 701, 700 25, 595, 700 25, 593, 900 25, 387, 700 25, 083, 900 25, 028, 600 24, 981, 600 25, 025,100 202, 918, 100 205,166, 500 204, 285, 600 187, 139, 700 202, 605, 300 2uO, 054, 500 197, 261, 900 193, 514, 600 193, 611, 700 228, 548, 600 232, 868, 200 229, 881, 300 212,733,600 227, 993, 000 225, 138, 400 222, 290, 500 218, 406, 200 218, 636, 800 16, 807, 500 17, 589, 200 17, 453, 200 16, 799, 500 15, 373, 400 14, 517, 700 12, 691, 400 11, 457, 900 10, 321, 900 54, 878, 100 54,715 700 55, 017, 300 53, 977. 900 53, 297, 600 52, 152. 000 51, 855, 100 49, 893, 900 50, 773, 000 71, 785, 600 72, 304, 900 72, 470, 500 70, 777, 400 68, 671, 000 66, 669, 700 64, 546, 500 61. 351, 800 61, 097, 900 31.41 31. 05 31. 52 33. 27 30. 01 29.61 29. 04 28. 82 27. 94 Sept. 4,1875.. Sept. 11,1875.. Sept. 18,1875.. Sept. 25,1875.. Oct. 2,1875.. Oct. 9,1875.. Oct. 16,1875.. Oct. 23,1875.. Oct. 30, 1875.. 18,093,700 17, 725, 000 17,723,200 17, 902, 600 17, 894, 100 17, 820, 700 17, 781, 200 17, 844, 600 17, 900, 100 210, 397, 200 209, 802, 100 206,916, 800 205, 483, 200 201, 409, 700 197, 555, 800 195, 192, 400 191, 4C8, 500 189, 068, 800 228, 490, 900 25*7, 527, 100 224, 640, 000 223, 385, 800 219, 303, 800 215, 376, 500 212, 973, 600 209, 313,100 206, 968, 900 9, 15,5, 700 8, 494, 500 6, 538, 200 6, 432, 400 5, 438, 900 5,716, 200 5, 528, 500 5, 735, 000 8, 975, 600 58,810,600 57, 828, 300 57, 856, 600 56, 34to, 400 56, 181, 500 51, 342, 300 48, 582, 700 47, 300, 900 45, 762, 800 67, 66, 64, 62, 61, 57, 54, 53, 54, 966, 300 322, 800 394, 800 780, 800 620, 400 058, 500 111, 200 035, 900 738, 400 29.75 29.15 28.67 28.10 28.1026.49 25. 41 25. 34 26. 45 Sept, 2,1876.. Sept. 9,1876.. Sept. 16,1876.. Sept. 23, 1876.. Sept. 30,1876.. Oct. 7,1876.. Oct. 14,1876.. Oct. 21,1876.. Oct. 28,1876.. 14, 577, 300 9, 409, 700 14, 403, 500 14,400,800 14,615,700 11, 897, 000 14, 693, 300 14, 809, 200 15, 059, 600 197, 992, 400 200, 754, 700 202, 734, 500 200, 794, 800 196, 590, 400 195,145, 700 190. 699, C O O 190,0i9, 900 183, 810, 200 212, 569, 700 210,164,400 217, 138, 000 215, 195, 600 211.206,100 207^ 042, 700 205, 392, 900 204, 829, 100 198, 869, 800 19,617, 600 20, 202, 700 20, 068, 900 16, 907, 800 14. 751, 200 17, 682, 600 16,233, 600 15, 577, 500 14,011, eoo 48, 238, 000 48, 699, 700 49, 338, 200 48, 625, 500 47, 538, 900 45, 535. 600 43, 004^ 600 41,421, 700 41, 645, 600 67, 855, 600 68, 902, 400 69, 407, 100 65, 533, 300 62, 290, 100 63,218, 200 59, 238, 200 56, 999, 200 55, 657, 200 31. 92 32. 79 31. 96 30.45 29. 49 30.53 28. 84 27.83 27. 99 866 993 419 651 998 675 260 885 CXLII REPORT OF THE COMPTROLLER OF THE CURRENCY. Table of (lie state of the lawful-money reserve of the national banks, STATES AND Reserve lield. No. of banks. Dates. Circulation ; liesorve reand deposits, i quired. Ratio to Amount. 1 2 3 4 5 6 7 8 9 10 n 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 Oct. 8,1370 Dec. 28,1870 Mar. 18,1871 Apr. 29,1871 June 10, 1871 Oct. 2,1871 Dec. 16,1871... Feb. 27,1872 Apr. 19,1872 June 10,1872 Oct. 3,1872 Dec. 27,1872 Feb. 28,1873 Apr. 25,1873 June 13,1873 Sept, 12, 1873 Dec. 26,1873 Feb. 27,1374 M a y 1,1874 June 26, 1874 Oct. 2,1874 Dec. 31,1874 Mar. 1,1875 May 1,1875 Jurie 30,1875 Oct. 1,1875 Dec. 17,1875 Mar. 10, 1876 M a y 12,1876 June 30,1876 Oct. 2,1876 ! 1 i ; ! 1 ! , ! ! ! i | ! | ! ! | 1,400 1, 4!5O 1,4(55 1, 482 1, 497 1,537 564 ., 5.36 616 C26 639 1,707 1,717 1, 732 1, 737 1,747 1,749 1, 748 1, 751 1, 755 1, 774 1,797 1, 801 1,815 1, 845 1,851 1, 850 1, 8.13 1,853 1, 855 1, 853 8405, PP4, 407,721, 473 426,501, 897 438, 555,545 445, 275,3!)5 467,619, 031 465, 947,077 484,197, 695 487, 394,283 490, 841,566 509,415, 295 503, 568,806 521,394, 885 522, 649,052 527,741, 608 536, 925,203 4-'6,180. 869 510, 946,655 521, 953,283 522, 874,575 527, 506,306 535, 679,077 536, 289,193 536, 716,262 541, 335,844 537,418, 44) 52 ">, 303,754 527, SGI, 413 521,137, 335 517, 605,8-21 509, 793,743 $1)0, 897, 713 61, 158,221 63, 975, 285 65, 783, 333 66, 791, 309 70,14-2. 855 69, 892, 062 72, 629, 654 73, 109,142 73, 626, 235 76,435,968 75, 535, 321 73, 209, 233 78, 428, 804 79, 204, 426 80, 593, 659 72, 985, 967 76, 700, 872 78, 351, 858 43, 173, 243 44,077,914 45, 437, 042 40, 018, 207 46, 020, 096 46, 996, 069 46, 304, 791 44, 647, 985 45, 535, 811 44, 990, 757 44, 996, 205 43, 862, 907 llclUll.LU.UiS. Per cent. 20. 9 21.0 22. 4 22. 6 22. 8 21.2 19.7 21.1 20.2 20.7 19.2 20.3 20.6 20. 2 20.6 20.6 20.8 22. 6 21.6 33.8 34.3 34.2 34.9 32. 9 33. 6 32.5 32.9 35. 8 34.9 34.7 34.3 $84, 777, 956 85, 723, 389 95, 615, 960 98, 698, 874 101, 706,605 98, 946, 184 91, 728, 626 102, 275, 001 98, 012, 845 101,821,660 97, 765, 876 102,069,282 108, 246, 881 105, 693, 322 108, 935, 374 110, 456, 096 101,120, 726 115,577,200 112,637,640 111,464,693 100,041,694 103, 592,165 106, 826, 053 100, 691, 135 105, 154, 553 100, 123,907 97, 855, 940 108, 547, 092 104, 514, 789 103, 832, 286 99, 985, 627 NOTE.—Prior to June 20, 1874, tlie required reserve in States and Territories was 15 pe RESERVE Oct. 8,1870 Dec. 28,1870 Mar. 18,1871 Apr. 29, 1871 June 10,1871 Oct. 2,1871 Dec. 16,1871 Feb. 27,1.872 Apr. 19,1872 June 10,1872 Oct. 3,1872 Dec. 27,1872 Feb. 28,1873 Apr. 25,1873 June 13,1873 Sept. 12,1873 Dec. 26,1873 Feb. 27,1874 May 1,1874 Jmie 26,1874 Oct. 2,1874 Dec. 31,1874 Mar. 1,1875 May 1,1875 June 30,1875 Oct. 1, 1875 Dec. 17,1875 Mar. 10,1876 May 12, 1876 June 30,1876 Oct. 2,1876. 218 223 225 226 230 226 223 227 227 230 233 230 230 231 229 227 227 227 223 230 230 228 231 231 236 236 238 236 236 236 $409, 354, 636 $102,338, 658 423, 129, 086 105, 782,421 469,716,268 117, 429,067 478, 079, 967 119,519, 991 504, 449, 317 126,112, 328 484, 634, 132 121, 158.532 456,721,809 114,180, 474 475, 032, 357 118, 758,089 461,111,331 115,277, 832 500, 037, 031 125, 009,257 443, 845, 782 110, 961,445 462, 035, 037 115,508, 759 478, 040, 388 119,510, 097 465, 71)6, 482 116, 449,120 502, 959, 230 125, 739,807 475, 521, 916 118,880, 480 453,081,026 113,270, 257 518, 570, 014 129, 642,504 523, 075, 980 130, 768,995 ! 528,619,121 106, 380,827 i 521, 561, 727 106,136, 122 I 509, 411, 623 103,317, 514, 896, 921 105, 569, 507, 208, 290 104,199, 595 ! 532, 175, 922 111,317, 435 512, 843, 868 106, 542,005 468, 689, 930 95, 863,466 499, 853, 392 104, 535,425 472, 260, 505 98, 776,747 490, 357, 058 103,860, 841 487, 415, 795 103, 721,942 529 j 158 j $118,633,295 124,066,544 138, 670, 665 144, 809, 918 159, 704, 311 134, 463, 829 126, 916, 204 126, 440, 065 124, 840, 245 144, 672, 289 112,152, 056 123,136, 887 122, 710, 780 119, 676, 330 145, 209, 534 118, 679,153 127, 402, 586 158, 940,175 155,563,677 159, 275, 638 144, 307, 997 132, 348, 803 132,217,368 129, 803, 941 154, 560, 093 134, 976, 509 113,291, 125 142, 753,190 126, 179, 243 142,906,797 136,821,941 Per cent. 29.0 29. 3 29.5 30.3 31.6 27.8 27.8 26.6 27.1 • 28.9 25.3 26.7 ! 25.3 25.7 28. 9 25.0 28.1 30. 6 29.5 37.4 34.0 32.0 31.3 31.1 34. 7 31.7 30.8 34.1 31.9 34.4 34.2 NOTE.—Prior to June 20,1874, the required reserve in reserve cities was 25 per KEPORT OF THE COMPTROLLER OF THE CURRENCY. CXLIII as shown by their reports from Odobcr 8,1370, to October 2,1876. TERRITORIES. Classification of reserve held. Specie. $2, 357, 856 2,359,126 2, 420, 987 2, 504, 655 2, 032, 371 1,814,927 2,043,411 2,816,771 % 600, 614 1, 890, 232 1,950, 142 1, 978, 383 1, 779, 651 1, 567,149 1, 715, 293 -2, 071, 686 2, 286, 734 2, 475, 202 2, 431, 605 5,256,951 2, 375, 290 1, 992, 383 1, 652, 694 1, 511, 433 1, 600, 028 3,555,034 1, 452, 639 1, 800, 017 1,912,171 •2, 469, 391 2, 763, 198 tenders. $35, 465, 915 36, 842, 257 35, 589, 817 38, 506, 524 38, 481, 550 40, 139, 433 39, 380, 993 39, 792,119 42, 485, 632 41, 495, 581 42,717,294 43, 228, 892 41,605,799 43, 202, 852 42, 800, 960 42, 279, 728 45, 904, 389 44, 017, 327 47, 603, 805 44,633. 155 32, 885,197 34, 952, 061 33, 493, 083 34,414,616 32,610,241 32, 783, 502 32, 073, 246 32,141,468 33, 630, 711 31,920,120 29, 723, 138 IT. S. certificates of deposit. Clearinghouse certificates. Throe por cent, certificates. $2, 890, 000 2, 545, 000 2, 245, 000 2, 040, 000 1, 885, 000 1,355,000 1, 060. 000 810,000 690, 000 605, 000 335, 000 185, 000 90, 000 10, 000 10, 000 $220, 000 350, 000 1, 485, 000 1, 895, 000 2,125, 000 2, 250, 000 2, 015, 000 2, 270, 000 2, 490, 000 2, 585, 000 775, 000 820, 000 845, 000 790, 000 890, 000 900, 000 805, 000 1,180, 000 1, 285, 000 1, 280, 000 1, 280, 000 Due from reserve agents. Redemption fund with Treasurer. f 44, 064,185 43, 977, 006 55,360, 156 55, 647, 695 59, 307, 684 55, 636, 824 49, 244, 222 58,856, 111 52, 236, 599 57, 830, 847 52, 543, 440 56, 327, 007 63, 286, 431 59, 018, 321 62, 284,121 63, 854. 682 50, 914, 603 6G, 814, 671 60,112,230 61,978,337 52, 714, 793 53, 935, 013 59, 021, 623 52,061,059 58, 439, 613 53, 322, 152 52, 073, 208 62,102, 613 56, 654, 668 57, 268, 334 56, 362, 468 $11,250 11,891,414 11, 892, 708 11, 813, 653 11,913,977 11, 614, 671 11.568,219 11, 451, 847 11,322,994 11,032,239 10, 894, 441 10, 856, 823 centum of circulation and deposits ; since that date, 15 per centum of deposits only. CITIES. $12,108,149 20,199, 998 19,416,341 15, 788, 997 14,181, 640 10, 226, 741 23, 273,114 19, 504, 567 17, 035, 006 38,040,032 8,279.613 17, 068, 954 15, 998, 022 15, 301, 659 •26, 234, 795 17,796,781 24, 620, 304 30, 890, 661 30,138, 364 20, 069, 256 18, 865, 654 20, 444, 378 15, 014, 411 9,108, 878 17, 359, 554 6, 495, 294 15,618,267 27, 277, 329 19, 802, 423 22, 749, 078 18, 598, 456 $41,737,662 41, 680, 488 53, 251, 289 65,006,031 81,923,110 66, 848, 233 52, 633, 689 55., 118, 281 60, 822, 823 78, 001, 259 59,356,810 57, 358, 477 54,816,110 56, 732, 435 63, 205, 531 50, 067. 935 58, 943, 716 58, 620, 696 54, 062, 598 58, 423, 307 47, 082, 343 47,458,251 44, 952, 897 49, 462, 643 54, 756, 683 43, 583, 429 38, 563, 571 44,603,718 46,171, 398 58, 852, 046 54, 488, 445 490, 12, 300; 16, 975, 16, 475, 20, 525, 18, 360, 21, 995, 34, 965, 37, 645, 45, 195, 42, 055, 38, 850, 36, 555, 37, 825, 46, 420, 47, 910, 30, 200, 29 605, 26,' 095, 26, 675, 27, 890, 000 000 000 000 000 000 000 000 000 000 000 000 000 000 000 000 000 000 000 000 000 $19,136,000 20. 498, 000 20, 599, 000 21, 581, 572 19, 248, 000 20, 322, 070 16, 633, 026 16, 195, 000 13, 909, 000 12, 092, 577 8, 632, 000 5, 600, 000 2,115,000 1, 370, 000 385, 000 175, 000 $23, 440, 000 20, 860, 000 16, 955, 000 13, 020, 000 11, 290, 000 5, 825, 000 5, 635, 000 4, 930, 00 J 3,190, 000 2, 805, 000 1, 220, 000 775, 000 320, 000 $22, 211, 20, 828, 28, 449, 29, 413, 33, 061, 31, 241, 28, 741, 30, 692, 29, 883, 33, 733, 28, 173, 30, 074, 32, 486, 29, 797, 34, 859, 32, 279, 21, 843, 34, 463,818 33, 717 715 35, 508, 075 31, 142, 306 26, 553,818 30, 967, 551 28, 559. 818 31, 2P1J 415 32, 322, 812 29, 389,472 36, 965,578 30,114, 214 30, 719,768 31, 981,995 •centum of circulation and deposits; since that date, 25 per centum of deposits only. j ! [ I ! $80, 000 5,162, 694 5, 042, 356 4, 927, 509 4, 347, 602 4, 732, 441 4, 664, 974 4,519,815 4, 301, 565 3, 996, 213 3,910,905 3, 863, 045 CXLIV REPORT OF THE COMPTROLLER OF THE CURRENCY. Table showing the total number of shares of national ~ban~k stock issued in each State and its residents and by non-residents respectively ; the number of resident and of non-resident Shares, where held. Shares issued. In the State. 106, 057 55, 532 121, 461 913. 326 350, 954 311,068 7, 023 4.618 8 125 75, 374 37, 082 28, 206 7,199 3, 663 3, 910 46, 564 11,341 14, 298 476 384 358 5,162 1,741 1,536 2,018,826 1, 858, 398 160,428 86, 975 9,657 1 482 746 221 044 884, 539 28, 494 434, 555 1 216 198 849, 23, 414, 478 463 249 920 159 266 268 22 581 35, 290 4,574 20, 396 26 339 6 811 28, 612 798 5,566 7 742 864 1,283 409 464 3 051, 378 Eastern States New York New Jersey . . Pennsylvania Delaware Maryland Middle States District of Columbia Virginia 2, 702, 269 349,109 68,126 10, 762 4,169 7 177 1, 648 2,174 3,018 8 077 230 2,418 11, 793 1 163 924 8, 565 4 074 15, 628 362 903 635 615 1,381 370 11 384 755 145 20 3,010 727 1,686 131 191 82 79 50 103 3 47 228 40 16 192 99 489 15, 520 3(5 911 18,460 23, 060 31,850 2 4 &r>(i 500 16, 930 34, 000 10 250 2 050 103, 530 31 126 80, 350 West Virginia North Carolina South Carolina Georgia. Florida : Alabama Louisiana Texas Arkansas Tennessee Missouri Southern and Southwestern States 11, 29 16, 20, 28, 16 351 734 812 Sm i 32 779 270 14,512 22, 207 9 087 1, 126 94, 965 27 052 64, 722 Non-residents. Pacific States and Territories .. . 71, 058 11, 004 1,756 274, 747 159, 808 173 932 86, 80!5 29, 406 57, 766 38, 318 12, 999 5, 579 20 493 18, 235 13 42) 10,286 9, 594 4 940 8, 452 2 601 3,921 5, 986 2, 454 3, 433 2,118 625 1, 524 687 264 79 448 264 387 383 318 143 141 58 69 839, 391 97, 942 17,170 2, 211 2, 500 8 250 2,000 1,000 3, 500 1, 250 3 000 500 47, 00i) Oregon Colorado Utah Idaho Montana "Wvomin0* New Mexico Dakota California 358, 335 937, 333 . 429, 393 295 240 178, 043 187 352 103, 092 39, 000 62 706 46, 800 15 600 9,500 Western States By non-residents. Number. Maine New Hampshire Vermont Massachusetts Rhode Island Connecticut Totals In the State. 113, 080 60,150 129, 586 988, 703 388, 036 339, 274 States. Ohio.. . Indiana Illinois Michigan . "Wisconsin Iowa Minnesota Kan sas Nebraska Number of shareholders. 2, 240 6* 292 1, 950 1,000 3, 125 1,013 2 381 243 44, 271 260 1 958 50 5 87 44 11 42 14 25 11 482 2 41 1 375 • 237 619 257 2,729 8 4 7 8 33 69, 000 62,515 6, 485 721 104 6, 505, 930 5, 820, 908 685, 022 183, 996 24, 490 REPORT OF THE COMPTROLLER OF THE CURRENCY. CXLV geographical division htj banks now in operation ; the number of shares of each State held by shareholders, and the number of shareholders holding respectively specified amounts of stock. dumber of shareholders owning specified amounts of stock. shares or less. Over 10 and Over 20 and Over 30 and Over 40 and Over 50 and Over 100 and not more not more not more not m o r e not more not more than 30. than 40. than 100. than 20. than 50. than 500. Over 500 shares. 440 25!) 391 3, G01 1, 391 1,187 190 100 191 1, 675 830 576 144 74 161 1, 604 555 302 227 103 280 % 157 1, 033 655 124 54 169 1,304 529 414 -6 4 21 53 37 43 17, 743 7, 269 3, 562 2, 930 4, 455 2,594 164 6, 963 1, 600 5,780 238 1, 033 3,610 761 2,824 112 632 2.232 524 1, 493 72 391 2, 223 366 1, 448 44 3 573 642 2, 260 107 781 2,491 313 l,3efl 36 748 205 12 33, 373 15, 614 7, 939 4, 712 4, 508 7, 363 226 617 391 330 £32 216 8 167 477 75 9 1, 441 306 957 107 165 127 138 65 2 87 158 20 5 606 164 389 60 84 65 60 102 43 1 48 98 28 1 319 91 240 16 31 34 25 58 22 18 34 7 2 163 44 103 28 67 30 52 54 44 i 48 70 6,052 2,305 1, 240 2, 388 785 1 i}08 967 382 774 282 158 50 1,190 482 617 462 172 283 148 49 19 7, 394 3, 422 5,359 2, 835 2, 228 32, 235 5,677 9, 581 1,185 618 827 9, 097 3, 030 2, 986 57, 915 12, 784 3, 457 14,621 597 1,914 g;-j 1 104 4, 974 405 35 74 44 63 76 i 46 : 19 51 25 25 41 33 2 5 I I 2 4 21 44 20 5 164 48 121 s* 4 212 68 159 40 97 i 13 10 290 ; 102 198 557 859 1,088 i 619 40 662 276 342 276 98 146 69 23 13 372 157 196 117 53 90 45 19 12 489 262 334 175 Cl i'9 102 16 11 728 362 372 298 93 152 88 28 20 568 353 324 195 81 114 86 37 41 2" It 3 y 22 i 1,905 1,061 1, 549 2,141 1,772 137 3 16 2 1 15 2 3 15 6 2 6 2 9 I 3 3 87 3 5 1 1 1 4 2 45 56 1 78 82 14 242 122 62 49 88 116 125 21 104,976 39, 206 18, 415 9,941 9,934 15,163 10, 084 767 56 24 1 23 10 7 7 114 10 cc •272 1 17 6 5 2 1 °2 8 4 3 2 2 39 8 I CXLTI REPORT OF THE COMPTROLLER OF THE CURRENCY, Table slioiving the distribution of national-bank stock in geo Shares, -where held. States in which the shares were issued. Maine ' New Hampshire Vermont Massachnsetts Rhode Island Connecticut i\ew York New Jersey Pennsylvania Delaware Maryland District of Columbia Virginia West Virginia North Carolina South Carolina Georgia Florida Alabama Louisiana Texas Arkansas Kentucky Tennessee Ohio Indiana Illinois Michigan Wisconsin Iowa Minnesota. Missouri Kansas Nebraska Oregon < California Colorado Utah Montana Wyoming New Mexico Dakota Totals In Eastern States. j i ; In Middle States. 4, 880 3, 724 j 5, 229 j 55, 897 28, 764 8, 204 j 193,059 j 3, 075 1, 392 l | • ; j ! ; : ; ' \ | < , 414 100 I 305 • 7\ 502 52!) ! 1,295 ; 383 1,810 ; 00 j \ 502 146 ; 5,070 , 3, 031 ; 3, 581 ; 3,185 | 3, 036 | 570 1,108 3, 780 20 ; 918 \ ; 778 35 ; 51 : 337, 020 746 i 577 i 1,051 j 11,900 0, 107 i 10,200 | 40,328 ! 18,050 23,795 i 4, 549 ; 13, 104 ! 3,074 5, 578 j 990 ; 530 i 1,290..! 5,029 i 230 I 1, 135 5,045 | 458 i 170 1,387 1, 03(5 4,958 ! 0,841 ! 3,210 ; 0, 100 ' 4, 816 2,325 i 4, 100 ! 7, 130 j 700 i 1, 582 I 200 273 1,201 ; 50 210 439 150 ; 207, 982 In Southern States. In Western States. 316 59 221 821 273 988 4,907 265 1,879 8 3, 562 326 1, 234 11 1, 076 610 1,123 152 196 894 3, 335 796 1, 978 11,947 014 5, 720 14 809 760 1.374 573 334 1,618 938 5, 327 1,432 I 1,709 i 181 i 70 109 93 1,825 074 385 i | 630 140 2, 502 30 360 I 4, 786 1, 854 4, 111 I 5,461 J 4,200 I 6, 358 I 1. 355 | 1,740 ! 2,951 ! 2, 748 1,196 625 425 432 150 55 50 166 52 69, 275 REPORT OF THE COMPTROLLER OF THE CURRENCY. CXLYII graphical divisions of the United States and in foreign countries. Shares, where hold. In Pacific States and Territories. I n Great Britain. 60 131 24 59 994 127 162 545 126 129 3 1 238 664 12 3,025 131 671 Other foreign "In Spain. I n France. I I n German y. I ! ! j i ;.. i 200 60 ' . . 2.214 I 474 I 183 L 150 116 671 729 38: ; 430 ! , ! 1 1,488 i I 318 i 71: 1, 4111 131 4828,005 178. 241 125! 35| l f 916 10 I. 6 j. 100 I. 60 20 88 307 j . 316 370 |. 150 ! 82 j 50 140 45 5 311 60 433 22 141 42 60 | !. . i. ! !. i .L -I- 120 !. 20 95 489 '266 T. 100 100' 312 13; 4 5 I. 100 200 ! 30 I. 4, 627 3,764 ; 4,162 12, 715| Total. 7,023 4,618 8, 125 75, 374 37. 082 28, 206 266, 268 22, 581 35. 290 4. 574 £0, 396 4.169 7,177 1,648 2, 174 3,018 8,077 230 2, 418 11.793 1, 163 924 8, 565 4,074 20, 493 18, 235 13, 420 16, 286 9, 594 4, 940 8, 452 15, 62H 2, 601 3,921 260 2. 729 1,958 50 375 237 619 257 685. 022 CXLVIII REPORT OF THE COMPTROLLER OF THE CURRENCY. Table showing the total number of shares of national bank stoclc of each State Where held. New Brunswick Nova Scotia Newfoundland. Canada, (not specified).. Mexico West Indies South America, (not specified) Prussia Bavaria Holland Russia Switzerland Italy Turkey Corsica Europe (not specified) India Persia China New Ver- MassaMaine. Hamp- mont. chusetts. shire. 523 8 176 33 71 Rhode Island. 230 773 45 151 Connecticut. 14 12 .. 280 New York. New Jersey. 2 538 714 121 619 266 726 85 ; 20 160 20 20 5 77 97 30 o 102 3 1 97 20 20 642 16 1,269 208 54 192 340 20 10 28 120 IF, 14 10 10 Syria E°"ypt Africa, (not specified). Azore Islands Sandwich Islands 100 8 1 tTapan Totals Pennsylvania. 18 .... ........ 3 729 38 71 1,411 131 482 40 30 8,005 178 241 ; REPORT OF THE COMPTROLLER OF THE CURRENCY. CXLIX held in foreign countries not specifically mentioned in the preceding table. Mary- District South Louisi- Misof Co. land. iumbia. Carolina. ana. souri. Ohio. WisIndiana. Illinois. Michi- consin. Califor- Total. gan. nia. 40 30 60 100 300 25 5 12 3, 656 1,495 166 1 202 366 1 600 73 13 489 50 * I 1 15 :::: I 19 3 50 ' 68 35 100 I 10 18 40 30 15 3 i j 15 125 35 489 22 68 100 100 65 312 13 327 30 20 685 136 1,308 473 68 192 665 132 3 100 12, 715 CL REPORT OF. THE COMPTROLLER OF THE CURRENCY. Number and denominations of national bank notes issued and redeemed, and the nvniber of each denomination outstanding, on November 1 in each year, from 1868 to 1876. 1 Fives. Ones. 1 Twos. 1868. 8, 896, 576|2, 978, 100:23, 106, 726; Issued 254, 754 73, 176; 482, 132| Redeemed Outstanding-.. 8,641,822 2, 904, 984 22, 624 596 1869. Issued Redeemed Issued Redeemed Outstanding... 1872. Issued Redeemed Outstanding .. 1873. Issued Redeemed Outstanding... 1874. Issued Redeemed Issued Redeemed Outstanding.. Five hundreds. One thousands. 1 4, 746 1, 846 7, 773, 555 2, 182, 967 337, 925 251, 767 11, 727 2, 900 0^9,160 3, 209, 388 23, 676, 760! 8, 094. 645 0 269, 764 363, 523 274, 799 904, 013 232, 224; 985, 940i 272, 495 71, 655 22, 859 25, 968 13, 666 0 585 4. 769 2,415 11, 083 2, 354 370, 056 378, 482 284, 460 129,165 47, 845 43, 599 13, 926 3, 952 4,779 3, 263 7, 929, 1092, 240, S71 330, 637 240, 861 9, 974 1, 516 321, 163 76, 287 11, 64-" c, 017 4, 643 4, 005 7, 261, 600|2, 702, 465 21, 898, 566 8, 794, 9302, 534, 031 350, 454 244, 876 8, 625 838 14, 297, 360 4, 732, 628!31 933, 348 11, 253 452*3 225, 638 497 199 367 797 7, 919, 389 2,408,389; 5, 960, 667 1, 699 702| 436, 852, 126 180 110 989 15, 621 7,867 4, 933 4,315 6, 377, 971 2, 374, 2:39-25 !)72, 681 9, 553 750'2 766, 83C 371 019 256 808 7 754 618 ! 15, 524,189 5,195,111.34 894 456 12 560 300'3 008,219 559 722 416 590 9, 891, 606 3,120,723: 9 141, 963 2 573 070 653, 071 168 976 144 057 16, 496 ' 656 5,148 4, 530 5, 632, 583 2, 074, 3«S 25 7-"v, •93 9 987 32!!|2 955, 148 | 390 746 272 533 6 838 : 6is 16,548,259 5,539,11339 243 136 13, 337 07( 962, lOf | 666 950 492 482 11, 143, 606 3, 755, 019 13 041 G05 3, 912 707 * 971,00? 231 556 196 572 17 344 i 11 676 5,240 4, 663 '201 531 9 424 3<jy>2 990,501 435 394 295 910 5 666 j 557 055 184 17 410 507 J 5 296, 064 884 16n 645 PW 926 771 7 608 532 2 00 1, 40- 331 037 299 428 18 476 : 14 471 ; 5,530 5,048 128 413 9 801 975 3 291, G0(. 503 12t 346 410 4 005 4H- 6 066, 49x 2 652, 24( 18 721 | 16 217 5, 539 5 27 * * 7, 821. 150^2, 193,109 334, 664 246, 831 10, 729, 327 3, 590,157 24, 636, 7301 8, 413, 244 2, 568, 703 667, 733; 1, 737, 983| 464, 135 i 12, 537, 657 4,195, 791 28, 174 940i 9 728, 375:2. ~VQ coo 5, 276, 057 1, 493, 326; 3, 276, 374 933, 4451 245, 36! j : Outstanding... 1 5, 404, 6531, 784, 004 20 1875. 113 046,176 6, 039, 752 47 Issued 14,092,120 4, 816, 623 24 Redeemed Outstanding... 3, 954, 050 1, 223,129 22 1376. One hundreds. 13, 486 1, 759 Outstanding... 8,160, 624 2, 922, 42422, 898, 737| 1871. Twen- ; Fifties. ties. 1 7, 915, 914 2 219, 322 355, 181 267, 350 142, 359 36,3o5 17, 256 15, 583 Outstanding... 8, 685,147 2, 977,164122, 690, 820 1870. Issued Redeemed Tens 18, 849, 264 6, 307, 44851 783, 528*20, 008 15, 556, 708 5, 324, 546 32 362,05610,369 214 3, 292, 556 496 82, 972 710 900 985 515 784 3 9 J 785 982, 90219 401 472 9 639 436 3 234, 24(>| 469, 831 315 115 2,504 267 REPORT OF THE COMPTROLLER OF THE CURRENCY. CL1 Statement showing by States the amount of national-bank circulation issued, and of legaltender notes deposited to retire national-bank circulation from June 20, 1874, to November 1, 1876; and the amount remaining on deposit at the latter date. States and Territories. Maine j New Hampshire ; Vermont Massachusetts Khode Island | Connecticut i New York j New Jersey ' Pennsylvania Delaware Maryland District of Columbia, i Virginia i "West Virginia | North Carolina ', South Carolina j Georgia j Florida • Alabama j Mississippi j Louisiana \ Texas j Arkansas ........i Kentucky j Tennessee.., • Ohio ! Indiana I Illinois ..j Michigan j Wisconsin | Iowa 1 Minnesota j Missouri j Kansas ; Nebraska . . . , i. Nevada j Colorado j Utah , j. Montana Legal-tender notes \ deposited prior to j June 20, 1874, and j remaining at that date Totals. Additionalcir- j dilation is-! sued since j June 20,1874. j Legal-tender notes deposited to retire national- | bank circulation, since June 20, 1874. |T , J \ Legal tenders? , ! on deposit For redemp- To retire cirwith U. 8. tion of notes culation un- Total deposits, i Nov.a s u r e r Tr e 1,1870. der act of of liquidatJ u n e 20,1874. " x banks. 8808,940 i 369, 260 1 778,980 j 5,552,335 j 158,200 I 781,810 I 2,363,850 ! 640,635 I 3, 341, 460 j 84,100 | 110,810 246, 200 207,100 ! 35,370 ! 305,060 ! 6,700 | 180,000 j 45,000 I $555, 000 10, 800 341, 400 5, 000, 900 426, 740 951,490 14, 039, 54 L 732, 340 4,192, 100 #41,200 27,400 134,807 96,400 27, 050 699, 500 23, 060 488, 247 $590, 200 38, 200 476, 207 5, 097, 300 4-26,740 978,540 14,739,041 755, 400 ! 4, 680, 347 j 1, 123,100 427, 500 592, 415 204, 300 764,1S5 953, 380 297, 275 1, 289, 700 820, 664 1, 299, 279 935, 360 764, 185 953,380 ! 540, 000 | 603,625 ] 1.844.250 ! 229,340 | 461. 867 235,901 796,331 474, 677 814,509 116,400 364,999 413,774 125,691 187,591 444,671 45, 000 771,233 408,859 1,262,990 3,297,752 5.595.251 1,587,800 687,400 1,358,550 1, 146, 830 3, 383, 559 145,600 54, 8dO 2, 447, 875 229, 340 90,000 1,233, 100 644, 760 ! 2, 059, 32 L 3.772,429 i 6,.409, 760 ! 1,704,2)0 ! 1, 052, 399 i 1,772,324 1,272,521 ! 3. 571, 150 ; 590,271 ! 99,880 i 166, 393, 706, 731, 600 164 864 060 212,725 ^229, 807 16, 723 197, 471* 1,110,194 13, 500 81, 031 4, 097, 06fi 260, 585 2, 043, 3(iti 599, 200 329^ 91Si 463, 390 317,907 •133, 930 336, 730 187, 925 90,000 I 32,130 i 62, 100 i. 90, 1,982,640 259,200 796, 520 1,283,570 785, 475 304.820 50,900 553,500 329,320 114,270 j | ! ! | j j | i ; 30,600 | 120,000 ! ! ! ! 63,925 161,191 I (]{)'•) i | i i ! ! I ; ; , i i ; 135,000 i 196, 800 45,000 ! 198, 925 o57, 991 45,000 1,721 1, 060, 884 81,090 34, 983 548, 57?; 223, 64t". 914,103 1, 2-25, 98s 2, 552, 87»;: 555, 855 398, 484 624, 02!* 509, 46-1 1,004,473 232, 72 tf 42, 37(5 3, \m 88, 703 83, 44:S 3, ih'iO 3, 813, 675 | 22,814,855 9, 088, 229 52, 853, 560 65, 755, 464 20, 910, CLII EEPORT OF THE COMPTROLLER OF THE CURRENCY. Table, by Stales and geographical divisions, of the number of hanks organized, closed and closing, and in operation, with their capital, bonds on deposit, and circulation issued., redeemed, and outstanding on the 1st day of November, 1876. Capital. Banks, States and Territories. 73* 46 49j 239! 71j$10, 560, 000| 451 5,615,00ll| 46 8,783,7001 236 9(3,710,300 62| 20, 579, 800; 82! 26,039,620! 62J. "I- 85> Totals, Eastern States, i N"ew York New Jersey Pennsylvania Delaware Maryland 554! Totals, Middle States District of Columbia, Virginia West Virginia, North Carolina South Carolina Georgia Florida A labama Mississippi Louisiana Texas A rkansas Kentucky Tennessee Missouri 700; 711 J 4 10; 5: .| 20! 15:. 12;. 16! i j j | | i | 12| 331! 70] 252! 13!. 34 ing. "I" 2~-0!$17, 350, 890 $8,862,022 $8,.- 488, 868 100, 210 000j 10, 291,525 5,191,315 270, 859 200| 15, 71,160J, 8,500,301 72 9 323, 951 8501136, 672, , 04J 77, 348,0891 400 29, 424, 040J 16,, 410,585;; 13,013,940 24, 52H| , , 52H| 100 39, 826, 600! ! 22, 373, 684| 17, 452,916 22 , C 50, 483, !, 5001141, 035, 220 S 12, 327, ',650 24, ,369,530 45, 116,!, 700) 92,4 ,482,205 491, , 200t 2, £ 1, ,878,165! 8, 398,i, OOOj 19, t ,658,551 92,643,873! 48, 391,347 13,258,597! 11, 110,933 50,252,855 42, 229, 350 1,504,365 1, 373, 800 11,079,249 8, 579, 301 629 191, 753, 032J117, 817, 050;280, 423, 670J168, 708, 939|111, 684, 731 51 19 15 15 12 12 l! 7 10 2 1, 552, OOOj 3, 585, 000! 1,846,000 2,556,000 3, 185, 000! 2, 335, OOO! 50, 000! 1, 683, 000! 3, 900, 000' 1, 025, 000! 205, 000.' 10, 146,500! 3, 350, 300j 7, 985, 0001 2, 1, 1, 1, 1, 968, 703, 538, 350, 485, 964, 50, 1, 606, OOOj 750; 250| 000 000! 900| 0()0| 000 1,133, 624, 105, 8, 744, 2, 654, 2, 652, 500| 000 OOOj 550| 500 950 1, 969,182; 3, 600, 0091 2, 703, 918 1, 455, 790! 1, 543, 915! 2,172 ; 615! 2, 500! 996, 566! 64, 278J 3, 459, 538| 883,160; 171, 447| 6, 459, 026 2, 840, 528! 6,918,017! 3, 108,000! 6, 305, 49C| 4, 470, 240! 3, 175, 500, 3,127, 020! 4, 132, 040| 47, 4801 2,457, 1001 66, 000 5, 536, 460 1, 456, 720 367, 700i 14, 907, 215| 5, 460, 190 10, 247, 005 138, 818 765, 481 766, 322 719, 710 583,105 959. 425 44; 980 1, 460, 534 1, 722 2, 076, 922 573, 560 196, 253 8, 448,189 2, 619, 662 3, 328, 988 25, 903, 166 22,819,814 16,461, 145 13, 132,160 18, 017, 850| 12,051,585 6, 288, 805 7, 557, 345 2, 529, 209 3, 752, 4, 575, 846 6, 087, 2, 812, 442 3,171, 1, 183, 834 1,312, 832, 670 761, 29, 753, OOOj 17, 058, 0001 18, 916, 000! 9, 958, 500 3, 450, 000 6, 357, 000 4, 528, 700i 1,320,000! 950, 000j 92, 291, l! l!. 13 1 41 000! 000; 000; OOOi 000! 000] OOOi 000; 250, 000 590, 000 50,000 100,000 236, 000 60, 000 300, 001 50, 000 231 2,350,000 1,636,000 1 IO! lj. 6 311 8 065| 66,226,365 200| 250, 975, 200, 100, 350, 125, 300, 50, 131, 700l 414, 300 169,740 592, 0301 172, 840 407,10c 87, 400! 477, 270 80, 030 3, 532, 410 Due to banks for mutilated notes returned ... Grand totals . 1, 2, 1, 1, 1, 1, 213! 43, 403, 800! 27, 580, 400 64, 924,1601 35, 240, 489! 29, 683, 671 Ohio Indiana Illinois Michigan .. Wisconsin . Iowa Minnesota . Kansas Nebraska.. Totals, Pacific States and Territories Issued. I Redeemed.! Outstand- 542:168, 288, 420,122, 878, 800^249, 336, 740; 138, 685, 996jllO, 650, 744 10 Totals, Southern and Southwestern States. Totals, Western States Nevada Oregon Colorado Utah Idaho Montana , Wyoming Ne'w Mexico. Dakota $9, 058, 5, 644, 7, 847, 66, 223, 14, 445, 19, 660, 280105, 107.191 j 6U1 14,357,571 235! 56,821,840; 13j 1,635,745! 32J 13,830,685' 11! Circulation. Capital Bonds on paid in. | deposit. Organ-,rll j " Maine New Hampshire . Vermont Massachusetts... lihode Island Connecticut Bonds. 127, 193, 564, 464, 84, 188, 34, 076 700 637j 787! 039| 286| OOOi 210,110i 35, 030 4, 624 220, 600 605, 103 127, 243 88, 801 218,814 53, 340 267, 160 45, 000 1, 901, 725 1, 630, 685 1, 274, 522 2, 333J 255 2, 078|498, 086, 452J335, 943, 800 747, 468, 410 427, 592, 214J321,150, 718 GOLD-BANKS. Massachusetts California Total gold-banks Totals of currency and gold-banks 9 10; 2,343! 4, 450, 000 120, 000 1, 784, 000 2, 788, 050! 120, 000 697, 460 2, 090, 590 . I 2, 090, 590 2, 908, 0501 817, 460 256; 2,087 502,536,452 337, 727, 800 750, 376, 460j 428, 409, 674 323, 241, 300 9 4, 450, 000 1, 784, 000 EEPORT OF THE COMPTROLLER OF THE CURRENCY. CLIII Xatlonal banks that have gone into voluntary liquidation under the provisions of sections 5220 and 5221 of the Revised Statutes of the United States, with the dates of liquidation, the amount of their capital, circulation issued and retired, and circulation outstanding November 1, 1876. Circulation. Name and location of bank. Date of j liquidation. | Capital. First National Bank, Penn Yan, N. Y*| Apr. 6,1864 j First National Bank, Norwich, Conu*tj May 2,1864 j Second National Bank, Ottumwa, j " j Iowa* May 2,1864 i Second National Bank,Canton,Ohio*, j Oct. 3, 1864 j First National Bank, Lansing, Mich*.! Deo. 5,1864 j First National Bank, Columbia, Mo.. I Sept. 19,1864 j First National Bank, Carondelet, Mo.; Mar. 15,1865 i First National Bank, TJtica, N. Y j June 9,1865 j Pittston National Bank, Pittston, Pa. j Sept. 16,1865 j Fourth National Bank, Indianapolis, i ! Ind I Nov. 30,1865 j Berkshire National Bank, Adams, \ \ Mass ; Dec. 8,1865 j National Union Bank, Rochester, i ! N. Y ! Apr. 26,1866 j First National Bank, Leonardsville, ; N. Y j July 11,1866 ; Farmers'National Bank, Richmond, \ I Ya | Oct. 22,1866 ! Farmers'National Bank, Waukesha, j j Wis ! Nov. 25,1866 j National Bank of the Metropolis, ; | Washington, D. C j Nov. 28,1866 j First National Bank, Providence, Pa. j Mar. 1,1867 '; First National Bank of Newton, i ! Newtonville, Mass j Mar. 5,1867 ! National State Bank, Dubuque, Iowa. !| Mar. 9, 1867 j National Bank of Crawford County, I Meadville, Pa '... Apr. 19,1867 \ Kittanniug National Bank, Kittan- i [ niiijcr, Pa ! Apr. 29,1867 ; City National Bank, Savannah, Ga . .j May 28,1867 | Ohio National Bank, Cincinnati, Ohio| July 3, 1867 j First National Bank, New Him, Mien: July 16,1867 | First National Bank, Kingston. N. Y.! Sept. 26, 1867 I First, National Bank, Bluffton, Ind...! Dec. 5, 1867 j National Exchange Bank, Richmond, i j Va.. | Dec. 5,1867 i First National Bank, Jackson, Miss.. j Dec. 26,1867 ! First National Bank, Skaneateles, > N. Y | Jan. 2,1868 j First National Bank. Downingtown, i i Pa j Jan. 14,1868 I First National Bank, Titusville, Pa | Jan. 15,1868 j Appleton National Bank, Appleton, I j Wis | Jan. 21, 1868 ; National Bank of Whitestown, N. Y.j Feb. 14,1868 \ First National Bank, New" Brims- | ! wick, N. J j Feb. 26,1868 j First National Bank, Cuyaboga Falls, Ohio .' Mar. 4,1868 j First National Bank, Cedarburg, Wis Mar. 23,1868 I Commercial National Bank, Cincinnati, Ohio Apr. 28, 1868 j Second National Bank, Watertown, N. Y ; July 21,1868 i First National Bank, South Worces- \ ! ter, N. Y j Aug. 4,1868 i National Mechanics' and Farmers' i ! Bank, Albany, N.Y j Aug. 4,1868 ! Second National Bank, Des Moines, i | Iowa ! Aug. 5,1868 j First National Bank, Steubenville, j i Ohio ! Aug. 8,1868 I First National Bank, Plumer, Pa j Aug. 25,1868 | First National Bank, Danville, Va . ..j Sept, 30,1868 I First National Bank, Dorchester, j I Mass Nov. 23,1868 First National Bank, Oskaloosa, Iowa Dec. 17,1868 | Merchants and Mechanics' National Dec. 31,1868 j Bank, Troy, N. Y ' Banks chat never completed their organization. !— ! Issued. 1100,000 ! 30,000 I (*t) I- 200,000 i 100,000 : | Retired. i Outstanding. $90,000 ! $89, 675 00 25,500 I 25, 193 75 None. j 85, 700 | $325 00 306 25 | j 82, 475 00 I 3, 225 00 100,000 j. 400,000 I 192, 500 50,000 I 45, 000 100,000 I 85, 000 100,000 i 90, 000 200,000 I 100,000 ! 180, 000 90, 000 150,000 I 150, 000 i 130, 000 127, 500 300,000 ! 5,821 41, 895 00 | j 80, 403 25 | 3,105 4,596 1,279 88, 720 25 | 170,181 76, 640 118,754 123, 348 9,819 00 I 13, 360 00 ! 11, 246 ' 00 j 4, 151 ! 75 | None. 200,000 i 100, 000 ! 500,000 i 186, 678 25 50,000 i None. None. 450, 000 54, 000 180, 000 45, 000 200,000 i loe, ooo j 180, 000 40, 500 173, 550 00 39,260 00 I 6,450 00 1, 240 150, 000 j 135, 000 131, 037 20 j 3, 962 I 60,000 S 200,000 I 18,090i i 2 325 I 18 579 t 1 443 431 910 00 51 675 00 161 421 00 43, 556 25 00 00 00 75 oo i 100,000 i 100,000 | 90, 000 86, 750 81, 913 00 79, 036 00 8,087 7,714 50,000 ; 120,000 ; 45, 000 43,627 85 I 43, 873 25 j 1, 372 626 44, 500 79, 627 00 | 100,000 I 10, 373 90, 000 43, 728 75 50, 000 1, 271 45, 000 88, 002 00 100, 000 1,998 90, 000 335, 380 00 500, 000 10, 570 345, 950 72, 660 00 100, 000 17,340 90, 000 153,181 25 175,500 | 4,218 157, 400 307, 015 25 350,000 | 7,934 41, 442 00 1,058 42, SCO | 150,000 | 25, 290 ! 109, 710 00 100, 000 i 135, 000 | 73, 420 00 14, 080 50,000 | 2,130 87,500 j 42, 870 00 I 45,000 | 117, 376 00 15,124 150, 000 | 132, 500 65,911 85 75,000 1 1,588 67, 500 4, 4P0 180,269 70 300,000 I 184, 750 f A newbank organized with, same title. 314, 950 50,000 | 30 CLIV KEPORT OF THE COMPTROLLER OF THE CURRENCY. Table of liquidating banks—Continued. Circulation. Xarae ami location of bank. Date of liquidation. Capital. National Savings Bank, "Wheeling, W.Va : . . Jan. 7, 1809 ! First National Bank, Marion, Ohio . . j . i n . io, 186!) National Insurance Bank, Detroit, Mich Fel>. 26, If C9 \ > National Bank of Lansingburgh, X. Y Mar. 0,1801) i National Bank of North America, \ New York, N. Y 1, : Apr. 15,1869 First National Bank, Ilallowell, Me.. Apr. li), 1869 ! First National Bank, Clyde, N. Y* . . . Apr. 23, 1869 Pacific National Bank, New York, I N. Y May 10, i 869 ! Grocers' National Bank, New York, I N. Y June 7,1869; Savannah National Bank, Savannah, Ga June 22,1869 ' First National Bank, Frostburg, Md July 30, 1869 j First National Bank, La Salle, I I I . . . Aug. 30, 1869 I : NationalBank of Commerce, George" town, D. C - - - . Oct. 28,1869 Miners' National Bank, Salt Lake | City, Utah Dec. 2,1869 I First"National Bank, Vin ton, Iowa . . . Dec. 13, 1869 First National Bank, Decatur, III Jan. W, 1870 ' National Exchange Bank, Philadel\ phia, Pa Tan. 15,1870 : National Union Bank, Owego, N. Y".. Jan. 18, l?-70 I First National Bank, Berlin, Wis Jan. 25,1870 j Central National Bank, Cincinnati, ! Ohio Mar. 5,1870 First National Bank, Dayton, Ohio... Apr. 9,1870 j National Bank of Chemung, Elmira, ; N. Y Jure 10,1870 ; Merchants' National Bank, Milwaui kee, Wis June 14,1870 i First National Bank, Saint Louis, ; Mo July 16,1810 ; Chemung Canal National Bank, Elmira. N. Y Aug. 3, 1870' Central National Bank, Omaha. Neb Sept. 23, 1870 First National Bank, Burlington, Vt. Oct. 32, 1870 j First National Bank, Clarksville, Va. Oct. 13,1870 '. Fimt National Bank, Lebanon, Ohio.. Oct. 24, 1870 National Exchange Bank, Lansingburgh, N. Y Dec. 27, 1870 ; Muskingum National Bank, Zanesvilie, Ohio Jan. 7,1871 i United National Bank,Winona, Minn Feb. 15, Ie71 State National Bank, Saint Joseph, i Mo Mar. 16, 1871 I First National Bank, Des Moines, Iowa Mar. 25, 1871 Saratoga County National Bank, Waterford, N . Y Mar. 28,1871 i First National Bank, Fen ton, Mich.. May 2, 1871 ! First National Bank, Wellsburg, ; W. Ya t . . June 24,1871 j Clarke National Bank, Rochester, i N. Y Aug. 11,1871 ! Commercial National Bank, Oshkosh, ! Wis Nov. 22,1871 j Fort Madison National Bank, Fort j Madison, Iowa Dec. 20,1871 j National Bank of Maysville, Ky Jan. 6,1872 j Fourth National Bank, Syracuse, ' N.Y Jan. 9,1872: American National Bank, New York, N. Y ! May 10,1872 I Carroll County NationalBank, Sand\ wich, N. H.I May 24,1872 i Second National Bank, Portland. Me June 24,1872 j Atlantic National Bank, Brooklyn, i N.Y . ' . . . . ' J u l y 15,1872 | Merchants and Farmers' National ' i Bank, Quincy, III Aug. 8,1872 \ First National Bank, Rochester, N. Y Aug. 9, 1872 i Lawrenceburgh National Bank, Law| renceburgh, Ind Sept. 10,1872 j * Consolidated with another bank ; I— Issued. Retired. Outstanding. 10°, 000 125, 000 90,000 109, 850 87.175 106, 270 2, 825 00 > 3, 579 65 son, oio 150.000 : 85, 000 135, 000 83, 968 131,476 1. 031 25 3, 523 15 000,000 ; GO, 000 i 50, 000 331, 000 53,350 . 44, 000 324, 238 52, 007 38, 400 8,761 35 1, 342 25 5, 600 10 422,700 ; 134, 990 131, C52 3, 337 75 390, 000 i 85, 250 83, 996 00 | 1, 254 00 ioo,ono i 85, 000 45, 000 45, 000 82, 450 43, 977 43, 735 2, 549 75 1, 022 25 1, 265 00 90, 000 ! 86, 200 00 j 3, 800 00 50,000 ! 50, 000 ! 100,000 150,000 : 50, TOO ; 100, COO ; :K:O, oon 130, 446 00 | 135,000 ! 42, 500 i 41,678 75 So, 250 \ 83,155 80 4, 554 00 82 L 25 2, 094 20 100, 000 50,000 175,750 : 88,250 44,000 157, 775 76, 273 43, 018 17, 975 00 11,977 00 981 20 500,000 150,000 425, 000 ! 135,000 ; 409, 435 130, 982 15, 565 00 4,017 95 100,000 90,000 \ 87, 683 2,316 75 100,000 90,000 85, 775 50 I 200,000 179,990 100,000 100,000 300, 000 50, 000 ; 100, 000 ' 90,000 i None. 89, 087 4, 224 50 5,016 95 174, 973 00 913 00 \ 270,000 ! 27, 000 j 85, 000 ] 230,303 "' "" 25, 68f . 82, 153 75 39, 697 00 1,315 00 2, 846 25 100,000 ; 90,000 I 85, 599 30 4, 400 70 100,000 50,000 : 90,000 ; 45, 000 j 85. 815 i 43, 520 4, 185 00 1, 480 00 1C0, 000 90,000 j 88,162 1, 837 30 100,000 I 90,000 ! 87,193 2, 806 25 130, 803 48, 278 4,196 95 1,221 75 150,000 ; 100,000 j 135, 000 49,500 ! 100,000 ! 75,000 300, 000 105,500 90,000 ! 86, 608 3, 392 00 180,000 ; 173, 206 C, 794 00 90,000 ! 86, 547 3, 453 00 07,500 j 270,000 | 64, 165 3, 335 60 256, 762 100, 000 ! 200,000 13, 238 00 91,700 | 87, 775 500,000 50,000 100, 00J 3, 925 00 390, 313 36, 977 68, 860 59, 686 50 8, 023 00 12,140 00 450,000 45. 000 81,000 200, 000 I i 150, 000 I 400, 000 ! 165, 000 ! 155, 525 00 ! 135, 000 ! 127, 820 00 206,100 J 195, 719 50 200, 000 | 180, 000 | 169, 352 50 n o legal-tenders deposited. 7, 180 00 10, 380 50 REPORT OF THE COMPTROLLER[OF THE CURRENCY. Table of liquidating CLV banks—Continued. Circulation. Naine and location of bank. Date of I liquidation. J e w e t t City National Bank. J e w e t t | Capital. •• City, Conn Oct. 4,1872 First National Bank, Knoxville, Tennj Oct. 22,1872 "First National Bank, Goshen, Ind | Nov. 7,1872 ; Kidder National Gold Bank, Boston, > \ Mass -. -; Nov. 8,1872 : Second National Bank, Zanesville, \ • Ohio I Nov. 10,1872 : Orange County National Bank, Chelsea, Vt* ...'. Jan. 11,1873 ; Second National Bank, Syracuse, N. Y Feb. 13,1873 ; Richmond National Bank, Richmond, ! < Indf Feb. 28,1873 ; First National Bank, Adams, N. Y . . . i Mar. 7,1873 ' Mecbauics' National Bank, Syracuse, N. Y " I Mar. 11,1873 Farmers and Mechanics' National i Bank, Rochester, N. Y Apr. 5,1873 ! j Montana National Bank, Helena, I Mon Apr. 15,1873 i First National Bank, Havana, N. Y . . | June 3,1873 ! Merchants and Farmers' National Bank, Ithaca, N. Y ; June 30,1873 : National Bank of Cazenovia, N. Y .... July 18,1873 • Merchants' National Bank, Memphis, \ Tenn Aug. 30,1873 Second National B ink, Chicago, 111 .. i Sept. 25,1873 Manufacturers' National Bank, Chi- j I cago, 111 Sept. 25,1873 ; Merchants' National Bank, Dubuque, j ! Iowa Sept. 30,1873 • Beloit National Bank, Beloit, W i s . . . . i Oct. 2,1873 ; j Union National Bank, Saint Louis, I Mo -. Oct. 22,1873 1 City National Bank, Green Bay,Wis.! Nov. 29,1873 j First National Bank, Shelbina, M o . . . J Jan. 1,1874 I Second National Bank, Nashville, j j Term ! Jan. 8,1874 | First National Bank, Waynesburgh, ! Pa "'. Jan. 13,1874 | First National Bank, Oneida, N. Y . . . Jan. 13,1874 ; Merchants' National Bank, Hastings, ! Minn I Feb. 7,1874 j National Bank of Tecumseh, Mich... Mar. 3, 1874 j Gallatin National Bank, Shawnee- ! ! town. Ill Mar. 7,1874 i First National Bank, Brookville, Pa..; Mar. 26,1874 j Citizens' National Bank, Sioux City, ! > Iowa | Apr. 14,1874 i Citizens' National Bank, Charlottesville, Va ! Apr. 27,1874 Farmers' National Bank,Warren, 111 ! Apr. 28,1874 ] First National Bank. Medina, Ohio .. ! May 0,1874 I Croton River National Bank, South I | East, N. Y I May 20,1874 j Merchants' National Bank of West j ! Virginia, Wheeling, W. Va j July 7,1874 j Central National Bank, Baltimore, j ' Md ! July 15,1874 j Second National Bank, Leavenworth, I ' ! Kan July 22,1874 j Teutonia National Bank, New Orleans, La ! Sept. 2, 1874 City National Bank, Chattanooga, ' 1874 Tenn Sept. 10,1 First National Bank, Cairo, 111 1874 Oct. 10,1 First National Bank, Olathe, Kan Nov. 9,1 1874 First National Bank, Beverly, Ohio.. Nov. 10,1 ,1874 Union National Bank, La Fayette, Ind Dec. Ambler National Bank, Jacksonville, Dec. Fla. 4,1874 7,1874 Mechanics' National Bank, Chicago, 111 | Dec. 10,1874 | First National Bank, Evansville, WisJ Jan. 9,1875 j r * Consolidated w ith another bank ; t A new bank organized with same Issued. #00, COO ! 100, 000 115, 000 $-13, 750 8i>. 010 103; 500 Outstanding. Retired. $7, 845 00 6, 679 00 7, 657 00 $40, 905 00 74,231 00 95, 843 00 300, coo ; 120, 000 120, 000 00 154, 700 : 138,140 128, 125 00 10, 015 00 200,000 i 180, 000 144, 310 00 35, 690 C O 100,000 ; 00, 000 83, 802 C O 6,198 00 230, 000 I 75, COO ; 207, 000 66, 900 207. 000 00 56, 057 00 10, 843*00 86, 805 00 6, 995 0J 110, OGC : 93,800 | 100,000 I 83,250 | 76, 045 00 7, 205 00 100,000 ' 50,000 ; 31, 500 I 27, 540 00 35, 425 00 3, 960 00 9, 575 00 50, 0C0 150,000 45,000 ! ! 45,000 i 116,770 I 37, 086 00 104, 654 00 7,914 00 12, 116 00 250,000 100,000 225, 000 97. 500 195, 943 00 75, 491 00 29, 057 00 22, 009 00 500,000 ; 450, 000 346, 059 00 ! 103, 941 00 200,000 : 50,000 i 180,000 45, 000 130, 845 00 34, 365 00 150, 300 45, 000 90, 000 113,293 00 31, 562 50 62, 692 50 500, ono ; 50,000 ! 100,000 ; 49, 155 00 10, 635 00 I 37, 007 00 13, 437 50 27, 307 50 125,000 i 92, 920 69, 550 00 23, 370 00 100,000 ! 125,000 i 72,000 110, 500 57, 968 00 83, 691 C O 14, 032 00 26, 809 00 58,786 00 34, 645 00 31,214 00 10, 355 00 100,000 I 50,000 ! 90, 000 j 45,000 | 250,000 i 100,000 j 225,000 ! 90,000 | 157,696 00 67, 670 00 67,304 00 22, 330 00 50,000 ! 45, 000 29, 520 00 15, 480 00 100,000 I 50, 000 ! 75,000 | 90, 000 45, 000 45, 000 62, 724 00 31,622 50 32,211 00 27, 276 00 13, 377 50 12, 789 00 200, 000 176, 550 143, 206 00 33, 344 00 500, 000 450, 000 312, 983 00 137, 017 00 200, 000 180, 000 123, 709 00 56, 291 00 100, 000 90, 000 CO, 096 00 29, 904 00 300, 000 270, 000 175, G90 00 94, 910 00 170, 100, 50, 102, 250, 153, 90, 45, 90, 224, 98,121 50 57, 707 00 31,207 00 57, 402 00 145, 075 00 54, 878 50 32, 293 00 13, 793 00 32, 598 00 79, 020 00 104,010 00 27, 315 00 40, 890 00 17, 685 00 000 000 000 01 0 000 42, 500 250, 000 55, 000 000 000 000 000 095 None. 144, 900 45, 000 no legal-tenders deposited. title. CLVI REPORT OF THE COMPTROLLER OF THE CURRENCY. Table of liquidating banlcs—Continued. Circulation. Name and location of bank. Issued. First National Bank, Baxter Springs, ] Kan ! Jan. 12,1875 People's National Bank, Pueblo, Col.. Jan. 12,1875 National Bank of Commerce, Green \ ! Bay, Wis Jan. 12,1875 [ First National Bank, Millersburgh, j j Ohio :...\ Jan. 12,1875 ! First National Bank, Staunton, Ya...! Jan. 23, 1875 j National City Bank, Milwaukee, Wis ! Feb. 24, 1875 Iraaburg National Bank of Orleans, !! Irasburg, Vt Mar. 17,1875 Merchants and Planters' National Bank, Augusta, Ga Mar. 22,1875 First National Bank, Pekin, 111 : Mar. 25,1875 Monticello National Bank, Monti! cello, Iowa : Mar. 30,1875 j Iowa City National Bank, Iowa City, ; Iowa "_.. j Apr. 14,1875 FirstNationalBank,Wheeling,W.Ya.i Apr. 22,1875 First National Bank,Mount Clemens, i Mich j May 20,1875 First National Bank, Knobnoster, : Mo Mav 29,1875 I First National Bank, Brodhead, Wis June 24,1875 First National Bank, El Dorado, : | Kan \ June 30,1875 j First National Bank, Junction City, ; I Kan 1.. July 1,1875 j First National Bank, Chetopa, Kan .. July 19,1875 ) Auburn City National Bank, Au- j burn, N. Y \ July 27,1875 First National Bank, Golden, Col i Aug. 25, 1875 National Bank of Jefferson, Wis Aug. 26, 1875 I Green Lane National Bank, Green \ I Lane, Pa ; Sept. 9,1875 ! State National Bank, Topeka, K a n . . . Sept, 15,1875 I Farmers' National Bank. Marshallj town, Iowa Sept. 18,1875 Planters' National Bank, Louisville, i Ky ' Sept. 30, 1875 First National Bank, Gallatin, Pa . . . Oct. 1,1875 j First National Bank, Charleston. S W. Ya Oct. 2,1875 j People's National Bank,Winchester, | 111 Oct. 4,1875 ! First National Bank, New Lexing- i j ton, Ohio '... Oct. 12,1875 | First National Bank, Ishpeming, j Mich Oct. 20,1875 | Fayette County National Bank of i j Washington, Washington C. II., i j Ohio i Oct. 26,1875 i Merchants' National Bank, Fort Wayne, Ind : j Nov. 8,1875 | Kansas City National Bank, Kansas I City, Mo' Nov. 13,1875 ! First National Bank, Schoolcraft, Mich i Nov. 17,1875 ! Richlaud National Bank, Mansfield, j Ohio i Dec. 17,1875 L First National Bank, Curwensville, : I Pa I Dec. 17,1875 ; First National Bank, Greenfield, ! I Ohio i Dec. 23,1875 ! National Marine Bank, Saint Paul, j Minn Dec. 28,1875 First National Bank, Rochester, Ind i Jan. 11,1876 First National Bank, Lodi, Ohio \ Jan. 11,1876 Iron National Bank, Portsmouth, j Ohio | Jan. 19,1876 First National Bank, Paxton, 111 i Jan. 21,1876 j First National Bank, Ashland, Neb..! Jan. 26,1876 First National Bank, Bloomfield, j Iowa | Feb. 5,1876 Marietta National Bank, Marietta, I j Ohio j Feb. 16,1876 First National Bank, Atlantic, Iowa i Mar. 7,1876 | § Consolidated with another bank $50,000 i 50, 000 | $36, 000 27, 000 Retired. $23,024 00 14, 164 00 Outstanding. $12, 976 00 12, 836 00 100,000 | 90, 000 55, 205 00 34, 795 00 100,000 ! 100, 000 i 100,000 i 72, 000 90, 000 76, 500 45, 626 50 57, 645 00 54, 015 00 26, 373 50 32, 355 00 22, 485 00 42, 997 00 24, 503 00 j 75,000 I 67, 500 200,000 ! 100,000 i 180,000 j 90,000 100, 000 45,000 I 125,000 I 250,000 | 112,500 ! 225,000 | 105, 930 00 54, 319 00 74, 070 00 35, 68 L 00 21,126 00 23, 874 00 73, 942 00 38, 558 00 97, 797 00 127,203 00 50,000 ; 27,000 | 50,000 | 50,000 ; 45,000 | 45,000 ! 45,000 | 25, 899 00 18, 982 00 19, 483 00 50,000 : 50, 000 j 45,000 | 36,000 j 20, 545 00 14, 089 00 24, 455 00 21,911 00 '200,000 | 50,200 j 60, 000 I 141,300 | 27,000 j 54,000 I ! 90, 000 ! 30, 600 i 77, 020 00 7, 845 00 18, 995 00 64, 280 00 14,155 00 35, 005 00 33, 869 00 56,131 00 21, 273 00 18, 765 00 8, 235 00 100,000 | CO, 500 | 19,101 00 26, 018 00 25, 517 00 9, 327 00 50,000 j 18, 405 00 8, 595 00 j 350,000 I 75,000 | 315,000 ' 45,000 ! 100,000 I 90,000 ! I 197,440 50 117, 559 50 26, 3!)5 00 75,000 | 67,500 ! 50,000 | 45,000 ; 50,000 ' 45,000 ! 18, 695 00 50,011 00 39, 989 00 43, 390 00 24,110 00 27, 759 00 17,241 00 30, 276 00 100, 000 90, 000 14, 724 CO 46, 070 00 100,000 90, 000 63, 635 00 100, 000 90, 000 47, 698 00 42, 302 00 50, 000 45, 000 17, 865 00 27,135 00 86, 904 00 43, 930 00 26, 365 00 150, 000 135, 000 48, 096 00 100, 000 90, 000 28, 325 00 61,675 00 50, 000 50, 000 14, 138 00 35, 862 00 100, 000 50, 000 100, 000 90, 000 45, 000 90, 000 49, 438 00 13, 531 00 27, 447 00 40, 562 00 31, 469 00 62, 553 00 100, 000 50, 000 50, 000 90, 000 45, 000 45, 000 27, 502 00 15, 009 00 11, 180 00 62, 498 00 29,991 00 33, 820 00 55. 000 49, 500 12. 325 00 37,175 00 150, 000 135, 000 035 00 50, 000 449 00 45, 000 no legal-tenders deposited. 65, 965 00 34.551 00 REPORT OF THE COMPTROLLER OF THE CURRENCY. CLVII Table of liquidating banks—Continued. Circulation. Name and location of bank. Date of | liquidation. ' Capital. Issued. First National Bank, Spencer, Ind... National Currency Bank, New York, N. Y : First National Bank, La Grange, Mo Salt Lake City National Bank of Utah, Salt Lake City, lTtah Caverna National Ban k,Caverna, Ivy. City National Bank, Pittsburgh, Pa . National State Bank, Des Moines, Iowa First National Bank, Trenton, Mo... First National Bank, Bristol, Tenn .. First National Bank, Leon, Iowa Anderson County National Bank, Lawrenceburg. Ky First National Bank, Newport, Ind. First National Bank, De Pere, Wis .. Second National Bank, Lawrence, Kan Commercial National Bank, Versailles, Ky State National Bank, Atlanta, Ga Syracuse National Bank, Syracuse, N.Y First National Bank. Northumberland, Pa Totals Mar. 11,1876 | $70, 000 $63, 000 Outstanding. Retired. $12,224 03 $50, 776 00 Mar. Mar. May May May 23,1876 j 27,1876 | 11,1876 13,1876 25,1876 100, 000 50, 000 00, 000 45, 000 59,650 00 10, 100 00 30, 350 00 34, 900 00 100, 000 50, 000 200, 000 90, 000 45, 000 90, 000 54,100 00 2i, o n oo 35, 900 00 45, 000 00 68, 929 00 June June July July 21,1876 I 22, 1876 I 10,1876 ! 11,1876 j 100, 50, 50, 60, 90, 45, 45, 45, 48, 055 6, 700 4, H00 6, 105 41, 38, 40, 38, i 000 000 000 000 000 000 000 000 00 00 00 00 945 300 700 895 00 00 00 00 July 29, 1876 \ Aug. 8, 1876 i Aug. 17, 1876 100, 000 60, 000 50, 000 Aug. 24,1876 100, 000 90, 000 48, 100 00 41, 900 00 Aug. 26,1876 ! Aug. 31,1876 I 170,000 200, 000 153, 000 135, 000 55, 283 00 64, 725 00 97, 717 00 70, 275 00 Sept. 25,1876 j 200, 000 180, 000 62, 039 00 117,961 00 Oct. 100, 000 90, 000 36,194 00 53, 806 00 6,1876 ; 27,843,610 45, 000 45, 000 31, 500 3, 800 00 2, 650 00 2, 600 00 41, 200 00 42, 350 00 28, 900 00 20,875,165 Il6,188,315 70 4, 686, 849 30 CLVIII REPORT OF THE COMPTROLLER OF THE CURRENCY. Insolvent national banks, icith date of appointment of receivers, amount of capital stoclc and claims proved, and rate of dividends paid io creditors. Receiver ap- i Capital Claims ! Divi-1 } nv\\ pointed. -.stock. ; proved. ^ Xarae and location of bank. First National Bank of Attica, N. Y Venango National Bank, Franklin,Pa Merchants' National Bank, Washington, I). C First National Bank of Medina, N. Y : TVnne.--see National Bank, Memphis, Teun First National Bank of Selma, Ala ..' First National Bank of Now Orleans, La National Unadilla B'k, Unadilla. N. Y Farmers and Citizens' National C ink of Brooklyn, N. Y Croton National Bank, New York, N.Y First National Bank of Bethel, Conn First National Bank of Keoknk, Iowa National Bank of Vicksburg, Miss .. First National Bank of Kockford, III First National Bank of Nevada, Austin, Nev Eemarks. \Perct,l Apr. 14, 1865 May 1, I860 £50,000: #122,0*9; 300, OOii, 202,669 May 8, 1 G 8G Mar. 13, 1867 200,000! 50, 00 : 667,585-i TO j 82, 338 38J , F i n a l l y closed. Mar. 21,1867 Apr. 30, 1867 100, 000 100; 000: 376, 932 17^ i F i n a l l y closed. 289, 4671 35' i May 20, 1867 Aug. 29, 1867 500, 000! 1. 119,313; 120,000 '127,801; 65 ! 45. 9! F i n a l l y closed. Sept. ()c-t. Feb. Mar. Anr. Mar. 300; 00f! 1,191,380; •201), 000 170, 752; (i0, ()i)0: C)S, 986: KiO, 0D0 205,256: 50, 0()f>; 35,562: 50,000 69,874; 96 ! 88£ j F i n a l l y closed. 98" i F i n a l l y closed. 68*~ ; F i n a l l y closed. 35 j 41. 9J F i n a l l y closed. 6,1867 1, 1867 2*, 1868 3, 1868 24, 180* 15, 1869 58 15 < F i n a l l y closed. ; Since last report. O«t. 14,18fi9 250,000 170,812' 80' j Ocean N a t i o n a l B a n k / N e w Y o r k . N . Y Dee. 13, 1871 : 1, 0)0, OuO 1,280,328: 70 I r n i o n S q u a r e N a t i o n a l Bank, N e w 200, 000 York, N . Y Dec. 15, 1871 157,110 100 10 per cent, paid Eighth National Bank, New York, N. Y Dec. Fourth National Bank, Philadelphia, Pa : Dee. W a v rly National Bank, Waverly, N. Y .' ..... Apr. First National Bank of Fort Smith, ; Ark .; May 15,1871 250, 000 20,1871 ' 200, 00 . 645, 558: 100 23,1872 JOG, 100 77,568! 100 50; 000 15, 142' 100 250, 00;) j 249,174| 40 175, (00 ; First National Bank of Topeka, Kan Dee. 1G, 1873 First National Pvank of Norfolk. Va.. June 3,1874 : (libson County National Bank, Prince' ton,Ind ...". Nov. 28,1874 | First National Bank of Utah, Salt i Lake City, Utah Dec, 10, 1874 Cook County National Bank, Chicago, HI " _ Feb. 1.1875 First National Bank, Tiffin, Ohio Oct. 22, 1875 Charlottesville National Bank, Charlottes vilie, Ya Oct. 23,1873 Miners'National Bank, Georgetown, Col 1 Jan. 24,1876 Fourth National Bank of Chicago, 111 Feb. 1, 1876 First National Bank of Bedford, Iowa Feb. 1,1876 First National Bank of Osceola, Iowa Feb. 25, 1876 First National Bank of Dulntli, Minn Mar. 13, 1876 First National Bank of La Crosse, Wis Apr. 11,1876 City National Bank of Chicago, 111 .. May 17,1876 Watkins National Bank, Watkius. : N. Y '. i July 12, 1876 First National Bank of Wichita, Kan. Sept, '*3, 1876 j to 157,066' 85 2,1872 Scandinavian National Bank, Chicago, III Dec. 12,1872 Wall kill National Bank, Middle! own, N. Y Dec. 3i, 1872 Crescent City National Bank, New Oileans. La Mar. 18, 1S73 Atlantic National Bank, New York, X. Y Apr. 28, 1873 First National Bank of "Washington. I). C " Sept. 19, 1873 National Bank of theConnnonwealth, New York, N. Y Sept. 22, 1873 Merchants' National Bank, Petersburg. Va Sept. 25, 1873 First National Bank of Petersburg. Va '.. : Sept, 25,1873 First National Bank of Maiusiield. : Ohio O:'t. 18,1873 New Orleans National Banking Association, New Orleans. La...'. . . . . • ( )et. 23, 1873 First National Bank of Carlisle, Pa.. Oct. 24, 1873 • First National Bank of Anderson, Iml Nov. 23, 1873 ; Totals stockholders. Finally closed. 378,772! 100 ,.. 500,. 0C0 641,915 300, 000 Finally closed. 23 per cent, paid to stockholders. 13 per cent, paid to stockholders. Finally closed. 521, 526! 70 60 10 per cent, since last report. 500,000 1,011,553 100 j 40 per cent, since last re! port. Finally closed. 796,139 100 j 20 per cent, 'paid to stockholders. 400, 000 992, 636; 34 10 per cent.since last report. Finally closed. 200,000 167,285: 76 16 per cent.since last report. Finally closed. 174, 990 45 i 10 p e r cent. since last 100, COO 750,000 i 600, 000 50, COO 50, 000 812, 302 60, 260; 143, 534i 100, fO(V 100, 000 55, 372: 45 175, 842! 35 50, 000 62, 6!6! 100 150, 000 t 89, 200; 15 40 25 13 report. | Since last report. ! ! 10 per cent. since last ; report. ; 60 per cent, since last report 500, 000' 100, 000 j 816, 450 ! . 225, 492; ~20" 20 per cent. since last- 230, CO'): 314, 809j 150, 000 200, 000 30, 000, 50, ()0()' 100,000 50, 000 93, 25, 50, 34, 50, 133, 680, 10 | 250, ooo; 1 7.", 000 60, 000 267j. 690;. 686;. 523! 819; 528; 890; 25 25 20 25 10 per cent. since last report. | 55, 597 50 j 96, 0001. . t Estimated. 110, 276, 100 16,743,511 ' REPORT OF THE COMPTROLLER OF THE CURRENCY. CLIX National banlcs that have "been placed in the hands of receivers, together until their capital, circulation issued, lawful money deposited with 1lie Treasurer to redeem circulation,- the amount redeemed, and the amount outstanding November 1, 1876. Circulation. Name and location of bank. I Capital j stock. Lawful money deposited. F i r s t National Bank, Attica, N . Y | $50, 000 | #44, 000 00 Yenango National Bank, Franklin, P a . - . j 300,000 j 85, 000 00 ; 85,000 i M e r c h a n t s ' National Bank,Washington, j ! D. C | 200, 000 ! 180, 000 00 | 180,000 I F i r s t National Bank, Medina, N . Y J 50, 000 j 40, 000 00 j 40,00!) | Tennessee National Bank, Memphis, Tenii! 100, 000 j 90, 000 00 | 90,000 I F i r s t Notional Bank, Sehna, A l a I 100, 000 j 85, 0 10 00 ! B:\ F i r s t National Bank, N e w Orleans, La. . -! 500, 000 j 180, 000 00 ISOJ 000 : National Unadilla Bank, Unadilla, N. Y . j 12), 000 ! 100, 000 00 100,000 I F a r m e r s and Citizens 1 National Bank, i Brooklyn, N Y j 300, 000 j 253, 900 00 ! 253.900 i Croton National Bank, New York, N. Y . . | 200, 000 j 18'i, 000 00 j 180, 01)0 j F i r s t National Bank, Bethel, Conn I CO, (100 | 20, 300 00 ! 20, 300 F i r s t National Bank, Iveokuk, Iowa ! 100, 000 j 90, 000 (JO I 90, 000 National Bank of Yicksburg, Miss j 50, (K)0 ! 25, 500 00 | 25,500 i F i r s t National Bank, Roekford, 111 ; 50, 000 ; 45, 000 00 I 45, 000 | F i r s t National B a n k of Nevada, Austin, i : Nev '. j 250, 000 [ 12!), 700 00 i 129,700 i Ocean National Bank, N e w York, N. Y . . j 1, 000, 0(]() \ 800, 000 00 j 800, 000 ! Union Square National Bank, New York, i j NY ! 200,000 ! 511, 000 00 | 50,000 I Eighth National Bank, New York, N. Y . . 250, 000 | 243, 393 00 ! 243, 393 I Fourth National Bank, Philadelphia, P a ., 200, 000 I 179, 000 00 [ 179, 000 ! Waverly National Bank, Waveriy, N. Y . . 106, 100 ! 71,000 00 j 71,000 ! F i r s t National Bank, F o r t Smith, A r k ..i 50, 000 ! 45, 00 J 00 | 45,000 ! Scandinavian National Bank, Chicago, 111 250, 000 ! 135, 000 00 i 135, 000 Wallkill National Bank, Middleton, N. Yj 175,000 j 118, 900 00 i 118,900 I Crescent City National Bank, N e w | • j Orleans, La . . I 500, 000 ! 450, 000 00 I 450,000 | A t l a n t i c National Bank, New York, N.Y! 300, (K)() I 89, 975 00 | 100, 000 I First National Bank, Washington, D. C..;' 500. 000 j 450, OOU 00 i 45'J, 000 j National Bank of t h e Commonwealth, New York, N Y 750, 000 | 208, 082 50 j 234, 000 j Merchants' National Bank, P e t e r s b u r g . 360, 000 00 i 360,000 ! Ya ' 400, 000 F i r s t National Bank, Petersburg, Ya . . I 200,000 179, 200 00 ! 179,200 | F i r s t National Bank, Mansfield/Ohio j 10il, 000 90, 000 U0 ! 90, 000 I New Orleans National Banking' Associa- I tiou, New Orleans, La G O 000 O, 297, 212 50 300,000 | F i r s t National Bank Carlisle, P a \ 50, 000 45, 000 | 45,000 01) 45, 000 | First National Bank, Anderson, Ind ! 50, 000 45, 000 00 First National Bank, Topeka, Kan 100, 000 90, 000 I 90, 000 00 : First National Bank, Norfolk, Ya 100, 000 95, 000 j 95, 000 00 Gibson County National Bank, Prince- ; ton, Ind ; 50, 000 43, 800 00 43,806 j First National Bank of Utah, Salt Lake ! 134,991 00 134,991 | City, Utah ! 150,000 Cook County National Bank, Chicago, 111: 500, 000 225, 90;) 00 315, 900 ! First National Bank, Tiffin, Ohio \ 100, 000 53, 850 00 ()&, 850 I Charlottesville National Bank, Charlottesville, Ya I 200, 000 112,500 00 I 157,50') | Miners' National Bank, Georgetown, Col \ 150, 000 13, 000 00 I 45,000 | Fourth National Bank, Chicago, 111.. 200, 000 180, 000 00 ! 180,000 ! ; First National Bank, Bedford,' Iowa 30, 000 14,512 50 ; 27,000 | First National Bank, Osceola, Iowa ; 50, 000 13, 000 00 | 45,000 I First National Bank, Duhith, Minn : 100, 000 60, 381 25 I 90, 000 | First National Bank, La Crosse, Wis 50, 000 45. 000 01) ! 45, 000 I City National Bank, Chicago, 111 250, 000 225, 000 00 I 225, 000 j 67, 50!) 00 [ 67, 500 | Watkina National Bank, Watkins, N. Y . i 75, 000 9, 000 00 I 52, 200 | First National Bank, Wichita, Kan \ 60, 000 $13,516 50 | 84, 378 50 j $483 50 621 5i> 178, 084 39,541 89, 233 84, 130 177, 560 99, 059 00 75 75 75 50 50 i ! | ! j i 1,916 00 458 25 766 25 863 25 2, 439 50 940 50 251,017 178, 023 25, 779 89, 064 25, 018 44, 158 ooo ! Totals. Outstand- Issued. ! Redeemed. 25 75 50 00 75 00 I i ! ! I ; 1* 37<i 25 520 50 930 00 481 25 842 00 124,176 50 I 5, 523 50 7li6, 202 00 ; 33, 738 00 48, 333 00 2 34, 065 00 171, 295 00 67, 313 00 43, 135 00 125, 328 00 111, 071 50 I i i ! i | 1.667 00 9, 328 00 7, 705 0 > 3, 687 00 1, 81)5 00 9, 672 00 7, 828 50 402, 0Q5 00 I 47, 975 00 93, 167 50 i 6, 832 50 370, 392 0U j 79, 608 CO 187, 323 30 ; 46, 676 70 255,960 00 i 104,040 00 119, 395 00 | 59, 805 00 08, 174 50 ; 21, 825 50 291, 000 00 I 33, 715 00 35, 130 50 04, 911 00 66, 877 00 69, 000 11, 285 9, 869 25, 089 26, 123 00 00 50 00 00 24, 405 00 19, 395 00 100. 527 00 207, 548 00 47, 150 00 34, 464 00 108, 352 00 21, 700 00 64, 135 00 11, 375 00 12!, 361) 00 530 00 11,' 580 00 61, 900 00 12, 100 00 116, 893 00 12, 650 00 10, 50J 00 93, 365 00 33, 625 00 58, 634 CO 21, 470 00 33, 420 00 28, 100 00 32, 900 00 108, 107 00 5-1, 850 00 41, 700 (0 j 10,276,100 6,800,577 75 j 7,192,634 I 5, 897, 881 30 j 1,294,752 70 CLX REPORT OF THE COMPTROLLER OP THE CURRENCY. History of the coinage act of 1873/ On April 25, 1870, the Secretary of the Treasury transmitted the following letter to Hon. John Sherman, chairman of the Finance Committee of the Senate: "TREASURY DEPARTMENT, April 25, u 1870. SIR : I have the honor to transmit herewith a bill revising the laws relative to the Mint, assay-offices, and coinage of the United States, and accompanying report. The bill has been prepared under the supervision of John Jay Knox, Deputy Comptroller of the Currency, and its passage is recommended in the form presented. I t includes, in a, condensed form, all the important legislation upon the coinage, not now obsolete, since the first mint was established, in 1792; and the report gives a concise statement of the various amendments proposed to existing Jaws and the necessity for the change recommended. There has been no revision of the laws pertaining to the Mint and coinage since 1837, and it is believed that the passage of the inclosed bill will conduce greatly to the efficiency and economy of this important branch of the Government service. " I am, very respectfully, your obedient servant, "GEO. S. BOUTWELL, "Secretary of the Treasury.'7 The report and the bill were referred on April 28, 1870, to the Fiuance Committee of the Senate, and subsequently, on May 2, 1870, five hundred additional copies were ordered to be printed for the use of the Treasury Department. The report says : " The method adopted in the preparation of the bill was first to arrange in as concise a form as possible the laws now in existence upon these subjects, with such additional sections and suggestions as seemed valuable. Having accomplished this, the bill, as thus prepared, was printed upon paper with wide margin, and in this form transmitted to the different mints and assay-offices, to the First Comptroller, the Treasurer, tho Solicitor, the First Auditor, and to such other gentlemen as are known to be intelligent upon metallurgical and numismatical subjects, with the request that the printed bill should be returned with such notes and suggestions as experience -and education should dictate. In this way the views of more than thirty gentlemen who are conversant with the manipulation of metals, the manufacture of coinage, the execution of the present laws relative thereto, the method of keeping accounts, and of making returns to the Department, have been obtained with but little expense to the Department and little inconvenience to correspondents. Having received these suggestions, the present bill has been framed, and is believed to comprise within the compass of eight or ten pages of the Revised Statutes every important provision contained in more than sixty different enactments upon the Mint, assay-offices, and coinage of the United States, which are the result of nearly eighty years of legislation upon these subjects." The amendments proposed by the bill were as follows : " The new features of the bill now submitted are chiefly: the establishment of a Mint Bureau at the Treasury Department, which shall also have charge of the collection of statistics relative to the precious metals: the consolidation of the office of Superintendent with that of the Treasurer, thus abolishing the latter office, and disconnecting the Mint entirely from the office of Assistant Treasurer; the repeal of the coinage charge, and authorizing the exchange of imparted for refined bars; a. reduction in the amount of wastage, and the tolerance (deviation in weight and fineness) in the manufacture of coin; requiring the token coinage to be of one material of uniform value, and to be redeemed under proper regulations when issued in excess, and the expense of its manufacture to be paid from specific appropriations, and not from the gain arising in its manufacture, as heretofore; an entire change in the manner of issuing the silver (subsidiary) coinage: discontinuing the coinage of the silver dollar; limiting the amount of silver to be used as alloy, so as to make the gold coinage of uniform color; the destruction of the dies not in use annually; requiring vouchers to pass between the different officers of the Mint in all transfers of bullion or coin; requiring increased bonds from officers of the Mint, and authorizing each officer to nominate his subordinate before appointment; and also making it an offense to increase or diminish the weights used in the Mint." The report of Mr. Knox [Senate Mis. Doc. No. 132, 41st Cong., 2d Sess.] called special attention to the discontinuance of the silver dollar as a standard, as may be seen from the following paragraph on page 11: "SILVER DOLLAR—ITS DISCONTINUANCE AS A STANDARD. " The coinage of the silver dollar-piece, the history of which is here given, is discontinued in the proposed bill. It is by law the dollar unit, and, assuming the value of gold to be fifteen and one-half times that of silver, being about the mean ratio for the past six years, is worth in gold a premium of about 3 per cent, (its value being $103.12) * Note to a speech of Hon. Abram S. Hewitt, of Xew York : Congressional Record, August 23,187G. REPORT OF THE COMPTROLLER OF THE CURRENCY. CLXI and intrinsically more than 7 per cent, premium in our other silver coin, its value thus being $107.42. The present laws consequently authorize both a gold-dollar unit and a silver-dollar unit, differing from each other in intrinsic value. The present gold-dollar piece is made the dollar unit in the proposed bill, and the silver-dollar piece is discontinued. If, however, such a coin is authorized, it should be issued only as a commercial dollar, not as a standard unit of account, and of the exact value of the Mexican dollar, which is the favorite for circulation in China and Japan and other oriental countries." The appendix TO the report contained a copy of the English coinage act of 1870, and four tables giving (1) the existing coinage, including the silver dollar; (2) the proposed coinage in which the silver dollar was omitted; (3) a metric system of coinage suggesting the issue of a subsidiary silver coinage consisting of two half dollars constituting in weight and fineness an exact equivalent to the French five-franc piece, and a quarter dollar and dime with proportionate weight and fineness, which proposition was finally adopted; (4) a table giving a comparison of coinage existing and proposed. A note at the foot of this table states that the silver dollar, half dime, and three-cent piece are omitted in the proposed bill. Subsequently, on June 25, 1870, the Secretary of the Treasury transmitted to the House of Representatives a letter of the then Deputy Comptroller of the Currency, together with copies of the correspondence of the Department with the officers of the different mints, assay-offices, and other experts in reference to the bill and report previously submitted. [H. R. Ex. Doc. No. 307, 41st Cong., 2d Sess.] The bill in its original form, which was transmitted to the correspondents throughout the country for consideration and comment, contained the following section, as appears from the manuscript copy at the Treasury Department: " SEC. 15. And be it further enacted, That of the silver coins [the weight of the dollar shall be 384 grains] (now 412^ grains) the weight of the half dollar or piece of fifty cents shall be 192 grains; and that the quarter dollar and dime [and half dime] shall be, respectively, one-half and one-fifth [and one-tenth] of the weight of said half-dollar. That the silver coin issued in conformity with the above sections shall be a legal tender in any one payment of debts for all sums [not exceeding $5, except duties on imports] less than $1." If the words inclosed in [brackets] of the section as here given are excluded and the words in italics included, the section will conform precisely to the section which was transmitted to Congress and which passed the Senate on January 9, 1871. The dollar of 384 grains was proposed in the rough revision of the bill for the purpose of obtaining an expression of opinion in reference to the proposed omission of the dollar piece, and the words "except duties on imports" inserted for the reason that a regulation or usage at the custom-house in New York limits the payment of silver coins to the fractional parts of the dollar, except when the payment to be made is $5 or less. Several gentlemen in their criticisms upon the rough revision of the bill referred to this section. Hon. James Pollock, the Director of the Mint at Philadelphia, said : " SEC. 11. The reduction of the weight of the whole dollar is approved, and was recommended in my annual report of 1861." (Page 10.) Mr. Robert Patterson, of Philadelphia, sent to Mr. Knox some notes on the bill suggesting amendments. He called attention to one of these in the following words : " The silver dollar, half-dime, and three-cent piece are dispensed, with by this amendment. Gold becomes the standard money, of which the gold dollar is the unit. Silver is subsidiary, embracing coins from the dime to half dollar; coins less than the dime are of copper-nickel. The legal tender is limited to necessities of the case, not more than a dollar for such silver or fifteen cents for the nickels." Mr. Franklin Peale, formerly melter and refiner and chief coiner of the Mint at Philadelphia, recommended the discontinuance of the three and one dollar gold pieces, and supplying the place of the latter with a proper silver coin to be used as change. Dr. H. R. Linderman, the present Director of the Mint, said : " Section 11 reduces the weight of the silver dollar from 412|- to 384 grains. I can see no good reason for the proposed reduction in the weight of this coin. It would be better, in my opinion, to discontinue its issue altogether. The gold dollar is really the legal unit and measure of value. Having a higher value as bullion than its nominal value, the silver dollar long ago ceased to be a coin of circulation, and being of no practical use whatever, its issue should be discontinued." Mr. James Ross Snowden, formerly Director of the Mint, said : *' I see that it is proposed to demonetize the silver dollar. This I think unadvisable. Silver coins below the dollar are now not money in a proper sense, but only tokens. I do not like the idea of reducing the silver dollar to that level. It is quite true that the silver dollar, being more valuable than two half-dollars or four quarter-dollars, will not be used as a circulating medium, but only for cabinets and perhaps to supply some occasional or local demand; yet I think there is no necessity for so considerable a piece as the dollar to be struck from metal which is only worth ninety-four cents. 11 C C CLXII REPORT OF THE COxMPTROLLER OF THE CURRENCY. When we speak of dollars let it be known that we speak of dollars not demonetized and reduced below their intrinsic value, and thus avoid the introduction of contradictory and loose ideas of the standards of value." Mr. George F. Dunning, formerly superintendent of the United States assay-office in New York, proposed that the law in regard to the silver coinage should be in the following language: " S E C 11. And be it further enacted, That the silver* coins of the United States shall "be a dollar, a half-dollar, a quarter-dollar, a dime or tenth of a dollar, and a half-dime, or twentieth of a dollar ; and the standard weight of the silver coins shall be in the proportion of 384 grains to the dollar, and these coins shall be a legal tender in all payments not exceeding $5." The officers of the San Francisco branch mint made the following suggestions : u SEC. 11. Would not the proposed change in the weight of the silver dollar disturb the relative value of all our coinage, affect our commercial conventions, and possibly impair the validity of contracts running through a long period ? Might not the dollar be retained as a. measure of value, but the coinage of the piece for circulation be discontinued V Mr. E. B. Elliot, of the Treasury Department, gave a complete history of the silver dollar, and suggested the issue of a commercial dollar of nine-tenths fineness, and containing of pure silver just 25 grams, in place of the then existing silver dollar of 412^ grains ; the proposed silver dollar being almost the «xact equivalent of the silver contained in the older Spanish-Mexican pillared dollar, established in 1704 by proclamation of Queen Anne as a legal tender of payment and accepted as par of exchange for the British colonies of North America at the rate of fifty-four pence sterling to the dollar, or four and four-ninths dollars to the pound sterling. On December 19, H7'J, the bill was reported from the Finance Committee of the Senate and printed with amendments. On January 9, 1871, in accordance with previous notice, the bill came before the Senate, and was discussed during that day and the following day by Senators Sherman. Sumner, Bayard, Stewart of Nevada, Williams, Casserly, Morrill, and others, and passed the Senate on the 10th by a vote of 36 yeas to 14 nays. On January 13, 1871, on morion of Hon. William D. Kelley, the Senate bill was ordered to be printed. On February 25, 1871, Mr. Kelley, the chairman of the Committee on Coinage, reported the bill back with an amendment in the nature of a substitute, when it was again printed and recommitted. Mr. Kelley again, on March 9, 1871, introduced the bill in the Forty-second Congress, when it was ordered to be printed and referred to the Committee on Coinage, when appointed. On January 9, 1872, the bill was reported by Mr. Kelley, chairman of the Coinage Committee, with a recommendation that it pass. The bill was read and discussed at length by Messrs. Kelley, Potter, Garrteld, Mayuard, Dawes, Holmau., and others. Mr. Kelley, in the opening speech, said : "The Senate took up the bill and acted upon it during the last Congress and sent it to the House ; it was referred to the Committee on Coinage, Weights, and Measures, and received as careful attention as I have ever known a committee to bestow on any measure. "We proceeded with great deliberation to go over tlio bill, not only section by section, outline by line and worn by word; the bill has not received the same elaborate consideration from the Committee on Coinage of this House, but the attention of each member was brought to it at the earliest day of this session ; each member procured a copy of the bill, and there has been a thorough examination of the bill again. (Congressional Globe, volume 100, page 322.) Mr. Kelley, on the same day, also said : "There are one or two things in this bill, I will say to the gentleman from New York, with his permission, which I personally would like to modify ; that is to say, I would like to follow the example of England, and make a wide difference between our silver and gold coinage. * * * u I would have liked to have made the gold dollar uniform with the French system of weights, taking the gram as a u-yit." (Page 323, volume 100.) On January 10, 1872, the bill, after considerable discussion, was again recommitted, and on February 9, 1872, it was again reported from the Coinage Committee by Hon. Samuel Hooper, printed and recommitted, and on February 13, 1872, reported back by Mr. Hooper with amendments, printed, and made the special order for March 12, 187*2, until disposed of. On April 9, 1872, the bill came up in the House for consideration. Mr. Hooper, in a carefully prepared speech of ten columns, explained the provisions of each section of the bill. In this speech (page 2306, volume 102 of the Congressional Globe) he says: " Section 16 re-enacts the provisions of the existing laws defining the silver coins and their weights, respectively, except in relation to the silver dollar, which is reduced in weight from 412-J to 384 grains, thus making it a subsidiary coiu in harmony with the REPORT OF THE COMPTROLLER OF THE CURRENCY. CLXIII silver coins of less denomination, to secure its concurrent circulation with them. The silver dollar of 412^ grains, by reason of its bullion or intrinsic value being greater than its nominal value, long since ceased to be a coin of circulation, and is melted by manufacturers of silverware. It does not circulate now in commercial transactions with any country, and the convenience of these manufacturers in this respect can bettor be met by supplying small stamped bars of the same standard, avoiding the useless expense of coining the dollar for that purpose." Mr. Stoughton, of the Coinage Committee, also made a speech of seven columns, in which he says : " The silver coins provided for are the dollar, 384 grains troy, the half-dollar, quarterdollar, and dime, of the value and weight of one half, one-quarter, and one-tenth of the dollar, respectively ; and they are made a legal tender for all sums not exceeding $5 at any one payment. The silver dollar, as now issued, is worth for bullion three and one-fourth cents more than the gold dollar, and seven and one-fourth cents more than two half dollars; having a greater intrinsic and nominal value, it is certain to be withdrawn from circulation whenever we return to specie payment, and to be used only for manufacture and exportation as bullion.'7 Mr. Potter, in commenting upon the bill, says : "Mr. Speaker, this is a bill of importance. When it was before the House in the early part of this session I took some objections to it which I am inclined now to think, in view of all the circumstances, were not entirely well founded, but after further reflection lam still convinced that it is a measure which it is hardly worth while for us to adopt at this time. * * * This bill provides for the making of changes in the legal-tender coin of the country, and for substituting as legal-tender coin of only one metal instead as heretofore of two. I think myself this would be a wise provision, and that legal-tender coins, except subsidiary coin, should be of gold alone; but why should we legislate on this now, when we are not using either of those metals as a circulating medium ? " T h e bill provides also for a change in respect of the weight and value of the silver dollar, which I think is a subject which, when we come to require legislation about it at all, will demand at our hands very serious consideration, and which, as we are not using such coins for circulation now, seems at this time to be an unnecessary subject about which to legislate." (Page 2310, volume 102.) Mr. Kelley also said : " I wish to ask the gentleman who has just spoken (Mr. Potter) if he knows of any government in the world which makes its subsidiary coinage of full value. The silver coin of England is 10 per cent, below the value of gold coin, and, acting under the advice of the experts of this country and of England and France, Japan has made her silver coinage within the last year 12 per cent, below the value of gold coin, and for this reason : It is impossible to retain the double standard. The values of gold and silver continually fluctuate. You cannot determine this year what will be the relative values of gold and silver next year. They were 15 to 1 a short time ago; they are 16 to 1 now. u Hence all experience has shown that you must have one standard coin which shall be a legal tender for all others, and then you may promote your domestic convenience by having a subsidiary coinage of silver, which shall circulate in all parts of your country as legal tender for a limited amount, and be redeemable at its face value by your Government. But, sir, I again call the attention of the House to the fact that the gentlemen who oppose this bill insist upon maintaining a silver dollar worth three and one-half cents more than the gold dollar, and worth seven cents more than two half dollars, and that so long as those provisions remain you cannot keep silver coin in the country." On May 27, 1872, the bill was again called up by Mr. Hooper, for the purpose of offering an amendment in the nature of a substitute, and the bill, as amended, passed that day—yeas 110, nays 13. Just previous to the passage of the bill Mr. McNeeley, of the Coinage Committee, said : "As a member of the Committee on Coinage, Weights, and Measures, having carefully examined every section and line of this bill, and generally understanding the subject before us, I am satisfied that the bill ought to pass." (Page 3883, volume 104.) The substitute reported by Mr. Hooper and passed by the House, so far as it refers to silver coinage, was identical with the bill previously reported from the Coinage Committee by him. It was also identical with the bill introduced by Mr. Kelley, with the single exception of the provision authorizing the coinage of a silver dollar weighing 384 grains. The bill of Mr. Kelley, so far as it related to the silver coinage, was identical with the bill which was prepared at the Treasury Department, and which had passed the Senate, excepting that the latter bill made the silver coin a legal tender for ail sums less than $1, while the bill of Mr. Kelley made the silver coins a legal tender for $5 in any one payment. CLXIV REPORT OF THE COMPTROLLER OF THE CURRENCY. The bill was again printed in the Senate on May 29, 1872, and referred to the Finance Committee. Senator Sherman, in reporting it back on December i6, 1872, said: " This bill has, in substance, passed both houses, except that the Senate bill enlarged and increased the salaries of the officers of the Mint; it was passed by the Senate at the session of the last Congress, went to the House, and now, some what modified, has passed the House at this Congress, so that the bill has practically passed both houses of Congress. The Senate Committee on Finance proposed a modification of only a single section; but as this is not the same Congress that passed the bill in the Senate, I suppose it will have to go through the form of a full reading unless the Senate are willing to take it on the statement of the committee, the Senate already having debated it and passed it." (Page 20:$, volume 106, third session Forty-second Congress.) After further debate, on motion of Mr. Cole, the bill was printed in full with amendments. On January 7, 1873, it was again reported with amendments and again printed for the information of the Senate. It passed that body on January 17, 1873, after a discussion occupying nineteen columns of the Congressional Globe. In the course of the debate Senator Sherman said : " This bill proposes a silver coinage exactly the same as the French, and what are called the associated nations of Europe, who have adopted the international standard of silver coinage; that is, the dollar (two half-dollars) provided for by this bill is the precise equivalent of a five-franc piece. It contains the same number of grams of silver, and we have adopted the international gram instead of the grain for the standard of our silver coinage. The trade-dollar has been adopted mainly for the benefit of the people of California and others engaged in trade with China. " That is the only coin measured by the grain instead of by the gram. The intrinsic value of each is to be stamped upon the coin. The Chamber of Commerce of New York recommended this change, and it has been adopted, I believe, by all the learned societies who have given attention to coinage, and has been recommended to us, I believe, as the general desire. That is embodied in these three or four sections of amendment to make our silver coinage correspond in exact form and dimensions and shape and stamp with the coinage of the associated nations of Europe, who have adopted an international silver coinage." (Page 672, volume 106, third session Fortysecond Congress.) The bill was sent to the House, and on January 21, 1873, on motion of Mr. Hooper, it was again printed with amendments, and subsequently committees of conference were appointed, consisting of Messrs. Hooper, Houghton, and McNeely, of the House; and Senators Sherman, Scott, and Bayard, of the Senate. The reports of the committees of conference were agreed to, and the bill became a law on February 12, 1873, substantially as originally prepared at the Treasury. The bill as prepared at the Treasury omitted the silver-dollar piece, and the report stated the fact of its omission three different times, and gave the reasons therefor. The silver-dollar piece was omitted from the bill as it first passed the Senate. It was also omitted from the bills reported by Mr. Kelley; but in the bills reported by Mr. Hooper a new silver dollar was proposed equal in weight (384 grains) to two of the half-dollars then authorized. The Senate substituted a trade-dollar weighing 420 grains in place of the dollar of 384 grains, in accordance with the wishes of the dealers in bullion upon the Pacific coast, that being considered by them as the most advantageous weight for a coin to be used for shipment to China and Japan. The weight of the subsidiary silver coin was increased about | per cent, in value, making the half-dollar, quarter-dollar, and dime, respectively, of the weight of 12£ grams, 6i grams, and 2^ grams, or precisely one-half, one-quarter, and one-tenth, respectively, of the weight of the French five-franc piece. All of said coins were made a legal tender in nominal value for any amount not exceediug $5 in any one payment. The bill was read in full in the Senate several times, and the record states onJanuary 9, 1872, that it was read in the House. It was undoubtedly read at other times. The bill was printed separately eleven times, and twice in reports made by the deputy comptroller of the currency, thirteen times in all, by order of Congress. It was considered at length by the Finance Committee of the Senate and the Coinage Committee of the House during five different sessions, and the debates upon the bill in the Senate occupied sixty-six columns of the Globe, and in the House seventy-eight columns of the Globe. The Secretary of the Treasury called the special attention of Congress to the bill in his annual reports for 1870. 1871, and 1^72. In his report of 1872, he says: "Iu the last ten years the commercial value of silver has depreciated about 3 per cent, as compared with gold, and its use as a currency has been discontinued by Germany and by some other countries. The financial condition of the United States has prevented the use of silver as currency for more than ten years, and I am of opinion that upon grounds of public policy no attempt should be made to introduce it, but REPORT OF THE COMPTROLLER OF THE CURRENCY. CLXV that the coinage should be limited to commercial purposes, and designed exclusively for commercial uses with other nations. " The intrinsic value of a metallic currency should correspond to its commercial value, or metal should be used for the coinage of tokens redeemable by the Government at their nominal value. As the depreciation of silver is likely to continue, it is impossible to issue coin redeemable in gold without ultimate loss to the Government; for when the difference becomes considerable the holders will present the silver for redemption and leave it in the hands of the Government, to be disposed of subsequently at a loss. " Therefore, in renewing the recommendations heretofore made for the passage of the Mint bill, I suggest such alterations as will prohibit the coinage of silver for circulation in this country, but that authority be given for the coinage of a silver dollar that shall be as valuable as the Mexican dollar, and to be furnished at its actual cost." As a final answer to the charge that the bill was passed surreptitiously, I append, first, a copy of the section in reference to the issue of silver coins as printed in the report of the Treasury Department, and as passed by the Senate ; second, a copy of the section as reported by Mr. Kelley ; third, a copy of the section as reported by Mr. Hooper; fourth, a copy of the section as finally passed by the Senate and agreed upon by the conference committee. The following section was printed in the twro reports of John Jay Knox, deputy comptroller of the currency, to Congress; also in Senate bill 859, Forty-first Congress, second session, April 28, 1870; in Senate bill 859, December 19, 1870, and January 11, 1871, third session, Forty-first Congress, as reported by Mr. Sherman : " SEC. 15. And be it further enacted, That of the silver coins, the weight of the halfdollar, or piece of fifty cents, shall be 192 grains; and that of the quarter-dollar and dime shall be, respectively, one-half and one-fifth of the weight of said half-dollars ; that the silver coin issued in conformity with the above section shall be a legal tender in any one payment of debts for all sums less than $1." The following section was printed in Senate bill 859, Forty-first Congress, third session, February 25, 1871, and House bill No. 5, Forty-second Congress, first session, March 9, 1871, as reported by Mr. Kelley : " SEC. 15. And be it further enacted, That of the silver coins, the weight of the halfdollar, or piece of fifty cents, shall be 192 grains; and the quarter-dollar and dime shall be, respectively, one-half and one-fifth of the weight of said half-dollar; which coins shall be a legal tender, at their denominational value, for any amount not exceeding $5 in any one payment." The following section was printed in House bill No. 2934, May 29, 1872; House bill No. 1427, February 9, 1872, and February 13, 1872, Forty-second Congress, second session, as reported by Mr. Hooper: 11 SEC. It). That the silver coins of the United States shall be a dollar, a half-dollar or fifty-cent piece, a quarter-dollar or twenty-five-cent piece, and a dime or ten-cent piece ; and the weight of the dollar shall be 384 grains ; the half-dollar, quarter-dollar, and the dime shall be, respectively, one-half, one-quarter, and one-tenth of the weight of said dollar; which coins shall be a legal tender, at their denominational value, for any amount not exceeding $5 in any one payment." The following section was printed in House bill No. 2934, December 16,1872, January 7, 1873, and January 21, 1873, Forty-second Congress, third session, as reported by Mr. Sherman: " That the silver coins of the United States shall be a trade-dollar, a half-dollar or fifty-cent piece, a quarter-dollar or twenty-five-cent piece, a dime or ten-cent piece; and the weight of the trade-dollar shall be 420 grains troy; the weight of the half-dollar shall be 12^ grams ; the quarter-dollar and the dime shall be, respectively, one-half and one-fifth of the weight of said half-dollar; and said coins shall be a legal tender at their nominal value for any amount not exceeding $5 in any one payment." The following section was contained in all of the different bills and the coinage act of lt1873: SEC. 18. And be it further enacted, That no coins, either of gold, silver, or minor coinage, shall hereafter be issued from the mint other than those of the denominations, standards, and weights herein set forth." Copies of the different bills may be obtained at the document-room oi the Senate. CLXVI REPORT OF THE COMPTROLLER OF THE CURRENCY. Names and compensation of officers and clerks in the office of the Comptroller of the Currency. Name. Grade. Salarv. John Jay Knox Comptroller John S. Langworthy Deputy comptroller .. 2, 80O J. Franklin Bates John W. Magruder John D. Patten, j r Edward Wolcott Edward S. Peck Watson W. Eldridge Frank A. Miller Theodore O. Ebaugh F. A. Sim kins Chief of divison do do Superintendent. Telle Principal book-keeper. Assistant book-keeper. Stenographer . 2, 200 2, 200 2, 200 2, 200 2, 000 2,000 2,000 2, OOO 1,800 Fernando C. Cate Nathaniel 0. Chapman . William Elder William B. Greene John W. Griffin George W. Martin Charles H. Norton William Sinclair George H. Wood Fourth class .do . .do . .do . .do . .do . .do . .do . .do . 1, 800 1,800 1,800 1,800 1, 800 1, 800 1,800 1,800 1,800 Charles E. Bray ton James C. Brown Charles H. Cherry William H. Glascott Joh u A. Hebrew John A. Kayser George T. May Washington K. McCoy. Edward Myers Charles Scott William D. Swan Third class . .do . .do . .do .do . .do . .do . .do . .do . .do . .do . 1,600 1,600 1,600 1, 600 1,600 1,600 1, 600 1, 600 1,600 1,600 1,600 Edgar C. Beaman David B. Brenner Isaac C. Miller Edward W. Moore Edmund E. Schreiner .... Erskine M. Sunderland . Charles J. Stoddard William H. Walton Frederick Widdows Second class . do .do . .do . .do . .do . .do . .do . .do . 1,400 1, 400 1,400 1,400 1,400 1,400 1,400 1,400 1,400 Noah Hayes Edward McCauley John J. Patton Arthur M. Wheeler .. Julia R. Donoho Sarah F. Fitzgerald .. Mary L. McCormick . Margaret L. Simpson. First class. do . . . . .do . .do . .do . .do . .do. .do . 1,200 1,200 1,200 1,200 1,200 1,200 1,200 1,200 James D. Burke Philo Burr J. Eddie De Saules . . . Charles McC. Taylor . Messenger. do .do . .do . 840 840 840 840 Silas Holmes William H. Romaine . Charles B. Hinckley... Thomas Jackson R. Le Roy Livingston. Watchman . do Laborer. do . .do . 720 720 Eliza M. Barker Eva C. Bates Harriet M. Black Cassandra A. Bishop .. Margaret L. Browne .. Mary L. Conrad Mary Crosby Louisa Campbell Virginia Clarke Cornelia M. Davidson. Margaret F. D e w a r . . . Jane A. Dorr Flora M. Fleming Julia A. Greer Female clerk, do 900 900 900 900 900 900 900 900 900 900 900 900 900 900 .do .do .do .do .do .do .do do .do .do .do .do . . . . . . . . . . . . $5, OOO 720 720 720 REPORT OF THE COMPTROLLER OF THE CURRENCY. CLXVII Names and compensation of officers and clerks, Name. Eliza R. Hyde Elizabeth Hutchinson Alice M. Kennedy Louisa A\r Kn owl ton Mary E. Kara merer Emma Lafayette Julia R. Marvin Maggie B. Miller Lillian D Massey Emma F Morrill Mary E. Oliver Carrie L. Pennock Etha E. Poole Eliza Peters Annie E Rpney Emily H. Reed' Maria Richardson Fayette C Snead Amelia P. Stockdale Marie L. Sturgus Sarah A. W. Tiffey Julia C. Townsend Eliza A. Saunders Maria A. Summers Martha A. Walker Martha Caney . . . ; $c.—Continued. Grade. . • ; . ; • ' ; ' ; : Female clerk do . do do do do .. do do do do do do . . . . do do do do do do do do do do do do do do Salary. $900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 Expenses of the Office of Comptroller of the Currency for the fiscal year ending June 30, 1876. For special dies, plates, printing, &c $248, 000 00 For salaries 122, 605 95 Total 370, 605 95 The contingent expenses of the Office are not paid by the Comptroller, but from the general appropriation for contingent expenses of the Treasury Department; and as separate accounts are not kept for the different Bureaus, the amount cannot be stated. AGGREGATE RESOURCES AND LIABILITIES THE NATIONAL BANKS OCTOBER, 18G3, TO OCTOBER, 1876. H. Ex. 3 A REPORT OF THE COMPTROLLER OF THE CURRENCY. Aggregate resources and liabilities of the National 1863. APRIL. JANUARY. OCTOBER 5. JULY. Resources. 66 banks. $5, 466, 088 33 5, 662, 600 00 106, 009 12 " I S bonds and. securities L Due from nat'l and other banks. 2, 625, 597 05 177, 565 69 53, 808 92 2, 503 G9 Checks and other cash items Bills of national and other banks Specie and other lawful money. 492,138 58 764, 725 00 1, 446, 607 62 16, 797, 644 00 Total 18C4. JANUARY 4. APRIL 4. 307 banks. 139 banks. JULY 4. 467 banks. OCTOBER 3. 508 banks. $10,666,095 60 15,112, 250 00 74, 571 48 $31,593,943 43 41,175,150 00 432, 059 95 $70,746,513 33 92, 530, 500 00 842, 017 73 $93, 238, 657 92 108, 064, 400 00 1, 434, 739 76 Due from national banks Due from other b'ks and bankers Real estate, furniture, &c.. Current expenses *4, 786,124 58 381,144 00 ] 18, 854 43 4, 699, 479 56 8, 537, 908 94 755,696 41 352, 720 77 15, 935, 730 13 17, 337, 558 66 1, 694, 049 46 502, 341 31 19, 965, 720 47 14,051,396 31 2, 202,318 20 1, 021, 569 02 Checks and other cash items... Bills of national and other banks. Specie and other lawful money. 577, 507 92 895,521 00 5, 018, 622 57 2,651,916 96 1,660,000 00 22,961,411 64 5, 057,122 90 5, 344,172 00 42, 283, 798 23 7,640,169 14 4, 687. 727 00 44, 80i; 497 48 37, 630, 691 58 114, 820, 287 66 252, 273, 803 75 297,108,195 30 JULY 3. OCTOBER 2. Loans and discounts U. S. bonds and securities Total 1865. JANUARY 2. 638 banks. APRIL 3. 907 banks. 1,294 banks. 1,513 banks. $166,448,718 00 176, 578, 750 00 3, 294, 883 27 $252, 404, 208 07 277, 619, 900 00 4, 275, 769 51 $362, 442, 743 08 391,744,850 00 12, 569,120 38 $487,170,136 29 427, 731, 300 00 19, 048, 513 15 Due from notional banks Due from other b'ks andbankers Real estate, furniture, &c Current expenses Premiums paid 30,820,175 44 19, 836, 072 83 4, 083, 226 12 1,053,725 34 1, 323, 023 56 40, 963, 243 47 2-3, 554, 636 57 6,525,118 80 2, 298, 025 05 1, 823,291 84 76, 977, 539 59 26, 078, 028 01 11,231,257 28 2, 338, 775 56 2,243,210 31 89, 978, 980 55 17, 393, 232 25 14,703,281 77 4, 539, 525 11 2,585,501 06 Checks and other cash items... Bills of national and other banks. Soecie Legal tender and fract'l cur'ncy. 17,837,496 77 14,275,153 00 4,481,937 68 72, 535, 504 67 29, 681, 394 13 13, 710, 370 00 6, 659, 660 47 112, 999, 320 59 Loans and discounts U. S. bonds and securities Other items Total 512, 568, 666 68 50 00 40 55 72, 309, P54 44 16,247,241 00 18, 072, 012 59 189, 988, 496 28 771, 514, 939 10 1,126, 455, 481 66 1,359,768,074 49 * Including national banks. 41,314,904 21,651,826 9,437,060 168, 426,166 REPORT OF THE COMPTROLLER OF THE CURRENCY. Banlcs from October, 1863, to October, 1875. 1863. APRIL. JANUARY. JULY. OCTOBER 5. Liabilities. 66 benks. $7,188, 393 00 Capital stock 128, 030 06 8,497,681 84 981,178 59 2, 360 51 Undivided profits Individual find other deposits . Due to nat'l jmd other banks*.. Other items 16, 797, 644 00 Total 1864. APRIL 4. JULY 4. 307 banks. 467 banks. JANUARY 4. 139 banks. Capital stock $14, 740, 522 00 OCTOBER 3. 508 banks. Total $75, 213, 945 00 1, 625, 656 87 1,129, 910 22 3,094,330 11 2, 010,286 10 5,982, 392 22 30,155 00 19,450,492 53 2,153, 779 38 822, 914 86 9, 797, 975 00 51, 274, 914 01 6,814,930 40 3,102, 337 38 25, 825, 665 00 119,414,239 03 27, 382, 006 37 213,768 02 45,260,504 00 122,166, 536 40 34,862,384 81 43, 289 77 37,630,691 58 National bank notes outstanding Individual and other deposits... Due to nat'l and other banks*... Other items $42, 204, 474 00 432,827 81 Surplus fund $86, 782, 802 00 114, 820, 287 66 252, 273, 803 75 297,108,195 30 1865. JANUARY 2. 638 banks. Capital stock APRIL 3. 907 banks. JULY 3. 1,294 bonks. 1,513 banks. $135, 618, 874 00 $215, 326, 023 00 $325, 834, 558 00 $393,157,206 00 8, 663. 311 22 12, 283, 812 65 Surplus fund Undivided profits 17, 318, 942 65 17,809,307 14 31,303,565 61 23,159,408 17 38, 713, 380 72 32, 350, 278 19 National bank notes outstanding 66, 769, 375 00 98, 896, 488 00 Individual and other deposits... United States deposits 183, 479, 636 98 37, 764, 729 77 262,961,473 13 57,630,141 01 Due to national banks Due to other banks and bank'rs* 30, 619,175 57 37,104,130 62 41,301,031 16 59, 092, 581 64 O+her items 265, 620 87 512, 568, 666 68 771,514,939 10 131,452,158 00 171,321,903 00 398, 357, 559 59 58, 032, 720 67 500, 910, 873 22 46,17U, 381 31 78, 261, 045 64 79,591,594 93 90, 044, 837 08 84,155,161 27 578,951 37 Total OCTOBER 2. k 462, 871 02 1,126,455,481 66 Including State bank circulation outstanding. 944, 053 70 1, 359, 768, 074 49 REPORT OF THE COMPTROLLER OF THE CURRENCY. Aggregate resources and liabilities of the National 6. JANUARY 1. Resources. APRIL 2. JULY 2. OCTOBER 1. 1,582 banks. 1,612 banks. 1,634 banks. 1,644 banks. $500, 650,109 19 Loans and discounts U. S. bonds dep'd to secure circ'n. 298. 376, 850 00 142,003,500 00 Other U. S. bonds and securities. 17, 483, 753 18 Oth'r stocks, bonds, andmortg's. 93,254,551 02 Due from national banks 14,658,229 87 Due from other b'ks and bank'rs. 15, 436, 296 16 Real estate, furniture, &c 3,193, 717 78 Current expenses 2, 423, 918 02 Premiums paid 89, 837, 684 50 Checks and other cash items... 20, 406, 442 00 Bills of national and other banks. 19,205,018 75 Specie 187, 846, 548 82 Legal tenders and fract'l cur'ney Total $528, 080, 526 70 315,850,300 00 125, 625, 750 00 17, 379, 738 92 87, 564, 329 71 13, 682, 345 12 15, 895, 564 40 4, 927, 599 79 2, 2^3, 516 31 105, 490, 619 36 18,279,816 00 17, 529, 778 42 189, 867, 852 52 $550, 353, 094 17 326, 483, 350 00 121,152,950 00 17, 565, 911 46 96, 696, 482 66 13, 982, 613 23 16, 730, 923 62 3, 032, 716 27 2, 398, 872 26 96, 077,134 53 17, 866, 742 00 12, 629, 376 30 201, 425, 041 63 $603, 314, 704 83 331,843,200 00 94, 974, 650 00 15,887, 490 06 107, 650,174 18 ]5, 211,117 16 17,134, 002 58 5,311,253 35 2, 493, 773 47 103, 684, 249 21 17, 437, 779 00 9, 226, 831 82 205, 793, 578 76 1, 404, 776, 619 29 1, 442, 407, 737 31 1, 476, 395, 208 13 1, 526, 962, 804 42 1 § 6 7 . JANUARY 7. Total JULY 1. OCTOBER 7. 1,648 banks. Loans and discounts U.S.bonds dep'd to secure circ'n. U.S. bonds dep'd to see'redep'ts. U.S.bonds and sec'ties on hand. Oth'r stocks, bonds, and mortg's. Due from national banks Due from other b'ks andbank'rs. Real estate, furniture, &c Current expenses Premiums paid Checks and other cash items... Bills of national banks Bills of other banks Specie Legal tenders and fract'l cur'ney Compound interest notes APRIL 1. 1,642 benks. 1,636 banks. 1,642 banks. $608, 771, 799 61 339, 570, 700 00 36, 185, 950 00 52, 949, 300 00 15, 073, 737 45 92, 552, 206 29 12, 996,157 49 18, 925, 315 51 2, 622, 675 18 2, 860, 398 85 101,430,220 18 19,203,718 00 1,176,142 00 19, 720, 043 20 104,872,371 04 82, 047, 250 00 1, 511, 222, 985 40 $597, 648, 286 53 338, 803, 650 00 38, 465, 800 00 40, 639, 400 00 20, 194, 875 21 94,121,186 21 10,737,392 90 19,625,893 81 5,693,781 17 3,411,325 50 87, 951, 405 13 12, 873, 785 00 825, 748 00 11,444,529 75 92,861,254 17 84, 005, 790 00 1, 465, 451,105 84 $588, 450, 396 12 337, 684, 250 00 38, 368, 950 00 45, 633, 700 00 21, 452, 615 43 92,308,911 87 9, 663, 322 82 19, 800, 905 86 3, 249. 153 31 3, 338, 600 37 128,312,177 79 16, 138, 709 00 531, 207 00 11,128, 672 98 102, 534, 013 40 75, 488, 220 00 $009,675,214 61 338, 640,150 00 37, 862, 100 00 42, 460, 800 00 21,507,881 42 95,217,610 14 8, 389, 226 47 20, 639, 708 23 5,297,494 13 2, 704,180 35 134,603,231 51 11,841,104 00 1,494,081,520 01 1, 499, 469, 060 17 JANUARY 6. APRIL 6. JULY 6. 1,642 banks. 1,643 banks. 1,640 banks. $016,603,479 89 Loans and discounts U. S. bonds dep'd to secure circ'n. 339, 064. 2:-0 09 37,315,750 00 U.S.bonds dep'd to see're dep'ts. 44,164, 500 00 U.S.bonds and sec'ties on hand. 19, 365, 864 77 Oth'r stocks, bonds, afldmortg's. 99, 311, 446 60 Due from national banks 8, 480,199 74 Due from other b'ks and bank'rs. 21,125,665 68 Real estate, furniture, &c 2, 986, 893 86 Current expenses 2, 404, 536 96 Premiums paid 109, 390, 266 37 Checks and other cash items... 10, 055, 572 00 Bills of national banks 2(11,209 00 Bills of other banks 1,927,870 78 Fractional currency 20,981,601 45 Specie 114,300,491 00 Legal tender notes 39, 997, 030 00 Compound interest notes 8, 245, 000 00 Three per cent, certificates Total 333, 209 00 12, 798, 044 40 100, 550, 849 91 56, 888, 250 00 1, 502, 017, 644 10 $028, 029, 347 05 339, 080, 650 00 37, 446, 000 00 4o, 958, 550 00 19,874,384 33 95, 9(10. 606 35 7, 074, 297 44 22, 0^2, 570 25 5, 428, 460 25 2, 600,1C0 09 114,993,030 23 12,573,514 00 190, 100 00 1,825,040 10 18, 373, 943 23 84, 390, 219 00 38,917,490 00 24, 255, 000 00 1,043 banks. $055, 729, 546 42 339, 569,100 00 37,853,150 00 43, 008, 350 00 20, 007, 327 43 $057, 608, 847 83 340, 487, 050 00 37, 300, 150 00 30, 817, 600 00 20, 093, 400 40 114, 434, 097 93 e, 642, 450 73 22, 099, 829 70 2,938,519 04 2, 432, 074 37 103. 278. 547 77 7, 848| 822 24 22,747,875 18 5,278,911 22 1,819,815 50 124,070,097 71 13,210, 179 00 343, 550 00 1,803,358 91 20, 755, 919 04 100, 100, 100 00 19,473,420 CO 44, 905, 000 00 143,241,394 99 11,843,974 00 232, 008 00 2 202,791 97 13, 0°3, 713 39 92, 453, 475 00 4,513,730 00 59, 080, 000 00 1, 499, 068, 920 97 1,572, 107,076 20 1, 559, 621, 773 49 REPORT OF THE COMPTROLLER OF THE CURRENCY. Banlcsfrom October, 1863, to October, 1875—Continued. I §66. JANUARY 1. APRIL 2. JULY 2. OCTOBER 1. 1,582 b a n k s . 1,612 b a n k s . 1,634 b a n k s . 1,644 banks. Capital stock $403, 357, 346 00 $409, 273, 534 00 $414, 270, 493 00 $415,472,369 00 Surplus fund 43, 000, 370 78 28, 972, 493 70 44, 687, 810 54 30, 904, 422 73 50,151,991 77 29, 286,175 45 53, 359,277 64 32, 593, 486 69 National bank notes outstanding. State bank notes outstanding-.. 213, 239, 530 00 45, 449,155 00 248, 886, 282 00 33, 800, 865 00 267, 798, 678 00 19, 996,163 00 280,253,818 00 9, 748, 025 00 Individual deposits U. S. deposits Dep'ts of U.S. disbursing officers. 522, 507, 829 27 29, 747, 236 15 534, 734, 950 33 29, 150, 729 82 533,338,174 25 36, 038,185 03 3, 0G6, 892 22 564,616,777 64 30, 420, 819 80 2, 979, 955 77 Due to national banks Due to other banks and bankers. 94, 709, 074 15 23, 793, 584 24 89, 067, 501 54 21,841,641 35 96, 496, 726 42 25, 951, 728 99 110, 531, 957 31 26,986,317 57 1,404,776,619 29 1,442,407,737 31 I, 476, 395,208 13 1, 526, 962, 804 42 JANUARY 7. APRIL 1. JULY 1. OCTOBER 7. 1,648 b a n k s . 1,642 banks. 1,636 banks. 1,642 banks. Liabilities. Total Capital stock $420,229, 739 00 $419, 399, 484 00 $418, 558,148 00 $420,073,415 00 59, 992, 874 57 26, 961, 382 60 60, 206, 013 58 31,131,034 39 63,232,811 12 30, 656, 222 84 66, 695, 587 01 33, 751, 446 21 Nationalbanknotesoutstanding. State bank notes outstanding... 291, 436, 749 00 6, 961, 499 00 292, 788, 572 00 5,460,312 00 291,769,553 00 4,484,112 00 293,887,941 00 4, 092,153 00 Individual deposits II. S. deposits Dep'ts of U. S.disbursing officers. 558, 699, 768 06 27, 284, 876 93 2, 477, 509 48 512,046,182 47 27, 473, 005 6Q 2, 650, 981 39 539, 599, 076 10 29, 838, 391 53 3, 474,192 74 540,797, 837 51 23, 062,119 92 4,352, 379 43 Due to national banks Due to other banks and bankers. 92, 761, 998 43 24, 416, 588 33 91,156,890 89 23,138, 629 46 89, 821,751 60 22, 659, 267 08 93, 111, 240 80 19,644,940 20 1,511,222,985 40 1, 465, 451,105 84 1,494,084,526 01 1, 499, 469, 060 17 Surplus fund Undivided profits Total 1 § 6 §. JANUARY 6. Capital stock APRIL 6. JULY 6. OCTOBER 5. 1,642 banks. 1,643 banks. 1,640 banks. 1,643 banks. $420, 260,790 00 $420, 676, 210 00 $420,105, 011 00 $420, 634, 511 00 Surplus fund Undivided profits Nationalbanknotesoutstanding. State bank notes outstanding.. - 70,586,125 "0 3i, 399, 877 57 72, 349, 119 60 32, 86], 597 08 75, 840,118 94 33, 543, 223 35 77, 995, 761 40 36, 095, 883 98 294, 377, 390 00 3, 792, 013 00 295, 336, 044 CO 3, 310,177 00 294, 908, 264 00 3,163, 771 G O 295, 769, 489 00 2, 906, 352 00 Individual deposits U. S. deposits Dep'ts of U.S. disbursing officers. 534, 704, 709 00 24, 305, 638 02 3, 208, 783 03 532,011,480 36 22, 750, 342 77 4, 976, 682 31 575, 842, 070 12 24, 603, 676 96 3, 499, 389 99 580, 940, 820 85 17, 573,250 64 4,570,478 1G Due to national banks Due to other banks and bankers. 98,144, 669 61 21, 8G7, G48 17 94, 073, 631 25 21,323,636 G O 113,306,346 34 27, 355, 204 56 99, 414, 397 23 23, 720, 8^0 13 1, 499, GC8, 920 97 1,572,167,076 26 1, 559, 621, 773 49 Total 1,502,647,644 10 REPORT OF THE COMPTROLLER OF THE CURRENCY. Aggregate resources and liabilities of the National I860. JANUARY 4. APRIL 17. JUNE 12. OCTOBER 9. 1,628 banks. 1,620 banks. 1,619 banks. 1,617 banks. Resources. U. S. bonds to secure circulat'n. tJ. S. bonds to secure deposits .. LJ. S. bonds and sec'ties on hand. Oth'r stocks, bonds, and mortg's Due from redeeming agents . . . Due from other national banks Due from State b'ks and bank'rs Real estate, furniture, and fixt's. Current expenses Premiums paid Checks and other cash items... Bills of other national banks .. Fractional currency Specie Legal tender notes Three per cent, certificates Total, $644, 945, 039 31-8,539,950 34, 538, 350 35,010,600 20, 127, 732 53 00 00 00 96 65, 727, 070 36,067,316 7.715,719 23', 289, 838 3,265,990 1, 654, 352 80 84 34 28 81 70 142, 605, 984 14,C84,799 2,280,471 29, ()->ij, 750 88, 239, 300 52, 075, 000 92 00 06 26 00 00 1,540,394,266 50 $602,084,813 47 338, 379, 250 00 29,721,350 00 30, 226, 550 00 20, 074, 435 69 57, 554, 382 55 30, 520, 527 89 8, 075, 595 60 23,798,188 13 5,641, 195 0L 1,716,210 13 154,137,191 23 11,725,239 00 2,088,545 18 9,944,532 15 80,875, 161 00 51, 190,000 00 $686,347,755 81 338, 699, 750 00 27, 625, 350 G O 27, 476, 650 00 20, 777, 500 53 62,912,636 82 35, 556, 504 53 9,140,919 24 23,859,271 17 5, 820, 577 87 1, 809, 070 01 161,614,852 66 11, 524, 447 00 1, 804, 855 53 18,455,090 48 80,934,119 00 49, 815, 0G0 00 $682, 883,106 97 339,480, 100 00 18,704,000 00 25, 903, 950 00 22, 250, 697 14 56, 669, 562 84 35, 393, 563 47 8, 790, 418 57 25,169,188 95 5, 646, 382 96 2, 092, 364 85 108, 809, 817 37 10, 776, 023 00 2, 090, 727 38 23, 002, 405 83 83,719,295 00 45, 845, 000 00 1, 517, 753, 167 03 1,564,174,4 L0 65 1,497,226,604 33 18 7 o. JANUARY 22. MARCH 24. JUNK 9. OCTOBER 8. DECEMBER 28. 1,615 banks.* 1,615 banks. 1,612 b a n k s . 1,615 banks. 1,648 banks. Loans and discounts .. $688, 875, 203 70 $710, 848, 609 39 $719,341,186 06 $715, 928, 079 81 $725, 515, 538 49 Bonds for circulation . 339, 350, 750 00 339,251,350 00 338, 815, 200 GO 340, 857, 450 00 344,104, 200 00 Bonds for deposits . . . 17, 592, 000 00 16, 102, 000 00 15,704,000 00 15,189,500 00 15,381,500 00 U. S. bonds on hand..., 24, 677,100 00 27, 292, 150 00 28, 276, 600 00 22, 323, 800 00 2o, 893, 300 00 Other stocks pnd b'ds. 21,082,412 00 20,524,294 55 23, 300, 681 87 23,614,721 25 22, 686, 358 59 Due from red'g agents. 71,641,486 05 73,435,117 98 74, 635, 405 61 66, 275, 668 92 64, 805, 062 88 Due from nat'l banks . 31,994,609 26 29, 5 LO, 688 11 36, 128,750 66 33, 948, 805 65 37, 478,166 49 Due from State banks - 9,319,560 54 9,824,144 18 10, 238, 2L9 85 10,430,781 32 9,202,496 71 Real estate, &c 26, 002, 713 01 26,330,701 24 26, 593, 357 00 27, 470, 746 97 28, 021, 637 44 Current expenses 6, 905, 073 32 3, 469, 588 00 6, 324, 955 47 6,683.189 54 5,871,750 02 Premiums paid 3, 251, 648 72 2,439,591 41 3, 076, 456 74 2, 680, 882 39 2,491,222 11 Cash items 11, 497, 534 13 12, 536, 613 57 13, 229, 403 34 111, 624, 822 00 11,267,703 12 Clearing-house exch'gs 75,317,992 22 83, 936, 515 64 79, 089, 688 39 76, 208, 707 00 National bank notes .. '"i5,'840,'669"oo" 14,226,817 00 16, 342, 582 00 12, 512, 927 00 17, 001, 846 00 Fractional currency .. 2,476,966 75 2,150, 522 89 2, 184, 714 39 2, 285, 499 02 2, 078, 178 05 Specie 48, 345, 383 72 37, 096, 543 44 31, 099, 437 78 18,460,011 47 26,307,251 59 87, 708, 502 00 Legal tender notes 82, 485, 978 00 94,573,751 GO 79, 324, 577 00 80, 580, 715 00 Three per cent, cert'fs. 43, 820, 000 00 43, 570, 000 00 43, 465, 000 00 43, 345, 000 00 41, 845, 000 00 Total 1,546,261,357 44 1,529,147,735 85 1,565,756,909 67 1,510,713,236 92 1,538,998,105 93 18 7 1. MARCH 18. APRIL 29. JUNE 10. OCTOBER 2. DECEMBER 16. 1,688 banks. 1,707 banks. 1,723 banks. 1,767 banks. 1,790 banks. Loans and discounts .. $767,858,490 59 $779,321,828 11 $789,416,568 13 $831, 552,210 00 $818, 996, 311 74 Bonds for circulation . 351, 556, 700 00 354, 427, 200 00 357, 388, 950 00 364, 475, 800 00 366, 840,200 00 28, 087, 500 00 23,155,150 00 Bonds for deposits 15,231,500 00 15, 236, 500 00 15, 250, 500 00 U. S. bonds on hand... 23,911,350 00 22, 487, 950 00 24, 200, 300 00 17, 753, 650 00 17, 675, 500 00 Other stocks and b'ds. 22, 763, 8G9 20 22, 414, 659 05 23,132, 871 05 24, 517, 059 35 23, 061,184 20 86, 878, 608 84 77, 985, 600 53 Due from red'g agents. 83, 809,188 92 85,061,016 31 92, 369, 246 71 43, 525, 362 05 43,313,344 78 Due from nat'l banks. 30,201,119 99 38, 332, 679 74 39, 636, 579 35 Due from State banks. 10, 271, 605 34 12, 772, 669 83 13, 069, 301 40 11,478,174 71 11,853,308 60 Real estate, &c 30, 089, 783 85 30, 070, 330 57 29, 242, 762 79 29, 637, 999 30 28,805,814 79 Current expenses 7, 330, 424 12 6, 153, 370 29 6, 764,159 73 6, 295, 099 46 6,694,014 17 Premiums paid 5, 956, 073 74 5, 500, 890 17 4,414,755 40 5, 026, 385 97 3, 939, 995 20 13, 784, 424 76 Cash items 13,101,497 95 14,058,268 86 11, 642, 644 74 12, 749, 289 84 Clearing-house exch'gs 100, 693, 917 54 130,855,698 15 102,091,311 75 101,165, 854 52 114,538,539 93 13, 085, 904 00 19, 101,389 00 14, 197,653 00 National bank notes .., 13, 137, 006 00 16, 632, 323 00 2, 061, 600 89 2, 160,713 22 2, 095, 485 79 2,103,298 16 2, 135, 763 09 Fractional currency .. 29, 595, 299 56 19, 924, 955 16 13,252,998 17 25, 769,166 64 22, 732, 027 02 Specie 93, 942, 707 00 91,072,349 00 106,219, 126 00 122, 137, 660 00 109,414,735 00 Legal tender notes Three per cent, cert'fs. 37, 570, COO 00 33, 935, 000 00 30, 690, OGO 00 25, 075, 000 00 21, 400, 000 00 Totai 1,627,032,030 28 1,694,440,912 94 1,703,415,335 65 1,730,5^0,899 72 1,715,861,897 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. Banks from October, 1863, to October, 1875—Continued. 1 §69. APRIL 17. JUNE 12. 1,620 bankH. 1,619 banks. Liabilities. 1,628 banks. 1,617 b a n k s . $419,040,931 00 $420,818,721 00 $422, 659, 260 00 $426, 399,151 00 81,169,936 52 35, 318, 273 71 82, 6.13, 989 19 37, 489, 314 82 82, 218, 576 47 43,812,898 70 86,165, 334 32 40, 687, 300 92 National bank notes outstanding State b a n k notes o u t s t a n d i n g . . . 294, 476, 702 00 2, 734, 669 00 292, 4.37, 098 00 2, 615, 387 00 292, 753, 286 00 2, 556, 874 00 293, 59" 645 00 2, 454, 697 00 Individual deposits II. S. deposits Dep'tsot' U. S. disbursing offic'rs 568, 530, 934 11 13,211,850 19 3, 472, 884 90 547, 922, 174 91 JO, 114, 3-2'S 32 3, 665, 131 61 574, 307, 382 77 10, 30J, 91»7 71 2, 454, 048 99 511,400, 196 63 7,112, 646 67 4,516, 648 12 Due to national b a n k s D u e to State banks and bankers. 95,453,139 33 26, 984, 945 74 92. 662, 648 49 23^ OlbJ 610 62 100,933,910 03 28,046,771 30 95, 067.,892 83 23, 849,,371 62 2, 464, 819 81 1,870, 913 26 2,392,205 61 1,735,289 07 3, 839, 357 10 2,140, 363 12 1, 517, 753, 167 03 1, 564, 174, 410 65 1, 497, 226, 604 3.' DECEMBER 28. Capital stock. Surplus fund Undivided profits. Notes and bills re-discounted. Bills payable Total. 1, 540, 394, 266 50 18 7 o. JANUARY 22. JUNE 9. OCTOBER 8. 1,615 banks. Capital stock MARCH 24. 1,615 banks. 1,612 banks. 1,615 banks. $426,074,954 00 $427,504,247 00 $427, 235, 701 00 $430, 399, 301 00 1,618 b a n k s . $435,356,004 00 90,174,281 14 34, 300, 430 80 90, 229, 954 59 43, 109, 471 62 91,689,834 12 42, 861, 712 59 94, 061, 438 95 38, 608, 618 91 94, 705, 740 34 46, 056, 428 55 Nat'l b a n k circulation. 292, 838, 935 00 State bank circulation. 2, 351, 993 00 292, 509, 149 00 2,279,469 00 291,183,614 00 2, 222, 793 00 291,798,640 00 2,138, 548 00 296,205,446 00 2, 091, 799 C O 2, 299, 296 27 1,483,416 15 1,517,595 18 2, 462, 591 31 2, 242, 556 49 546, 236, 881 57 516, 058, 085 26 Individual deposits U. S. deposits 6,750, 139 19 6,424,421 25 D e p ' t s U . S . dis.offic'rs 2, 592, 001 21 4, 778, 225 93 542,261,563 18 10, 677, 873 92 2,592,967 54 501, 407, 586 90 6, 807, 978 49 4,550,142 68 507, 368, 618 67 6, 074, 407 90 4,155, 304 25 Surplus fund Undivided profits Dividends unpaid D u e to national b a n k s D u e to State banks Notes re-discounted . . . Bills payable Total 108,351, 300 33 28,904,849 14 109,667,715 95 29,767,575 21 115,456,491 84 33, 012, 162 78 100, 348, 292 45 29, 693, 910 80 106,090,414 53 29, 200, 587 29 3, 842, 542 30 1, 543, 753 49 2, 462, 647 49 2, 873, 357 40 2,741,843 53 2, 302, 756 99 3, 843, 577 67 4,592,609 76 4, 612,131 08 4, 838, 667 S\) 1,546,261,357 44 1,529,147,735 85 1,565,756,909 67 1,510,713,236 92 1,538,998, 105 93 MARCH 18. Capital stock Surplus fund Undivided profits APRIL 29. JUNE 10. OCTOBER 2. DECEMBER 16. 1,688 banks. 1,707 banks. 1,723 banks. 1,767 banks. 1,790 banks. $444, 232, 771 00 $446,925,493 00 $450,330,841 00 $458, 255, 696 00 $460, 225, 866 00 96, 862, 081 66 43, 883, 857 64 Nat'l bank circulation. 301,713,460 00 2,035,800 00 State bank circulation Dividends unpaid 1, 263, 767 70 97, 62'), 099 28 98 322 203 80 101,112,671 91 44, 776, 030 71 45^ 535| 227 79 42, 008, 714 38 101, 573, 153 62 48, 630, 925 81 306,131,393 00 307, 793, 880 00 315,519,117 00 318,265,481 00 1, 886, 536 00 1, 982, 580 00 1, 968, 058 00 1, 921, 056 00 2, 235, 248 46 1, 408, 628 25 4, 540,194 61 1, 393, 427 98 561,190,830 41 611,025,174 10 602,110,758 16 600, 868, 486 55 596, 586, 487 54 Individual deposits 6,314,957 81 6,521,572 92 6, 265,167 94 20,511,935 98 14, 829, 525 65 U. S. deposits . . . 4,813,016 66 3, 757, 873 84 4, 893, 907 25 5, 393, 598 89 5, 399,108 34 Dep'ts U. S. dis. offic'rs Due to national banks. 118,904,865 84 128, 037, 469 17 135,167,847 69 131,730,713 04 37,311,519 13 36,113,290 67 41, 219, 8J2 96 40,211,971 67 Due to State banks Notes re-discounted . . . Bills payable Total 3,256, 896 42 5, 248, 206 01 3, 573, 723 02 5,740,964 77 3,120, 039 09 5, 278, 973 72 3, 964, 552 57 4,528,191 12 118,657,614 16 38, 116, 950 67 4, 922, 455 78 5, 374, 362 67 1,627,032,030 28 1,694,440,912 94 1,703,415,335 65 1,730,566,899 72 1,715,861,897 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. Aggregate resources and liabilities of tlie National FEBRUARY 27. APRIL 19 JUNE 10. OCTOBER 3. DECEMBER 27. 1,853 b a n k s . 1,919 b a n k s . 1,940 b a n k s . Resources. 1,814 b a n k s . 1,843 b a n k Loans and discounts.. $839,665,077 91 $844, 902, 253 49 $871,531,448 67 $877,197, 923 47 $885, 653, 449 62 Bonds for circulation . 370, 924, 700 CO 374, 428, 450 00 377, 029, 700 00 382, 046, 400 00 384, 458, 500 00 15, 409, 950 00 15, 870, 000 00 15, 169, 000 00 15, 479, 750 00 16,304,750 00 Bonds for deposits 16,458,250 00 19, 292,100 00 12,142, 550 00 10, 306,100 00 U. S. bonds on hand .. 21, 323,150 00 22,270,610 47 23, 533, 151 73 23,160, 557 29 Other stocks and b'ds. 22, 838, 338 80 21 538,914 06 91,564,269 53 80,717,071 30 86,401,459 44 Due from red'g agents 89, 548, 329 93 82, 120, 017 24 39, 468, 323 39 34, 486, 593 87 42,707,613 54 Due from nat'l banks . 38, 282,905 86 36, 697, 592 81 13, 014, 265 •26 12, 269, 822 68 12, 29!), 716 94 12, 976, 878 01 12, 008, 843 54 Due from State banks 31, J 23, 843 21 30, 809, 274 98 32, 276,498 17 33, 014, 796 83 30, 637, 676 75 Real estate, &c 6,719,794 90 6, 265, 655 13 7,026,041 23 6,310,428 79 8, 454, 803 97 Current expenses 6,616,174 75 6,308,821 86 6 544, 279 29 6, 546, 848 52 7, 097, 847 86 Premiums paid 13, 458, 753 80 12,143,403 12 12 461,171 40 14, 916, 784 34 13, 696, 723 85 Cash items 88, 592, 800 16 110,086,315 37 90, 145, 482 72 Clearing-house exch'gs 93,154, 319 74 114 195, 966 36 16, 253, 560 00 15, 787, 296 00 19, 070, 322 00 National bank notes .. 15, 552, 087 00 18 492, 832 00 2, 069, 464 12 2 143, 249 29 2,151, 747 88 2, 270, 576 32 2, 278,143 24 Fractional currency .. 10, 229, 756 79 19 047 336 45 Specie . . . . . .. . . . 25 507 825 32 24 433, 899 46 24, 256 644 14 Legal tender notes 97, 865, 400 00 105 732, 455 00 122,994,417 00 105,121,104 00 102, 922, 369 00 6 710 000 0 0 12 650 000 00 U S cert'fs of deposit 7,140, 000 00 12, 005,100 00 4,185, 000 00 Three per cent, cert'fs. 18, 980, 000 00 15 365, 000 00 Total 1,719,415,657 34 1,743,052,213 55 1,770,837,209 40 1,755,857,098 24 1,773,556,532 43 1 § 7 3. FEBRUARY 28. APRIL 25. 1,947 banks. 1,962 banks. JUNE 13. | SEPTEMBER 12. DECEMBER 26. 1,968 banks. 1,976 b a n k s . 1,976 banks. Lofcns aud discounts.. $913, 265,189 67 $912,064,267 31 $925, 557, 682 42 $944,220,116 34 $856,816,555 05 Bonds for circulation . 3b4, 675, 050 00 386, 763, 800 00 388, 080, 300 00 388, 330, 400 00 389, 384, 400 00 16, 235, 000 00 15, 935, 000 00 14, 805, 000 00 14,815,200 00 Bonds for deposits 15, 035, 000 00 9,613,550 00 9, 769, 400 00 8, 824, 850 00 8, 630,850 G O U. S.bonds on hand .. 10, 436, 950 00 22,912,415 63 23,709,034 53 24, 358, 125 06 Other stocks and b'ds. 22, 063, 306 20 22,449,146 04 96, 134,120 6G 73, 032, 046 87 Due from red'g agents 95, 773, 077 10 88,815,557 80 97, 143,326 94 40, 404, 757 97 Due from nat'l banks. 39, 483, 700 09 38, 671, 088 63 43, 328, 792 29 41,413,680 06 12,883,353 37 14, 073, 287 77 12,022,873 41 11,185,253 08 Due from State banks 13,595,679 17 34,216,878 07 31,820,562 77 34,661,823 21 35, 556, 746 48 Real estate, &c 34, 023, 057 77 7,410, 045 87 7,154,211 69 6, 985, 436 99 8,678,170 39 Current expenses 6, 977, 831 35 7, 559, 937 67 7,890,962 14 7, 752, 843 87 7,987,707 14 Premiums paid 7,205,259 67 11,425, 2i;9 00 13, 036, 482 58 11,433,913 22 12,321,972 80 Cash items 11,761,711 50 94, 132, 125 24 91,918,526 59 88, 926, 003 53 62,881,342 16 Clearing-hou.se exch'gs 131,383,860 95 20, 394, 772 00 16,103, 842 00 21,403,179 00 National bank notes .. 15, 998, 779 00 19,310,202 00 2, 198, 973 37 2, 197,559 84 % 302, 775 26 2, 287, 454 03 Fractional currency .. 2,289,680 21 16,868,808 74 27, 950, 086 72 19, 868, 469 45 26, 907, 037 58 Specie 17, 777, 673 53 92, 522, 663 00 108,719,506 00 Legal tender notes 97,141,909 00 100, 605, 287 00 106,381,491 00 U. S. cert'fs of deposit. 18, 460, 000 00 18, 370, 000 00 22,365,000 00 20, 610, 000 00 24,OLO,000 00 710.. 000 00 3U5, 000 00 Three per cent, cert'fs. 1,805,000 00 Total 1,839,152,715 21 l,8u0,303,280 11 1,851,234,800 38 1,83*1,627,845 53 1,729,380,303 61 J § 7 4. I FEBRUARY iTi. 1,975 banks. MAY 1. 78 b a n k s . UXE 26. 1,983 b auks. OCTOBER: DECEMBER 31. 2,004 b a n k s . 2,027 banks. Loans and discounts.. $897,859, 600 46 $923, 347. 030 79 $i)26, 195, 071 70 $954,394,791 59 $955,862, 580 51 Bonds for circulation . 389,614,700 00 389, 249, 100 00 390, 281, 700 (JO 383,254, 800 00 382, 976, 200 00 14, 6C0, 200 00 Bonds for deposits H 690| 200 01) M, 890, 200 00 14,691,700 00 14,714,000 00 10, 152, 00i) 00 10,456, 900 00 13, 313, 550 00 15,290,300 00 U. S. bonds on hand .. 11,043,400 00 25, 460, 400 20 27, 0)0, 727 48 27, 807, 826 92 28,313,473 12 Other stocks and b'ds. 25, 305, 736 24 97, 871, 517 Of) 83, 885,126 94 8i), 488, 831 45 Due from res've ag'ts- 101, 502, 86 L 58 94, 017, 603 31 45, 77(1, 715 59 39, 695, 309 47 48, 100, 842 62 41, 291, 015 24 Due from nat'l banks . 36 624,001 39 12, 374, 391 28 12, 469, 592 33 11,196,611 73 11,655,573 07 Due from State banks. 11,496,711 47 36, 043, 741 50 36, 708 066 39 37, 270, 876 51 33,112,926 52 3\), 190, 683 04 Real estate, &c 6, 998, 875 75 7) 547, 203 05 7 550,125 20 7, 658, 738 82 5, 510, 566 47 Current expenses 8,741,028 77 680 370 84 8, 563, O(j-) 27 8, 376, 659 07 8, 626,112 16 Premiums p a i d . . . . . . . 949 020 71 10, 496, 257 00 Cash items 10, 269 955 50 12,' 296, 416 77 14, 005, 517 33 11, 94 877 796 52 896, 271 31 Clearing-house exch'g.s 62, 768^119 19 97] 383*, 687 11 112^ 995', 317 55 20, 673 452 00 23, 527, 991 00 18,450,013 00 22, 532, 336 00 National bank notes . - 20,003,251 00 o 283, 898 92 2,309,919 73 2 187 186 69 2,224,943 12 2, 392, 668 74 Fractional currency .. 33, 365, 863 58 32 5(j!) 909 26 22', 326, 21)7 27 21,210,945 23 22, 436, 761 04 Specie 80, 021, 946 00 82, 604, 791 00 Legal tender notes.... 102, 717, 56.J 00 101 692 930 00 103, 108, 350 00 40 135 000 00 47, 780, 000 00 42, 825, 000 00 33, 670, 000 00 U.S. cert'fs of deposit. 37, 235,000 00 91, 250 00 20,349, 950 15 21,043,084 36 Dep. with U. S. Treas. Total 1,808,500,529 16 1,867 ,8U2;?96 28 1,851 ,840 913 64 1,877 180,942 44 1,902,409,638 46 REPORT OF THE COMPTROLLER OF THE CURRENCY. Banks from October, 1863, to October, 1875—Continued. 18 FEBRUARY 27. APRIL 19. JUNE 10. OCTOBER 3. DECEMBER 27. 1,814 b a n k s . 1,843 b a n k s . 1,853 banks. 1,919 b a n k s . 1.940 b a n k s . Liabilities. Capital stock $464,081,744 CO $467, 924, 318 00 $470, 543, 301 00 $479, 629,174 00 $482, 606, 252 00 Surplus fund Undivided profits 103, 787, 082 62 43, 310, 344 46 104,312,525 81 46, 428, 590 90 105,181, 943 28 50, 234, 298 32 110, 257, 516 45 46, 623, 784 50 111,410,248 93 56,762,411 89 Nat'l bank circulation State bank circulation 321,634,675 00 1, 830, 563 00 325, 305, 752 00 1, 763, 885 00 327, 092, 752 00 1, 700, 935 00 333, 495. 027 00 1,567,143 00 336, 289, 285 00 1, 511, 396 00 Dividends unpaid 1,451,746 29 1, 561, 914 45 1,454,044 06 3,149, 749 61 1, 356, 934 48 Individual deposits... 593,645,666 16 7,114,893 47 U. S. deposits 5, 024, 699 44 Dep'ts U. S. dis. officers 620, 775, 265 78 6, 355, 722 95 3,416,371 16 618, 801, 619 49 6,993,014 77 5,463,953 48 613,290,671 45 7,853,772 4L 4, 563, 833 79 598,114,679 26 7,863,894 93 5, 136, 597 74 Due to national banks 128, 627, 494 44 Due to State banks... 39, 025,165 44 120, 755, 565 86 35, 005,127 84 132, 804, 924 02 39, 878, 82G 42 110,047,347 67 33, 789, 083 82 124,218,392 83 34, 794, 963 37 4, 225, 622 04 5,821,551 76 4, 745,178 22 5, 942, 479 34 5,549,431 88 6, 040, 562 66 6, 545, 059 78 6,946,416 17 Notes re-discounted Bills payable Total 3, 818, 686 91 6,062,896 11 L,719,415,657 34 1,743,652,213 55 1,770,837,269 40 1,755,857,098 24 1, 773, 556, 532 43 1 § 7 3. FEBRUARY 28. JUNE 13. SEPTEMBER 12. 1,947 b a n k s . Capital stock . APRIL 25. 1,962 banks. 1,908 banks. 1,976 b a n k s . $484,551,811 00 $487, 891, 251 00 $490, 109, 801 00 |$491, 072, 616 00 Surplus fund 114,681, 048 73 48, 578, 045 28 Undivided profits Nat'l bank circulation. 336, 292, 459 00 State bank circulation. 1, 368, 271 00 Dividends unpaid DECEMBER 26. 1,976 banks. $490, 266, 611 00 115, 805, 574 57 52, 415, 348 46 116, 847, 454 62 55, 306,154 69 120, 314, 499 20 54,515,131 76 338,163,864 00 1, 280, 208 00 338,788,504 00 1,224, 470 00 339, 081, 799 00 341,320,256 CO 1, 188, 853 0'd 1,130, 585 00 120,961,267 91 58, 375,109 43 1, 465, 993 60 1, 462, 336 77 Individu.nl deposits 656,187, 551 61 U. S. deposits 7, 044, 848 34 Dep'tsU. S. dis. officers 5, 835, 696 60 616, 848, 358 25 7, 880, 057 73 4,425,750 14 641,121,775 27 622, 685, 563 29 540, 510, 602 78 8, 691, 00 L 95 7, 829, 327 73 7, 680, 375 26 6,416,275 ^0 8, 098, 560 13 4, 705, 593 36 Due to national banks. 134, 231, 842 95 Due to State banks... 38,124, 803 85 126,631,926 24 35,036,433 18 137,856,085 67 40,741,788 47 Notes re-discounted... Bills payable Total. 5,117, 810 50 5, 672, 532 75 1,400,491 90 5, 403. 043 38 7, 059, 128 39 5, 515, 900 67 7, 215, 157 04 1,402,547 89 133,672,732 94 39, 298,148 14 5, 987, 512 36 5,480,554 09 114, 996, 666 54 36, 598, 076 29 3,811,487 89 7,754,137 41 1,839,152,715 21 1,800,303,280 U 1,851,234,860 38 11,830,627,845 53 1,729,380,303 61 1 § 4. FEBRUARY 27. MAY 1. JUNE 26. OCTOBER i 1,975 banks. Capital stock 1, 269, 474 74 1,978 banks. 1,983 banks. 2,004 banks. $490, 859, 901 00 $490, 077, 101 00 $491,003,711 00 $493, 765,121 00 DECEMBER 31 2,027 b a n k s . $495, 802, 481 00 123 497 347 20 50, 236, 919 8a 125,561,081 23 54,331,713 13 126, 239, 308 41 58, 332, 965 71 128, 958,106 84 51, 484, 437 32 130, 485, 641 37 51, 477, 629 33 Nat'l bank circulation. 339, 602, 955 00 State bank circulation. 1, 078, 988 00 340,267,619 00 1, 049, 286 00 338, 538, 743 00 1, 009, 021 00 333, 225, 298 00 964, 567 00 331, 193,159 CO 860,417 GO Other undivided profits Dividends unpaid 1, 291, 055 63 2, 259,129 91 1, 242, 474 81 3, 516, 276 99 6, 088, 845 01 Individual deposits.... 595, 350, 334 90 United States deposits. 7, 276, 959 87 Dep'ts U. S. dis. officers 5, 034, 624 46 649, 286,298 95 7, 994, 422 27 3, 297, 689 24 622, 863,154 44 7, 322, 830 85 3, 238, 639 20 669, 068, 995 88 7,302, 153 58 3, 927, 828 27 682, 846, 607 45 7, 492, 307 78 3, 579, 722 94 Due to national banks. 138, 435, 388 39 Due to State banks -.. 48,112,223 40 135,640,418 24 48, 683, 924 34 143, 033, 822 25 50, 227, 426 18 125,102, 049 93 50, 718, 007 87 129, 188, 671 42 51, 629, 602 36 4,581,420 38 4, 772, 662 59 4. 436, 256 22 4, 352, 560 57 4,197, 372 25 4, 950, 727 51 6, 365, 652 97 5, 398, 900 83 Notes re-discounted... Bills payable Total . 3, 448, 828 92 4, 275, 002 51 1,808,500,529 16 1,867,802,79ti. 28 1,851,840,913 64 1,877,180,942 44 1, 902, 409, 638 46 10 REPORT OF THE COMPTROLLER OF THE CURRENCY. Aggregate resources and liabilities of the Nationa 1875. MARCH 1. MAY 1. JUNE 30. OCTOBER ] DECEMBER 17. 2,076 banks. 2,088 b a n k s . 2,086 b a n k s . Resources. 2,029 banks. Loans and discounts.. $956, 485, 939 Bonds for circulation . 380, 682, 650 14, 492, 200 Bonds for deposits U. S. bonds on hand .. 18,062,150 Other stocks and b'ds. 28,268,841 Due from res've ag'ts. 89, 991,175 Due from nat'l banks - 44, 720, 394 Due from State banks. 12, 724, 243 39, 430, 952 Real estate, &c 7,790,581 Current expenses 9, 006, 880 Premiums paid 11, 734, 762 Cash items Clearing-house exch'g.s 81, 127] 796 Bills of other banks... 18, 909, 397 3, 008, 592 Fractional currency .. 16, 667, 106 Specie Legal tender notes 73, 508, 170 U. S. cerffs of deposit. 37, 200, 000 Due from U. S. Treas . 21,007,919 Total 2,046 b a n k s . 35 $971, 835, 298 74 $97-2, 926, 532 14 $984, 691, 434 40 $962, 571, 807 70 00 378, 026, 900 00 375,127,900 00 370, 321, 700 00 363,618,100 00 00 14, 372, 200 00 14,147,200 00 13,981,500 00 14, 097, 200 00 00 H 297, 650 00 12, 753, 000 00 13, 989, 950 00 16, 009, 550 03 69 29, 102, 197 10 32,010,316 18 33, 505, 045 15 31,657,960 52 34 89, 788, 903 73 85, 701,259 82 81),' 620, 878 75 81,462,682 27 46, 039, 597 57 11 48,513,388 86 47, 028, 769 18 44, 83 L, 89 L43 97 11,625,647 15 11 963, 763 90 12, OH, 086 39 11,895,551 08 12 40, 312,285 99 40, 969, 02D 49 42 366, 647 65 41,53 3,311 94 86 7( 706, 700 42 4, 99-2, 044 34 7, 841,213 05 9,218,455 47 92 434, 453 14 8, 742, 393 83 8 670, 091 18 9, 442, 801 54 s] 12,433, 100 43 42 12 758, 872 03 11 233 720 72 13 122, 145 83 39 116 970* 819 05 S3, 924, 025 93 75 142] 863 45 67, 836, 967 04 00 19 504, 640 00 21,261,961 00 18 523. 837 00 17, 166, 19) 00 2 702 326 44 12 2, 620, 504 26 2, 595, 631 78 2, 901, 023 10 17 10 620 361 64 18, 959, 582 30 8 050 329 73 17, 070, 905 90 00 87, 492, 895 00 76 458] 734 00 84 015 923 00 7o] 725] 077 00 00 38 615 000 0 0 47,310,01)0 00 48 810,000 00 3 1 , 0 0 5 , 0 0 0 00 O j 76 454 422 29 19, 640,785 52 19 686, 960 30 19, 202, 256 63 1,869,819,753 22 1,909,847,891 40 j l , 9 1 3 , 2 3 9 , 2 0 1 16 il,882,209,307 62 1,823,469,752 44 1 § MARCH 10. Resources. Loans and discounts Bonds for circulation Bonds for deposit U. S. bonds on hand Other stocks and bonds Due from reserve agents Due from national banks Due from S tate banks Real estate, &c Current expenses Premiums paid Cash items Clearing-house exchanges Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total 2,091 banks. OCTOBER 2. 2,039 b a n k s . 2,091 banks. 2,089 banks. $950, 205, 555 62 354, 547, 750 00 14, 246,500 00 25, 910,650 00 30, 425, 430 43 99, 068, 360 35 42, 341,542 67 11, 160,562 .15 41, 937,617 25 6, 296,207 85 10, 946,713 15 517,868 86 863, 182 43 536, 502 00 215,594 30 077,345 85 768,446 00 805, 000 00 479,112 79 $933, 686, 530 45 $931, 304,714 06 $939,895,035 31 339, 141,750 00 337, 170,400 00 344, 537, 350 00 14, 328, 000 00 14,698, 000 00 14, 128, 000 00 30, 842, 300 00 33,142, 150 03 26, 577, 003 0!) 32, 482, 805 75 34, 445,157 16 30. 905, 195 82 87, 989, 900 90 87, 326,950 48 86, 769, 083 97 47,417,029 03 47, 525,089 98 44,328,609 46 10, 989, 507 95 12,061, 283 08 11,262,193 96 42,722,415 27 43, 121,942 01 42, 183, 953 78 5, 025, 549 33 6, 987,644 46 6, 820, 573 35 10,621,634 03 10,715, 251 16 10,414,347 28 11,724,592 67 12, 043,139 63 9, 693, 186 37 75, 328, 878 84 87, 870,817 06 56, 806, 632 63 15, 910,315 00 20,347,964 01) I 20, 398, 422 0<> 1, 987, 897 44 1,417, 203 66 2,771,836 26 ! 21,360, 767 42 21,714,594 36 j 25,218,469 92 84,250, 847 00 79, 858, 66 L 00 j 90,836,876 00 29, 170,000 00 27, 380, 000 00 ; 27, 955, 000 00 17, 063, 407 65 16,743, 695 40 16,911,680 20 | 1,834,369,941 70 1,793,306,002 78 : 1,825,760,967 28 I 1,827,265,367 61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 11 Banks from October, 18G3, to.October, 1876—Continued. 18 7 5. JUNE 30. Liabilities. 2,029 banks. Capital stock . Surplus fund Undivided profits OCTOBER 1. 2,088 banks. | 2,086 b a n k s . 2,076 banks. ,C46 banks. I DECEMBER 17. | $496, 272, 901 00 $498, 717,143 00 |$501, 568, 563 50 $504, 829, 769 00 $505, 485, 865 00 131, 249, 079 47 51, 650, 243 62 Nat'l bank circulation. 324, 525, 349 00 State bank circulation. 824, 876 00 133,169,094 79 134,356,076 41 j 133, 085, 422 30 52, 160, 104 68 52,964, 953 50 i 59, 204, 957 8 L 131,604,608 66 55, 907, 619 95 323,321,230 00 | 318,148,406 00 316, 350, 379 00 !314,979,451 00 786, 844 00 752,722 00 772,348 00 I 815,229 00| 1, 601, 255 48 | 2, 501, 742 39 j 6,105, 519 34 4, 003, 534 90 j Dividends unpaid 1, 353, 396 80 647, 735, 879 69 695, 347, 677 70j 686, 478, 630 48664,579,619 39 ; 618,517,245 74 Individual deposits 7, 971, 932 75 6, 797, 972 00! 6, 714, 328 70 6,507,531 59 j 6, 652, 556 67 United States deposits. 2, 766, 387 41| 3, 459, 061 80 4,271,195 19 j 4, 232, 550 87 5,330,414 16 Dep'tsU. S. dis. officers Due to national banks 137,735,121 44 127, 280, 034 02 138, 914, 828 39 129, 810, 681 60 !119,843,665 44 Due to State banks - . . 55, 294, 663 84 53, 037, 582 89 55, 714, 055 18 49, 918, 530 95 j 47, 048,174 56 Notes re-discounted... Bills payable Total . 5,257,160 61 5, 254, 453 66 7, 056, 583 64 6, 590, 234 43 1,869,819,753 22 jl,909,847,891 4 j 1,913,239,201 16 1,882,209,307 62 11, 823, 469, 752 44 4, 841, 600 20 4, 786, 436 57 5,671,031 44 6, 079, 632 94 4,261,464 45 5, 758, 299 85 i 8 ? 6. MARCH 10. MAY 12. JUNE 30. OCTOBER 2. 2,091 banks. 2,089 banks. 2,091 banks. 2,089 banks. $504 818 666 00 $500, 982, 006 00 $500, 393, 796 00 $499, 502, 232 00 133,091,739 50 51,177,031 26 131,795,199 91 49, 039, 278 75 131,897,197 2L 46,609,341 51 132, 202, 282 00 46, 445, 215 59 307, 476,155 00 714,539 00 300, 252, 085 00 667, 060 00 294, 444, 678 00 653, 942 00 291,544,020 00 622, 019 0J Liabilities. Capital stock Surplus fund Undivided profits National bank circulation State bank circulation Dividends unpaid 1, 405, 829 06 2, 325, 523 51 6,121, 675 30 3, 855, 533 64 Individual deposits ...... United States deposits Deposits U. S. disbursing officers 620, 674, 211 05 6, 606, 394 90 4, 313, 915 45 612, 355, 096 59 8, 493, 878 18 2, 505, 273 30 641,432,886 08 7, 667, 722 97 3, 392, 939 48 651,385,210 19 7, 256, 801 42 3,746,781 58 Due to national banks Due to State banks 139, 407, 880 06 54 002 131 54 127, 880, 045 04 46 706 969 50 131,702,164 87 51 403 995 59 131,535,969 04 48 250 111 4,631,882 57 6, 049, 566 31 4, 653, 460 08 5, 650,126 87 3, 867, 622 24 6, 173, 006 03 4, 464, 407 31 6, 154, 784 21 1,834,369,941 70 1,793,306,002 78 1, 825, 760, 967 28 1,827,265,367 61 Notes re-discounted Bills payable Total ABSTEACT OF REPORTS OF THE THE CONDITION NATIONAL BANKS MBER 17, 1875, MARCH 10, MAY 12, JUNE 30, AND OCTOBER 2, 1876. Arranged by Slates, Territories, and Reserve Cities. NOTE.—The abstract of each State is exclusive of any reserve city therein. LIST OF STATES, TERRITORIES, AND RESERVE CITIES. STATES AND TEERITOEIES. Alabama Arkansas California Colorado Connecticut Dakota Delaware District of Columbia . Florida Georgia Idaho Illinois Indiana Iowa Kansas Kentucky Louisiana Maine Maryland Massachusetts Michigan Minnesota Abstract. Reports. Page. States and Territories. Page. States and Territories, 32 482 Missouri 34 493 Montana 48 757 Nebraska 50 76 L New Hampbhire 20 214 New Jersey 54 769 N e w Mexico 24 438 N e w York 26 454 North Carolina 32 481 Ohio 30 477 Oregon 52 768 Pennsylvania 40 609 Rhode Island 38 576 South Carolina 44 699 Reports. Tennessee . 46 747 Texas 34 494 Utah 32 486 Vermont 16 59 Virginia 26 443 W e s t Virginia 18 114 Wisconsin 40 658 Wyoming 44 725 770 EESERVE CITIES. Citie: Reports. Cities. Page. Albany . . . Baltimore Boston . . . Chicago . . Cincinnati Cleveland Detroit . . . Louisville 242 443 117 616 528 530 664 500 Milwaukee . New Orleans . . New York Philadelphia ... Pittsburgh San Francisco . St. Louis Washington . . . NOTE.—For index of towns, see end of volume. Abstract. Reports. Page. 42 Page. 693 32 20 288 24 400 24 411 48 46 758 744 28 454 486 16 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1? 1375, MAINE. DECEMBER 17. MARCH 10 MAY 12. JUNE 30. OCTOBER 2. 69 banks 71 banks. 71 banks 71 banks. 71 banks. Loans and discounts.. $14, 717, 623 28 9, 383, 250 00 Bonds for circulation . 470, 000 00 Bonds for deposits 80, 650 00 U. S. bonds on hand .. 548,010 76 Other stocks and b'ds. 1,740,442 40 Due from res've ag'ts. 168, 840 83 Due from nat'l banks 6.809 27 Due from State banks. 325, 093 82 Real estate, &c 66, 284 72 Current expenses 103, 007 51 Premiums paid 399, 881 JO Cash items Clearing-house exch'gs Bills of other banks . . 360, 885 00 34, 708 53 Fractional currency . . 20,185 74 Specie . . . . . 440, 877 00 Legal tender notes . . . 5,000 00 U. S. cert'fs of deposit. 461,217 81 Due from U. S. Treas. Total 29, 332, 767 79 $14, 103,760 18 9, 003, 250 00 470, 000 00 84, 400 00 502, 706 43 2, 157,011 03 196,093 47 7, 160 61 284,891 77 52, 857 05 109,333 37 335 821 13 298, 293 37, 524 16 955 410,046 5,000 488, 568 28, 563, 671 94 NEW 45 banks. Loans and discounts.. Bonds for circulation . Bonds for deposits U. S. bonds on h a n d . . . Other stocks and b'ds Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Cash items Bills of other banks . . Fractional currency . . Specie Legal tender notes U S cert'fs of deposit Due from U. S. Treas Total $6,706,899 5, 628, 000 312,000 31,700 251, 523 815,416 11,236 39, 637 216,025 62,585 65,101 107, 554 00 03 10 00 00 77 28 00 00 00 81 92 55 31 60 37 04 $14,823,363 9, 078, 250 470, 000 137, 900 487,711 2, 108, 757 203, 080 10,289 296,881 19, 458 125,619 356 963 49 00 00 00 24 72 34 63 55 51 52 00 $14,608,053 9, 038, 250 420, 000 198,950 454, 639 2, 803, 549 249,414 1,455 300, 605 48,094 136,013 301 818 00 50 71 00 01) 11 338, 821 16,862 37 377 463, 590 5,000 434, 110 00 56 oq 00 00 50 267, 957 13,378 46 747 423,609 5, 000 437, 785 $14,471,048 9, 053, 250 470, 000 154,400 473, 007 2, 126,426 183, 048 9,747 292, 091 49, 097 130.327 324 995 °3 377, 748 23, 744 24 231 469, 502 5,000 410,385 29, 048, 051 43 29, 414, 036 35 67 00 00 00 42 30 25 97 58 64 79 07 00 91 21 00 00 50 29,755,322 31 j HAMPSHIRE. 45 banks. 45 banks. 15 - $6, 538, 265 76 00 5, 653, 000 00 00 i 312,000 00 00 ; 30, 700 00 25 ! 302, 388 26 60 ! 1,068,596 38 36 ! 19, 784 74 18 42, 250 30 49 222,886 00 91 ; 54,116 47 19 67, 929 48 83 j 65, 376 40 45 banks 45 banks. $6,518,006 5, 653, 000 312,000 30, 600 355,611 1, 093, 464 29, 092 43, 563 219,464 46, 324 67,811 70, 303 66 00 00 00 26 06 61 58 79 91 63 11 $6,612,898 5, 653, 000 312, 000 37, 450 410, 618 987,137 16,829 48, 008 227, 255 44,585 (J6, 521 116, 368 61 00 00 00 27 74 93 79 09 30 86 61 $6, 622, 047 5, 633, 000 312, 000 29, 800 439, 669 935, 959 15,217 52, 861 226,771 54,171 64, 604 124, 323 71 00 00 00 45 45 85 91 09 44 41 01 183,752 10, 980 7 054 192,380 00 99 50 00 219,603 10, 583 17 070 185,122 00 72 182,166 9, 153 24 793 182, 588 00 41 13 00 226, 657 00 13, 352 67 , 1 790 30 i 209,327 00 | 162,784 15,287 4 537 183,033 304, 594 49 j 266, 636 58 253, 569 80 251, 220 30 266, 470 30 15, 009, 572 38 15, 086, 979 90 15,216,273 31 15,175, 597 16 46 banks. 46 banks. 15,003,401 42 00 70 31 00 0Q 00 VERMONT. 46 banks. Total 22,812,791 T.I 46 banks. 46 banks. Loans and discounts . . $11,321,700 33 ; $11,548,573 Bonds for circulation . 8, 160, 000 00 8, 190, 000 Bonds for deposits 275, 000 00 275, 000 U. S. bonds on hand . . 150, 600 00 156,550 384, 009 46 388, 859 Other stocks and b'ds. Due from res've ag'ts 889, 913 77 j 1,041,419 109,210 130, 287 90 : Due from nat'l banks. Due from State banks 2 325 Rl 299 2P9, 082 279,613 83 Real estate, &c 42,003 69 23, 673 Current expenses Premiums paid 71,654 37 57. 285 Cash items . . . . . . . . . . . 158, 040 30 127, 977 Clearing-house exch'gs 161,813 151, 642 00 Bills of other banks . . 18,844 61 19, 430 Fractional currency.. S pecie ...... 8 505 44 9 75-2 3:32, 880 375, 473 00 Legal tender notes U S. cert'fs of deposit 379, 986 393, 180 21 Due from U. S. Treas 01 00 00 00 47 66 70 56 00 60 14 M5 $11,404,808 8, 203, 000 275, 000 152,800 392, 184 838, 063 102, 640 818 304, 482 32, 269 68, 79 i 128, 390 90 00 00 00 47 11 47 «7 00 95 59 00 40 96 00 179,398 21.413 11 253 373, 068 00 55 13 00 60 $11,408,113 7, 880, 700 275, 000 459,450 405. 346 884,702 92, 443 507 304,482 37,735 68,676 102, 042 08 00 00 00 97 44 43 32 00 13 10 93 159,419 00 12, 695 02 18, 232 36 378, 788" 00 $11. 443, 598 7, 890, 700 275, 000 246. 500 384, 721 061, 863 90, 887 67 00 00 00 97 39 08 310,797 27, 881 52, 877 115,774 82 51 85 56 119,342 00 9, 673 45 24 163 336,921 00 00 365, 194 88 362, 934 88 376, 772 68 23, 111,793 45 22, 853, 579 94 22,851,268 66 22, 767, 475 90 REPORT OF THE COMPTROLLER OF THE CURRENCY 17 arranged~byStates and reserve cities. MAINE. DECEMBER 17. MARCH 10. MAY 12. JUNE 30. 69 banks. 71 banks. 71 banks. 71 banks. Liabilities. Capital stock $10, 460, 000 00 $10, 560, 000 00 $10,610,000 00 OCTOBER 2. 71 banks. $10,610,000 00 $10,610,000 00 Undivided profits 2.114,397 86 1, 693, 343 27 2, 378, 601 42 1,410,806 50 2, 384, 052 27 1,437,764 16 2,399,993 01 1, 283,158 62 2, 392, 384 16 1, 361, 927 71 Nat'l bank circulation. State bank circulation. 8,180, 205 00 5, 462 00 7, 755, 423 00 5, 462 00 7,813, 122 00 5, 462 00 7, 812, 596 00 5, 462 00 7, 805, 693 00 4, 462 00 42, 209 55 43, 936 31 66, 470 58 273, 364 32 105, 587 31 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 6, 066,145 74 117,726 91 176, 285 02 5, 732, 538 89 •136,811 68 197,197 97 6, 003, 570 31 166,117 42 81,414 78 6,189, 958 51 149,311 57 138, 955 08 6, 888,165 48 134,162 51 131,62109 Due to national banks. Due to State banks . . . 338, 314 46 9, 050 53 280, 947 30 39,744 17 396, 573 98 63, 988 93 504, 257 06 18,102 49 231, 282 24 43, 304 97 Notes re-discounted . . . Bills payable 129,511 45 116 00 20, 202 70 18,515 00 1,000 00 28, 875 69 46,73181 29, 332, 767 79 28, 563, 671 94 29,414,036 35 29,755,322 31 Dividends unpaid Total NEW 29, 048, 051 43 HAMPSHIRE. 45 banks. Capital stock 45 banks. 45 banks. 45 banks. 45 banks. $5, 615, 000 00 $5, 615, 000 00 $5, 615, 000 00 $5, 615, 000 00 $5, 615, 000 00 Surplus fund Undivided profits 1, 035, 747 76 609, 999 61 988, 077 60 500, 081 30 972, 524 21 541,727 77 977, 525 38 606, 069 75 991, 697 47 528, 474 82 Nat'l bank circulation. State bank circulation. 4,817,461 00 10, 497 00 4,921,330 00 10,496 00 4, 941, 637 00 8,944 00 4, 824, 097 00 8, 944 00 4, 935 206 00 8, 932 00 Dividends unpaid 17, 023 87 19,178 16 26, 380 21 68, 903 20 24,170 35 Individual deposits U. S. deposits Dep.'ts U. S. dis. officers 2, 566, 890 75 74,253 37 141, 877 34 2, 648,155 36 96, 924 43 130, 835 55 2, 700, 680 17 137, 770 96 34, 365 29 2, 746, 865 40 146, 548 35 60, 014 32 2, 758,475 09 114, 479 97 47,110 18 Due to national banks. Due to State banks . . . 95, 865 45 1, 631 07 60, 597 82 12,595 42 123, 465 33 2, 369 41 77, 626 61 47, 059 82 Notes re-discounted . . . Bills payable 17,154 20 43,441 51 18, 642 30 17,410 17 19, 678 40 15, 078 65 23,187 58 13, 283 59 14,867 97 12, 496 85 15,003,401 42 15, 009, 572 38 15, 086,979 90 15, 216, 273 31 15,175, 597 16 Total VERMONT. 46 banks. 46 banks. $8, 638, 700 00 $8, 793, 700 00 $8, 793, 700 00 $8, 793, 700 00 $8, 793, 700 00 Surplus fund Undivided profits 1, 919, 726 73 747, 848 64 1, 992,164 34 552, 302 28 1, 945, 552 90 617,782 31 ], 979, 666 54 618,340 17 2, 003, 751 77 593, 111 38 Nat'l bank circulation. State bank circulation. 7, 041, 203 00 6, 200 00 7,168, 868 00 6, 200 00 7,183. 327 00 6, 200 00 6, 894, 348 00 6, 200 00 6, 972,335 00 6, 200 00 4, 639 39 10,154 27 6, 656 69 115, 749 59 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 4,093,914 32 68, 835 00 109, 777 08 4,159, 621 38 71,081 61 159, 363 37 3, 890, 821 92 111,433 00 30, 406 38 4,011,657 17 95, 274 33 48,152 02 4, 036, 653 44 69, 997 55 63, 695 07 Due to national banks Due to State banks 32,714 72 535 85 30, 531 64 1,106 56 56,548 86 1, 950 88 72,884 64 2, 096 20 53, 831 80 Notes re-discounted... Bills payable 5, 000 00 143, 700 00 8, 000 00 158, 700 00 7, 500 00 201, 700 00 11, 500 00 201, 700 00 8,000 00 154,000 00 22,812,794 73 23,111,793 45 22, 853, 579 94 22,851,268 66 Capital stock Dividends unpaid Total H. Ex. 3'- 46 banks. 46 banks. 46 banks. 12,199 89 22, 767, 475 90 18 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged MASSACHUSETTS. DECEMBER 17. ISO banks 125, 838, 899 88 $64, 417, 542 39,415, 050 1, 042, 000 818, 900 1, 456, 462 8,831, 977 617, 986 169, 162 1, 766, 838 572, 323 6o9 R1Q 532, 399 1, 137,255 175, 132 160 1,600, 277 325, 000 2, 077, 989 54 banks. 173,302 513 38 62 banks. Loans and discounts.. $28, 923, 585 81 Bonds for circulation. 14, 776, 900 00 200, 000 00 Bonds for deposits U. S. bonds on hand . . 12,000 00 136, 146 59 Other stocks and b'ds. 1,752,350 01 Due from res've ag'ts. Due from nat'l banks. 563, 600 63 Due from State banks. 104,511 19 627 105 55 Real estate &c 123, 045 10 Current expenses Premiums paid 37, 758 12 Cash items 704 450 69 Clearing-house exch'gs 329, 475 00 Bills of other banks . . 68, 729 70 Fractional currency . . 24 879 0? Specie Legal tender notes 581, 697 00 U. S. cert'fs of deposit. 694, 206 72 Due from U. S. Treas 00 07 00 00 55 49, 660, 441 14 182 banks $64, 547, 246 97 38, 896, 80;) 00 1,042, OH0 00 1, 069, 800 00 1,695, 107 21 9,215,791 29 460, 437 12 95,981 68 1,795, 119 26 191,228 00 660 278 18 588, 367 07 $64,514,346 16 38, 836, 800 00 1, 042, 000 00 1, 258, 150 00 1, 848, 553 82 8, 083, 892 04 617, 128 30 142, 406 56 1, 805, 178 73 232, 420 25 681 925 77 641,213 60 1, 3f'8, 650 126, 002 140 555 1,815,550 350, 000 1,838,181 1,157,510 122, 128 241 579 1, 854, 975 325, 000 1, 880, 235 00 51 <\\ 00 00 25 125, 837, 096 28 182 banks 00 43 00 00 05 $64, 354, 547 38, 874, 800 1, 042, 000 1,577,200 2, 148, 901 8, 924, 243 696, 209 103, 030 1, 843, 295 206, 943 770 059 909', 787 75 00 00 00 02 35 1, 138, 936 101, 453 341 525 1, 780,188 365, 000 1, 937, 622 00 67 45 00 00 93 05 25 15 22 90 125,285,443 09 127,115, 742 95 54 banks 54 banks. OF BOSTON. $99,591,415 30, 219, 500 150, 000 1, 878, 000 693, 427 13, 653, 295 4, 873, 407 247, 168 2, 847, 583 1,333,920 539, 776 472, 969 4, 590, 818 2, 027, 348 119,627 3,231, 111 3, 945, 365 2,515,000 1, 938, 498 54 banks. 71 $101,923,062 99 $101,752,348 06 $100, 854. 894 43 00 27,616,500 00 27, 359, 500 00 26, 635, 500 00 00 150, 000 00 150, 000 00 150, 000 00 00 2, 508, 500 00 2, 759, 500 00 3, 025, 800 00 850, 843 06 58 871, 222 02 872, 758 34 06 11, 072, 920 88 9, 211, 578 77 11,165, 701 83 53 5, 830, 784 90 6, 302, 405 09 5, 792, 810 37 35 223, 106 41 210,159 15 289, 123 88 37 2, 866, 054 18 3,119,874 34 3, 230, 994 82 24 156, 423 92 367, 033 30 107, 098 93 90 618, 429 94 659, 449 59 601,455 14 54 450, 729 59 545, 504 21 490, 862 38 47 6, 410, 346 79 4, 538, 416 39 7,453,964 14 00 1,665,368 00 2, 129, 024 00 1, 427, 518 00 61 110,806 31 87,561 69 46,534 77 52 1 891 83665 2, 398, 200 77 1, 830, 197 22 4, 567, 070 00 00 4, 125, 688 00 4, 545, 041 00 00 2, 160, 000 00 2, 485, 000 00 2, 790, 000 00 50 1,516,595 00 1, 543, 585 25 1,634,771 84 174, 898, 233 43 RHODE Total 35 54 banks Loans and discounts.. $103, 076, 724, 43 Bonds for circulation . 31,023,500 00 Bonds for deposits ] 50, 000 00 U. S. bonds on hand . . 219, 500 00 505, 021 20 Other stocks and b'ds. Due from res've ag'ts. 7,677,619 57 Due from nat'l banks. 7,062,610 35 Due from State banks 364,219 98 Real estate, &c 2, 823, 996 95 Current expenses 693, 349 84 Premiums paid 359,674 36 Cash i t e m s . . . . . 513,818 59 5,245,491 66 Clearing-house exch'gs Bills of other banks . . 2,154, 422 00 Fractional currency . . 126, 802 96 Specie . 874, 992 69 3, 891, 978 00 Legal tender notes U. S. cert'fs of deposit. 4, 530, 000 00 2, 008, 790, 80 Due from U. S. Treas. OCTOBER 2 JUNE 30. 182 bank-, 98 00 00 00 43 25 24 31 61 97 125, 726, 767 31 CITY Total MAY 12. 182 b£inks Loans and discounts.. $67,663,446 44 Bonds for circulation . 39, 444, 550 00 1, 042, 000 00 Bonds for deposits 503, 850 00 U. S. bonds on hand . . 1,362,944 21 Other stocks and b'ds. 6, 378,120 60 Due from res've ag'ts. 423, 799 14 Due from nat'l banks. 78,311 18 Due from State banks1, 724, 260 27 Real estate, &c 466, 209 74 Current expenses 541 496 Premiums paid . . Cash items 699, 907 35 Clearing-house exch'gs Bills of other banks . . 1,155,192 00 181,296 77 Fractional currency . . 73 669 qo Specie .......... Legal tender notes 1, 872, 048 00 285, 000 00 U. S. cert'fs of deposit. 1, 942, 797 94 Due from U. S. Treas. Total MARCH 10 170, 306, 066 22 172, 929, 363 03 172, 945,127 09 62 banks 62 banks. ISLAND 62 banks. 62 banks. $28, 564, 792 14,641,900 200, 000 12.000 136, 528 2, 028, 653 589, 565 95, 120 620, 883 135,879 31,515 458 679 80 00 00 00 72 80 26 89 312, 930 65, 343 24 650 591,171 86 00 00 00 72 49 39 96 50 00 65 $27, 814, 932 14,531,900 200, 000 27, 000 121,328 2, 829, 912 492, 446 94,226 635 099 124,480 33, 915 385, 262 00 89 14 00 345, 050 63, 708 39 848 636, 533 98 89 00 60 $27, 553, 227 14, 521, 900 200, 000 562, 000 259,501 2, 546, 784 435, 788 104,449 633 716 86, 753 127, 040 455 138 59 00 00 00 72 76 91 80 qo 96 00 11 $27,412,859 14, 446, 900 200, 000 342, 000 285, 263 2, 030, 515 490, 856 92, 450 660 530 134, 022 87,181 598 557 81 00 00 00 15 59 18 29 67 78 88 56 00 09 88 00 289, 580 51,429 49 443 685, 312 00 84 54 00 342, 249 41, 525 72 151 634, 288 00 36 95 00 o;} 708,063 22 684, 355 72 667, 790 47 719,418 40 49,217,677 15 49, 060, 000 83 49, 229, 857 62 48, 590, 770 62 REPORT OF THE COMPTROLLER OF THE CURRENCY. 19 hy States and reserve cities—Continued. MASSACHUSETTS. DECEMBER 17. MARCH 10 180 b a n k s 182 banks .MAY 12. JUNE 30. OCTOBER 2. Liabilities Capital stock 182 b a n k s $44 122 000 no $44 361 4?500 182 b a n k s $44 261 4 9 5 00 $44 261 42500 $44 290 300 or 182 banks. Surplus fund Undivided profits 13, 312, 509 87 4, 652, 577 36 13,180,178 16 5, 502, 932 73 13,151 083 03 4,138 568 01 13,123, 352 41 4, 488, 847 82 13,175,122 06 3, 575, 226 38 Nat'l bank circulation. State bank circulation. 34, 326, 244 00 14, 404 00 33, 999, 245 00 14,403 00 33, 852 182 00 14, 403 00 33,287,019 00 14, 403 00 33, 662, 646 00 9,520 00 107, 931 12 88, 909 61 195, 482 87 337, 221 77 930, 639 82 [ndividual deposits U. S. deposits Dep'ts IL S. dis. officers 26,321,153 23 539, 005 21 21, 694 37 25, 848, 365 46 527, 125 71 9, 439 45 27, 268. 283 97 663, 047 75 4,064 36 26, 757, 393 48 577, 250 86 3, 452 72 29, 484, 270 35 594,041 16 19, 620 26 Due to national banks. Due to State banks . . . 1, 570, 979 27 289, 797 70 1, 360, 008 25 16:2, 702 42 1, 421, 878 90 176, 953 5L 1,631,814 98 116,292 77 939, 689 98 83, 165 46 Notes re-discounted... Bills payable 316,103 75 244, 500 00 280, 532 52 391,500 00 406, 708 08 283, 015 80 310,969 28 376, 000 00 200, 954 OS 150, 547 4 0 125, 838, 899 88 125, 726, 767 31 125, 837, 096 28 125, 285, 443 09 127,115,742 95 Dividends unpaid Total CITY OF B O S T O N . 54 banks. Capital stock 54 banks. 54 banks. 54 banks. $52, 200, 000 00 $52, 200, 000 00 $52, 200, 000 00 54 banks. $52, 200, 000 00 $52, 200, 000 00 Surplus fund Undivided profits . 13,168, 757 88 3,127, 099 43 13,071,951 51 4, 702, 458 10 12, 918, 026 76 2, 518, 798 96 12, 853, 692 74 3, 432, 973 64 12, 699, 662 80 2, 058, 736 58 Nat'l bank circulation. State bank circulation . 25, 236, 320 00 24,814,432 00 23, 258, 099 00 23, 031, 612 00 22, 293, 824 00 Dividends unpaid 63,600 13 36, 973 72 95, 024 34 59, 717 72 1, 359, 770 66 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 57, 093,194 67 10,781 63 19, 094 26 55,855,843 16 6, 914 88 37, 424 87 54, 208, 772 05 12, 613 50 23,369 60 56, 266, 376 22 41,524 47 18, 643 92 55, 501, 322 65 14, 474 73 14,731 19 Due to national banks. Due to State banks 16, 093, 836 68 3, 478, 742 02 17, 615, 793 27 4, 513, 525 42 19, 432, 956 97 3, 758,148 79 18, 879, 111 75 4, 033, 123 94 20, 346, 665 52 4, 257, 523 90 Notes re discounted . . . Bills payable 223, 086 68 2, 588, 000 00 62,773 63 1, 980,142 87 42,421 54 1, 837, 834 71 70, 335 78 2, 042, 250 85 113,415 48 2, 084, 899 58 173, 302, 513 38 174, 898, 233 43 170, 306, 063 22 172, 929, 363 03 172, 945, 027 09 Total RHODE ISL AND. 62 banks. Capital stock Surplus fund . . . Undivided profits Nat'l bank circulation. State bank circulation. 62 banks 62 banks. 62 banks $20, 579, 800 00 $20 579 800 00 $20, 579, 800 00 $20, 579, 800 00 $20, 579 800 00 4, 237,312 67 1, 673, 505 52 4, 209, 067 21 1,753,811 89 4, 278, 361 60 1,651,615 23 4, 316, 884 81 1,430,725 07 4, 336, 489 4fi 1, 419,795 37 13, 044, 062 00 24, 274 00 12, 831, 431 00 23,124 00 12, 666, 208 00 23,121 00 12, 450, 981 00 21,116 00 12, 402,518 00 21,121 00 62 banks. 120,148 47 142, 085 77 170,122 03 341, 606 10 253, 646 96 Individual deposits U S deposits Dep'ts U. S. dis. officers 7, 821,218 59 38, 929 66 97, 384 11 7, 933, 899 49 92, 540 89 38, 817 59 7, 521, 039 75 112, 284 10 47, 900 71 7, 830, 392 09 99,179 73 48, 306 30 8, 072, 595 25 64, 069 58 66,118 18 Due to national banks. Due to State banks 1, 430, 641 84 593, 164 28 1, 044, 255 32 548, 843 99 1,191,860 54 807, 687 87 1, 203, 493 06 897, 373 46 857, 094 87 467, 046 35 20, 000 00 10, 000 00 10,000 00 49,217,677 15 49, 060, 000 83 49, 229, 857 62 Dividends unpaid 50, 475 60 Bills payable Total 49 660, 441 14 48, 590, 770 62 20 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged C ONNE CTI CUT. DECEMBER 17. MAY 12. JUNE 30. 81 banks. MARCH 10. 81 banks. OCTOBER 2. Resources. 81 banks. 81 banks. 82 banks. Loans and discounts.. $37, 263, 612 78 $36,846,143 36 $36, 958, 515 04 $36, 806, 565 18 $34,424,299 97 Bonds for circulation . 20,185, 800 00 19, 877, 000 00 19,821,000 00 19,811,000 00 19,561,000 00 270, 000 00 270, O O 00 C Bonds for deposits 270, 000 00 270, 000 00 270, 000 00 289,600 00 231, 750 00 316, 700 00 766, 000 00 TJ. S. bonds on hand . . 244, 850 00 1,105, 371 04 1,143, 929 57 1,173,498 04 1,269,235 5L Other stocks and b'ds. 1,114,989 03 5,321,012 05 5, 341, 613 86 5, 328, 099 40 4,061,136 55 Due from res've ag'ts. 3,794,506 31 2,152, 322 05 2,114, 899 68 2, 227, 476 29 2,156, 785 02 Due from nat'l banks. 1, 247, 823 23 272, 325 72 343, 614 88 229, 900 75 191,751 09 Due from State banks. 197,660 51 1,246,601 25 1,281,944 86 1, 297, 042 80 1, 337, 020 98 Real estate, &c 1,212,702 36 207, 089 43 241,776 45 100, 361 44 249,879 11 Current expenses 272, 525 61 119,455 56 124, 616 03 150, 409 04 228, 028 58 Premiums paid 134,175 73 558, 776 05 564, 780 96 810, 241 52 799,158 42 Cash items 655, 017 88 Clearing-house exch'gs 616, 042 00 867, 495 00 Bills of other banks . . 655, 843 00 824,979 00 737,238 00 94, 420 24 101,164 75 81, 956 04 Fractional currency . . 56,871 45 47, 725 97 28,123 57 41, 550 31 72, 995 00 68,091 25 98, 445 84 Specie 1, 446, 665 00 1, 261,105 00 1, 439, 766 00 1, 343, 667 00 1, 383, 825 00 Legal tender notes " 60, 000 00 50, 000 00 50,000 00 85, 000 00 U.S.cert'fH of deposit. 989,004 75 1, 002, 609 71 916,073 78 995,165 15 954, 904 36 Due from U. S. Treas . Total 69, 774, 079 40 71, 374, 364 32 NEW Loans and discounts.. $71, 524, 906 95 Bonds for circulation . 30, 970, 500 00 Bonds for deposits 1, 045, 500 00 U. S. bonds on hand . . 860, 200 00 Other stocks and b'ds. 2, 947, 247 88 Due from res've ag'ts. 8, 490, 490 00 Due from nat'l banks. 1, 424, 491 02 651, 015 86 Due from State banks. 2, 729, 019 19 710, 725 93 Current expenses • 373,593 85 Premiums paid 1,198, 594 22 Cash items $69, 768, 092 30, 517, 800 1, 045, 500 1, 320, 050 2, 928, 733 10, 508,139 1, 623, 329 771, 435 2, 763, 443 566,115 464,224 1,157, 471 19 00 00 00 63 06 06 00 58 987, 614 2L1.918 183 110 3, 487,185 470, 000 1, 483, 916 00 Bills of other banks . . Fractional currency . . Specie Legal tender notes . . . U. S. cert'fs of deposit. Due from U. S. Treas . 946,711 207,186 118 401 3, 679, 465 350, 000 1,522,229 08 00 00 10 129, 750, 277 66 Total 48 banks. 97 78 77 50 88 58 00 00 72 130, 258, 080 70 CITY 71,963,611 87 68, 507, 445 82 YORK. 228 banks . 227 banks. 71, 884, 616 73 228 banks $69, 529, 386 30, 115, 300 1, 045, 500 1, 487, 800 3, 064, 612 8,609,815 1, 830, 396 795, 657 2, 807, 960 643,157 501, 354 1, 262, 309 59 00 00 00 97 89 13 24 09 89 38 73 $68, 906, 563 29, 733, 300 995, 500 1, 566,100 2, 990, 726 8, 927, 971 1, 980, 652 722,841 2, 879, 962 440,014 506,178 1, 444, 508 46 00 00 00 28 46 07 1, 062, 517 175, 718 243 032 3,742,881 465, 000 1, 422, 525 00 07 HI 00 1 181,254 119,852 297 573 3 477,413 450, 000 1, 407, 159 00 80 00 81 128, 804, 925 60 OF NEW 48 banks. 227 banks 227 banks 14 39 22 40 47 96 00 00 86 128 027, 571 51 $67, 661, 962 29, 547, 300 1, 095, 500 2, 220, 600 3, 028, 336 7, 528, 334 1, 867, 903 689, 745 2, 858, 695 445, 965 569, 080 1,316,029 48 00 00 00 81 92 10 828,548 113, 956 343 347 3, 344j 931 450, 000 1, 359,223 00 04 54 00 00 28 83 43 44 86 69 125, 269, 464 42 YORK. 47 banks. 47 banks. 47 banks. Loans and discounts.. $188, 033, 686 3L $188, 468, 973 16 $175,812,245 9L $176, 047, 989 97 $184, 314,124 79 19, 582, 500 00 20, 777, 500 00 19, 387, 500 00 19, 237, 500 00 Bonds for circulation . 24,148, 500 00 Bonds for deposits 775, 000 00 650, 000 00 775, 000 00 775, 000 00 775, 000 00 U. S. bonds on hand . . 10,501,450 00 15,775,300 00 17,107, 950 00 17, 268, 450 00 16,135, 000 00 10 7, 673, 093 44 8, 640, 880 45 8,705,114 Other stocks and b'ds. 9, 367, 432 37 10, 061, 841 39 Due from res've ag'ts. 14,182,814 05 11, 649, 680 94 12.594,825 89 14, 035, 072 62 15, 819, 090 50 Due from nat'l banks. Due from State banks. 2, 342,128 68 1,613,951 32 1, 868, 998 41 1, 394, 589 05 2, 368, 686 95 Real estate, &c 8, 721,134 10 8, 653, 290 08 8, 702, 524 75 8, 706, 227 30 8, 786, 098 57 976, 453 09 2,141, 023 14 1,041,288 53 263, 919 03 985,418 70 Current expenses 2, 339, 757 51 3, 544,189 29 2, 837, 369 65 2, 866, 070 06 2, 674, 989 31 Premiums paid 1 601, 023 88 1, 253, 553 ?? 1 364 967 75 2 040 606 49 1 856 900 9 5 Cash items .-. 43, 363, 308 50 41,860,741 18 Clearing-house exch'gs 50, 507,178 81 57, 843, 975 17 63, 940, 479 04 1, 633, 224 00 1, 925,104 00 2, 351, 380 00 2, 045, 010 00 1, 249, 038 00 Bills of other banks . . 380,162 82 553, 960 76 504, 657 35 210, 656 80 105, 30(1 79 Fractional currency . . ;) Specie 16 016 073 70 13 402 246 7 22 348 051 %' 18 087 302 qo 14 576 574 'U 21,581,786 00 19, 682, 583 00 30, 265. 323 00 27, 902, 384 00 Legal tender notes . . . 16,211,629 00 18, 805, 000 00 14,970,000 00 15, 895, 000 00 17, 365, 000 00 U. S. cert'fs of deposit. 19, 250, 000 00 1,488,439 00 1,384,067 00 1,342,134 00 1, 351, 899 50 1,070,418 50 Due from U. S. Treas . Total .• 366,237,512 12 370, 555, 709 27 347, 622, 673 57 377, 852, 024 28 389, 223, 851 83 REPORT OF THE COMPTROLLER OF THE CURRENCY. 21 by States and reserve cities—Continued. CONNECTICUT DECEMBER 17. MARCH 10. MAY 12. JUNE 30. 81 banks. 81 banks. 61 banks. 81 b a n k s . $25, 983, 914 00 $26, 004, 620 00 $20, 004, 620 00 7, 485, 443 35 1,659,918 77 7,461,871 97 1,898,910 88 Liabilities. Capital stock . Surplus fund Undivided profits Nat'l bank circulation. State bank circulation. Dividends unpaid 7, 479, 646 25 2,062,156 82 | 17, 376, 323 00 118, 064 00 17,153, 397 00 96, 192 00 79, 365 60 121,733 26 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 14, 830, 037 13 94, 318 96 66, 770 09 10,055,791 G8 94, 028 50 94,634 41 Due to national banks. Due to State banks 1, 297, 610 84 208, 698 37 Notes re-discounted . . . Bills payable Total. 36, 291 00 140, 883 34 69, 774, 079 40 2,112, 762 75 349, 555 06 $26, 004, 620 00 | $26, 039, 620 00 7, 448, 570 64 1, 227, 644 72 7,461,119 38 1,675,115 45 17, 224, 503 00 i 16,952,905 00 | 16,731,850 00 92, 890 00 90, 860 00 90, 986 00 | 120,197 02 I 16, 110,514 21 141,165 43 19, 05L 80 2, 296, 456 98 386, 591 90 758, 070 42 122, 235 47 16, 212, 248 70 ! 14, 602,109 11 143,328 80 ; 114,411 33 33, 475 66 62,516 16 2,551,196 14 415, 631 25 1,136,553 02 301, 757 81 17,147 96 129, 089 58 4, 900 00 122. 943 54 124,934 54 5, 000 00 163, 898 09 71, 374, 364 32 71,884,616 7.3 71, 963, 611 87 68, 507, 445 82 NEW YORK. 227 banks. Capital stock Surplus fund Undivided profits Nat'l bank circulation. State bank circulation. Dividends unpaid 228 banks. 228 banks 227 banks. $35 554 691 00 $35 559 691 00 $35 447 191 00 $35 197 191 on $35 1Q7 1Q1 00 8, 424, 357 88 6,156,084 05 8, 409. 607 21 5,031,343 01 8, 306, 978 25 5, 401, 067 91 8,128, 893 97 5, 082, 834 48 8,153, 427 75 5, 036, 378 26 27, 303, 096 00 94, 808 00 26, 868, 359 00 87, 225 00 26, 490, 832 00 87, 204 00 25, 965,121 00 93, 967 00 26 017, 858 00 90, 688 00 22 7 banks. 72, 012 37 96,176 41 87, 236 87 334, 097 44 85, 271 15 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 46, 543, 824 15 491, 997 46 101,180 92 48, 679, 275 66 431,406 61 95, 098 72 46, 424, 358 75 49 L, 982 24 120, 766 01 45, 981, 208 37 476, 299 29 131, 660 73 45 353, 915 31 499, 485 93 180, 256 47 Due to national banksDue to State banks . . . 2, 305, 457 43 1,193,186 57 2, 425, 340 91 1,120, 360 40 3, 066, 402 81 1,176, 826 33 3, 468, 041 03 1, 309, 418 93 1 944, 276 71 990, 240 59 Notes re-discounted... Bills p ay able 789, 085 90 720, 495 93 607, 987 33 846, 209 44 846, 012 57 858, 066 86 990, 685 73 868,152 54 834, 246 62 886, 228 63 129, 750,277 66 130, 258, 080 70 128. 804, 925 60 128, 027, 571 51 125, 269, 464 42 Total CITY OF N E W Y O R K . 48 banks. 48 banks. 47 banks. 47 banks. $68, 200, 000 00 $67, 700, 000 00 $66, 400, 000 00 $66, 400, 000 00 $66, 400, 000 00 Surplus fund Undivided profits 21,177, 264 83 13, 093, 528 27 19,705,001 74 8, 638, 842 75 18, 876, 278 82 9,336,254 75 18, 852, 667 15 7, 819, 962 64 18, 926,148 17 8, 897, 207 73 Nat'l bank circulation. State bank circulation. 19, 299, 433 00 90, 577 00 17,030,231 00 87, 715 00 16,083,281 00 87, 559 00 15,622,578 00 77, 856 00 14,832,784 00 77, 800 00 191,336 78 1, 519,155 35 212, 279 02 149, 809, 337 51 173, 843, 360 54 312, 086 74 482, 586 30 24,581 01 88, 200 04 184, 063,417 08 279, 691 52 145, 071 93 Capital stock 47 banks. 139, 523 69 179,068 47 Individual deposits 155, 933,196 69 294, 496 63 U. S. deposits 37, 420 60 Dep'ts U. S. dis. officers 152, 747, 976 15 392, 739 72 24, 095 71 63,770,689 61 24, 201, 381 80 77, 269,109 04 26, 780, 929 69 64, 836,131 42 21, 6c5, 826 54 67,737,661 30 25, 407, 996 96 71, 814, 792 60 23, 524, 659 78 366, 237, 512 12 370, 555, 709 27 347, 622, 673 57 377, 852, 024 28 389, 223, 851 83 Dividends unpaid Due to national banks Due to State banks . . . 50,000 00 Total 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged CITY DECEMBER 17. OF ALBANY. MARCH 10. MAY 12. JUNE 30. OCTOBER' Resources. 7 banks. Loans and discounts.. Bonds for circulation . Bonds for deposits U. S. bonds on band . . Otber stocks and b'ds. Due from res've ag'ts Due from nat'l banks. Due from State banks Real estate, <fcc Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks . . Fractional currency . . Specie ...... Legal tender notes U. S. cert'fs of deposit. Due from U. S. Treas Total $7, 519,171 1,836,000 200, 000 265, 000 366,122 2, 053,135 826, 442 83, 301 339, 921 6, 208 53,233 107, 703 103,171 116,573 23, 786 11,151 491, 050 570, 000 101, 446 7 banks. 33 00 00 00 00 65 16 14 81 29 46 43 62 00 66 51 00 00 77 15, 073, 418 83 $6,607,491 1, 836, 000 200, 000 350, 000 257,138 2, 874, 682 771,762 135, 363 334, 982 2, 383 95, 961 95, 773 134,547 68, 259 23, 594 16, 673 469,018 510, 000 90, 557 7 banks. 76 00 00 00 07 66 67 38 81 31 79 22 70 00 49 00 00 00 00 14, 874,188 86 NEW Bills of other banks . . Fractional currency . . Legal tender notes U. S. cert'fs of deposit. Due from U. S. Treas . Total oq 78 62 00 76 55 00 00 0J 17, 043, 371 23 67 b a n k s . Loans and discounts.. $26, 024, 621 23 $25,838,741 25 12, 354, 650 00 Bonds for circulation . 12, 376, 650 00 250, 000 00 250, 000 00 Bonds for deposits 167, 500 00 194, 050 00 U. S. bonds on hand . . 420, 249 79 379, 299 11 Other stocks and b'ds. 4, 552, 501 18 4, 070, 229 99 Due from res've ag'ts. 1, 399, 848 76 1, 290, 859 54 Due from nat'l banks. 337, 863 54 293, 371 87 Due from State banks. 1 682,377 C,9 1, 835, 935 4 5 Real estate &c.. 200, 200 39 519,917 65 Current expenses Cash items 7 banks. 18 00 00 00 12 40 04 77 09 63 71 00 00 00 77 62 42 58 256, 999 12 584, 305 47 658, 827 86, 772 67, 866 1, 874, 703 120, 000 561, 221 00 22 37 657, 045 43 513,943 00 111,705 20 58, 253 63 1, 767, 506 00 130 000 00 634, 226 85 51, 966, 356 13 50, 764, 281 87 547,113 116, 828 45, 522 1, 912,153 00 79 24 00 7 banks. 29 00 00 00 23 67 85 78 09 58 54 11 77 00 19 Tn 00 00 00 17, 336, 216 65 $7,176, 635 1, 630, 000 200, 000 1, 335, 000 324, 201 2,414,134 797, 424 91, 920 327, 482 3, 824 272 036 161,926 165, 728 78, 363 10, 283 31,800 363, 529 580, 000 78, 183 89 00 00 00 96 87 44 64 04 97 *>1 65 50 00 17 37 00 00 00 16, 042, 474 71 69 banks 67 banks. $25, 540, 386 12, 384, 650 250, (00 157,150 388, 223 4, 531,160 1,355,337 336, 791 1, 830, 401 223, 251 263, 711 582, 935 259,126 45 697, 038 05 $7, 040, 210 1, 781, 000 200, 000 1, 234, 000 248, 027 2, 987, 437 1, 383, 245 180, 026 334, 891 9,734 255 365 149 372 167, 370 122, 519 11,591 20, 607 512,335 580, 000 118,482 JE RSE Y. 66 banks. 66 banks. $7,167, 566 1, 836, 000 200, 000 656, 000 233, 403 3, 690, 899 899, 057 127,714 334,891 5,016 159, 309 216, 934 122,413 107, 185 18, 605 20, 293 585, 624 580, 000 82, 457 64 51 62 62 00 Of) 57 51, 213, 390 65 $25, 066, 270 47 12,424,650 00 250, 000 00 137, 450 00 392,103 77 4,169, 543 47 1, 321, 788 84 291, 212 54 1,840,290 41 156, 325 71 257, 613 31 834, 629 91 714, 329 56, 659 112,311 1, 842, 428 110 000 630, 518 00 89 10 00 00 07 50, 608,124 49 $24, 311, 822 12, 287, 650 250, 000 481, 350 504, 850 5, 430, 226 1, 133, 354 310, 243 1, 888, 855 270, 006 302, 318 753, 010 556,130 45, 902 124, 057 1, 756, G13 110 000 614, 846 48 00 00 00 01 86 01 13 11 71 50 51 00 ! 67 Of) 00 Of) 63 51,130, 636 67 PENNSYL V ANI A. Clearing-house exch'gs Bills of other banks . . Fractional currency . . Specie . Legal tender notes U. S. cert'fs of deposit. Due from U. S. Treas . Total 897, 006 175, 565 52, 285 3, 583, 208 45, 000 1, 332, 276 179 b a n k s 178 b a n k s . 179 banks Loans and discounts.. $50, 955,191 88 Bonds for circulation. 28, 047,150 00 640, 000 00 Bonds for deposits 417,650 00 U. S.bonds on hand . . Other stocks and b'ds. 2, 309, 792 58 4, 555, 372 67 Due from res've ag'ts. 1, 402, 501 69 Due from nat'l banks. 953, 524 90 Due from State banks. 2, 472, 871 17 Real estate, &c . . 332, 065 70 Current expenses 622, 432 90 538, 975 43 Cash items 00 65 41 00 00 41 99, 332, 870 37 181 banks. 183 banks. $49, 709, 439 27, 490, 450 680, 000 449, 900 2, 184, 041 6, 889, 956 1, 871, 962 954, 539 2, 519, 030 482, 661 623, 637 465, 603 76 00 00 00 35 61 06 79 46 49 29 49 $51, 455, 754 33 26, 627, 950 00 680, 000 00 513, 550 00 2, 285, 074 90 5, 603, 990 00 1, 999, 782 71 968,147 91 2, 569, 606 26 334, 461 16 589, 873 23 508, 023 89 $50, 276, 445 25, 475,150 680, 000 513, 350 2, 414, 985 6, 471, 002 1,931,810 1,012,622 2, 650, 959 334, 751 600, 568 539, 949 94 00 00 00 07 51 35 33 60 97 84 37 $50, 070,262 57 26, 604, 000 00 680, 000 00 718, 300 00 2,596,515 30 4, 671,132 02 1, 849, 235 93 941, 937 81 2, 696, 972 65 543, 293 03 662, 984 09 630, 386 88 826, 202 197,420 59, 999 3, 535, 167 65, 000 1,312,610 00 54 48 00 00 16 859, 783 182, 527 91, 539 3, 945, 452 115,000 1,231,860 00 03 63 00 00 77 1,073,971 140. 458 124, 898 3, 818, 009 115,000 1, 235, 322 00 65 19 00 00 37 851, 695 106, 506 165, 643 3, 577, 601 115,000 1, 211, 783 100, 317, 621 48 100, 562, 376 82 99, 409, 255 19 00 36 31 00 00 45 98, 693, 249 40 REPORT OF THE COMPTROLLER OP THE CURRENCY. 23 by States and reserve cities—Continued. CITY DECEMBER 17. OF A L B A N Y . M A R C H 10. MAY 12. JUNE 30. OCTOBER 2. Liabilities. 7 banks. 7 banks. 7 banks. 7 banks. 7 banks. $2, 000, 000 00 $2, 000, 000 00 $2, 000, 000 00 $2, 000, 000 00 $2, 000, 000 00 Surplus fund Undivided profits 1, 470, 000 00 420,574 96 1, 470, 000 00 319,541 67 1, 470, 000 00 327,409 63 1, 470, 000 00 348,604 49 1, 470, 000 00 384, 421 02 Nat'l bank circulation. State bank circulation. 1,621,730 00 17, 020 00 1, 628, 830 00 17, 025 00 1,617,730 00 17, 025 00 1, 572, 340 00 17, 025 00 1, 405, 630 00 17, 025 00 Capital stock 1,130 00 1, 727 00 3,088 00 •22, 930 00 19, 314 53 [ndividual deposits U. S. deposits Dep'ts U. S. dis. officers 6, 542, 369 01 50, 903 30 94,133 34 6, 445, 389 62 28, 357 43 172,976 41 8, 936, 509 71 104,327 10 41, 040 72 9, 234, 373 05 40,012 63 99,130 82 7,758,159 81 30, 671 68 107, 323 62 Due to national banks. Due to State banks . . . 2, 254, 320 91 601, 237 31 2,167, 685 16 6L2, 475 74 1, 988, 488 74 537, 752 33 1, 934,222 77 497, 577 89 2,013,511 U 786, 417 64 Dividends unpaid 100, 000 00 10,180 83 Notes re-discounted Bills payable Total 15,073,418 83 14, 874,188 86 NEW 3,912,583 11 1, 588, 551 38 10,908,848 00 78, 511 00 Dividends unpaid $14, 233, 350 00 3, 827, 242 57 1,977,449 18 Nat'l bank circulation. State bank circulation. 66 banks. $14,195, 350 00 Capital stock 17, 336, 216 65 16, 042, 474 7L JERSEY. 66 banks. Surplus fund Undivided profits 17, 043, 371 23 50, 000 00 10, 871, 609 00 77, 332 00 67 banks. 67 banks. 69 banks. $14,107, 670 00 $14,114,870 00 $14,293,811 00 3, 908, 828 40 1,645,932 41 3, 911, 331 94 1, 558, 517 44 3, 894, 089 23 1, 591, 337 05 10, 893, 424 00 77,246 00 10, 968,139 00 76, 643 00 10, 787, 066 Of f 56, 735 34, 163 32 50, 211 81 48, 567 52 268, 940 53 80,703 35 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 18, 033, 651 97 118,059 19 30, 290 39 17, 394, 552 78 106, 680 68 104, 879 14 17, 763, 874 76 119,715 45 32, 423 93 17, 095,178 72 138, 361 28 30, 452 41 18,106, 089 38 125, 623 63 35, 037 23 Due to national banks. Due to State banks . . . 2, 300, 501 27 302, 340 68 1, 993, 507 36 235, 772 80 2, 154,124 43 288, 470 89 1, 961, 835 31 245, 380 87 1, 576, 409 19 250, 411 96 Notes re-discounted . . . Bills payable 49, 948 56 110, 000 00 88, 744 27 106, 507 34 71,605 52 101, 507 34 17, 967 88 220, 506 11 128, 323 61 205, 000 00 51,966,356 13 50, 764, 281 87 51, 213, 390 65 50, 608,124 49 51,130,636 67 Total PENNSYLVANIA. 179 banks. Dividends unpaid 181 banks $29, 354, 340 00 $29, 332, 305 00 $29, 563, 840 00 7 734, 769 56 o 370,170 63 <* 7, 767, 836 05 2, 038, 778 55 7, 728, 954 60 2, 014,140 12 7, 701, 746 15 2, 436,192 25 24, 837, 303 00 80, 841 00 Nat'l bank circulation. State bank circulation. 179 banks. $29, 316, 840 00 7, 768, 403 69 2,184, 975 64 Surplus fund Undivided profits 178 banks $29, 505, 240 00 Capital stock. 24 374, 953 00 78, 963 00 23, 560, 677 00 77, 748 00 23, 227, 244 00 72, 443 00 23, 405, 591 00 70, 572 00 183 b a n k s . 147, 003 89 111, 540 28 456, 307 92 219, 301 06 96,137 93 32, 299, 041 44 313,754 86 9,842 14 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 33 456, 608 05 350, 306 62 5,143 75 33, 736, 896 62 395, 069 80 5,233 80 33,121,380 02 418,824 35 11,784 44 32, 913, 850 95 337, 627 61 9,801 26 1, 485, 223 11 363,172 47 J 609,818 36 607, 525 01 2,313,065 35 602, 916 50 2, 333,190 19 568, 347 57 1,413,223 27 426, 227 42 258, 209 82 79, 854 31 276, 234 91 24,748 31 215,065 67 38,441 56 291,740 53 69, 600 31 302, 023 25 16,416 31 99, 332, 870 37 100, 317,621 48 100, 562, 376 82 99, 409, 255 19 93 693,240 4) I Due to national banks, i Due to State banks . . . I Notes re-discounted . . Bills payable Total 24 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged CITY OF PHILADELPHIA. DECEMBER 17. MARCH 10. 30 banks. 31 banks. MAY 12. JUNE 30. >31 banks. OCTOBER 2. 31 banks. Resources. Loans and discounts.. $45, 853, 075 36 $46, 877, 745 74 Bonds for circulation. 12, 749, 200 00 12, 664, 200 00 200, 000 00 200, 000 00 Bonds for deposits 326, 300 00 166, 300 00 U. S. bonds on hand . . 2, 382, 767 45 2, 253, 969 25 Other stocks and b'ds. 4, 940, 805 79 Due from res've ag'ts. 5, 246, 234 24 Due from nat'l banks.. 2, 320, 491 71 2, 645, 233 57 Due from State banks. 588, 112 62 788,181 89 2,471, 466 16 2, 493,106 46 Real estate, &c 479, 474 88 172, 948 19 Current expenses 210, 623 06 193,139 76 Premiums paid 378, 845 92 304,294 54 Cash items 6, 459, 488 96 5, 604, 207 66 Clearing-house exch'gs Bills of other banks . . 1, 093, 746 00 1,091,958 00 Fractional currency . . 521, 662 15 473, 795 06 696, 336 69 336,300 91 Specie 5,743, 642 00 Legal tender notes 4,381,688 00 3, 575, 000 00 U. S. cert'fs of deposit. 2, 375, 000 00 617, 862 70 Due from U. S. Treas 704, 654 3 L Total $47, 895, 810 66 12, 383, 700 00 250, 000 00 1, 307, 900 00 2,185,103 22 4, 505, 830 63 3,027,114 60 771,459 77 2,499,081 94 601,762 70 314,962 50 521,755 20 9, 995, 258 70 1, 689, 550 00 201, 329 98 790, 758 50 8,857,810 00 3, 290, 000 00 838, 263 09 I 711,938 25 | 91,869,920 78 | 91,552,490 94 j 96,220,149 91 , 101,927,451 49 , CITY OF PITTSBURGH. 23 banks. 23 banks. 23 banks. Loans and discounts.. $18,715,137 65 7, 695, 500 00 Bonds for circulation . 50, 000 00 Bonds for deposits U. S. bonds on hand . . 481,750 00 Other stocks and b'ds. 279,419 52 1,951,917 51 Due from res've ag'ts. 726, 566 26 Due from nat'l banks. 276, 242 33 Duefrom State banks. 1,154, 814 01 Real estate, &c 120, 520 08 Current expenses 133, 101 95 Premiums paid Cash items 150, 823 15 429,091 61 Clearing-house exch'gs Bills of other banks . . 275, 571 00 46, 546 56 Fractional currency . . Specie..... ........ 32,170 07 2, 231, 086 00 Legal tender notes 100, 000 00 U. S. cert'fs of deposit. Due fromU. S. Treas . 365, 846 50 $13,109,976 31 7,431,500 00 50, 000 00 486, 050 00 423, 678 39 2, 730, 384 57 1, 085, 725 13 186,196 50 1,153, 657 19 159,023 41 130,448 12 117,505 47 457, 843 30 346, 326 00 72, 195 24 36, 042 18 2, 183, 654 00 100, 000 00 366, 222 50 35, 216,104 20 35,631,428 31 Total 31 banks. $48, 521,474 57 $48,682,615 21 I 12, 394,200 00 12, 394, 200 00 200, 000 00 200, 000 00 441, 300 00 441, 300 00 2, 026, 843 86 1,951, 879 37 484 93 3, 967, 4, 058. 926 25 3, 020, '46 97 2, 999, 082 48 719, 477 26 659,953 63 2,490,891 21 2, 477,554 94 252, 258 24 95, 184 20 368,792 19 168, 551 14 438,210 98 3<)9, f>28 66 5, 729,181 40 6, 064, 341 23 1,902,176 00 1, 383,714 00 323, 906 96 441, 807 91 685,443 17 * 575,276 09 4,314, 377 00 8, 274, 347 00 3, 430, 000 00 4, 260,000 00 752 50 726,861 50 $18,413,263 6, 894, 500 50,000 476, 950 442, 622 1, 669, 138 619,868 190, 375 1, 173, 563 84, 670 194,969 171, 562 496,618 519,775 34,505 35, 602 2,602,407 100, 000 350,367 23 banks. 93 00 00 00 06 41 93 77 99 84 35 52 35 00 17 60 00 00 00 34, 520, 760 92 $18.274, 255 6, 494, 500 50, 000 876,700 439, 238 1,816,435 755, 391 164, 120 1, 202, 545 87, 934 194, 347 179, 688 449, 521 418, 402 30, 528 61, 802 2,421,701 100, 000 329, 877 23 banks. 21 00 00 00 48 14 62 40 97 73 76 66 51 00 26 44 00 00 50 34, 346, 990 68 >17, 821,724 6, 294,500 150, 000 966, 350 478, 520 2,120, 525 991, 374 276, 424 1, 224,739 201, 897 161, 801 157, 001 552, 496 389, 101 27, 137 89, 021 2, 853,922 100, 000 376, 568 34 00 00 00 73 24 95 31 00 76 61 15 22 00 80 49 00 00 20 35, 236,105 80 DELAWARE. Loans and discounts.. Bonds for circulation . Bonds for deposits U. S. bonds on h a n d . . . Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Cash items. .. Clearing-house exch'gs Bills of other banks . . Fractional currency.. Specie Legal tender notes . . . "U.S. cert'fs of deposit. Due from U. S. Treas. Total 11 banks. 11 banks. 11 banks 11 banks. $2, 755, 595 1, 453, 200 60, 000 100 162, 982 316,751 110, 035 29, 423 142, 960 21,898 10, 884 39, 043 67 00 00 00 52 30 31 33 13 87 50 61 $2, 594, 024 1, 453, 200 60, 000 100 161,913 472, 372 75,192 46,486 141,218 14, 647 12, 684 36, 098 57 00 00 00 27 45 98 10 35 66 50 93 $2,651,940 1, 453, 200 60, 000 100 163,515 » 229,780 85, 283 66, 006 145, 826 18, 593 12, 464 62, 004 11 00 00 00 78 17 49 02 91 01 50 07 65,041 12, 830 457 190, 707 20, 000 66, 891 00 63 75 00 00 00 65,195 12, 990 486 167, 270 40, 000 71, 313 00 72 50 00 00 00 79, 326 12, 412 1,555 171, 728 40, 000 65,175 5, 458, 808 62 5, 425, 194 03 $2, 593, 783 1, 453, 200 60, 000 100 163,041 195, 683 119, 507 47,151 145, 826 23, 455 12,184 38, 560 13 banks. 48 00 00 00 59 23 68 38 91 40 50 52 $2, 634, 362 1, 541, 200 60, 000 100 186,167 384, 441 132, 681 71,195 150, 885 19, 747 25, 769 63, 299 99 00 00 00 84 69 07 24 30 13 50 67 00 16 65 00 00 50 96, 665 00 8, 444 83 2,122, 62 154, 787 00 40, 000 00 67, 478 50 137, 405 3,332 9, 997 195, 974 40, 000 70, 135 00 78 55 00 00 69 5,318,911 37 5,221,992 64 5, 726, 695 45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 25 States and reserve cities—Continued. CITY OP PHILADELPHIA. DECEMBER 17. MARCH ]0. MAY 12. JUNE 30. 30 banks. 31 banks 31 banks. 31 banks $17 135 000 00 $L7 245 000 00 $17,045,000 00 $17,045,000 00 $17,195, 000 00 7, 405, 305 25 1,159,650 97 7, 422,167 21 1, 673,139 82 7, 450,144 82 977, 455 75 7, 442, 754 32 1, 357, 578 91 7, 439, 695 43 1, 872, 308 81 10, 866, 068 00 29, 055 00 10, 806, 595 00 29, 050 00 10, 784, 262 00 23, 629 00 10, 661, 312 00 23, 629 00 10, 501, 069 00 23, 557 00 OCTOBER 2 Liabilities. Capital stock Surplus fund , Undivided profits Nat'l bank circulation. State bank circulation. Dividends unpaid 31 banks. 66,611 95 41,202 25 202, 052 86 62, 980 75 45, 872 25 Individual deposits 42, 427, 450 49 U. S. deposits 129, 074 71 Dep'ts U. S. dis. officers 41,936,724 33 125, 020 04 43, 890, 692 47 138, 710 39 47, 487, 226 47 176, 966 56 51, 938. 420 34 164,103 12 9, 743, 760 85 2, 787, 261 28 8, 330, 061 57 2, 650, 482 08 9, 262, 836 60 2, 639, 865 30 10, 001, 492 27 2, 685, 933 27 Due to national banks. Due to State banks Bills payable Total 7, 282, 017 14 2,151, 704 74 60, 000 00 60, 000 00 60, 000 00 60, 000 00 60, 000 00 88,711,938 25 91, 869, 920 78 91,552,490 94 96, 220,149 91 101, 927, 451 49 CITY OF PITTSBURGH. 23 banks. 23 banks. 23 banks. 23 banks. $10, 490, 000 00 $10, 510, 000 00 $L0 510, 000 00 $10,510,000 00 $10, 510, 000 00 Surplus fund Undivided profits 2, 979,152 48 726, 617 91 3,125, 075 45 651,448 46 3 040,185 01 551,418 43 3, 044, 295 43 590, 757 55 3, 037, 954 92 680, 824 83 Nat'l bank circulation. State bank circulation. 6, 741, 535 00 6,652 00 6, 425, 906 00 6, 652 00 6 020, 949 00 6,366 00 5, 715, 337 00 6, 098 00 5, 517, 990 00 6,098 00 Capital stock Dividends unpaid 23 banks. 45, 296 25 32, 999 25 131, 607 25 82, 433 75 67, 892 75 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 12, 024, 717 45 40, 000 00 12,281,967 13 40, 000 00 11 886, 030 99 40, 000 CO 11,674,436 72 40, 000 00 12, 719, 206 26 131,319 57 125 645 po- Due to national banks. Due to State banks . . . 1, 027, 751 88 1,115, 081 23 1, 224, 425 46 1, 332, 954 56 1, 176,145 02 1, 132, 958 54 1,104, 257 73 1, 565, 187 09 1,184, 458 33 1, 194, 715 26 Notes re-discounted... Bills payable 10, 300 on 9,000 00 25,100 6R 14,187 41 34, 520, 760 92 34, 346, 990 68 Total 35, 216,104 20 60, 000 00 35, 631, 428 31 35, 236, 105 80 DELAWARE. 11 banks. Capital stock . Surplus fund Undivided profits Nat'l bank circulation. State bank circulation. Dividends unpaid 11 banks. 11 banks. $1, 523,185 00 $1, 523,185 00 $1,523,185 00 437,061 72 128,845 79 439, 810 93 93, 339 46 443,453 75 119, 49 L 37 1,247, 640 00 6, 860 00 1, 282, 275 00 6, 849 00 1, 285, 075 00 6, 849 00 11 banks. 13 banks. $1, 523,185 00 $1, 620, 745 00 443, 453 75 140,784 95 1, 273, 260 00 6,849 00 448,614 67 99,118 26 1, 335, 285 00 6, 809 00 8, 740 50 11, 879 08 10, 570 58 7, 602 11 10,333 54 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 1, 859, 868 51 26, 726 59 12, 383 42 1, 785, 945 65 33, 074 40 16, 900 29 1,612,061 33 32, 456 36 6, 796 36 1,497,419 57 20, 678 56 7, 077 82 1,918,213 87 43, 634 87 8, 598 68 Due to national banks. Due to State banks . . . 197, 056 75 10, 440 34 190, 549 22 31,386 00 233,109 23 25, 863 39 10, 000 00 20, 000 00 241,324 60 17, 357 28 18, 000 00 25, 000 00 5, 458, 808 62 5, 425,194 03 Notes re-discounted. Bills payable Total 5,318,911 37 5, 221, 992 64 220, 540 16 14, 802 40 5, 726, 695 45- 26 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1? 1875, arranged M AR YL AND. DECEMBER 17. MARCH 10. 17 bank*. Resources. 17 banks. Total 7,611,238 35 7, 744, 480 66 JUNE 30. 17 banks. Loans aud discounts.. $3, 480, 760 56 ! $3, 403, 752 05 Bonds for circulation 2, 098, 550 00 i 2, 098, 550 00 Bonds for deposits 100, 000 00 : 100, 000 00 U. S. bonds on hand ..| 142, 300 00 142,300 00 Other stocks and b'ds.j 278,713 60 275, 899 85 Due from res've ag'ts. 561,949 35 j 597, 993 62 Due from nat'l banks. 143, 839 67 ; 199,346 18 Due from State banks 61,261 58 | 53,004 44 Real estate, &c 160,149 28 i 160,199 75 Current expenses 41, 465 64 j 32, 174 64 Premiums paid 3,339 11 Cash items 92, 632 57 27.802 11 Clearing-house exch'gsj 89, 621 00 ! 105, 783 00 Bills of other b a n k s . . . I 14,947 42 j 18, 376 45 Fractional currency ..I ! 8,676 11 fSpecie 8,502 12 ! 304, 359 00 Legal tender notes 286, 252 00 | 40, 000 00 IT. S. cert'fs of deposit. 10, 000 00 i 108, 093 89 Due fromU. S. Treas. 105,124 02 i MAY 12. 17 banks. ! OCTOBER 2. 17 banks. $2,571,501 75 2, 098, 550 00 $3,515,232 50 j $3, 662,314 90 2, 098, 550 00 | 2, 098,550 00 100, 000 00 | 100, 000 00 100, 000 00 147, 000 00 I 147, 000 00 167, 000 00 300,544 11 330, 598 86 263, 738 09 339,341 99 375,791 04 589, 793 53 259,144 44 366, 079 35 251, 979 28 35,397 50 26, 330 09 38, 747 50 159,074 97 159, 664 97 159, 146 87 7, 904 58 | 32, 438 50 34, 485 31 4, 498 36 1 4,279 61 8,493 36 42, 570 00 ! 057 08 41,249 04 49, 95, 933 00 65,125 00 16,113 16 13, 593 68 21, 037 21 32,490 19 348, 727 00 324, 649 00 40, 000 00 I 10,000 00 94,479 09 ; 92, 995 79 _ 7, 6§tt, 858 64 | 7, 565, 883 8,141,073 61 CITY OF B A L T I M O R E . 14 banks. 14 banks. 14 banks. 14 banks. Loans and discounts.. $20,137, 983 27 $19, 698, 257 34 $20, 3; 7, 781 71 7, 582, 000 00 Bonds for circulation.. 7, 682, 000 00 6, 962, 000 00 Bonds for deposits 200, 000 00 200, 000 00 200, 000 00 00 00 U. S. bonds on hand.. 8,000 308, 000 00 208, 000 Other stocks and b'ds. 451, 405 23 654, 016 97 464, 501 62 90 1, 774,108 41 Due from resv'e ag'ts. 2,626,717 1, 599, 632 65 Due from nat'l banks. 651, 389 63 580,717 61 592, 457 10 Due from State banks. 266,541 68 153, 548 32 230, 927 89 Real estate, &c 677, 708 37 752, 362 81 753, 177 40 171,526 27 147, 030 92 120, 643 46 Current expenses Premiums paid 29,689 82 29,517 20 70, 208 68 Cash items C2, 049 60 51,094 7L 81,150 82 1, 384, 512 90 Clearing-house exch'gs 1,177,178 43 1 075, 717 84 Bills of other b a n k s . . . 450, 542 00 680,130 00 576, 422 00 Fractional currency . . 29, 582 01 28,098 46 33, 057 70 Specie . . 75, 673 57 199,859 33 135,217 65 1, 543, 094 00 Legal tender notes 1,591,144 00 1 880, 365 00 U. S. cert'fs of deposit. 1, 765, 000 00 1, 780, 000 00 2, 055, 000 00 Due from U. S. Treas. 468, 395 00 384,490 00 321,325 00 $19, 477, 449 09 6, 782, 000 00 200, 000 00 566, 000 00 664,814 64 1, 964, 299 18 785, 203 36 108, 462 74 714,112 00 64, 244 51 28, 818 75 55, 468 85 1, 403, 033 30 614, 054 00 18, 652 07 284, 050 56 1,889,995 00 1, 820, 000 00 331,325 00 37,712,722 59 37,771,983 08 Total 38, 522, 526 78 37 915, 702 91 14 banks. $19, 279, 032 6, 682, 000 200, 000 780, 000 706, 590 1, 68), 619 596, 430 163, 601 657, 951 164,384 35,851 106, 643 1, 716,234 478, 657 15, 689 204,618 1, 048, 765 1, 540, 000 303, 375 42 00 00 00 74 33 18 11 21 58 12 88 76 00 01 51 00 00 00 36, 365, 443 85 D I S T R I C T OF C O L U M B I A . 1 bank. Loans and discounts . . Bonds for circulation.. IT. S. bonds on hand.. Other stocks and b'ds. Due from res've ag'ts Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks... Fractional currency .. Specie Legal tender notes . . . U. S. cert'fs of deposit Due from U. S. Treas. Total 1 bank. 1 bank. 1 bank. 1 bank. $366,071 25 250, 000 00 $290, 174 01 250, 000 00 $296, 277 15 250, 000 00 $269, 536 00 250, 000 00 $313, 620 78 250, 000 00 132,522 50 76, 665 84 7, 693 89 397 61 17, 550 00 5,289 37 10, 000 00 12 731 90 132, 562 50 113,182 45 21,261 10 133,417 76 116,163 85 8, 322 26 10. 782 00 1,770 00 3 699 45 104,500 00 20, 762 1,449 3 274 113,500 11,250 00 1,010,923 81 13 12 00 94 00 33 17, 550 2,123 6, 000 7 150 00 00 45 00 162 44 00 25 00 36 17,550 4,015 6,000 11,792 28,117 00 609 00 4 094 45 109, 000 CO 132, 562 50 117,318 27 12,167 03 4, 065 43 17, 550 00 53 00 4, 000 00 7, 832 80 17,054 00 1,230 00 4 0?6 65 107,000 00 130, 632 50 147, 692 28 3,162 88 160 13 17, 550 00 2,898 29 4,000 00 5 811 83 14,104 2,927 4 066 98, 000 00 00 65 00 11,250 00 11, 250 00 11,250 00 11,250 00 990, 252 90 996,771 52 955, 645 68 1, 005, 876 34 27 REPORT OF THE COMPTROLLER OF THE CURRENCY. by States and reserve cities—Continued. MARYLAND. DECEMBER 17. Liabilities. MARCH 10. MAY 12. JUNE 30. OCTOBER 2. 17 banks. 17 banks. 17 banks. 17 banks. 17 banks. $2, 281, 700 00 . $2, 281, 700 00 Surplus fund Undivided profits Nat'l bank circulation. State bank circulation. $2, 281, 700 00 $2, 281, 700 00 $2,281,700 00 583, 393 26 301, 708 80 625,193 26 248,255 53 626, 293 26 285, 925 05 651, 793 26 160, 326 45 653, 850 00 213,600 18 1, 834, 148 00 5, 038 00 1,812,583 00 5, 009 00 1, 802, 026 00 4,659 00 1,806,378 00 4,638 00 1,815,228 00 4,618 00 28, 316 54 15,401 15 17, 545 67 57, 924 38 37, 073 33 Individual deposits.... U. S. deposits Dep'ts U. S. dis. officers 2, 285, 028 54 30, 425 64 18,112 04 2, 478, 296 44 32, 149 68 10, 577 03 2, 369, 775 22 32,278 11 8, 116 67 2, 273, 996 66 33,994 74 26, 785 42 2, 815, 736 84 41,298 78 45, 622 28 Due to national banks. Due to State banks . . . 112,506 08 18,230 26 99, 272 88 22,313 45 109, 450 18 29, 137 59 126, 424 46 27, 437 00 80, 738 14 31,152 08 Notes re-discounted... Bills payable 600 00 112,031 19 113,729 24 123,951 89 114,485 61 120, 455 93 7,611,238 35 7,744,480 66 7, 690, 858 64 7, 565, 883 98 8,141,073 61 Dividends unpaid Total CITY OF B A LTIMORE. 14 banks. 14 banks. Capital stock Surplus fund Undivided profits Nat'i bank circulation. State bank circulation. 14 banks. 14 banks. 14 banks. $11,491,985 00 $11,491,985 00 $11,491,985 00 $11,491 985 00 $11,491,985 00 2, 457, 870 22 1, 299, 775 84 2,463,711 72 975,708 67 2, 460, 966 90 1,109, 451 76 2,442,182 09 587, 534 27 2,401,387 G9 798, 238 32 6, 580, 308 00 106, 277 00 6, 425, 949 00 104,686 00 5, 893, 018 00 69, 616 00 5, 725, 348 00 69, 565 00 5, 407,193 00 68, 926 00 57, 649 65 59, 837 70 90,084 67 409,110 28 56, 808 95 Individual deposits U. S. deposits Dep'ts U S dis officers 13, 835, 847 93 98,185 54 13, 653, 576 29 99, 383 69 14, 006, 912 59 95,376 01 14, 738, 796 79 109,901 97 13, 664, 484 53 99,141 52 Due to national banks. Due to State banks . . . 2, 152, 638 16 341,989 44 2, 219, 047 59 421,817 25 2, 218,107 75 277,203 91 1,919,208 15 278,351 53 1,906,939 52 470,339 92 Notes re-discounted . . . Bills payable 100, 000 00 37, 915, 702 91 37, 712, 722 59 37, 771, 983 08 36, 365, 443 85 Dividends unpaid Total 38, 522, 526 78 DISTR I C T O F COLUMBIA. 1 bank. Capital stock Surplus fund Undivided profits Nat'l bank circulation. State bank circulation. Dividends unpaid Individual deposits 1 bank. 1 bank. 1 bank. 1 bank. $252, 000 00 $252, 000 00 $252, 000 00 $252, 000 00 $252, 000 00 38, 000 00 37, 903 99 41,000 00 25,112 42 41, 000 00 33, 644 45 44, 000 00 15, 563 06 44, 000 00 27, 745 22 225, 000 00 219, 300 00 222, 300 00 216, 700 00 220, 500 00 664 00 856 00 780 00 10, 808 00 1, 372 00 443, 729 49 445, 786 95 433,773 53 410,326 59 448, 323 58 13,121 90 504 43 5, 982 82 214 71 12,572 26 7U1 28 6, 248 03 9, 475 46 2 460 08 990, 252 90 996,771 52 955, 645 68 1, 005, 876 34 Dep'ts U. S. dis. officers Due to national banks. Due to State banks Bills payable Total 1, 010, 923 81 28 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged CITY OF W A S H I N G T O N . DECEMBER 17. MARCH 10 MAY 12. JUNE 30. OCTOBER o 4 banks. 4 banks. 4 banks. 4 banks. 4 banks. Resources. Loans and discounts.. Bonds for circulation.. Bonds for deposits U.S.bonds on hand.. Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks . . Fractional currency . . Specie . . . Legal tender notes . . . U- S. cert'fs of deposit. Due from U. S. Treas. Total $1,684,541 670, 000 100,000 59, 000 40, 330 372, 371 50, 370 6,480 370, 050 38, 365 27, 297 29 948 10 00 00 00 63 88 78 86 12 50 51 43 $1. 825, 361 580, 000 100,000 89, 100 12, 864 367, 145 63,194 9, 704 371,339 18,019 13, 592 35 104 46 00 00 00 43 80 86 05 25 00 51 68 $1, 892,197 580, 000 100, 000 59, 100 S8, 047 322, 489 51,096 13, 560 373,473 30,281 6, 897 50 163 40 00 00 00 46 84 27 52 15 36 51 88 $1,922,938 580, 000 100, 000 59, 100 30, 324 288, 586 65,167 12, 870 377, 680 17, 131 6, 899 59 228 38 00 00 00 56 92 25 32 06 59 76 34 $1, 734, 589 680, 000 100, 000 59,100 28,173 283,167 63, 859 13, 624 388, 034 22, 653 8, 530 89 985 20 00 00 00 44 68 40 13 31 14 "3 °8 52,197 4, 399 3 262 205, 697 80, 000 30, 150 00 58 63 00 00 00 27, 580 14, 556 4 291 140, 460 70, 000 27, 000 00 77 33 00 00 00 25, 728 16, 922 7,639 183, 637 60, 000 26, 100 00 40 o^ 00 00 00 24, 350 15,438 8 447 170, 754 45, 000 24,100 00 44 qq 00 00 00 24, 276 9,501 9 952 191,253 45, 000 30, 600 00 43 91 00 00 00 3,824,463 02 3, 769, 3L4 14 3, 827, 334 04 3, 808, 017 61 3, 782, 300 15 VIRGINIA. 19 banks. Loans and discounts.. Bonds for circulation . Bonds for deposits.... U. S. bonds on hand Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks Due from State banks. Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks . . Fractional currency . . Specie Legal tender notes . . . U. S. cert'fsof deposit. Due from U. S. TreasTotal 19 banks. $6,647,910 41 2, 612, 250 00 560, 000 00 19 banks. 19 banks. $6, 642, 496 28 2, 577, 250 00 560, 000 00 19 banks. $6,609,651 16 2, 577, 250 00 560,000 00 $6, 717, 643 92 2,531,250 00 560, 000 00 113, 982 09 751, 666 77 336,764 98 90, 842 43 416,689 61 132, 430 42 183,569 60 229, 543 87 118,569 92 782, 336 63 260, 661 87 192, 190 23 416,976 97 57, 151 15 177,194 65 189, 575 27 111,326 88 568,040 18 278, 935 47 176, 445 02 416,752 06 96,184 11 177,194 65 241,471 83 119,304 00 712,168 10 319,153 58 151,292 54 423, 580 48 39, 099 53 174,194 65 300, 712 36 167, 921 00 32,729 74 8,021 29 682, 629 00 194, 067 34, 059 6, 593 612,491 167, 854 00 28,521 76 23,837 56 695, 345 00 201, 362 00 14,514 87 25, 909 87 633, 456 00 1.42, 497 00 13,109, 448 21 00 80 75 00 122, 259 17 12, 943, 873 69 WEST 114, i l 2 07 12,842,921 77 119, 747 37 13, 043, 369 27 $6, 957, 574 56 2, 531, 250 00 560, 000 00 83,000 00 135, 315 93 623, 472 76 215,971 41 201,078 31 422,901 96 89, 599 30 184, 847 7S 293, 881 71 134,865 00 9,810 94 31, 788 78 581,079 00 121,243 5S 13,177, 680 97 VIRGINIA. 15 banks. 15 banks. Loans and discounts.. Bonds for circulation. $2, 576, 753 63 1, 562, 050 00 $2, 561, 993 45 1, 569, 250 00 $2, 643, 351 20 1, 569, 250 00 U. S. bonds on hand . . Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks Due from State banks. Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks . . Fractional currency . . Specie . Legal tender notes . . . XJ. S. cert'fs of deposit. Due from U. S. Treas- 12, 550 27, 563 235,941 169, 348 67, 500 175, 987 31, 684 29,371 9 784 00 33 69 56 61 54 92 37 74 15,350 29, 279 217,891 151,306 64, 469 173,907 22, 423 34, 282 18 726 00 39 44 12 22 84 19 43 qq 16, 550 29, 364 141,054 123, 715 58, 836 176, 722 29, 46L 34, 282 21 646 00 39 68 28 06 84 15 63 03 26, 29, 97, 100, 37, 175, 25, 35, 10 550 401 521 954 954 307 813 089 155 00 08 15 78 52 84 89 8L 5S 27, 550 28, 861 164, 444 93, 636 55, 964 175, 785 28, 120 32,911 13 396 00 13 13 65 73 42 27 29 oq 47,381 00 7, 447 39 7 986 65 258, 075 00 25, 539 8,703 q 318 259,' 007 00 76 °7 00 46, 43L 5, 423 14 638 230, 998 00 39 6q 00 36, 850 6,308 18 789 203, 617 00 76 30 00 28, 604 5,511 20 378 210,790 00 32 15 banks. Total... 15 banks. 15 banks. $2, 600, 304 22 1, 569, 250 00 $2, 523, 936 88 1, 569, 250 00 r ri 00 79,549 78 79. 853 28 74, 579 90 77, 678 50 74, 859 23 5,298,976 21 5,241,306 38 5,216,305 24 5,051,546 43 5, 053, 999 69 REPORT OF THE COMPTROLLER OF THE CURRENCY. 29 by States and reserve cities—Continued. CITY OF W A S H I N G T O N . DECEMBER 17. MARCH 10. MAY 12, JUNE 30. OCTOBER 2 Liabilities. 4 banks. •Capital stock $1,280, 000 00 4 banks. 4 banks. 4 banks. $1,280,000 00 $1, 300, 000 00 $1, 300, 000 00 $1, 300, 000 00 4 banks. Surplus fund Undivided profits 272, 500 00 194,812 79 276, 500 00 144, 480 14 276, 500 00 183, 951 26 276, 500 00 166, 619 59 280, 500 00 162, 516 64 Nat'l bank circulation. State bank circulation 603, 000 00 519,000 00 518, 900 00 519, 400 00 610, 600 00 2, 045 00 3, 023 00 2,253 00 38, 690 00 3,610 00 1, 244, 928 82 97, 069 95 1, 266, 401 85 104, 371 44 1, 279, 207 82 56,076 14 1,163, 190 13 62, 009 93 Dividends unpaid Individual deposits U. S. deposits Dep'ts U. S. dis. officers 1,196,547 19 56, 973 35 Due to national banks. Due to State banks 180,981 47 13, 603 22 ] 60, 333 03 19, 979 20 136, 641 57 14, 314 92 109,461 76 33, 062 30 Notes re-discounted,. , Bills payable 24, 000 00 24, 000 00 24, 000 00 5, 000 00 24,000 00 24, 000 00 3,769,314 14 3, 827, 334 04 3, 808, 017 61 3, 782, 300 15 Total 3, 824, 463 02 145, 396 95 30, 476 50 VIRGINIA. 19 banks. •Capital stock Undivided profits Nat'l bank circulation. State bank circulation. Dividends unpaid. $3, 344, 200 00 19 banks 19 banks. 19 banks. $3, 359, 000 00 $3, 359, 000 00 ' $3,385,000 00 707,530 37 573,494 10 766, 050 00 339, 776 54 762, 050 00 450, 518 58 765, 650 00 310,341 61 781, 200 00 374, 582 77 2, 333, 029 00 2, 302, 329 00 2, 304. 629 00 2, 269,135 00 2, 265,235 00 2,533 00 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 5, 040, 429 26 429,488 14 108,207 15 Due to national banks. Due to State banks . . . 274,634 56 271,276 19 Notes re-discounted... 24,626 44 Total 19 banks. $3,359, 000 00 13,109, 448 21 4,496 50 4,139 00 105, 979 00 1,776 00 5,122, 298 41 448,094 58 85,159 79 4, 859, 924 18 506, 902 51 56, 283 34 5,150,708 15 441,896 12 75, 647 70 5,186, 497 64 532, 247 74 87,461 35 232,838 02 226,784 15 273, 599 27 199, 326 72 274, 311 14 218, 838 38 251, 626 94 210,132 71 57, 046 70 66, 549 17 71, 882 17 101, 920 82 12, 943, 873 69 12, 842, 921 77 13, 043, 389 27 13,177, 680 97 WEST VIRGINIA. 15 banks. Capital stock Surplus fund Undivided profits Nafl bank circulation. State bank circulation. Dividends unpaid 15 banks. $1,746,000 00 $1, 746, 000 00 384, 607 53 179, 580 92 422,872 16 1U0,127 97 1, 377, 423 00 ], 393, 513 00 15 banks. $1,746, 000 00 427,122 16 139,294 44 1, 400, 268 00 15 banks. 15 banks. $1, 746, 000 00 $1, 746, 000 00 433, 578 68 129,129 18 441,790 89 107,104 52 1, 383, 748 00 1, 393,158 00 9,817 65 9, 819 50 10, 895 00 23, 408 00 7, 322 50 1, 455, 362 21 1,413,735 18 1, 355, 906 19 1, 218, 675 06 1,249, 474 35 Due to national banks. Due to State banks . . . 98, 762 32 45, 422 58 75, 067 82 80,170 75 78, 489 85 58, 329 60 58, 782 27 47, 245 03 46, 887 43 44,364 62 Notes re-discounted . . . Bills payable 2, 000 00 10, 980 21 17, 897 33 Individual deposits Dep'ts U. S. dis. officers Total 5, 298, 976 21 5, 241, 306 38 5, 216, 305 94 5, 051, 546 43 5, 053, 999 69 30 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged NORTH CAROLINA. DECEMBER 17. MARCH 10 MAY 12. JUNE 30. OCTOBER 2. Resources. 11 banks. Loans and discounts.. Bonds for circulation . Bonds for deposits U. S. bonds on hand . . Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Cash items. . . . . . . Clearing-house exch'gs Bills of other banks . . Fractional currency . „ Specie Legal tender notes . . . U S cert'fs of deposit Due from U. S. Treas. Total 15 banks. $3, 199,236 79 1, 740, 100 (JO 150, 000 00 1, 350 00 258, 482 83 475, 569 85 145,436 60 72, 537 15 278,091 80 46, 687 22 16«,206 04 37,290 86 103, 774 00 J4, 311 16 31,267 07 334,570 00 78, 950 00 7,133,861 37 15 banks. 15 banks. 15 banks. $3,413,372 1, 788, 100 150, 000 26, 350 284, 876 324, 323 80, 829 95, 130 298, 926 26, 450 186,335 21 593 62 00 00 00 54 42 82 66 63 77 30 01 $3, 494, 395 1, 804, 100 150,000 16, 350 294,817 142,671 72, 137 110,816 305, 233 47, 868 188,768 36 077 54 00 00 00 97 90 10 58 88 22 05 71 $3, 583, 614 1, 804,100 150, 000 22, 850 291,679 117, 543 71, 024 106, 975 305, 237 44, 829 189, 544 31 114 26 00 00 00 52 76 65 44 38 60 65 71 $3,715,608 14 1, 606, 100 00 150, 000 00 12, 900 00 £92,144 07 248,329 30 78,512 31 109,308 78 305.422 10 40, 650 31 157, 546 29 25 950 07 101,423 18, 533 38, 080 448, 695 00 51 03 00 113,071 20, 656 36, 714 410, 706 00 70 63 00 97. 876 16. 534 49 001 363, 378 00 61 03 00 59, 342 00 11,241 84 43 142 30 278,634 00 79, 200 00 78, 945 00 63, 842 20 78, 405 00 7, 385, 220 31 7, 323, 330 28 7,309,145 81 7,213,236 51 SOUTH CAROLINA. 12 banks. Loans and discounts.. Bonds for circulation . U S bonds on hand Other stocks and b'ds. Due from res've ag'ts. Due from nat'l b a n k s . Due from State banks. Real estate, &c Current expenses Premiums paid Clearing-house exch'gs Bills of other banks . . Fracti onal currency.. Specie . . . . . . . . . . . . Legal tender notes . . . U S cert'fs of deposit . Due from U. S. Treas. Total 12 banks. $3, 864, 158 56 1, 760, 000 00 559,818 339, 217 239, 208 129, 702 251, 232 109, 885 124, 168 76 353 49,471 9,613 12,873 237, 666 64 07 89 07 26 54 82 '>6 00 74 Qf> 00 $3, 874, 599 94 1,760,000 00 12 banks. 12 bankg. 12 banks. $3, 793, 032 72 1, 760, 000 00 20 500 00 562, 945 06 491,388 15 253,801 60 93, 680 46 265, 680 78 80, 405 29 121, 714 22 40 405 54 20 000 564, 586 441,223 304, 737 108,271 250, 185 139,470 121,769 44 236 00 06 88 56 27 62 44 47 265, 344 00 14,297 35 12, 821 79 631, 763 00 199,239 12, 094 13 833 474, 208 00 42 46 00 ^Q $4, 049, 668 19 1, 435, 000 00 20 000 578, 774 301,919 152, 229 98, 929 240,310 145, 652 63, 478 32 172 00 52 64 74 14 62 52 06 46 122, 467 12, 279 19 846 427, 934 00 27 37 00 $4,102, 704 1,415,000 150 000 20 000 677, 519 73,988 132,167 81,755 240, 309 77, 352 76, 682 45, 991 24 00 no 00 52 29 22 94 51 90 18 15 86, 640 00 14, 426 83 25 479 53 419,661 00 91,271 98 87, 280 00 81,011 50 64, 599 60 81, 9.55 00 7, 854, 641 78 8, 576, 627 18 8, 327, 899 98 7, 765, 261 13 7,721,633 31 12 banks. 12 banks. GEORGIA. 12 bank3. Loans and discounts.. Bonds for circulation . Bonds for deposits U. S. bonds on hand . . Other stocks and b'ds. Due from res've ag'ts Due from nat'l banksDue from State banksReal estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks . . Fractional currency.. Specie Legal tender notes . . . U. S. cert'fs of deposit. Due from U. S. Treas. Total $2,992,625 17 2, 026, 4(JO 00 125,000 00 12 banks. $2,861,417 57 2,014,900 00 125, 000 00 12 banks. $2, 740, 523 70 2,014,90) 00 125, 000 00 $2, 815, 309 51 2, 014, 900 00 125, 000 00 $2, 719, 204 84 2, 064, 900 00 125, 000 00 119,286 74 395, 789 42 104,809 62 69, 280 63 222, 023 98 81,673 75 93,571 62 131,282 38 162,251 37 301,691 99 89, 112 45 91,082 15 222, 334 09 34, 036 95 96, 833 78 99, 150 38 163,191 37 124,041 37 123, 379 74 207,321 03 228, 034 09 70, 756 25 96, 809 94 57,454 92 164, 761 62 115,550 79 78, 158 27 101, 116 59 231,909 09 83,815 62 96, 075 22 30, 297 98 164, 540 37 155, 024 36 68, 380 42 163,541 75 216,377 32 46, 486 02 111,150 03 84,797 87 307,588 00 16, 622 84 25, 977 55 448,469 00 371,429 00 22, 889 36 3 ', 776 90 442, & 9 00 U 240, 347 •25, 380 33, 926 403, 176 276, 124 00 23,315 06 37, 858 05 349,858 00 199, 538 13, 674 44,111 367, 085 II6,"l62'43' 124*876 23 7,2T0, 563 13 7, 090 681 22 00 8i 92 00 92," 209* 93* 6,747,053 14 00 32 20 00 * 88*772'98 93*741*48 6, 632, 822 78 6, 637, 552 98 31 REPORT OF THE COMPTROLLER OF THE CURRENCY. by States and reserve cities—Continued. NORTH CAROLINA. DECEMBER 17. Liabilities. Capital stock Surplus fund Undivided profits Xat'l bank circulation. State bank circulation. Dividends unpaid MARCH 10. MAY 12. JUNE 30. OCTOBER 2. 11 banks. 15 banks. 15 banks. 15 banks. 15 banks. $2, 200, 000 00 $2,451,000 00 $2, 476, 000 00 $2, 496, 000 00 $2, 556, 000 00 219,344 54 347, 282 56 243, 800 67 271,441 22 243, 800 67 333, 693 43 247, 800 67 312,744 16 257,281 44 303,957 71 1,563,316 00 1,489,216 03 1, 527, 718 00 1, 579, 090 00 1,440,415 00 2, 390 00 3, 626 33 2,080 00 21,939 00 4, 610 00 [ndividual deposits U. S. deposits Dep'ts U.S.dis.officers. 2, 461, 746 68 97, 190 52 59, 272 50 2,629,633 91 90, 006 22 49, 927 96 2, 477, 822 78 121,256 57 41, 054 23 2, 391, 644 99 79,811 85 30,168 13 2, 283, 563 96 102, 371 80 44, 821 00 Due to national banks. Due to State banks . . . 73, 052 27 23, 051 90 63, 953 42 24,659 56 42, 284 28 19, 827 17 72, 337 84 20, 739 03 65, 496 23 27, 427 32 Notes re-discounted... Bills payable 77,214 40 10, 000 00 62,730 02 5. 225 00 37, 793 15 56, 870 14 110, 792 00 16, 500 00 7,133,861 37 7, 385, 220 31 7, 323, 330 28 7,309, M5 81 7,213,236 51 Total SOUTH CAROLINA. 12 banks. Capital stock 12 banks. $3,135, 000 00 $3,135, 000 00 Surplus fund Undivided profits . . . . . 464,171 17 366, 734 97 Nat'l bank circulation. State bank circulation. 1, 575, 845 00 Dividends unpaid [ndividual deposits.... IT. S deposits Dep'ts U.S.dis.officers. 8, 825 50 1,938,531 97 492, 478 58 224,209 14 1,547,745 00 12 banks. 1 12 banks. 12 banks. •$3,185, 000 00 $3,185, 000 00 $3,185, 000 00 431, 111 73 336, 613 95 434, 511 73 379, 296 89 462,174 58 229,040 95 1, 545, 545 00 1, 252,190 00 1, 270, 845 00 11, 619 50 9, 522 50 21, 980 50 11, 526 50 2, 780, 032 49 2, 460, 309 42 2, 228, 052 39 1,619,663 18 142, 336 82 78, 243 39 Due to national banks. Due to State banks . . . 153,804 11 56, 729 06 201, 680 37 62,128 10 149,161 92 JOS, 901 i6 63,116 15 61,979 47 189, 262 38 42, 265 01 Notes re-discounted... 40, 000 00 115, 000 00 30, 000 00 91, 734 00 7, 000 00 101, 734 00 12, 400 00 126, 734 00 222,541 50 268,734 00 8, 576, 627 18 8, 327, 899 98 Total 7,854,641 78 7,765,261 13 7, 721, 633 31 GE ORGIA. 12 banks. 12 banks. 12 banks. 12 banks. 12 banks. $2 670 800 00 $2 424 540 0 0 $2 424 540 0 0 $2 424 540 00 $2 334 540 00 Surplus fund ..... Undivided profits 459, 292 35 374, 674 33 477,173 94 274,114 69 468, 202 65 306, 617 08 468, 923 90 324,128 41 460, 901 27 191,513 40 Nat'l bank circulation. State bank circulation 1, 713, 663 00 1, 689, 541 00 1, 701, 903 00 1, 705, 467 00 1, 803, 753 00 Capital stock 1,954 11 3,734 11 3, 230 00 3,007 00 16, 247 00 Individual deposits U S deposits . Dep'ts U.S.dis.officers. 1, 713, 816 77 66, 740 46 11, 353 03 1, 937, 551 54 58, 919 90 32, 628 19 1,595,449 56 81,843 32 26, 459 52 1, 485, 943 11 81,902 84 23, 032 42 1, 653,150 01 48,012 11 32,112 39 Due to national banks. Due to State banks . . . 73, 330 37 184,938 71 79, 281 80 77, 942 05 67, 065 10 46, 483 91 51, 864 29 57, 013 81 26, 080 60 33, 991 20 35, 254 00 25, 254 00 7,000 00 11, 252 00 26, 000 00 6, 632, 822 78 6, 637, 552 98 Dividends unpaid Bills payable Total 7, 270, 563 13 7, 090, 681 22 6, 747, 053 14 32 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged FLORIDA. DECEMBER 17. ! Resources. Loans and discounts.. Bonds for circulation . Bonds for deposits U. S. bonds on hand . . Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, &c •Current expenses Premiums paid Cash items. Olearing-house exch'gs Bills of other banks . . Fractional currency .. Specie Legal tender notes . . . U. S. cert'fs of deposit. Due from U. S. Treas. Total MARCH 10. | MAY 12. JUNE 30. OCTOBER 2. 1 bank. ] bank. 1 bank. 1 bank. 1 bank. $101, 540 53 i 50, 000 00 $134, 237 27 50, 000 00 $139,577 41 50, 000 00 $112,612 66 50, 000 00 $59,350 79 50, 000 00 200 00 ! 13, 162 58 i 1, 873 09 ! 2, 864 69 | 2,184 90 : 3, 423 55 6, 045 00 732 47 500 00 193 86 20,281 53 379 80 2,300 33 2,226 1,441 6,288 1, 246 10 89 72 49 3, 500 00 4,000 00 15, 485 66 902 80 2, 035 83 2,228 60 1,614 37 6, 825 00 985 59 3, 500 00 4, 460 02 933 88 279 45 364 97 2, 655 75 3, 022 80 6,825 00 520 81 00 i 76 00 00 9, 928 00 1,973 71 1,591 69 12,243 00 6. 759 00 1,134 78 1,074 64 14,864 00 3, 000 00 5, 065 08 5, 098 36 17 88 797 28 2,667 00 732 06 4, 637 84 868 53 ! 8, 619 402 405 15, 000 00 83 25 00 I I ! S 6, 936 1,496 110 11, 713 4,363 00 j 2, 250 00 2, 250 00 210, 816 89 I 241, 601 75 255,141 66 2, 250 00 211,257 76 14,921 180 1,241 14,769 00 46 23 00 2, 399 95 165, 746 46 ALABAMA. 9 banks. 10 banks. 10 banks. 10 banks. 10 banks. Loans and discounts.. $1, 303, 200 14 I $1, 108,268 06 $1,332,322 06 $1,453,462 07 $1, 700,156 21 Bonds for circulation . 1, 580, 000 00 I 1, 610, 000 00 1, 606, 000 00 1, 606, 000 00 1, 606, 000 00 Bonds for deposits U. S. bonds on hand.. 185, 000 00 83, 000 00 218,000 00 85,000 00 36,500 00 Other stocks and b'ds. 136, 428 38 119,691 97 121, 966 92 108,121 89 122, 533 01 Due from res've ag'ts. 205, 663 61 407, 686 43 412,131 15 212, 339 32 81, 349 52 Due from nat'l banks. 159, 589 43 161, 577 73 241, 165 61 204, 876 71 90, 514 76 Due from State banks. 58, 880 65 52, 883 10 88, 362 67 48,883 11 31,619 58 Real estate, &c 147,303 80 153,233 56 150, 470 81 149, 565 95 161, 616 22 Current expenses 43,871 74 28,750 80 55, 637 83 31,122 25 34,076 16 Premiums paid 188, 682 83 167, 059 63 160,221 85 189, 856 41 154, 314 07 Cash items 21, 041 63 28,288 33 211,318 15 79, 173 18 72, 533 49 Clearing-house exch'gs Bills of other banks .. 32, 749 00 : 82, 553 00 61, 339 00 65, 337 00 99, 608 00 Fractional currency .. 13,027 42 9, 505 27 9, 665 93 ! 8.334 69 13, 178 69 Specie , 7,254 54 I 13, 187 12 14,043 89 14,378 19 13,395 94 Legal tender notes ... 282,861 00 227,188 00 315,058 00 i 391, 549 00 308,139 00 U. S. cert'fs of deposit Due from U. S. Treas 86, 570 00 ! 79,896 00 75,289 40 61, 686 40 85, 821 90 Total 4, 772, 465 05 4, 813, 686 17 CITY OF NEW 4, 581, 586 67 4, 543, 053 97 4, 468,137 30 ORLEANS. 7 banks. 7 banks. 7 banks. 7 banks. 7 banks. Loans and discounts.. Bonds for circulation . $6, 323, 994 33 1, 808, 000 00 $5, 692, 699 05 1, 808, 000 00 $5, 846, 317 94 $5,531,569 36 983, 500 00 $6,421,814 43 983, 500 00 Other stocks and b'ds. Due from res've ag'tsDue from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks . . Fractional currency .. Specie Legal tender notes 743,833 889,612 108, 276 327, 083 580,124 163, 951 44,547 99 68 45 09 16 53 27 769 Htf 1, 316, 444 36 216,812 00 37, 327 07 152, 463 10 1, 781, 889 00 376, 978 65 1, 595, 774 06 177, 633 52 546, 544 61 582,187 57 107,179 99 72,131 06 2,810 UK 559,100 98 205, 544 00 56, 017 50 149,437 29 2,191, 776 00 321,156 56 580, 316 79 49, 347 22 215,226 46 528, 309 88 97, 928 34 72,134 63 5,714 34 790,289 97 96, 795 00 40, 670 81 117,591 19 1,418,354 00 Due from U.S. Treas. 99, 850 00 89, 000 00 44,250 00 46, 250 00 44, 250 00 14, 594, 978 89 16, 649,159 51 13, 577, 597 93 13,184, 434 95 11, 783, 399 62 Total 700, 419 2, 308, 191 318,526 689, 345 543, 021 82, 674 46, 780 3,162 1,418,218 212, 262 43, 951 104, 756 2, 588,151 10 82 72 34 73 34 54 34 13 00 02 38 00 983, 500 00 383,213 19 1, 471, 602 59 431, 433 86 373, 444 28 542,131 81 128, 597 29 71,807 58 7,841 95 585,926 11 181,779 00 42, 783 40 247, 416 93 2, 235, 552 00 33 REPORT OF THE COMPTROLLER OF THE CURRENCY by States and reserve cities—Continued. FLORIDA. DECEMBER 17. MARCH 10. 1 bank. $50, 000 00 I MAY 12. JUNE 30^, 1 bank. 1 bank. 1 bank. $50, 000 00 $50, 000 00 $50, 000 00 $50, 000 00 669 24 7, 088 93 669 24 3, 687 87 44, 300 00 OCTOBER 2. Liabilities. Capital stock Surplus fund Undivided profits 669 24 5,569 97 8,491 14 " 38, 400 00 Individual deposits 38, 480 00 44, 980 00 42, 980 00 111,912 16 Nat'l bank circulation. State bank circulation. Dep'tsU.S. dis. officers 669 24 2. 470 07 149,942 67 153, 451 78 110, 512 52 ... 66, 397 78 ; • ; ; ; ; : 1,169 07 844 52 39 77 210,816 89 Due to national banks. Due to State banks . . . 1 bank. 241, 601 75 2 95 4 12 637 71 53 86 211,257 76 165, 746 46 470 67 Bills payable Total 255,141 66 ALABAMA. 9 banks. Capital stock. 10 banks 10 banks. 10 banks. $1 635 000 00 $1, 686, 700 00 $1 693 000 00 $1 693 000 00 $1 693, 000 00 181,870 60 118,676 51 175, 843 60 83, 094 64 155, 843 60 126, 671 20 157, 562 98 121, 660 96 168,160 16 64, 759 80 1,397, 070 00 1, 426, 450 00 1 426, 803 00 1, 420, 492 00 1, 429, 820 00 Surplus fund Undivided profits Nat'l bank circulation. State bank circulation 10 banks. 2,397 00 2,105 00 1, 953 00 9,703 00 2,319 00 1 , 302, 854 15 1, 301, 003 23 1 142, 310 42 1,084,747 77 849, 659 34 38,731 44 95, 865 35 53, 909 58 84, 580 12 15, 823 65 19, 181 80 21,442 54 29,147 38 38, 870 82 32, 587 82 5,297 34 188, 960 36 4, 543, 053 97 4, 468,137 30 Dividends unpaid Individual deposits Dep'ts U. S. dis. officers Due to national banks. Due to State banks . . . Bills payable 4 , 772, 465 05 Total CITY banks. 4,813,686 17 OF NEW 7 banks. $3, 650, 000 00 $3, 650, 000 00 483, 328 80 561,127 24 488, 012 45 314,164 85 1, 592, 441 00 4, 581, 586 67 ORLEANS. 7 banks. $3, 400, 000 00 7 banks. 7 banks. $3, 400, 000 00 $3, 300, 000 00 505,432 11 422,193 22 528, 217 44 347, 425 01 539, 402 10 284, 230 24 1, 594, 676 00 869,147 00 870, 286 00 882, 835 00 18, 462 83 19,415 35 15, 346 41 45, 886 40 17, 381 93 7,192, 219 14 9, 454, 528 97 7, 541, 376 40 7, 328, 963 21 5, 922, 206 07 294, 054 34 803, 345 54 274,342 08 854,019 81 192, 637 37 631,465 42 149,652 24 514, COl 65 285, 212 83 552,131 45 14, 594, 978 89 Capital stock 16, 649,159 51 13, 577, 597 93 13,184, 434 95 11,783,399 62 Surplus fund Undivided profits Nat'l bank circulation. State bank circulation Dividends unpaid Individual deposits Dep'tsU.S dis officers Due to national banks Due to State banks • . . Bills payable Total H. Ex. 3- 34 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1,1875, arranged TEXAS. MAY 12. | DECEMBER 17. JUNE 30. OCTOBER 2. Resources. 10 banks. 10 banks. Loans and discounts.. Bonds for circulation. Bonds for deposits U. S. bonds on hand . . Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, <fcc Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other b a n k s . . . Fractional currency . . Specie Legal tender notes XL S. cert'fs of deposit. Due from U. S. Treas . Total. 10 banks. 10 banks. $1, 427, 758 48 • $1, 345, 239 87 j $1, 518,174 08 674,000 00 | 674, 000 00 739, 000 00 : 175, 000 00 I 175, 000 00 175, 000 00 i 78, 489 37 349,319 A7 144,930 98 280, 028 43 160, 663 58 44,491 73 : 23,496 04 75,156 66 • 77, 144 96 347,574 38 189,892 11 1]6,6!4 30 ]58, 647 09 28,810 15 22,323 60 63, 912 30 85, 412 32 246,448 66 122, 768 92 97,183 29 171,067 58 31,012 11 23, 723 21 62, 576 55 107, 14, 82, 352, 364, 22, 115, 481, 131, 778 27, 334 109, 727 428, 319 345 439 984 951 00 61 96 00 j I i i 780 524 088 532 00 | 18 07 00 36, 066 87 93, 032 05 4,092,121 88 4, 276,115 06 10 banks. 51, 490, 769 45 $1,521,515 09 674, 000 00 674,000 00 175, 000 00 175,000 00 2, 000 00 103, 632 53 i 66, 023 44 | 127, 942 21 261,374 02 , 84,731 74 I 82,156 73 : 135,336 68 I 75, 626 47 \ 171, 789 48 ! 173,128 77 ! 23, 277 43 ! 20,350 48 23, 443 66 J 22, 690 56 ! 61,831 99 | 56, 990 46 00 ! 41 ! 23 00 32,093 70 136, 040 00 25, 342 09 168, 752 77 391,268 00 75,142 18, 667 108, 712 261,359 00 47 i 37 | 00 j 44, 054 70 29, 416 93 3, 936, 619 06 ! 3, 839, 212 73 3, 622, 173 79 ARKANSAS. 2 banks. Loans and discounts.. Bonds for circulation.. Bonds for deposits U. S. bonds on hand . . Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs! Bills of other banks... Fractional currency.. Specie Legal tender notes U. S. cert'fs of deposit. Due from U. S. Treas . Total 2 banks. 2 banks. 2 banks. 2 banks. $201,822 34 105, 000 00 ; 50, 000 00 $215,824 70 • 105, 000 00 50, 000 00 $228,334 79 ! 105, 000 00 ' 50, 000 00 $233,129 29 i 105, 000 00 I 50, 000 00 $262, 730 52 105, 000 00 50, 000 00 21,725 48, 490 24, 331 2,346 19,017 333 5,675 683 03 18 16 35 13 41 00 94 21, 241 73, 207 39, 141 5, 093 19,017 119 4, 925 839 i i | ! i ! n, 659 00 . 3, 644 31 | 696 65 ! 39,925 00 - 65 96 1 48 77 13 73 00 95 22 74 38, 10, 19, 116 954 296 570 581 294 4, 925 1, 371 0. 516 00 2, 834 02 874 39 ; 40, 200 00 ! 51 , 99 | 37 j 88 ! 88 ! 55 00 ' 30 36, 548 50,133 32,414 13, 829 19,581 4,750 00 ; 4, 750 00 i 589, 585 78 I 14,202 00 2, 181 07 247 95 37, 235 00 5,245 96 ; 620,540 27 \ 34, 110 45, 053 7,285 4, 541 19, 408 288 4,925 920 4, 925 00 766 62 12,398 00 1,716 88 733 16 45, 000 00 534, 099 50 I 84 01 40 62 88 4, 944 52 605,139 20 ! ! ! ! 30 13 42 08 88 04 00 22 7, 172 00 1,415 74 1, 637 45 32, 000 ( O J 4, 742 62 581,230 40 KENTUCKY. ! 42 banks. Loans and discounts.. Bonds for circulation.. Bonds for deposits U. S. bonds on hand . . Other stocks and b'ds. Due from res've ag'ts Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Cash items ...... Clearing-house exch'gs Bills of other b a n k s . . . Fractional currency.. Specie . ... Legal tender notes . . . U. S. cert'fs of deposit. Due from U. S. Treas . Total 42 banks. j 43 banks. 42 banks. 40 banks $9, 364,190 14 i $9, 589, 473 91 1 $9, 595, 966 29 6, 047, 850 00 j 6, 027, 850 00 6, 077, 850 00 110,000 00 : 110,000 00 i 110, 000 00 1, 200 00 ! 1, 400 00 i 2,600 00 48, 030 05 ! 51,001 55 ! 51,326 80 1, 170, 822 24 728, 370 72 542, 02.) 85 632. 689 89 477, 404 23 | 380, 002 02 191,616 78 i 146,866 69 251, 778 85'| 433, 020 36 j 437, 674 71 428, 332 47 ! 90, 884 12 60, 130 74 1 98, 046 42 377, 448 20 ! 35 ,707 78 360,281 94 22,361 71 21,165 00 32, 598 52 $9,416,931 6, 016, 850 110, 000 2,200 66,241 655,109 407, 904 168, 787 432, 265 45, 370 342, 964 26, 804 29 00 00 00 97 52 64 34 2L 83 41 00 $8,668,644 6, 004, 850 110, 000 10, 300 53, 039 700, 213 451. 592 179, 462 433, 542 58, 104 357, 309 29, 091 76 00 00 00 83 40 75 44 31 80 45 17 00 05 17 00 00 56 260, 925 10,138 ] 7, 075 568, 736 5,000 271, 251 00 80 14 00 00 56 126, 790 11,167 27, 465 456, 858 5,000 251, 821 00 71 ttl 00 00 41 229, 294 18, 543 7,946 607,017 10, 000 271, 810 00 15 i 93 00 M) ; 90 ! 19, 690,199 65 219,025 15,710 6,781 632, 588 10, 000 279, 016 00 i 46 i 79 00 00 11 j 19,212,262 43 ] 69, 702 12, 559 10, 000 561, 929 5,000 272, 646 18,867,071 02 18, 824, 555 71 17,935,253 24 35 EEPOET OF THE COMPTROLLER OF THE CURRENCY. by States and reserve cities—Continued. TEXAS. DECEMBER 17. MARCH 10. MAY 1 2 . JUNE 30. OCTOBER 2. 10 banks. 10 banks. 10 banks. 10 b a n k s . 10 banks. $1, 200, 000 00 $1, 025, 000 00 $1, 025, 000 00 $1, 025, 000 00 $1, 025, 000 00 Surplus fund Undivided profits 265, 283 37 135, 602 70 279, 651 55 122,712 53 281, 046 28 132,565 80 284, 500 00 122, 023 48 297, 447 73 67, 026 76 Nat'l bank circulation. 622, 841 00 580, 960 00 563, 660 00 581, 200 00 587, 370 00 Capital stock 462 00 162 00 40 00 5, 040 00 1,122 50 [ndividual deposits U. S. deposits Dep'ts U. S. dis. officers 1, 365, 388 75 95,43L 59 342, 831 56 1, 576, 693 42 111,453 59 363,171 77 1, 327,119 67 206,417 37 291, 486 74 1,218,621 02 228, 658 46 253, 649 98 1,173, 633 83 148,227 18 164,728 37 Due to national banks . Due to State banks . -. 19.158 54 45,122 37 110, 962 78 100, 347 42 42, 873 04 66,410 16 65, 239 28 55, 280 51 46, 036 93 101, 580 49 3, 936, 619 06 3, 839, 212 73 3, 622,173 79 Dividends unpaid Notes re-discounted . . . Bills payable Total 5, 000 00 10, 000 00 4, 092, 121 88 4, 276,115 06 ARK AN SAS. 2 banks. Capital stock 2 banks. 2 banks. 2 banks. 2 banks. $205, 000 00 $205, 000 00 $205, 000 00 $205, 000 00 $205, 000 00 Surplus fund Undivided profits 26,125 00 20, 281 09 28, 500 00 5. 744 86 28, 500 00 7, 630 58 29, 000 00 8, 200 72 29, 000 00 8, 465 22 Nat'l bank circulation. State bank circulation 94, 500 00 93, 500 00 93, 300 00 93, 700 00 94,500 00 5, 500 00 2, 630 00 6,150 00 1,150 00 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 131,612 55 43, 890 07 6, 805 69 171,839 51 39, 228 55 7, 527 71 196,440 91 47, 869 63 7,276 12 197,989 67 46, 230 13 6, 412 70 179,101 89 44, 475 50 5, 811 54 Due to national banks. Due to State banks . . . Notes re-discounted ... Bills payable 4, 295 04 1,590 06 29,234 92 3, 510 23 30. 850 47 1, 042 56 11,918 20 537 78 13, 330 42 395 83 534, 099 50 589, 585 78 620, 540 27 605,139 20 581,230 40 Total KENTU CK Y. 42 b a n k s . 43 banks. 42 banks. $7, 261, 000 00 $7, 261, 000 00 $7, 311, 000 00 $7, 261, 000 00 $7, 001, 000 Otf Surplus fund Undivided profits 1, 003, 562 09 697, 453 27 1,119,507 27 504,411 07 1,138, 246 98 590,190 32 1,180, 229 96 435, 731 30 1,178,295 04 430, 316 29 Nat'l bank circulation. State bank circulation. 5, 368, 312 00 5,358,011 00 5, 414, 393 00 5, 340,186 00 5, 303, 237 00 11,460 55 20, 653 55 14,864 55 112, 846 80 36, 001 70 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 4, 471, 674 96 93,037 86 220 00 4,124,137 88 91, 660 11 884 00 3, 569, 404 37 88,660 32 628 00 3,701,081 63 85, 726 22 2,173 00 3,347,691 67 97,501 23 1, 777 00 Due to national banks. Due to State banks . . . 282,253 35 434, 368 35 173,626 58 333, 567 51 179, 819 89 307, 730 92 180, 010 67 297, 795 44 233, 370 90 248, 060 32 Notes re-discounted . . . Bills payable 29, 643 70 37, 213 52 165, 705 56 59, 097 90 209,214 35 42,918 32 170, 944 54 56,830 15 20, 275 27 37, 726 82 19, 690,199 65 19, 212, 262 43 18,867,071 02 18,824, 555 71 17,935,253 24 42 banks. Capital stock Dividends unpaid Total 40 b a n k s . REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged CITY OF L O U I S V I L L E . DECEMBER 17. | 8 banks. MARCH 10. 9,558,671 32 | 9,818,001 21 JUNE 30. 8 banks. 8 banks. i Loans and discounts..! $4,785,369 53 j 1,676,549 71 2, 844, 700 00 ! 2. £44, 700 00 Bonds for circulation.: 400, 000 CO ! 400, 000 00 Bonds for deposits • U.S.bonds on hand . . i 73,478 37 ' 76, 443 37 Other stocks and b'ds.i 219,967 10 ; Due from res've ag'ts .' 321,842 56 127,988 15 i Due from nat'l banks.| 110, 666 62 91,493 63 i Due from State banks. 96, 035 27 Steal estate, &c j 184,523 3!) ; ] 95, 074 34 25,021 12 ! 50, 475 72 Current expenses j 286,516 11 ' 2*6,516 11 Premiums paid 21,999 94 ; 38, 985 58 €ash items j 2, 337 95 Clearing-house exch'gs ""27,"73l"66"i Bills of other b a n k s . . . 146,941 00 4, 690 43 Fractional currency.. 7, 724 48 1-25 00 Specie ' 151 00 327, 462 00 Legal tender notes . . . ' 432, 406 00 IS. S. cert'fs of deposit j 137,606 55 I Due from U. S. Treas 131,131 50 Total. MAY 12. OCTOBER 2. 8 banks. 8 banks. I $4, 760, 100 07 ! 2, 844, 700 00 400, 000 00 i 100, 000 00 ' 69, 465 15 j 330, 215 62 I 137, 338 02 I 126, 046 59 I 206, 533 36 20, 646 19 ! 302, 018 17 28, 569 05 j 2, 781 78 53, 389 00 7, 006 83 4, 302 73 949 00 ! 2, 988 10 484, 608 00 J 462, 664 00 $4,868,490 18 2, 844, 700 00 400, 000 00 100, 000 00 68, 0.-6 85 202, 690 58 100,504 31 70, 667 37 2t i8, 226 20 19, 142 32 304,101 18 33, 638 39 116,067 25 9, 932, 120 46 ! 127,631 50 9, 979, 369 33 $4,819, 791 2, 844,700 400, 000 100, 000 80, 113 500, 155 184, 897 170, 350 230, 989 58, 412 298, 490 22, 446 706 331 058 3, 7, 056 573 522, 81 00 00 00 45 71 96 00 78 20 67 86 92 00 02 50 00 130,381 50 10, 426, 455 38 TENNESSEE. 26 banks. 26 banks. 26 banks. 26 banks. 25 banks $4, 693, 840 49 Loans and discounts.. $4, 574, 512 60 Bonds for circulation.. 2,716,000 00 2,716,000 00 Bonds for deposits 400, 000 00 400, 000 00 ~iJ S bonds on hand 9 100 00 153,843 28 152,3-20 56 Other stocks and b'ds. 701, 920 33 875, 672 62 Due from res've ag'ts Due from nat'l banks400, 420 90 564, 406 37 176,645 01 240, 183 26 X?ue from Statebanks. Real estate, &c 306, 476 66 3-20, 382 79 121,265 28 88 962 29 Current expenses Premiums paid 183,470 187,646 51 248 248 7^ 156, 980 12 Ca^h items Clearing-house exch'gs 204,176 00 463, 828 00 Bills of other b a n k s . . . 35, 451 39 1 30,213 11 Fractional currency . 22, 978 81 i 2 i, 303 58 Specie O 945, 676 00 664, 826 U Legal tender notes. U S cert'fs of deposit 138,673 19 158,497 92 Due from U. S. Treas- ! $4, 762, 924 71 2,716,000 00 400, 000 00 23 300 00 156,586 30 744, 893 35 816, 151 28 285, 5-26 91 321,200 08 115,661 55 188,382 70 107, 2U2 9Q 153,002 32 138, 210 52 113, 928 70 11, 068, 735 67 i 12,011,190 89 12, 261, 013 68 12,157, 409 18 11, 399, 745 32 Total 362, 29, 40, 1, 037, 762 726 105 586 00 53 66 00 $4,785,915 41 2, 666, 000 00 400, 000 00 26 100 00 175. 088 39 996, 905 37 676, 235 33 303, 842 83 324,478 02 118, 145 64 183,437 54 102, 506 92 339, 31, 30, 858, 989 189 864 500 00 22 99 00 $5, 016, 995 30 2, 644, 000 00 400, 000 00 6 650 00 166,316 39 709, 903 15 451, 521 16 2U9, 391 CO 315,789 13 90,461 30 166,449 26 163, 174 01 228, 849 23, 212 47,106 623, 998 00 26 66 00 OHIO. 161 banks Loans and discounts.. $36,011,124 53 Bonds for circulation . 19, 487, 350 00 560, 000 00 Bonds for deposits 355, 000 00 U. S. bonds on hand . . 885, 544 00 Other stocks and b'ds. Due from res've ag ts. 2, 424, 500 69 941,936 73 Due from nat'l banksDue from State banks445, 368 45 1 503 88313 Real estate, &.c . . . . . 228, 631 51 Current expenses 360 644 ?1 401 797 01 Cash items Clearing-house exch'gs 690, 284 00 Bills of other b a n k s . . . 113, 794 54 Fractional currency . . 31 219 6Q 3, 063, 724 00 Legal tender notes Due from U. S. Treas . Total 158 banks 158 banks 158 banks $35, 632, 474 39 $35,137,895 18, 666, 850 00 18, 486, 850 560, 000 00 560, 000 351, 050 00 326 900 S00, 800 50 737, 625 2,710, 512 24 1,885 970 936, 548 38 769 517 453, 520 01 420 427 1, 521, 059 17 1,536,044 237 874 386 966 15 309, 474 f'8 309, 837 377 691 358 oqo r>T 11 00 00 00 75 03 42 08 78 52 87 41 746 817 477 666 00 54 53 00 863 128 41 3,278 084 813 M=>1 365 00 15 '>5 00 912 92 50 3, 430, 158 banks $34, 733, 594 11 18, 486, 850 00 560, 000 00 335, 300 00 711,537 03 2,182, 438 06 809, 732 09 444,821 34 1,556,210 08 236, 920 76 303, 632 27 435, 232 71 $34, 244,778 24 18, 486, 850 00 560, 000 00 343, 350 00 795, 212 44 2, 507, 842 61 805, 824 94 412,403 89 1, 578, 832 10 408, 618 56 295, 464 87 360, 776 73 668, 75, 81 3, 100, 840 00 068 07 577 3'> 852 00 697,128 00 d9,752 90 137, 927 3, 051, 354 00 1,000,299 30 897 501 69 861 693 94 838, 515 12 846, 794 02 68, 505,101 89 67, 897 062 24 66,161 034 98 65, 561,120 96 65, 608, 910 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 37 by States and reserve cities—Continued. CITY OF DECEMBER 17. ! LOUISVILLE. MARCH 10. MAY JUNE 30. 12. Liabilities. 8 banks. 8 banks. 8 banks. 8 banks. j $3, 095, 500 00 | $3, 095, 500 00 \ $3, 095, 500 00 I $3, 095, 500 00 Capital stock 293, 649 87 192, 972 74 Surplus fund Undivided profits 2, 535, 649 00 j 2, 557, 279 00 ! Nat'l bank circulation. State bank circulation. 6, 042 50 Dividends unpaid 2, 538, 429 00 4, 550 50 330, 928 23 263, 892 08 2, 550, 619 00 2, 553, 019 00 14, 173 50 30, 848 50 4,725 56 1,553,696 44 191,741 29 176,948 08 1,861.036 22 170, 979 42 155, 638 14 941,700 40 618,503 09 935,201 08 731,358 16 1,149,478 12 772,860 06 251,129 33 156, 972 69 84, ?03 77 49, 000 00 34, 772 37 I 9, 558, 671 32 j 9, 818, 001 21 9, 932,120 46 81, 400 88 141,165 20 68,398 61 9, 979, 389 33 10,426,455 38 26 banks. 26 banks. 25 banks. 1, 470, 719 43 206, 046 70 221,292 96 Due to national banks. Due to State banks . . . 719,588 03 531, 308 39 Total 328, 420 23 162, 490 47 1, 509,156 31 469, 337 07 127, 835 44 Individual deposits U. S. deposits Dep'ts U.S. dis. officers Notes re-discounted . . . Bills payable 321, 920 23 159,261 65 300,149 87 263,317 11 8 banks. $3, 095, 500 00 1, 556,108 55 229, 480 06 212, 718 66 8S4, 939 85 556, 984 92 TENNESSEE, 26 banks. Capital stock 26 banks $3, 380, 300 00 Nat'l bank circulationState bank circulation $3, 380, 300 00 $3, 380, 300 00 $3, 380, 300 00 $3, 350, 300 00 510, 078 90 368, 692 58 Surplus fund Undivided profits 549, 860 33 255, 493 60 558,180 95 294,726 57 556, 06.1 78 326, 984 49 563, 906 82 259, 337 41 2,410,103 00 2, 392, 461 00 2, 357, 751 00 2, 368, 381 08 2, 383, 211 00 3,384 85 5, 221 00 10, 783 50 8,232 50 Individual deposits U. S deposits Dep'ts U. S. dis. officers 3, 824, 947 40 227, 676 25 134,146 76 4, 945, 673 13 187,533 62 111,647 67 5, 150, 749 71 271,520 87 77, 610 58 5, 074, 262 44 223, 981 80 87, 910 06 4, 342, 960 81 230, 561 67 127, 319 40 Due to national banks. Due to State banks . . . 114,992 71 90,413 22 107, 200 83 71, 799 71 93, 667 12 42, 793 38 89, 833 41 49, 540 70 90, 341 84 44,403 87 12, 261, 013 68 12,157, 409 18 11,399,745 32 Dividends unpaid Bills payable , Total 4,000 00 4.000 00 11,068,735 67 12, 011, 190 89 8, 253 50 14, 000 09 OHIO. 161 banks. Capital stock Surplus fund . . . . Undivided profits Nat'l b a n k circulation. State b a n k circulation. 158 banks 158 banks 158 b a n k s $21,041,000 00 $20, 748, 000 00 $20, 703, 000 00 $20 703,000 00 $20, 703, 000 00 4, 592, 757 94 1,882, 57 L 10 4, 579, 462 43 2, 097, 428 24 4, 526, 576 90 1,765,473 85 4 552, 803 02 1 779, 780 02 4, 538, 937 8S 2,125, 071 50 17, 319, 385 00 48, 506 00 16, 575, 589 00 48, 480 00 16, 493, 040 00 48, 464 00 16 436, 061 00 48,448 00 16,471,162 00 48, 426 00 358 b a n k s . 113,965 87 75, 252 96 122, 400 59 86, 679 00 21,217 50 Individual deposits U S. deposits D e p ' t s U . S. dis. officers 21,392,138 39 333, 286 20 6,030 9L 21, 628,134 33 319,205 94 35, 306 52 20, 324, 285 38 461,860 05 32,103 17 19 959,164 95 288, 036 35 27, 631 47 19, 628, 967 89 336, 401 34 41, 101 2^ D u e to national b a n k s . D u e to State b a n k s . . . 539, 031 28 382, 243 31 772, 575 51 457, 261 96 600,199 75 437, 676 85 545, 003 93 433, 089 69 613, 590 31 422, 902 28 Notes re-discounted . . . Bills payable 435, 786 58 418,399 31 154 892 06 405, 473 29 243, 825 08 402, 129 36 272, 895 54 428, 527 99 189, 090 88 469, 042 04 68,505,101 89 67, 897 062 24 66,161, 034 98 65 561,120 96 65, 608, 910 82 Dividends unpaid Total 38 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged CITY OF C I N C I N N A T I . DECEMBER 17. MARCH 10. MAY 12. 6 banks. 6 banks. JUNE 30. OCTOBER 2. Resources. 5 banks. 1 Loans and discounts.. $10, 751, 468 19 $10, 791, 312 3, 552, 200 00 • 3. 602, 200 Bonds for circulation . 771, 000 00 771,000 Bonds for deposits 178, 900 00 ; 419,650 U. S. bonds on hand . . 129, 846 03 58,238 Other stocks and b'ds. 1, 201, 777 15 i 1,508, 925 Due from res've ag'ts. 333,881 51 416, 266 Due from nat'l banks 209, 536 87 285,140 Due from State banks185, 839 84 206, 149 Real estate, &c 102, 070 88, 608 16 I Current expenses Cash items Clearing-house exch'gs Bills of other banks . . Fractional currency . . Specie . . . . . . . . Legal tender notes U. S. cert'fs of deposit. Due from U. S. Treas. Total 35 609 103, 426 101,677 10, 350 7,701 913,500 525, 000 220, 899 50 ' 45 1 00 12 11 00 00 94 : I 19,326,221 87 CITY 6 banks. Loans and discounts.. Bonds for circulation . Bonds for deposits U S bonds on hand Other stocks and b'ds. Due from res've ag'ts Due from nat'l banks. Due from State banksReal estate, &c Current expenses $8,092,199 2, 526, 000 225, 000 78, 500 50. 000 648, 523 445, 453 174, 797 170,215 Cash items Clearing-house exch'gs Bills of other banks . . Fractional currency -. Specie . . . . . . . . Legal tender notes U. S.cert'fs of depositDue from U. S. Treas. 33, 848 145, 590 81,547 27, 823 715 640, 000 25, 000 124, 692 Total 59,047 71,314 83, 200 159,911 10,194 30,154 827, 000 660, 000 208,874 00 | 00 I 00 63 37 l 72 : 88 S 69 i 82 ! 64 I 03 88 ! 00 ! 35 : 85 00 i 00 ; 59 j OF j 1 00 i 14 51 54 31 14, 792 83 18 00 04 96 00 , 00 i.M) 13, 504, 697 99 00 00 00 05 19 43 45 61 11 82 82 95 00 71 13 00 00 59 $9, 591, 915 3, 602, 200 697, 500 558, 400 235, 798 1, 774, 036 466, 927 258. 244 227, 338 40,261 56, 475 41,389 88, 997 192, 648 7,121 89, 644 854, 499 630, 000 198,346 6 banks. 47 00 00 00 67 33 20 91 18 73 80 22 08 00 03 24 00 00 61 $8, 756, 991 3, 602, 200 697, 500 590, 450 273, 066 1, 533, 726 637, 595 387,260 213,799 87, 432 66,768 56, 589 132,317 186, 345 2, 236 47,114 713, 000 840, 000 193, 304 20 00 00 00 60 73 40 81 89 55 75 18 ! 94 i 00 65 42 00 ' 00 81 ; 19,611,743 47 | 19,017.699 93 CLEVELAND. $7, 726, 474 87 11 00 ! 2, 326, 000 00 j 00 225, 000 00 si ; 3, 602, 200 697, 500 313,250 116,925 1, 034, 045 402,141 239, 214 211,358 66, 827 13,414 74, 689 120,059 240,911 10, 932 34,137 980, 000 540, 000 172, 584 20,270,651 74 j 18,752,629 85 6 banks. 00 1 6 banks. 29 1 $9, 882, 437 99 51.738 658, 206 314,233 68, 480 170. 278 126, 910 45 86 78 10 49, 590 67, 109 122,401 27. 823 3, 549 762, 000 25, 000 124, 627 QI 86 97 99 00 87 : : 80 00 00 9(> ; 12. 849. 427 42 6 banks. 6 banks. $7, 698, 692 88 2, 226, 000 00 225, 000 00 $7, 702, 492 31 2, 226, 000 00 225, 000 00 3. 225, 383, 70, 16-2. 2, 091 996 098 430 678 799 55 40 11 98 44.911 87, 098 166, 494 14,204 6,701 775, 000 35, 000 97, 736 46 17 00 97 07 60 00 00 31 12, 224, 931 36 6 banks. 4, 273 36 272, 360 23 344, 454 23 93,866 65 162, 678 86 21,710 71 50, 266, xO2, 308 91, 767 10,321 8,610 617, 555 35, 000 97,514 22 75 00 55 61 00 00 41 12, 066,139 89 $7, 261, 761 2, 226, 000 225, 000 116, 000 119,027 851,967 480, 911 141,149 165,178 134, 789 12, 508 58, 042 118,790 184,384 19, 113 8,682 830, 000 35, 000 108, 906 37 00 00 00 71 60 27 00 86 78 45 40 28 00 41 44 00 00 01 13,097,212 58 INDIANA. 102 banks. 10L banks. Total 100 banks. 100 banks. 90 \ $27, 761, 202 00 \ 14,117,500 430, 000 00 327, 400 00 657, 565 19 98 j 1, 828, 702 69 I 1,189,077 24 i 535, 577 42 (I 1,218,951 32 329, 590 50 j 301, 688 58 ! 236, 922 87 00 00 00 17 30 17 90 75 91 53 62 $27, 041, 784 73 13, 620, 500 00 430, 000 00 42, 000 00 789, 669 73 1, 755, 434 72 1, 015, 654 52 404, 885 57 1,229, 248 36 224, 921 92 285, 471 93 236, 638 91 651,900 80,398 51,839 2,536,291 15, 000 638.812 00 31 14 00 00 68 600, 795 00 67, 207 12 84,414 47 2,177, 990 00 105, 000 00 633,176 58 54, 900, 015 05 i 53, 472, 528 11 j 52,1)10,420 35 50, 744, 793 56 Loans and discounts.. $29, 066 965 06 £28,261,992 Bonds for circulation . 14, 946, 500 00 14. 752, 500 450, 000 00 450, 000 Bonds for deposits 67.100 00 69,300 U. S. bonds on hand . . 624,414 75 580,380 Other stocks and b'ds. 1,921,024 98 1, 856, 236 Due from res've ag'ts. Due from nat'l banks, j 1,213, 199 16 1, 158,953 Due from State banks.! 475, 320 54 i 464,413 Real estate, &c \ 1, 179,631 97 i 1, 205. 494 207, 274 306,048 55 Current expenses j 321, 482 348, 320 20 Premiums paid { 250, 200 ?66, 275 46 Cash items | Clearing-house exch'gs! 727, 550 00 687, 826 Bills of other banks . . ' 80,26-2 87 76,554 Fractional currency . . 25,714 Specie 22, IP45 72 2, 361,149 Legal tender notes -.. 2,420,537 00 15,000 XL S. cerffs of deposit. 15, 000 00 ; 728, 055 Due from U. S. Treas 769. 018 79 00 55 35 00 00 39 99 banks. $25, 696, 577 42 13, 420, 500 00 430, 000 00 201, 550 00 713,741 06 2, 276,151 18 1,183,314 71 584,416 05 1, 233,102 98 | 251, 282 45 259,897 93 253, 000 63 530, 485 00 44, 306 92 116, 907 85 2, 020, 313 00 80, 000 00 601,764 03 49,897,311 21 39 REPORT OF THE COMPTROLLER OF THE CURRENCY. by States and reserve cities—Continued. CITY OF DECEMBER 17. Liabilities. 5 banks. Capital stock Surplus fund Undivided profits Nat'l bank circulation. State bank circulation Dividends unpaid CINCINNATI. MARCH 10. 6 banks. $4, 000, 000 00 $4, 326, 550 00 980, 000 00 598, 583 00 985, 000 00 534, 579 46 3,145, 830 00 3, 214, 890 00 JUNE 30. MAY 12. 6 banks. 6 banks. $4, 382, 850 00 $4 400, 000 00 985, 000 00 472, 111 98 3, 193, 970 00 OCTOBER 2. 6 banks. $4,400, 000 00 985, 000 00 547,269 53 990, 000 00 405, 476 43 3 122, 810 00 2, 999, 982 00 1, 636 00 1,304 00 5, 040 00 Individual deposits U, S. deposits Dep'ts U. S. dis. officers 5, 893, 764 01 432, 223 22 6, 101,766 17 380, 853 95 5, 096, 951 72 392, 169 36 6 301, 762 85 381,330 18 6,119, 546 94 430, 034 83 Due to national banks Due to State banks 2, 765, 792 49 773.440 15 2, 939, 627 53 1, 097, 8^8 63 2,691,165 32 925, 775 47 2 337, 769 32 923, 497 59 2, 259, 750 63 796, 869 10 734, 500 00 684, 500 00 611,000 00 611, 000 00 611,000 00 19, 326, 221 87 20,270,651 74 18, 752, 629 85 19 611, 743 47 Bills payable Total.. 2,084 00 CITY 2,996 00 19, 017, 699 93 OF CLEVELAN D . 6 banks. Capital stock Surplus fund Undivided profits Nat'l bank circulation. State bank circulation. Dividends unpaid Individual deposits U. S. deposits Dep'ts U. S dis. officers 6 banks. 6 banks. 6 banks. $4, 550, 000 00 $4, 550, 000 00 $4, 550, 000 00 $4 550, 000 00 762, 896 57 185,179 75 763,310 90 410, 217 83 713,231 35 89,948 77 713,231 35 199,832 18 708, 212 09 401,598 04 2, 257, 260 00 9, 676 00 2, 074 100 00 9, 676 00 1,991,240 00 9, 675 00 1 982, 280 00 9,670 00 1, 963, 660 00 9, 670 00 6 banks. $4, 550, 000 0 0 1,599 00 245 00 28, 075 00 18,710 00 3, 729, 735 03 49, 351 66 176,145 73 3, 580, 560 58 19,901 69 196, 403 30 3, 637, 858 24 129, 660 23 33, 486 3h 3 501,056 20 80, 060 84 81,045 39 4,276, 413 83 75, 974 98 111, 124 50 18,290 00 Due to national banks. Due to State banks . . . 428,584 46 418, 821 25 415,131 81 409, 780 31 304, 092 85 303, 366 61 251,412 54 280,311 39 275,538 16 346, 730 93 Notes re-discounted . . . Bills payable 177, 448 54 758, 000 00 88,100 00 332, 000 00 122, 300 00 312,000 00 89, 500 00 309, 000 00 12, 000 00 348,000 00 13, 504, 697 99 12,849,427 42 12,224,934 36 12 066,139 89 13,097,212 58 Total INDIANA. 101 banks. 100 banks. 100 banks. $18, 548, 000 00 $18,088,000 00 $17,943,000 00 $17, 843, 000 00 4,693,779 18 1, 866, 594 02 4,803,841 94 1,426,511 48 4,762, 153 66 1, 575, 237 66 4, 735, 827 66 1, 583,658 38 13, 317, 824 00 13,183, 829 00 12, 617, 881 00 12 165, 451 00 11,967,323 00 102 banks. C apital stock Surplus fund Undivided profits Nat'l bank circulation. State bank circulation Dividends unpaid 23, 514 00 17, 765 75 99 banks. $17, 258, 000 00 4, 808, 325 09 1, 408, 832 31 18, 055 50 95, 637 50 17, 060 88 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 14,416,989 42 326, 700 66 124, 712 45 14,123, 574 32 319, 149 95 151,946 43 14, 068, 925 02 355, 747 90 49.177 91 12 696,174 50 235, 709 60 181,039 14 12, 866, 574 40 215, 504 66 133, 020 20 Due to national banks . Due to State banks . . . 678, 684 66 454,616 12 674,365 56 418, 807 27 651, 382 05 619,682 99 556, 557 09 479, 692 79 564,169 73 502,413 36 Notes re-discounted... Bills payable 333, 372 44 115,228 10 207, 766 53 56, 969 88 93,931 07 155, 245 59 92, 430 90 79,615 00 79,523 57 71,564 01 54, 900, 015 05 53,472,528 11 52, 910, 420 35 50, 744, 793 56 49,897,311 21 Total 40 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged ILLINOIS. DECEMBER 17. MARCH 10. JUNE 30. MAY 12. OCTOBER 2. Resources. 129 banks. 129 b a n k s Loans and discounts.. $22, 921, 953 26 9, 813, 800 00 Bonds for circulation . 800, 000 00 Bonds for deposits 32, 350 00 U. S.bonds on hand.. 491, 962 78 Other stocks and b'ds. 2, 946, 286 31 Due from res've ag'ts. 900, 499 24 Due from nat'l banks. 182,481 56 Due from State banks. 1, 323, 846 01 Real estate, &c 248,370 38 Current expenses 371, 782 09 Premiums paid 356 065 30 Cash, items Clearing-house exch'gs 549, 930 00 Bills of other banks... 90, 500 94 Fractional currency .. Legal tender notes U. S. cert'fs of deposit. Due from U. S Treas Total 42,479 2,199, 862 40, 000 529, 455 71 00 00 13 43, 841, 624 71 c 11 Loans and discounts.. $24,134, 849 95 2, 954, 000 00 Bonds for circulation . Total 605,500 214, 534 2,941,325 1, 204, 657 456, 056 767, 355 224, 832 65, 039 58 242 1, 580, 601 521, 761 41,062 70 981 3, 585, 861 820, 000 258, 345 132 b a n k s 132 b a n k s 22 00 00 00 86 77 29 36 15 54 00 17 $22, 838, 812 9, 295, 800 b25, 000 46, 000 508, 948 2, 799, 929 1,047,447 208, 743 1,351,230 257, 729 372, 669 261 469 72 00 00 00 28 23 97 76 05 09 60 6<1 $22, 704, 277 9, 000. 800 825, 000 56, 250 547, 204 3, 465, 820 1, 234, 779 205, 052 1, 361, 902 266, 499 365, 920 282 58° 47 00 00 00 17 66 50 74 83 21 84 $22, 304, 520 8, 724, 600 825, 000 151,250 506,512 3, 337, 733 895, 805 202, 325 1, 361, 609 219,161 348,154 340, 583 695,199 92, 037 51 841 2, 355, 353 20, 000 483, 383 00 87 666, 273 77,180 67 148 2, 328, 283 20, 000 468, 232 00 70 84 00 00 77 650, 384 64, 169 93 654 2, 281, 691 20, 000 449, 552 00 43 68 00 00 02 513, 844 52, 017 118 580 2, 096, 002 20, 000 419, 403 89 00 00 18 45,241,808 60 Y OF 43, 440, 898 65 c HIC 82 00 00 00 20 85 47 23 66 51 86 44 00 99 38 00 00 02" 43, 875, 540 80 42, 437,104 43 AGO. 15 b a n k s . 15 banks. U. S. bonds on hand.. Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks... Fractional currency .. Specie Legal tender notes U. S. cert'fs of deposit. Due from U. S. Treas. 130 b a n k s $23, 525, 646 9, 529, 300 850, 000 41,700 534, 829 3,413,821 1,214,650 201, 860 1, 332, 550 241, 675 370, 882 "87 077 00 78 17 C9 22 49 92 15 59 15 00 52 00 00 00 40, 505, 005 79 14 banks. 14 b a n k s . 14 b a n k s . $25,514,170 36 2, 742, 500 00 $24, 012, 801 34 2, 464, 500 00 $23, 232, 092 56 1, 787, 000 00 $23, 003, 750 15 1, 787, 000 00 578, 550 00 220, 324 78 3, 121,579 56 1, 179.546 35 343, 465 66 818, 950 21 341,506 65 25, 632 50 44 921 17 1, 248, 808 87 480, 867 00 32, 779 67 70 297 HM 3, 623, 957 00 840, 000 00 177,332 50 691, 400 00 196, 374 78 " 2.772,817 36 1, 133,683 01 910, 750 200, 424 4,117,181 1,647,912 442, 400 884, 543 181,666 52. 692 49, 820 1, 506, 590 808,217 17, 037 161 547 4, 080, 648 1, 085, 000 133, 666 718,200 196, 522 4,107, 351 1, 879, 937 492, 431 926,152 156,127 18, 562 64 187 1,855,703 612, 976 J.I, 604 132 990 3, 515, 957 1, 020, 000 104, 400 41, 405,190 17 401, 020 679, 748 442, 612 21,001 46 377 1,231,073 812,996 30, 201 55 249 4, 267, 226 1, 155, 000 231,037 82 46 73 25 79 45 00 19 00 00 50 40, 645, 121 48 00 78 95 25 71 30 59 85 n 13 00 43 00 00 00 41,299,191 20 00 78 35 74 34 31 29 50 32 53 00 79 31 00 00 00 40, 603, 854 41 MICHI GAN. 76 banks. 76 banks. Loans and discounts.. $14, 231, 803 01 i $14,196, 363 30 5, 768, 350 00 i 5, 553, 950 00 Bonds for circulation . 50, 000 00 50, 000 00 Bonds for deposits 15,400 00 5,850 00 U. S. bonds on hand.. 322, 433 37 334, 433 80 Other stocks and b'ds. 1,142, 977 34 1, 426, 049 96 Due from res've ag'ts. 484, 542 82 513, 308 88 Due from nat'l banks. 130,903 42 106, 578 86 Due from State banks930, 757 88 933, 321 59 Real estate, &c 118,730 54 202, 213 21 Current expenses 201, 954 37 192,025 90 Premiums paid 135 932 84 129 362 O [ Cash, items . . Clearing-house exch'gs 244, 238 00 325, 706 00 Bills of other banks... 42,512 76 43, 624 88 Fractional currency .. 15 128 W 20 619 30 Specie 1,049,047 00 9G5, 778 00 Legal tender notes U. S. cert'fs of deposit. •^56, 155 24 299 242 64 Due from U. S. Treas. Total 25, 348, 905 52 25, 090, 390 46 76 banks. $14,381,869 57 5, 253, 800 00 50, 000 00 6,400 00 361,734 86 1, 068, 248 59 423,410 85 133,263 75 951,366 34 167, 578 04 168, 726 46 123 604 86 332, 275 00 33, 075 73 26 833 80 1, 007, 269 00 76 b a n k s . $14,201,877 5,128, 800 50, 000 6,050 431, 653 1,117, 477 394,510 129, 346 968 653 69, 676 143, 037 114 877 318, 28, 32 984^ 76 b a n k s . 21 00 00 00 26 98 69 17 31 93 33 41 427 00 301 29 016 742 00 $13, 639. 889 5, 088, 800 50, 000 27, 300 415, 358 1, 278, 382 446, 498 131,515 1 005 483 146, 700 137, 807 122 343 30 00 00 00 76 47 07 73 06 00 98 33 248, 19, 47 955, 00 04 13 00 074 292 923 271 245, 688 28 243, 264 83 232, 925 21 24, 745, 145 13 24,362,712 00 23, 993, 564 08 41 REPORT OF THE COMPTROLLER OF THE CURRENCY. by States and reserve cities—Continued. ILLINOIS. MARCH 10. MAY 12. JUNE 30. 129 banks. DECEMBER 17. 130 banks. 132 banks. OCTOBER 2. Liabilities. 129 banks. $11, 801, 000 00 Capital stock Surplus fund Undivided profits i ! Nat'l bank circulation.! State bank circulation, i. Dividends unpaid | Individual deposits | U.S. deposits \ Dep'tsU.S.dis.officers.j $11,701,000 00 ; $11,596,000 00 $11, 690,475 00 132 banks. $11,696,000 0 O 3, 482, 893 90 1,412,848 39 3,601,461 34 1,193,518 32 3, 640, 246 54 1,227,641 17 3, 677, 254 01 1, 389, 274 84 3,786,048 09 1,184,778 97 8, 750, 093 00 8, 479, 328 00 8, 272, 888 00 8, 016, 798 00 7,791,668 0O 12, 547 00 46, 255 37 73, 679 37 16, 605, 388 32 18, 419, 613 65 17, 263, 755 51 513, 048 39 638,459 47 459, 579 07 75,125 02 362,107 58 348,610 86 53, 986 46 17, 725, 772 53 470,451 97 141,167 81 16, 465, 006 78 494, 436 36 164, 243 45 147,269 90 221, 43 L 93 | 132,959 63 289, 053 17 189, 856 24 285, 817 07 363,521 82 j 73, 715 00 I 186, 992 47 81, 662 00 295, 799 47 48, 610 CO 34, 840 00 i Due to national banks Due to State banks ! 165, 343 93 177, 625 81 Notes re-discounted . . . i "Bills payable | 327,107 31 106,210 00 Total 199 728 83 j 257J 597 95 I | 470, 582 22 i 56,801 90 j i 43,841,624 71 c IT | 45, 241, 808 60 Y OF 15 banks. c 43, 440, 898 65 43, 875, 540 80 42,437,104 43 H I C A GO 15 banks. 14 banks. 14 banks. 14 banks, $7, 400, 000 00 $7, 400, 000 00 $6, 850, 000 00 Surplus fund Undivided profits 4, 377, 500 00 1,131, 232 57 4, 650, 000 00 605, 394 35 4, 920, 000 00 847,115 33 5, 095, 000 00 555, 378 49 | 5,157, 500 00 522,392 49- Nat'l bank circulation. State bank circulation. 2, 611, 700 00 | 2, 436, 680 00 2, 209,100 00 1, 599, 530 00 j 1, 592, 850 00 4, 686 50 53, 993 00 I 5,426 00 14, 984, 965 67 | 15, 656, 569 23 j 16, 020, 719 71 Capital stock 2, 702 50 Dividends unpaid 6,441 50 15, 608,148 44 I 14, 450, 048 61 Individual deposits U. S. deposits Dep'tsU.S.dis.officers- 5,444,549 65 3, 868, 172 63 6, 936, 702 16 4,753,423 55 6, 402, 158 27 4,149, 595 71 166,500 00 277, 500 00 40, 505, 005 79 j 41, 405,190 17 Due to national banks. Due to State banks 40, 645,121 48 61,000 00 j I Notes re-discounted . . . Bills payable Total . $6, 850, 000 00 6, 969 702 94 | 4,477,017 54 I $6, 850, 000 0Q- 5, 833, 259 85 4, 586, 706 36 35,000 03 41, 299,191 20 i 40, 603, 854 41 MICHIGAN. 76 banks. Capital stock j $8, 472, 200 00 I $8, 397, 200 00 Surplus fund Undivided profits I j Nat'l bank circulation, j State bank circulation. j , 76 banks. 76 banks. 76 banks. $8, 397, 200 C O $8, 097, 200 00 $8, 072, 200 09> 2, 059, 790 51 I 1,093,765 55 j 2,178,117 94 829,029 74 2,112,217 94 1, 029, 091 46 2, 096, 466 85 798, 082 03 2, 079, 649 41 890,345 0T 5,129, 702 00 | 4, 905, 262 00 j 4, 644, 265 00 4, 523, 300 00 4,472,979 CO j 10, 777 50 i 4, 979 84 4,621 00 139, 320 00 10,140 00 Individual deposits U. S. deposits j Dep'ts U. S.dis. officers.! 7, 930, 475 45 ! 9,464 00 | 32,251 51 | 8,106, 207 68 2,601 39 51,397 73 7, 854, 435 44 40, 559 68 12, 672 16 8,150,335 13 14, 143 25 29, 335 36 7, 976, 729 62 3, 332 4? 28,033 97 Due to national banks. I Due to State banks i | Notes re-discounted . . . I Bills payable | 73,135 74 162, 677 76 i 49, 205 02 155, 862 36 41, 902 68 121,875 01 47,413 65 ! 105,188 25 | 40,702 05. 92, 608 7.1 358, 665 50 | 16, 000 00 | 368, 609 87 41,916 89 462, 368 38 23, 930 38 339, 927 48 22, 000 00 I 289, 843 78 37, 000 00 24, 745,145 13 I 24, 362, 712 00 j 23, 993, 564 0& Dividends unpaid Total I 25, 348, 905 52 i 25, 090, 390 46 42 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1? 18757 arranged CITY OF D E T R O I T . DECEMBER 17. MARCH 10. MAV 12. JUNE 30. 3 banks. 3 banks. 3 banks. 3 banks. Resources. Loans and discounts.. Bonds for circulation . Bonds for deposits XI. S.bonds on hand . . Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks Due from State banks. Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks . . Fractional currency . . Specie Legal tender notes . . . U. S. cert'fs of deposit Due fromU. S. Treas. Total. $3,917,161 96 ! $4, 331, 629 90 1, 503, 40U 00 ! 1, 503, 400 00 250, 000 00 250, 000 00 50, 000 00 93, 279 82 93, 539 83 : 1,017,048 33 ! 606, 828 70 714,730 08 457,361 51 • 75, 895 07 ' 51, 510 81 91,300 00 91,550 00 ! 19,103 20 35, 657 99 9,968 74 3, 682 86 2, 267 16 102, 354 70 103, 950 14 173,967 00 59, 562 00 26, 753 30 19,503 85 27, 288 14 26, 361 86 624,521 00 658^ 002 00 $4, 002, 435 89 1, 503, 400 00 250, 000 00 101,824 91 854, 553 44 498, 152 01 45, 794 78 91, 800 00 35, 345 56 15, 000 00 4,426 11 111,823 07 97,318 00 25,817 54 17,661 13 648,697 00 104,491 93 87, 082 13 $4, 269,198 82 $4,087,912 24 1,253, 400 00 1, 253, 400 00 500, 000 00 500, 000 00 50, 000 00 50, 000 00 91, 279 82 85, 604 94 711, 664 43 634, 655 99 592,216 53 310,427 41 58, 487 40 132,389 62 91, 300 00 91,050 00 26, 439 77 13,172 88 9,968 74 10, 532 49 74,361 76 73, 320 17 213,629 27 130, 316 42 56, 876 00 84,043 00 i 15,848 97 i 8, 932 50 [ 27,016 49 i 39, 162 70 | 543,510 00 j 711, 739 00 | 61,777 17 I 95,082 13 ; ! 408, 541 37 8, 629, 301 11 i 8, 544, 443 10 , 3 banks. 60, 061 47 ! 400, 260 ' , S, 523, 435 24 38 banks. 37 banks. WISCONSIN. 39 banks. Loans and discounts.. Bonds for circulation. Bonds for deposits U. S.bonds on hand . . Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks . . Fractional currency . . Specie . . Legal tender notes U. S. cert'fs of deposit. Due from U. S. Treas. Total $5, 818, 303 2, 322, 000 125, 000 42, 500 83, 282 952, 083 514,693 86, 685 378, 496 91,669 56, 225 54, 942 137, 773 28, 879 7,688 736' 714 20, 000 117, 013 1 1 $5, 858, 320 66 i 2,217,000 00 125,000 00 | 52, 300 00 : 91,267 61 j 685, 654 79 370, 941 75 67, 073 07 386, 221 77 26 63, 100 2L 86 1 51,783 99 40 i 47, 901 70 50 i 47 00 00 00 57 54 89 38 I 00 1 77 1 40 00 i 00 ' 02 j 3 banks. Total 102, 838 25, 844 11,291 631, 966 20, 000 105, 974 00 12 47 00 00 56 11,573,951 06 ! 10,914,479 70 CITY Loans and discounts.. Bonds for circulation. Bonds for deposits U. S. bonds on hand . . Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks . . Fractional currency.. Specie Legal tender notes . . . U. S. cert'fs of deposit. Due from C S. Treas. 38 banks. 38 banks. i OF 41 | $5, 712, 049 69 2,197, 000 00 00 1 125. 000 00 00 j 48,800 00 oo ! 14 j 88,120 99 47 | 520,512 54 297,159 30 12 16 78,664 58 68 403, 068 24 27 41, 222 92 22 : 55, 236 22 02 i 63, 840 65 00 52 19 00 i 00 81 139, 015 00 18, 370 27 25.208 89 607, 719 00 20, 000 00 110,838 46 10, 614, 450 01 j 10,551,886 75 120, 865 26, 138 15 650 638,618 20, 000 106, 894 $5, 574, 323 2, 162, 000 125, 000 54, 850 76, 680 499, 986 252, 677 56 396 382,013 70, 397 51,980 51, 286 22 00 00 00 05 40 99 74 74 06 25 49 115, 10, 27, 564, 20, 109, 00 85 34 00 00 28 500 575 758 422 000 299 10, 205, 147 41 MILWAUKEE. 3 banks. $2, 495, 705 28 2, 488,163 04 170, 000 00 170, 000 00 : 375, 000 00 325, 000 00 ! 6, 000 00 3 200 00 1 70, 650 00 88,600 00 367, 531 60 272,105 86 184,377 61 ! 108, 157 06 30 146 64 29,390 15 140,998 13 141,230 27 l 9 599 71 13 842 36 730 58 489 Q5 • 3. 142 61 3, 969 52 76, 326 02 376,877 93 , 27, 863 00 30, 670 00 ! 14,591 49 14,788 24 ' 1, 460 33 1,953 92 416,796 00 403, 040 00 35. 000 00 35, 000 00 12, 650 00 12,650 00 4, 394, 855 26 $5, 683, 968 2, 197, 000 125, 000 54, 500 100, 330 519,774 361,460 70, 040 386, 065 67. 956 57, 837 62, 351 4, 362, 842 04 3 banks. 3 banks. $2 120,498 . 170,000 375, 0U0 1, 150 69,650 427, 727 117, 467 26, 724 140, 734 10 464 2, 125 138, 964 29, 047 9, 193 8,063 349, 947 35, 000 7, 650 60 | 3 banks. $2, 052, 574 170, 000 oo ! 00 ! 375, 000 00 | 1,300 71,050 00 i 537, 883 29 i 00 136,362 21,691 18 04 ! 146, 558 70 1. 31 00 00 00 00 72 39 23 20 2,600 119, 607 17,815 4, 340 11,183 377, 590 35, 000 7,650 35 87 00 32 93 00 00 00 74 36 | 00 76 35 00 oo: 00 4, 039, 427 02 I 4, 090, 207 32 $1, 893, 427 170, 000 375, 000 52, 350 71,912 384,142 164,146 16, 228 148.191 5,790 5,856 4,616 252, 497 10,154 1,138 11, 569 317, 777 35, 000 7,650 41 00 00 00 50 91 99 89 86 01 79 16 93 Ot 31 18 00 00 00 3, 927, 449 94 43 REPORT OF THE COMPTROLLER OF THE CURRENCY. by States and reserve cities—Continued. CITY DECEMBER 17. ! OF D E T R O I T . MAY 12. JUNE 30. 3 banks. MARCH 10. OCTOBER 2. 3 banks. Liabilities. 3 banks. Surplus fund Undivided profits 3 banks. j $1, 900, 000 00 Capital stock $1, 900, 000 00 • Nat'l bank circulation. State bank circulation. . 725, 000 00 | 517, 523 46 i 1,325,158 00 925, 000 00 279,354 85 925, 000 00 255, 815 06 1,295,704 00 1 1,301,431 00 i 1,137 00 Dividends unpaid 1,059,554 00 1,082,700 00 3,162 00 1,875 00 ' 3, 059, 989 33 \ 3,010,833 27 224, 840 00 66,378 18 ! 186,317 19 275,838 65 | 2, 823, 414 88 ! 77, 175 12 ; 292,956 90 Due to national banksDue to State banks . . . 402 092 68 344, 083 33 33,162 00 14,378 00 3, 151,654 84 215,980 09 209, 674 61 317,942 22 420, 137 18 448, 741 42 319, 491 22 8, 544, 443 10 8,629 301 11 2,997,270 66 I 268,638 2L i 199, 201 64 j 340,271 44 387, 188 14 408 862 19 392 306 63 8, 408, 541 37 $1,900,000 00 925, 000 00 ! 271, 127 06 | 925, 000 00 297, 620 13 Individual deposits U. S. deposits Dep'tsU. S. dis. officers 3 banks. $1, 900, 000 00 ; $1, 900r 000 00 8, 400, 260 76 8. 523, 435 24 Bills payable Total WISCONSIN. 39 banks. Capital stock 38 banks. 38 banks. 38 banks. j $2, 850, 000 00 [ $2, 800, 000 00 $2, 800, 000 00 762, 863 04 381,012 76 768, 402 63 253, 537 25 760, 882 00 311,789 48 766, 815 61 287, 500 96 Nat'l bank circulation.! State bank circulation. 2, 058, 660 0G ; 1, 963, 504 00 j 1, 961, 273 00 1, 954,129 00 Dividends unpaid 30, 000 00 30, 000 00 j 4, 790, 844 05 5, 141, 369 60 i 43, 874 65 58,461 53 : 76, 971 36 99, 442 57 i 27, 869 25 ! 19,324 90 92,397 60 ! 97, 400 75 37 banks. Surplus fund , Undivided profits. $2, 750, 000 00 $2,6 753,819 15 290, 363 48 i Individual deposits U. S. deposits Dep'tsU. S. dis. officers Due to national banks.! Due to State banks . . . i Notes re-discounted . . . i Bills payable I Total 47,741 97 I 24,132 74 j 1, 919, 859 00 39, 750 00 30, 000 00 4, 363, 565 22 4, 379, 907 78 50,721 40 109, 610 76 | 51, 477 29 27, 855 01 ! 4, 179,129 91 46, 067 09 44, 026 47 30, 000 00 38, 498 72 96, 004 25 29, 319 08 49, 525 91 98, 670 08 16, 301 49 44,931 62 25, 688 49 1 7, 555 72 103, 970 70 81, 375 10 18,683 19 87, 812 45 25,214 87 | 11, 573, 951 06 I 10, 914, 479 70 | II), 614, 450 01 10,551,886 75 10,205,147 4! CITY OF MILWAUKEE. 3 banks. 3 banks. 3 banks. 3 banks. $650, 000 00 $650, 000 00 j $650, 000 00 $650, 000 00 Surplus fund Undivided profits 326,100 46 106, 478 84 335, 000 00 I 90, 681 70 ; 235, 000 00 116, 218 16 240, 000 00 55, 345 91 258, 000 00 56,571 75 Nat'l bank circulation. State bank circulation. 153, 000 00 153, 000 00 I 153,000 00 153, 000 00 153, 000 00 1,946,985 68 162,372 51 109, 025 26 29, 272 50 I 1,886,396 21 159,590 53 198, 264 05 1,941,182 32 157,927 13 124, 346 24 314,534 86 351,984 55 425,2' 293,09146 301, 987 84 271, 848 66 Capital stock . Dividends unpaid . . . . Individual deposits U. S. deposits Dep'ts U. S. dis. officers Due to national banks. Due to State banks . . . 180 00 | 1, 767, 067 98 ! 1,807,924 74 118,052 40 ! 193,203 38 250, 012 73 231, 056 45 694,806 39 ! 329, 336 46 439,694 51 297,883 00 139,218 26 | . . 25, 000 00 | . . Notes re-discounted. Billd payable Total . 306 00 4, 394, 855 26 4, 362, 842 04 3 banks. $650, 000 00 2, 586 00 10, 000 00 4, 039, 427 02 j 4, 090, 207 32 3, 927, 449 94 44 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged IOWA. DECEMBER 17. MARCH 10. MAY 12. JUNE 30. OCTOBER 2. 81 banks. 79 banks. 79 banks. 79 banks. 78 banks. Resources. Loans and discounts.. $12, 494, 456 00 4, 840, 000 00 Bonds for circulation . 270, 000 00 Bonds for deposits 112, 100 00 U. S. bonds on hand .. 252, 243 52 Other stocks and b'ds.! 1,011,859 65 Due from res've ag'ts548,364 74 Due from nat'l banks234,745 01 Due from State banks. 814,061 06 Real estate, &c 184,341 48 Current expenses 291,831 35 Premiums paid 153, 333 76 Cash items Clearing-house exch'gs 341,566 66 Bills of other banks .. 71,574 84 Fractional currency .. 23 8% 57 Specie Legal tender notes ... 1,477,249 00 U. S. cerffs of deposit 271,156 85 Due from U. S. Treas. Total 56 $12,180,253 17 $11,798,225 17 $11,646,882 66 00 4, 545, 000 00 4, 455, 000-00 ' 4, 383, 500 00 00 27i',000 00 270, 000 00 270,000 00 00 124, 300 00 134, 950 00 92, 700 00 12 254, 7-J2 77 240, 425 99 253, 442 33 39 1, 346,944 12 1,451,171 30 755, 398 90 43 662.416 12 664, 727 98 395, 075 63 64 I 172, 491 82 j 218,499 55 142,852 10 60 i 835, 619 97 85li, 700 25 836,991 88 29 ! 198,717 39 145, 191 49 166, 224 75 13 277, 135 93 273, 406 23 252,565 14 160,526 21 155,144 95 62 134, 578 47 $12,260,509 4,615,000 270, 000 • 128,800 256, 584 1,583,083 661,751 174,231 829, 179 196,635 278,660 149,515 409,664 67, 155 27 745 ], 516, 324 00 61 23 00 524, 104 59, 936 32 918 1,625,869 66 17 00 00 396, 913 41,486 47 498 1, 538, 309 00 32 28 00 282, 009 32, 043 58 596 1,278,916 C O 96 67 00 229, 799 53 231,405 29 231,470 80 209,124 80 23,654,639 15 23,392,713 83 23, 502, 359 96 22, 905, 570 17 21,198, 452 43 MINNESOTA. 34 banks. 33 banks. Loans and discounts.. Bonds for circulation Bonds for deposits U. S. bonds on hand .. Other stocks and b'ds. Due from res've ag'ts Due from nat'l banks Due from State banks. Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks ... Fractional currency .. Specie . . . Legal tender notes ... U. S. cerffs of deposit Due from U. S. Treas Total $8,589,351 37 3, 064, 500 00 560, 000 C O 13, 050 00 119,322 25 731,515 84 330, 597 16 48, 952 05 442, 575 32 136, 463 47 172, 956 12 129, 826 80 219. 617 37, 490 9,011 715, 009 66 ! 85 16 00 j $8, 850, 673 2, 825, 500 560, 000 650 80, 468 578,417 238, 639 62, 023 424, 119 158,321 142, 953 105,621 99 00 00 00 97 25 78 99 91 91 04 17 $8,921,350 2, 825, 500 560, 000 200 89, 454 849, 652 347, 416 70, 943 430, 193 124, 542 141,746 133,451 67 00 00 00 97 02 59 46 45 82 96 98 $8, 755, 077 2, 553, 500 560, 000 300 87, 689 949, 277 245,155 60,240 454,378 98, 262 337,906 124, 263 129, 520 00 146, 695 23, 580 9, 603 524, 897 00 06 72 00 230,156 17, 699 17,368 650, 222 00 91 98 00 176, 230 13, 772 18, 725 752, 782 •29, 9 0 5 34 7, 980 71 589, 356 00 140, 495 76 136,414 88 135, 826 61 117,998 81 14,1,61,242 90 14, mS, 580 67 15, 545, 726 42 15,105,561 26 SO URI. 26 banks. 27 banks. Loans and discounts.. $4, 2S6, 206. 36 , $4,288,102 34 1,890,000 00 O Bonds for circulation . . 1,940, C O 00 66 79 73 00 168,627 90 27 banks. Total 75 ! 00 00 00 00 55 86 96 90 21 16 54 15,488,866 29 MIS U S bonds on hand Other stocks and b'ds. Due from res've ag'ts. Due from naf 1 banks. Due from State banksReal estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks .. Fractional currency .. Specie Legal tender notes . . . U.S. cerffs of deposit. Due from U. S. Treas. 33 banks. 33 banks. 33 banks. 63 00 00 00 09 57 53 62 88 89 35 53 $8, 756, 224 2, 965, 500 560, 000 750 123, 852 596,381 202, 953 50, 483 427, 478 109,729 154,794 115, 836 559, 382 038,244 203, 065 233,736 314,746 155,775 122,987 6^, 502 20 09 79 01 67 17 14 12 : 150, 335 13,278 13 952 446, 763 5 000 104,983 00 : C9 75 00 00 00 9, 260, 957 39 25 banks. 26 banks. $4,218,198 85 1, 840, 000 00 $4, 320,137 58 1, 840, 000 00 $4, 393,184 66 1,790,000 00 24, 000 598, 128 836,719 255, 517 231,064 328, 559 138, 609 112,795 90,556 00 17 99 17 12 73 87 37 15 23,500 604, 556 800, 356 239,311 233, 877 328, 815 111,062 108, 285 112,034 23, 600 617,953 664, 423 164,181 168, 942 319, 187 115,534 103,261 90,247 66 60 51 70 87 89 33 23 87 187, 628 13, 018 15,036 465, 133 230, 228 11,983 16,647 480, 376 5, 000 86, 000 00 35 43 00 00 00 207, i37 66 136, 10, 24, 403, 10, 84, 66 88 73 00 00 00 9, 530, 907 00 9, 504, 384 20 9, 506, 370 51 550 539,278 897, 084 225, 163 264, 976 320,741 111,208 111,517 77,297 00 70 66 50 08 04 49 32 10 00 41 ! 81 1 00 1 i 124,171 55 10,461 22, 400 448,514 5, 000 90, 920 66 46 99 70 37 20 57 25 72 46 21 00 00 00 489 655 096 906 000 C75 9,150, 340 27 REPORT OF THE COMPTROLLER OF ^HE CURRENCY. 45 l)y States and reserve cities—Continued. IOWA. DECEMBER 17. Liabilities. JUNE 30. MAY 12. OCTOBER 2. 81 banks. 79 banks. 79 banks. 79 banks. $6, 377, 000 00 $6, 377, 000 00 $6, 362, 000 00 $6,342,000 00 $6, 287,000 00 1, 537, 745 42 Surplus fund 939, 726 32 Undivided profits j Nat'l bank circulation, j 4, 300, 576 00 State bank circulation. J. 1, 539, 798 71 785, 683 83 4,107,537 00 1,531,642 51 817,160 42 1, 550, 326 48 746, 626 67 1, 569, 358 13 730,495 64 Capital stock . Dividends unpaid j Individual deposits ! U. S. deposits j Dep'tsU. S. dis. officers; j Due to national banks., Due to State banks .. -; 7, 847 50 I 4, 008, 013 00 6, 863 99 227, 424 74 147,863 18 38,371 00 30,165 00 j 9, 866, 876 62 I 9, 528, 462 69 167, 823 09 | 107, 782 72 72, 522 30 ; 91,599 54 9, 788, 452 29 67,601 97 161, 749 96 9,254,862 91 80,224 82 150, 902 94 3, 938,167 00 193, 540 00 175, 000 00 Total 138, 310 43 i 161,000 00 j 23, 392, 713 83 3,881,356 00 4,811 66 8, 003, 685 26 75, 984 75 113,843 63 223,696 38 | 277, 610 04 245, 233 33 275, 407 64 256, 834 65 253, 049 42 204, 557 24 141,805 50 76, 750 60 68, 100 00 47, 250 00 5, 100 00 100, 054 62 85, 500 00 j Notes re-discounted.. . Bills payable 78 banks. 23, 654, 639 15 22, 905, 570 17 21,198,452 43 23, 502, 359 96 M I N N E S O T A. 33 banks. Capital stock j $4, 450, 000 00 $4, 551, 28000 Surplus fund Undivided profits ' Nat'l bank circulation. State bank circulation. Dividends unpaid 34 banks. \ 33 banks. 33 banks. 33 banks. $4, 430, 00000 $4, 430, 000 00 $4, 430, 000 00 834, 698 20 580, 444 07 865, 552 83 379, 484 01 871,402 83 523, 496 60 875, 652 83 496. 821 65 894, 682 63 460, 551 15 2, 737, 071 00 2, 598, 84400 2, 506, 32400 2, 530, 024 00 2, 285, 889 00 11, 047 61 3,297 61 Individual deposits j U. S. deposits • Dep'ts U. S. dis. officers 5, 618, 689 82 218,658 90 189, 646 10 5,253,471 84 216, 439 29 226,182 41 5, 240, 99555 242, 707 71 128,179 55 5,964,621 79 262, 755 21 188, 538 62 5,961,872 54 151,319 94 340, 779 44 Due to national banks.; Due to State banks . . . ' 185, 670 37 253,123 16 130, 999 96 230, 705 48 176, 437 07 114,332 01 208,391 67 266, 886 83 124,510 31 160, 537 12 Notes re-discounted... Bills payable 351,255 34 59, 000 00 412,235 47 85, 000 00 578, 407 74 53, 000 00 274, 774 21 29, 000 00 231,284 63 15, 488, 866 29 14,961,242 90 14,^868, 58067 15, 545, 726 42 15, 105,561 26 Total. 10,609 33 18,259 61 4,134 50 MISSOURI. 27 banks. Capital stock Surplus fund Undivided profits $2, 635, 000 00 | 518,837 26 421,218 62 27 banks. $2, 635, 000 00 536, 556 08 ! 278, 729 54 , 26 banks. 542,008 16 324, 035 40 510,691 46 301,918 96 532, 306 08 360, 721 43 Notes re-discounted... Bills payable 42, 372 65 136, 036 18 Total . i, 260, 957 39 1, 633, 911 00 ], 601, 504 00 • 13, 093 00 3, 911 00 3,781,038 06 3, 726, 258 40 180 599 67 277,.161 38 173, 634 63 312,513 28 127, 387 62 208, 296 65 58, 372 00 58 188 93 93, 000 00 48, 076 98 73, 000 00 62 372 18 9, 530, 907 00 ! 9, 504 384 20 9, 506, 37051 9,150 340 27 Individual deposits \ 3,450,884 63 | 3,859,436 10 U. S. deposits ''. Dep'tsU. S. dis. officers; . 133, 889 03 184, 969 02 25 banks. $2, 535, 000 00 Nafl bank circulation. • 1,731,787 00 1, 680, 722 00 ! 1, 61.5, 642 00 I State bank circulation.. . | Dividends unpaid '. 5, 963 00 i 10, 583 00 1, 573 00 Due to national banks ', Due to State banks . . . 26 banks. $2, 585, 000 00 $2, 585, 000 00 132, 646 77 269,471 63 35, 500 00 I 92,261 88 ! 3; 834, 819 71 ; 46 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged CITY OF ST. LOUIS. DECEMBER 17. Resources. MARCH 10 MAY 12. 7 banks. 7 banks. 7 banks. Loans and discounts.. $10,687,411 89 $10, 630, 783 29 $9, 874,137 31 U Bonds for circulation . 783, 400 00 842, 950 O 842,950 00 Bonds for deposits 256, 000 00 256, 000 00 256, 000 00 U. S. bonds on hand 59 950 00 5 000 00 Other stocks and b'ds. 1,871,463 65 1,895,891 04 1, 035, 937 28 Due from res've ag'ts 2, 739, 037 54 1,016,401 23 1,049,940 18 Due from nat'l banks. 567,176 86 608, 083 75 541,014 85 Due from State banks. 171. 513 52 217, 837 45 138, 973 87 Real estate, &c 560,771 08 544,293 63 539, 614 37 Current expenses 122,617 44 77, 903 98 187, 874 15 20,157 18 29, 769 68 31, 025 66 Cash items 130 391 03 86 533 57 89 038 Clearing-house exch'gs 526, 707 61 530^602 81 352, 346 13 Bill3 of other banks . . 167, 985 00 290, 010 (JO 398, 827 00 Fractional currency . . 13, 867 40 18,679 34 29, 932 25 Specie 8 512 62 18 114 30 114 OR 1,283,800 00 Legal tender notes 1, 258 850 00 1,484,450 00 U.S. cert'fs of deposit. 125, 000 00 415, 000 00 420, 000 00 Due from U. S. Treas. 42, 262 50 47,215 00 45, 645 00 • 20,141,397 91 18,781,546 76 | 17, 352, 820 67 Total JUNE 30. 1 banks. $9 940, 413 40 842, 950 00 256, 000 00 OCTOBER 2. 7 banks. 535, 000 00 42, 839 67 $10, 295,129 88 842, 950 00 256, 000 00 1 150 00 848,074 89 1,137, 688 56 451, 999 44 191,404 90 554, 919 12 182,184 89 30, 040 04 76 308 94 562', 325 00 142,193 00 6, 095 54 74 000 54 863, 500 00 250, 000 00 44,041 00 17 637, 526 80 16, 810, 005 74 833, 549 80 1 130, 396 22 566,195 31 225,197 78 537, 828 73 109, 223 97 30, 040 04 207 116 5? 401,351 23 430,713 00 12, 498 01 82 163 11 1 454, 050 00 KANSAS. 19 banks. Loans and discounts.. Bonds for circulation. Bonds for deposits U. S.bonds on hand.. Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks Real estate, &c Current expenses Premiums paid Cash items . . . . . . . Clearing-house exch'gs Bills of other banks . . Fractional currency . . Specie Legal tender notes... U. S cert'fs of deposit Due from U. S, TreasTotal 19 banks. 19 banks. 19 banks. 17 banks. $2, 253, 091 86 1,140, 000 00 375, 000 00 90, 694 51 343, 178 89 171,811 70 132, 418 89 308, 805 31 57, 790 42 114,621 02 r 46 193 >4 $2,164, 067 43 1,140, 000 00 375, 000 00 5, 000 00 88, 386 49 228, 476 55 235, 995 83 128, 283 70 313,711 55 39, 460 05 115, 689 77 50, 290 73 ! $2,198,374 39 i 1, 140, 000 00 375, 000 00 ! 14, 500 00 92, 594 52 i 236, 364 67 | 242, 016 25 ! 119, 101 55 ! 330, 166 66 50, 074 19 115,471 81 45 619 55 $2,137, 258 91 1,140, 000 00 375, 000 00 14, 500 00 89, 363 53 307, 743 52 328, 740 78 139,143 05 340, 739 35 55, 285 80 117, 238 81 53, 867 33 $1, 984,139 21 1,010,000 00 375, 000 00 5,000 00 81,860 06 355, 050 53 283, 190 76 143, 645 12 290, 918 17 41,411 01 101, 927 64 33, 862 51 66, 946 00 13, 003 35 2 931 44 231, 583 00 71,551 00 9, 698 44 2 890 22 254, 510 00 63, 865 00 9,981 65 5 528 81) 278, 042 00 95, 940 00 8,927 06 8,408 258, 744 00 500 00 64, 998 15 5, 413, 568 08 ! 55, 642 04 , 51,545 00 5, 135 01 8 516 HH 233, 834 00 58, 909 55 53,519 65 43, 365 00 5, 278, 853 80 i 5, 375, 610 59 5, 524, 420 47 5, 048, 400 90 NEBRASKA. 10 banks. Loans and discounts.. $2, 253,253 34 Bonds for circulation. 950, 000 00 Bonds for deposits 300, 000 00 U S bonds on hand.. Other stocks and b'ds 225,481 61 Due from res've ag'ts. 384,884 17 Due from nat'l banks. 75,171 54 Due from State banks. 71, 065 63 Real estate, &c 172,419 28 Current expenses 38,912 37 Premiums paid 83, 586 69 Cash items. . . . . . . . . 57 482 03 Clearing-house exch'gs 92,307 00 Bills of other banks . . Fractional currency . . 24; 245 77 Specie 4 271 11 259,587 00 Legal tender notes TJ S cert'fs of deposit. 53,396 01 Due from U.S. Treas. Total 5, 046, 053, 55 9 banks. 9 banks. 9 banks. 9 banks. $2,159, 122 01 900, 000 00 300, 000 00 $1,980,281 91 900. 000 00 300, 000 00 $1, 925, 617 32 900, 000 00 300, 000 00 $2, 265, 090 73 884, 000 00 300, 000 00 100 (H) 100 00 350 00 231, 529 40 330, 498 84 76, 521 50 61,191 74 176, 877 10 39, 847 84 76, 869 45 29 440 R6 272, 352 24 606, 367 86 • 120,685 88 146, 427 92 178,501 55 62, 727 77 75, 520 98 31 228 85 302, 786 n 583, 953 94 131,634 56 170,650 31 178, 774 27 57, 330 71 53 76, 939 {) 22 603 0 281, 007 61 551, 408 69 139, 359 90 111,413 51 179, 756 69 34, 474 68 72, 021 89 W 33 419 * 83, 422 00 35, 398 59 4 375 M4 267, 613 01) 113,857 00 39, 799 49 4 653 58 299, 980 00 88,537 00 46, 805 40 15 621 49 274,393 00 110,856 00 12, 308 98 24 045 o-} 226, 296 00 51, 037 80 43,346 40 48, 021 90 44, 517 34 4, 823, 846 07 5,175,731 43 5,123, 768 74 5, 270, 326 64 47 REPORT OF THE COMPTROLLER OF THE CURRENCY. by States and reserve cities—Continued. CITY O ST. LOUIS. F DECEMBER 17. Liabilities. MARCH 10 MAY 1 2 . JUNE 30. OCTOBER 2 7 banks. 7 banks. 7 banks. 7 banks. 7 banks. $6, 360, 300 0 0 $6, 360, 300 00 5, 450, 000 00 $5, 450, 000 00 $5 450 000 00 Surplus fund. Undivided profits 880, 099 65 639,515 96 885, 256 79 493, 7E9 31 885, 256 79 484, 061 36 899, 020 456, 913 75 Nat'l bank circulation. State bank circulation. 676, 640 00 728, 690 00 726, 690 00 893, 547 21 538, 693 89 727, 690 00 731, 893 00' 17, 215 78 15, 404 78 15, 688 78 76, 973 18 30, 716 18- Individual deposits U S deposits Dep'ts U.S dis officers 7, 900, 974 57 36, 653 67 5, 933, 765 07 43, 248 86 5. 680, 438 28 60,862 81 5,699, 116 22 93, 373 51 84 849 64 5,100, 524 26 55,915 71 84 849 61 Due to national bankri . Due to State banks. . . 1, 662, 468 09 1,549,540 81 1, 775, 063 52 2,153,696 52 1, 945, 821 06 2, 127, 462 09 1,671,239 60 1,914,936 26. Notes re-discounted. . . Bills payable 417, 989 38 1,794,214 63 2, 172, 600 09 354, 307 23 20, 141,397 91 18,781,546 76 17, 352, 820 67 Dividends unpaid Total 121, 062 61 414,000 00> 17,637,526 80 16,810,005 KANSAS. 19 banks. Capital stock Surplus fund Undivided profits Nat'l bank circulation. State bank circulation. 19 banks. 19 banks. $1, 420, C O 00 $1,420,000 00 O 284, 374 75 166,118 75 1,022,218 00 $1, 420, 000 00 277, 779 70 102,178 12 278,179 70 139, 728 59 1, 025, 268 00 1,024,318 00 19 banks. $1,420,000 00 17 banks. $1,260,000 00 278,179 70 156,798 19 254,541 75 125,919 26 1, 025, 218 00 908,500 00 129 04 150 00 394 00 60 00 100 00 tndividual deposits U. S. deposits Dep'ts U.S. dis. officers 1, 973, 340 97 146, 497 74 225, 725 5S 1, 998, 239 14 158, 364 45 138,140 68 1,984,021 02 199, 626 63 129, 203 46 2, 069, 544 14 193,329 73 205,959 62 1,994,103 56 154, 8fi6 27 193,321 79 Due to national banks Due to State banks. .. 16,639 16 78, 255 31 43, 206 89 96, 303 50 27,235 50 92, 544 21 37, 772 25 75,454 50 Notes re-discounted... Bills payable 41,368 80 38, 900 00 49, 728 80 10, 900 00 44,651 38 10, 900 00 30,421 52 13,400 i,0 Dividends unpaid Total 5,413,568 08 20,328 72, 726 44, 778 20, 900 63 28 80 00 5, 278, 853 80 5,375,610 59 5, 524, 420 47 5, 048, 400 90 NEBRASKA. 10 banks. 9 banks. 9 banks. 9 banks. $950, 000 00 9 banks. $950, 000 00 $1,000,000 00 $950, 000 00 $950, 000 00 Surplus fund Undivided profits 159, 800 00 131, 832 12 161, 945 83 91, 945 95 167, 920 83 111,683 09 167, 920 83 120, 4 L5 02 171, 600 00 74,126 52 Nat'l bank circulation. State bank circulation. 853, 000 00 806, 500 00 807, 590 00 802, 890 00 795, 480 00 Capital stock 43 00 240 00 110 00 5, 090 00 ]15 00 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 2, 297, 008 92 71, 971 68 207,389 69 2,167, 294 92 59,371 26 220, 613 08 2,496,384 49 151,035 82 203, 972 51 2, 489, 890 52 126, 289 74 196, 715 01 2, 660, 453 97, 154, 082 36 172, 296 56 Due to national banks. Due to State banks . . . 114. 639, 91 110,299 37 118,993 57 150, 989 81 140, 744 66 126, 890 03 126, 759 44 137,198 18 128, 225 02 113,447 21 Notes re-discounted . . . 100,068 86 95, 951 65 19, 400 00 600 00 50,500 00 5, 046, 053 55 4, 823, 846 07 5,175, 73 i 43 5, 123, 768 74 5, 270, 326 64 Dividends unpaid Total 48 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged OREGON. DECEMBER 17. i MARCH 10 JUNE 30. MAY 12. OCTOBER 2 Resources. 1 bank. Loans and discounts.. Bonds for circulation . Bonds for deposits U. S. bonds on hand . . Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Clearing-house exch'gs Bills of other banks... Fractional currency .. Specie Legal tender notes $681,799 250, 000 200, 000 15,000 121,232 89, 573 10, 030 845 7, 473 9,044 1 723 j 1 bank. 86 | 00 i 00 | 00 ! 33 i 41 1 60 | 24 55 ! 13 1 95 ! $806,404 250, 000 200, 000 15,900 101,817 82, 440 3,487 905 5, 910 3, 550 2 392 78 1 24, 970 66 1 bank. 1 bank. $803, 029 05 250, 000 00 200, 000 00 17,100 00 118, 455 35 209, 036 94 7,023 35 3,588 04 5,844 25 7, 042 67 7,607 56 00 00 00 31 26 21 84 75 24 $761, 665 250, 000 200, 000 17, 150 113,668 211,489 25, 688 33, 905 5,000 10, 424 7 720 40 00 00 00 48 72 69 77 00 89 10,870 GO 8,060 2,517 110, 169 55, 560 00 68 50 00 3,300 00 1,169 03 62, 072 3 9 61,070 00 11,750 00 12, 250 00 1, 824, 804 92 1, 723, 447 27 61 05 60 2,563 00 507 84 120, 053 0 5 84, 014 00 . 109, 364 9 6 65,000 00 16, 250 00 11,250 00 12, 250 00 1, 604, 366 74 1, 691, 275 18 1, 453 67 | 99 315 00 j 75, 655 00 ! 796 16 1 bank. 19 34 60 $787, 700 250, 000 200, 000 17, 800 170, 501 32, 098 14, 747 93, 078 4,000 6,387 6 354 81 00 00 00 53 56 15 30 00 27 15 918 05 i Due from U. S. Treas . Total 1, 827, 068 CALIFORNIA. 7 banks. 7 banks. 7 banks. 7 banks. 7 banks. Loans and discounts . Bonds for circulation. $1, 784, 512 90 1,230,000 00 $1,877,149 68 1, 034, 000 00 $2, C22, 555 89 934, 000 00 $2, 000, 977 42 934, 000 00 $2,105, 802 36 934, 000 00 XJ S bonds on hand Other stocks and b'ds. Due from res've ag'ts. Du^from nat'l banks. Due from State banksHeal estate, &c Current expenses Premiums paid 20 000 46, 432 263, 078 6,589 69, 025 186, 453 26, 744 11,253 55 135 10 050 41,378 227, 959 6,917 95, 950 191,392 22, 116 10, 009 47 369 10 050 50, 968 200, 967 44, 673 104, 353 198, 348 19, 644 8,565 41 458 10 000 64, 675 143,091 40,6:8 207, 846 203, 369 19, 088 9, 536 19 444 00 06 63 15 39 90 47 50 16 10,199 43 302,125 18, 164 00 36 80 00 Clearing-house e^ch'gs Bills of other banks... Fractional currency .. •Specie . . ........ Legal tender notes XJ S cert'fs of deposit. Due from U. S. Treas. Total 00 -. 43, 629 27 152, 973 43 7, 445 73 157, 100 20 187, 954 72 13,827 73 10, 762 64 52 736 53 98 77 50 20 43 39 37 12,441 00 3,819 74 443, 384 13, 012 4,126, 768 11 2 banks. Total I 5, 758, 752 16 ! 49 99 06 15 37 7,315 00 36 01 337, 832 15, 442 00 98 375, 169 18, 770 00 3, 967, 934 53 4, 015, 296 66 4, 088, 004 78 FRANCISCO. 2 banks. 2 banks. 224, 469 80 ! $3, 210, 100 39 850, 000 00 ! 850, 000 00 88, 465 168 53, 565 86, 788 365, 139 1,544 15, 425 8, 596 111,674 21, 150 9 554, 264 10,248 60 03 26 58 2 banks. Loans and discounts.. $3,381,927 03 $3, 850, 000 01) Bonds for circulation . Bonds for deposits U. S. bonds on hand .. Other stocks aud b'ds. 99, 435 00 j Due from res've ag'ts. ! 19, 463 20 I Due from nat'l banks. 145,197 67 i Due from State banks. 466,471 77 ! Beal estate, &c I 2,939 46 '< Current expenses 12, 753 64 1 Premiums paid ! 61, 448 73 ! Cash items ! ! Clearing-house exch'gS: 31,076 00 Bills of other banks.-.. j 31 02 i Fractional currency ..! 622, 848 64 ! Specie 65,160 00 | Legal tender notes. XJ. S. cert'fs of deposit. Due from U. S. Treas. Of) 39 53 3,997,870 83 CITY OF SAN 09 10 62 62 04 59 69 7R 4,921 00 00 91 99 00 73 26 391, 927 40 23,100 00 00 00 96 04 20 77 25 08 00 81 00 54 00 00 5, 391, 508 45 j 68, 940 201 48, 093 83,181 365,139 1, 341 12,975 3,612 55, 330 17, 260 12 645,921 41,110 00 98 60 48 77 75 82 60 48 00 52 48 00 5, 403, 221 87 2 banks. $3,163,952 20 850, 000 00 $3,355,884 76 850, 000 00 67, 593 1, 795 29,319 193,286 65,139 1, 287 71, 768 1, 185 22,789 129,135 00 92 73 96 77 09 13,315 82 2,513 23 79, 235 83 13,815 00 42 02 670,630 18 45, 940 00 5,197, 866 75 00 76 14 55 74, 639 77 1,147 15,691 13,414 113, 394 7,175 37 628,437 29, 880 17 41 46 86 00 86 78 00 5, 314, 581 52 REPORT OF THE COMPTROLLER OF THE CURRENCY. 49 States and reserve cities—Continued. ORE GO N. DECEMBER 17. MARCH 10. MAY 1 2 . JUNE 30. OCTOBER 2. 1 bank. 1 bank. 1 bank. 1 bank. 1 bank. Liabilities. $250, 000 00 $250,000 00 $250,000 00 $250,000 00 50, 000 00 285, 487 85 50, 000 00 294,424 15 50, 000 00 305, 006 44 50. 000 00 315, 781 58 50, 000 00 301, 799 47 195, 500 00 194,800 00 211,200 00 223, 200 00 222, 700 00 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 565,993 43 72, 390 01 167, 270 27 575, 914 54 75, 047 96 159, 246 29 618, 263 37 104, 119 32 257,210 02 597, 350 37 120, 606 63 233, 448 99 626,502 66 107, 775 66 151, 680 70 Due to national banks. Due to State banks . . . 17, 725 18 91,842 24 31, 269 29 34, 417 35 4,288 78 1, 604, 366 74 1,691,275 18 1, 827, 068 44 1,824,804 92 1, 723, 447 27 Capital stock Surplus fund Undivided profits Nat'l bank circulation. State bank circulation Dividends unpaid $250, 000 00 8, 700 00 Bills payable Total CALIFORNIA. 7 banks. Capital stock 7 banks. 7 banks. 7 banks. $1, 700, 000 00 $1, 700, 000 00 $1, 700, 000 00 $1, 700, 000 00 Surplus fund Undivided profits 53, 294 71 144, 650 82 70, 503 60 77, 736 21 71,103 60 104, 247 49 75,198 72 138,739 96 Nat'l bank circulation. State bank circulation 872, 715 00 790, 805 00 743, 090 00 743, 410 00 10,155 00 7 banks. $1, 700, 000 (10 85,021 86 86, 863 29 .7-13,775.00 1,960 00 2, 509 00 1,638 00 Individual deposits U. S. deposits Dep'ts U S dis officers 1, 253, 262 66 1,215,334 92 1,231,544 38 Due to national banks. Due to State banks . . . 16, 088 47 41,647 79 13, 358 50 83,478 16 14, 930 59 69,463 02 Notes re-discounted . . . Bills payable 6, 538 01 36,610 65 6 775 14 37, 370 30 31,917 45 29, 645 20 21,777 45 3, 997, 870 83 3, 967, 934 53 4,015,296 66 4,088,004 78 Dividends unpaid Total 4,126, 768 11 1, 260, 881 44 253 01 57, 013 33 1,96] 00 1, 347, 433 02 1,743 44 99, 429 72 C I T Y O F SAN FRANCISCO. 2 banks. Capital stock $3, 000, 000 00 2 banks. 2 banks. 2 banks. 2 banks. $3, 000, 000 00 $3, 000, 000 00 $3, 000, 000 00 $3, 000, 000 00 Surplus fund Undivided profits 347, 000 00 37,991 54 302, 333 33 24, 432 75 255, 666 67 83,284 53 257, 333 33 78, 342 04 262, 333 33 80,179 44 Nat'l bank circulation. State bank circulation. 638, 375 00 1 659,120 00 661,130 00 664, 585 00 670. 710 00 Dividends unpaid Individual deposits 4, 557 00 6, 938 33 2,644 15 1, 699, 638 20 1,395,943 76 1, 380, 067 30 1,157,617 12 20, 429 22 28, 477 59 10 000 00 144, 356 56 5, 403, 221 87 5, 197, 866 75 5, 314, 581 52 1, 511 6? 3, 940 52 1,152,061 67 Dep?ts U. S. dis. officers Due to national banksDue to State banks 3, 367 38 27 803 04 • 2 740 28 5, 758, 752 16 1 5,391,508 45 Notes re-discounted... Bills payable Total II. Ex. 3 D 50 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged NEW DECEMBER 17. MEXI C O. MARCH 10. MAY 12. JUNE 30. OCTOBER 2. 2 banks. Loans and discounts.. Bonds for circulation.. Bonds for deposits XJ S bonds on hand Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks . . Fractional currency.. Specie Legal tender notes U.S. cert'fs of deposit. Due from U.S. Treas. Total 2 banks. 2 banks. 2 banks. 2 banks. $418,276 11 300, 000 00 $396,127 56 300, 000 00 $377,775 38 300, 000 00 $384,669 13 300, 000 00 $379,091 07 300, 000 00 3,561 79 27, 540 48 38, 844 95 25, 445 05 5, 533 63 5, 676 16 30,961 25 3, 896 99 1,614 45 25,195 66 47, 766 48 45, 974 68 5, 365 85 5,913 88 28,461 25 3,818 42 1,155 90 8, 064 31 29, 119 54 50,241 92 5, 365 85 3, 289 27 28,461 25 1,173 59 1,710 74 13, 405 84 27,187 19 45,197 10 5, 365 85 6,139 98 27,500 00 4, 385 32 1, 358 04 13,957 16 12, 396 35 61, 927 75 5,194 89 1,410 00 27, 500 00 1,232 19 2,345 418 1,221 33,288 2, 383 00 566 71 1,203 87 30,152 00 9, 227 00 537 18 2,013 77 41,792 00 3, 487 00 644 62 963 89 42,057 00 2,791 00 1,270 25 1,159 55 36, 537 00 00 10 45 00 14, 560 00 17, 850 00 14, 500 00 13,500 00 12, 800 00 911,568 96 912,393 81 872, 716 96 876,213 66 858, 625 25 COLORADO. 9 banks. Loans and discounts.. Bonds for circulation . Bonds for deposits U S bonds on hand Other stocks and b'ds. Due from res've ag'ts. Due from nat'l bunks. Due from State banks Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks... Fractional currency . . Specie Legal tender notes U. S. cert'fs of deposit Due from IT. S. Treas Total 10 banks. 10 banks. $2,346,581 46 510,000 00 100,000 00 $2, 428, 067 50 540, 000 00 100, 000 00 $2, 449, 842 69 540, 000 00 100, 000 00 39, 405 98 296, 842 25 250,107 95 100,959 92 156,239 16 50, 407 45 40,148 06 59, 302 23 29, 977 30 380, 732 90 279, 504 00 91, i>29 78 158, 549 56 28, 120 76 34, 335 56 37, 832 47 46,258 00 12, 389 51 141, 202 20 376, 587 00 52,157 00 12,705 24 160, 895 04 403, 320 00 10 banks. 10 banks. 32, 936 57 264,366 10 339,185 02 111,620 91 156, 883 27 30, 289 72 34, 635 75 32,641 68 $2, 492, 250 38 540, 000 00 100,000 00 4, 100 00 26, 256 42 183,241 02 272, 611 72 100,175 84 147, 555 20 27,918 25 34, 335 56 48, 951 99 $2, 402, 664 23 540, 000 00 100, 000 00 4,100 00 28,465 18 227,464 47 238, 552 32 124,301 09 152,903 11 25,486 09 34,335 56 50,272 32 65,654 00 11,553 73 135, 795 85 426, 729 00 47, 776 00 9,177 70 124,631 39 390,624 00 28,393 00 4,985 48 131,652 02 314, 517 00 47, 797 16 33, 814 50 41,252 27 34, 822 02 29,994 19 4, 574, 228 33 4,771,241 61 4, 773, 386 56 4, 584, 427 49 4, 438, 086 06 UTAH. 2 banks. Loans and discounts.. Bonds for circulation . Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other banks . . Fractional currency . . Specie Legal tender notes U. S. cert'fs of deposit. Due from U. S. Treas. Total 2 banks. 1 bank. 1 bank. 1 bank. $448, 238 66 100, 000 00 $441,761 88 100, 000 00 $271, 243 40 50, 000 00 $274, 789 84 50, 000 00 $2.90, 995 44 50, 000 00 29,748 45 10, 406 54 16, 820 08 19, 873 90 50,999 82 7,143 37 6, 347 56 7, 093 62 31,288 70 9,881 87 17,403 55 30,781 67 61, 712 37 15, 323 79 6, 659 39 9,414 93 3, 445 25 7, 391 70 9, 597 22 20,497 91 45, 000 00 651 06 6, 704 25 19, 328 48 24,766 04 23, 508 41 45, 000 00 2, 745 81 203 54 6, 722 99 25, 000 00 10, 328 05 1,477 08 4,112 10 5, 099 76 45, 000 00 8,113 03 2,815 21 312 24 13, 952 00 1,336 00 9, 243 37 127, 659 00 4, 530 00 1,453 79 4,150 58 80, 971 00 7, 327 00 1,318 87 4,981 30 69, 856 00 13,604 00 1,079 36 11,823 40 82, 584 00 7, 198 00 723 55 4, 757 40 107,118 00 4, 500 00 853, 362 37 j 4, 523 75 2, 250 00 3, 250 00 2, 250 00 819, 857 27 493, 763 25 565, 906 58 565,299 86 51 REPORT OF THE COMPTROLLER OF THE CURRENCY. by States and reserve cities—Continued. NEW MEXI CO. MARCH 10. MAY 1 2 . JUNE 30. OCTOBER 2. 2 banks. 2 banks. 2 banks. 2 banks. 2 banks. $300, 000 00 $300, 000 00 $300, 000 00 $300, 000 00 DECEMBER 17. Liabilities. Capital stock .Surplus fund Undivided profits Nat'l bank circulation State bank circulation 34,991 87 19,737 84 38,491 87 13,788 29 39, 564 65 16,993 85 39,564 65 32, 287 74 $300, 000 00 40, 064 65 24,663 62 262, 570 00 265, 090 00 269,700 00 257, 430 00 269,000 00 294,171 27 294, 962 e8 246,369 08 246,224 49 223, 925 00 97 98 60 97 89 38 911,568 96 912, 393 81 87-2, 716 96 Dividends unpaid Individual deposits XT. S. deposits Dep'ts U. S. dis. officers Due to national banks. Due to State banks . . . 706 78 971 98 Notes re-discounted . . . Bills payable Total 876, 213 66 858, 625 25 COLORADO. 10 banks. 9 banks. Capital stock $810, 000 00 $775, 000 00 10 banks. 10 banks. 10 banks. $810, 000 00 $825, 000 00 $825, 000 09 Surplus fund Undivided profits 284.500 00 239, 235 97 264, 500 00 127,443 13 265, 500 00 134, 206 56 265, 500 00 142, 751 31 273, 500 00 120, 980 45 Nat'l bank circulation. State bank circulation. 431, 589 00 477, 980 00 484, 505 00 485, 405 00 484,405 00 Dividends unpaid 244 00 868 00 958 69 344 00 148 00 Individual deposits U.S. deposits Deprts U. S. dis. officers 2, 496, 630 99 50, 484 86 33, 404 82 2, 598, 492 27 88,711 59 10, 833 70 2, 562, 532 62 83, 606 29 29, 036 75 2, 495, 963 99 81,863 81 11,134 37 2, 472, 680 94 60, 329 85 5,831 78 Due to national banks. Due to State banks . . . 127, 990 86 131,523 83 ] 87, 506 65 204. 030 27 223, 242 75 177, 297 90 161, 096 49 114,993 52 111,554 32 73, 255 72 Notes re-discounted . . . Bills payable 3, 000 00 1,500 00 2,500 00 375 00 10 000 00 400 00 4, 773, 386 56 4, 584, 427 49 4, 438, 086 06 Total 4, 574, 228 33 4,771,241 61 UT A H . 2 banks. Capital stock Surplus fund Undivided profits Nat'l bank circulation. State bank circulation Dividends unpaid Individual deposits 2 banks. 1 bank. 1 bank. 1 bank. $300, 000 00 $300, 000 00 $200, 000 00 $200, 000 00 $200, 000 00 105, 000 00 28, 757 32 105, 000 00 40,220 82 35, 000 00 10,103 55 35, 000 00 15, 678 49 35, 000 00 29,821 81 90, 000 00 90, 000 00 45, 000 00 45, 000 00 45, 000 00 72 00 54 00 864 00 132 00 108 00 314,259 37 263, 426 45 200, 833 72 255, 273 54 253, 336 41 5, 410 77 9, 862 91 6,281 87 14,874 13 1,961 98 14, 822 55 2, 033 64 853, 362 37 819,857 27 493, 763 25 565, 906 58 565,299 86 1 Dep'ts U.S. dis. officers Due to national banks . Due to State banks . . . Bills payable Total 52 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged IDAHO. MARCH 10. MAY 12. JUNE 30. OCTOBER o 1 bank. 1 bank. 1 bank. 1 bank. 1 bank. $94, 889 93 100, 000 00 $133,334 48 100,000 00 $72,891 73 100, 000 00 $70, 697 91 100, 000 00 $70, 342 75 100, 000 00 33, 082 71 33,802 74 58, 870 69 2,880 98, 769 7, 100 5,584 3, 332 62, 336 7, 689 2,042 29 51 86 63 70 5 52 21,046 70 7, 033 7d5 69 302 3^ 290 41 832 71 455 0 0 00 00 00 00 15,855 00 9, 892 00 118 70 8 066 no 17,103 00 DECEMBER 17. Resources. Loans and discounts.. Bonds for circulation. IT S bonds on hand Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banksReal estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other b a n k s . . . Fractional currency . . Specie Legal tender notes . . . U S cert'fs of deposit Due from U. S. Treas. Total 24 00 97 10 334 00 6,550 38 15,244 22, 883 00 00 31 00 7, 725 34 7,748 23, 440 00 50 15 00 8,885 13 6, 485 36, 197 . . . . 53, 471 12, 000 44,448 7,033 2,053 69 58, 972 97 00 62 12, 394 00 73, 080 88 7, 033 1,648 58 40 10,912 00 34,006 00 4,600 00 4, 500 00 5,129 20 5,618 70 4,211 50 391, 956 26 386, 288 54 318,311 27 361, 929 36 363,318 71 MONTANA. 5 banks. Loans and discounts.. Bonds for circulation.. Bonds for deposits U. S. bonds on hand.. Other stocks and b'ds. Due from res've ag'ts Due from nat'l banks. Due from State banks Real estate, &c Current expenses Premiums paid Cash items Clearing-house exch'gs Bills of other b a n k s . . . Fractional currency . . Specie Legal tender notes . . . U. S. cert'fs of deposit. Due from U. S. Treas. Total 5 banks. 5 banks. 5 banks. 5 banks. $905, 750 94 236, 000 00 150,000 00 $813, 805 61 236, 000 00 150, 000 00 $837, 494 55 236, 000 00 150, 000 00 $852, 007 55 236, 000 00 150, 000 00 $751, 056 86 236, 000 00 150, 000 00 43,638 45, 222 38, 875 51,801 39, 080 27, 025 47, 382 39, 784 51 60 01 39 04 23 75 57 40, 917 33, 825 35, 296 49, 930 39, 089 12, 410 47, 382 42, 988 05 41 36 95 87 52 75 92 39, 396 57, 535 12, 849 54, 055 40, 550 19,559 47, 382 27, 606 00 62 77 66 87 15 75 12 46, 091 41, 975 10,612 25,937 40,799 3,877 48, 735 79, 352 45 01 03 91 01 04 2o 85 45, 827 55, 897 20, 597 21,275 40,913 12, 476 46, 135 172, 814 08 89 48 67 18 48 25 32 30, 722 3,274 26, 393 128, 900 00 51 55 00 16,091 2, 258 21,938 117, 250 00 83 96 00 11, 2, 8, 93, 00 01 89 00 11, 723 4,793 13, 933 77, 795 00 13 34 00 7, 793 3, 123 9,461 69, 350 00 63 89 00 12, 420 00 1,826,271 10 299 139 584 791 11,520 00 11, 920 00 12, 020 00 30,620 00 1, 670, 706 23 1, 650,164 39 1. 653, 652 57 1, 653, 342 73 "WYOMING. 2 banks. Loans and discounts . . Bonds for circulation.. U S bonds on hand . . Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Cash items Clearing-house exch'gs Bills of other b a n k s . . . Fractional currency . . Specie Legal tender notes U. S. cert'fs of deposit. Due from U. S. Treas. Total 2 banks. 2 banks. 2 banks. 2 banks. $273, 767 34 60, 000 00 $231, 907 05 60, 000 00 $252, 864 08 60, 000 00 $236, 866 48 60, 000 00 $198, 066 40 60, 000 00 7,219 11,146 39, 520 11,035 23,162 15, 495 7, 748 5, 353 43 42 75 89 85 85 75 32 8, 494 8, 088 46,988 10, 919 23, 520 5, 772 8, 032 9, 332 92 70 17 80 58 00 01 87 8, 675 4,343 37, 388 12 23, 520 9, 066 7, 748 7, 966 52 33 79 62 58 57 75 17 15, 318 3, 365 25, 251 21 23, 520 7, 820 7, 748 9,014 01 53 56 82 58 64 75 85 18, 636 7,839 77, 239 3, 437 14,973 13, 665 7,751 11,363 94 14 06 37 45 09 03 49 15, 090 1, 383 148 60,117 00 80 91 00 18, 009 1,656 4, 032 56,112 00 49 61 00 25,396 00 689 16 2,296 65 63, 230 00 27,951 1,497 2, 892 65,911 00 27 25 00 29, 387 273 2,211 47, 429 00 04 22 00 4,700 00 5, 700 00 535, 890 31 498, 566 20 5,850 00 509, 048 22 6, 850 00 5, 700 00 494, 029 74 497, 972 23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 53 by States and reserve cities—Continued. IDAHO. DECEMBER 17. Liabilities. Capital stock 1 bank. $100,000 00 MARCH 10. 1 bank. MAY 12. 1 bank. $100, 000 00 $100, 000 00 JUNE 30. OCTOBER 2. 1 bank. 1 bank. $100, 000 00 $100, 000 00 Surplus fund Undivided profits 23, 000 00 20, 956 61 23, 000 00 24,163 98 20,333 15 3, 356 74 20,333 15 5, 030 79 20,333 15 9, 325 81 Nat'l bank circulation. State bank circulation 81, 650 00 87, 780 00 88,200 00 78, 800 00 86, 500 00 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 162, 929 01 147, 588 23 103, 080 45 123, 662 24 131, 264 00 Due to national banks. Due to State banks . . . 32 92 3,387 72 3, 756 33 3, 340 93 391, 956 26 386,288 54 318,311 27 15, 895 75 Bills payable Total 6,325 41 27, 777 77 361, 929 36 363,318 71 MONTANA. 5 banks. 5 banks. 5 banks. 5 banks. 5 banks. $350, 000 00 $350, 000 00 $350, 000 00 $350, 000 00 $350, 000 00 76, 220 00 114, 414 54 77, 000 00 45, 857 09 77, 000 00 52, 569 02 77, 000 00 42, 227 21 77,250 00 67, 387 79 209, 929 00 209,229 00 210, 384 00 211,284 00 210, 684 00 Individual deposits U. S. deposits Dep'ts U. S. dis. officers 876, 538 34 60, 712 33 86, 858 25 847, 792 26 52, 579 44 64, 536 27 811, 526 78 58, 522 80 49, 590 71 824, 669 39 62, 537 63 64, 849 18 769, 712 09 43, 248 52 60, 450 32 Due to national banks. Due to State banks . . . 37,139 72 9, 458 92 17, ] 63 49 6,548 68 9, 046 28 31, 524 80 9, 308 88 11, 776 28 12, 946 80 61, 663 21 1, 670, 706 23 1,650,164 39 1, 653, 652 57 1, 653, 342 73 Capital stock Surplus fund Undivided profits Nat'l bank circulation. State bank circulation. Dividends unpaid Bills payable Total 5,000 00 1,826,271 10 WYOMING. 2 banks. Capital stock 2 banks. 2 banks. 2 banks. 2 banks. $125, 000 00 $125, 000 00 $125, 000 00 $125, 600 00 $125, 000 00 Surplus fund Undivided profits 15, 783 33 58, 778 41 18,950 14 52,803 13 18, 950 14 60,117 23 20, 595 00 57, 873 65 20, 595 00 28, 526 52 Nat'l bank circulation. State bank circulation 51,400 00 49, 000 00 47, 900 00 48, 300 00 50, 400 C O i?81,561 83 249, 446 03 247, 451 65 223, 399 89 265, 489 23 2, 933 37 433 37 2, 323 87 1,043 03 9, 025 43 603 77 18,141 30 719 90 7, 833 51 127 97 535, 890 31 498, 566 20 509, 048 22 494,029 74 497, 972 23 Individual deposits Dep'ts U. S. dis. officers Due to national banks. Due to State banks . . . Total 54 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 1, 1875, arranged DAKOTA. DECEMBER 17. ; MARCH 10. MAY 12. JUNE 30. OCTOBER 2. 1 bank. 1 bank. 1 bank. 1 bank. 1 bank. $55,619 71 50, 000 00 30, 000 00 $61, 559 69 50, 000 00 30, 000 00 $65, 099 35 50, 000 00 30, 000 00 $68, 612 54 50, 000 00 30, 000 00 $71, 080 04 50,000 00 50, 000 00 303 38 11, 640 79 22, 651 60 513 38 49,149 99 17, 859 57 10, 586 35 9,454 30 1,414 27 10, 586 1,713 11, 747 1,073 35 63 92 76 00 50 V> 00 2, 375 170 3,783 7, 358 00 58 15 00 Resources. Loans and discounts . . Bonds for circulation. Bonds for deposits U S bonds on hand Other stocks and b'ds. Due from res've ag'ts. Due from nat'l banks. Due from State banks. Real estate, &c Current expenses Premiums paid Cash items ...... Clearing-house exch'gs Bills of other banks . . Fractional currency . . Specie Legal tender notes . . . U. S. cert'fs of deposit. Due from U. S. Treas. Total 1,007 18, 779 9, 095 3, 527 8, 086 2,810 9, 454 1,306 03 49 48 70 39 50 30 70 . 1, 032 6,260 7, 999 1,796 10, 989 1, 437 9, 454 3, 455 50 10 15 73 37 85 30 23 311 10, 059 9,458 65 10, 586 2,551 9,454 1,719 28 55 53 66 35 34 30 96 706 925 102 9, 524 00 j 76 ! 05 00 ; 1,591 938 136 9, 048 00 92 00 00 1, 317 360 155 6,825 00 84 30 00 2,564 526 1 000 8,528 2, 250 00 ; 2, 250 00 2,250 00 2,250 00 2,250 00 203,195 11 ; 197, 948 84 200, 214 46 219, 53 L 85 279, 661 37 55 xJEPORT OF THE COMPTROLLER OF THE CURRENCY. by States and reserve cities—Continued. DAKOTA. DECEMBER 17. Capital stock Surplus fund Undivided profits Nat'l bank circulation State bank circulation MARCH 10. MAY 12. JUNE 30. OCTOBER 2. 1 bank. 1 bank. 1 bank. 1 bank. 1 bank. $50, 000 00 $50, 000 00 $50, 000 00 $50, 000 00 $50, 000 00 9, 000 00 6, 778 64 10,000 00 2, 538 65 10, 000 00 5,291 50 10, 000 00 3, 531 38 10, 000 00 4, 305 73 43, 300 00 43, 300 00 44, 500 00 42, 860 00 43, 300 00 275 00 100 00 68, 964 58 17, 833 SO 7,318 09 67, 564 91 20, 288 53 3,981 75 57, 601 01 31, 091 37 1,630 58 64, 058 86 44, 433 02 4, 648 59 128,344 69 40, 660 95 2, 475 00 203,195 11 197, 948 84 200,214 46 219,531 85 279, 661 37 Dividends unpaid Individual deposits U. S. deposits Dep'tsU. S. dis. officers 575 0& Due to national banks. Due to State banks Bills payable Total EEPOETS OF THE CONDITION OF THE NATIONAL BANKS CLOSE OF BUSINESS ON MONDAY, OCTOBER 2, 1876. KEPOKTS OF THE CONDITION OF THE NATIONAL BANKS AT THE CLOSE OF BUSINESS ON MONDAY, OCTOBER 2, 1876. MAINE. First National Bank, Auburn. J. QuiGLEY, Jr., President. No. 154. J. B. JORDAN, Cashh Resources. Loans and discounts... » Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures. , J Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house j Bills of other banks j Fractional currency | Speci Legal I L l tender notes U. S. certificates of deposit |. Due from U. S. Treasurer j Liabilities. $212, 896 14 ij Capital stock paid in 309 08 150, 000 00 Surplus fund ! Other undivided profits . | National bank notes outstanding 7, 576 57 ]! State bank notes outstanding j i Dividends unpaid 1, 782 43 I Individual deposits ; ' jj United States deposits 940 70 1 Deposits of U. S. disbursing officers. 1 $150, 000 00 30, 000 00 9, 889 56 133, 500 00 57, 356 95 1, 755 00 Due to other national banks 215 U3 ;| Due to State banks and bankers 1, 000 00 i Notes and bills re-discounted ! Bills payable 2,478 44 " 6." 750 "66" 383,224 95 ;; 383,224 9V5 Total . National Shoe and Leather Bank, Auburn. ARA CUSHMAN, President No. 2270. M. C. PERCIVAL, Cashie: Loans and discounts $288, 292 39 Capital stock paid in Overdrafts IT. S. bonds to secure circulation "'•200,' 000 00 Surplus fund U. S. bonds to secure deposits I Other undivided profits U. S. bonds on hand j | National bank notes outstanding Other stocks, bonds, and mortgages.. j 944 31 State bank notes outstanding Due from approved reserve agents...! Due from other banks and bankers... j 2 179 87 Real estate, furniture, and fixtures. .. 6 000 00 Dividends unpaid Current expenses and taxes paid : » Premiums paid : 32, 000 00 Individual deposits United States deposits Checks and other cash items [ 1, 229 70 Deposits of U. S. disbursing officers. Exchanges for clearing house 2, 0iJO 00 Due to other national banks Bills of other banks Fractional currency ; Due to State banks and bankers 1.50 00 Specie | Legal tender notes : 2, Ol'O 00 Notes and bills re-discounted JJ. S. certificates of deposit Bills payable , Due from U. S. Treasurer 20, 500 00 | Total. H. Ex. 3- 555, 296 27 ; Total . $250, 0C0 00 3,000 C O 7, 5U 55 180,0(0 00 114, 794 72 I J 555,296 27 60 REPORT OF THE COMPTROLLER OF THE CURRENCY, M AINE. First National Bank, Augusta. J. H. WILLIAMS, President. ISRAEL BOOTHBY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes » U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $211, 038 54 Capital stock paid in . """56," 666*66' 50, 000 00 22, 216 06 National bank notes outstanding State bank notes outstanding Dividends unpaid . 65, 506 80 1,278 3L 2, 436 03 2, 049 73 9, 000 00 Individual deposits United States deposits DepositB of U. S. disbursing officers . 2, 844 88 1, 200 1, 450 6, 100 800 $250, 000 00 Surplus fund Other undivided profits . "" 250," 000* 66" Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 00 00 00 00 210, 500 00 79, 426 50 2,811 73 11, 250 00 Total. 614,954 29 614,954 29 Freeman's National Bank, Augusta. No. 406. W. F. HALLETT, President. Loans and discounts , Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid.. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Capital stock paid in . 7, 000 00 26, 514 31 1, 467 14 8, 825 00 679 53 Dividends unpaid. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 00 82 00 00 "4,566 66 30, 000 00 3,254 91 86, 000 00 150 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,416 88 7,198 429 279 3, 200 $100, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 297,858 42 Total. F. H. ADAMS, Cashier. Total. 73,301 09 5,152 42 297,858 42 Granite National Bank, Augusta. B. H. CUSHMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. $233, 445 823 100,000 50, 000 3, 650 1,100 498. 99 45 00 00 00 00 108,591 60 j 711 74 16, 390 00 1, 072 97 * WM. T. JOHNSON, Cashier. Capital stock paid in . 1100, 000 00 Surplus fund Other undivided profits - 60, 000 00 4, 698 34 Xational bank notes outstanding State bank notes outstanding 85, 500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. 2, 739 00 Due to other national banks 105 48 jDue to State banks and bankers . 105 00 19, 500 00 Notes and bills re-discounted. Bills payable 4,500 00 Total . 40 00 245, 035 40 2, 785 66 36,304 10 8, 371 73 542, 735 23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 61 MAINE. First National Bank, Bangor. No. 112. GEORGE STETSON, President. ELIAS MERRILL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $632, 454 60 Capital stock paid in. 3, 965 87 303, 000 00 Surplus fund 70, 000 00 Other undivided profits. National bank notes outstanding 31,474 05 State bank notes outstanding 67, 234 01 Dividends unpaid . 3,491 97 4, 326 31 Individual deposits United States deposits 32, 786 36 Deposits of U. S. disbursing officers. 670 00 72 92 1,025 00 54, 000 00 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable L $500, 000 00 100, 000 00 69, 599 56 229, 569 00 75 00 248, 423 63 22, 762 02 22, 602 88 27, 748 10 20 90 16, 300 00 Total. 1,220, 801 09 1,220, 801 09 Second National Bank, Bangor. No. 306. N. C. AYRE, President. Loans and discounts $274,436 65 Overdrafts 3,630 97 U. S. bonds to secure circulation 150, 000 00 U. S. bonds to secure deposits U. S. bonds on hand 3, 047 36 Other stocks, bonds, and mortgages... 150,197 20 Due from approved reserve agents... 275 00 Due from other banks and bankers . . Real estate, furniture, and fixtures Current expenses and taxes paid.. Premiums paid Checks and other cash items 4, 242 15 Exchanges for clearing house j Bills of other banks I 4,410 00 Fractional currency ! 844 81 Specie ! Legal tender notes | 15,000 00 IT. S. certificates of deposit —.....* Due from U. S. Treasurer I 3,250 00 Total. W. S. DENNETT, Cashier. Capital stock paid in. $150,000 00 Surplus fund Other undivided profits 30, 000 00 15, 538 43 National bank notes outstanding... State bank notes outstanding Dividends unpaid . 7, 500 00 Indivi dual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 609,334 14 122, 950 00 Total. 278,406 18 4, 939 53 609,334 14 Farmers' National Bank, Bangor. JAMES DUNNING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Curi'ent expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer o. 1687. $113,378 01 " l o o , 660'60' 5o"oo6*66" 15, 506 91 J. SWETT ROWE, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding . . . . State bank notes outstanding $100, 000 00 8, 697 72 10, 793 43 85, 000 00 1, 960 00 32, 636 18 Dividends unpaid 5,"29l"l6" 3, 203 62 2,109 29 500 4, 000 00 20 | 00 j 00 j " "4,'506*601 331,154 O S Individual deposits United States deposits Deposits of U. S. disbursing officers.. 5,115 00 119,527 93 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 331. 154 08 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. Kenduskeag National Bank, Bangor. Xo. 51S. W. B, H A Y F O R D , President. T. S. DODD, Cashier. Resources. Liabilities. $174, 592 44 i Capital stock paid in Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits $100, 000 00 20 000 0! 6, 985 16 75, 000 00 ' Surplus fund. Other undivided profits.« Other stocks, bonds, and mortgages.. 1,000 00 Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid 96 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency 4 775 0' Individual deposits United States deposits... 4, 233 60 I Deposits of U. S. disbursing officers 1,154 19 15, 000 00 3,275 00 Due from U. S. Treasurer 301, 613 19 Due to other national banks Due to State banks and bankers 4, 253 14 Notes and bills re-discounted Bills payable. . 496, 026 49 I Total 58,400 00 6, 97c 30 14, 824 00 Legal tender notes National bank notes outstanding State bank notes outstanding Total 496, 026 49 Merchants' National Bank, Bangor. No. 1437. »S. H. BLAKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other 3tocks, bonds, and mortgages. $315, 619 24 1, 183 88 102,450 00 Due from approved reserve agents.. Due from otherbanks and bankers.. jReal estate, furniture, and fixtures.. Current expenses and taxes paid jpi-emiums paid Checks and other cash items Exchanges for clearing house 'Sills of other banks .Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due i'rom U. S. Treasurer 9$, 665 33 13,879 84 M. T. STICKNEY, Cashier. Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits 20, 000 00 87,363 89 National bank notes outstanding State bank notes outstanding 89, 636 00 1, 437 00 "ii"3oo"oo* Dividends unpaid 1, 792 50 4, 677 58 3,185 00 Individual deposits I United States deposits i. Deposits of U. S. disbursing officers.. \. "s"902"66" Due to other national banks Due to State banks and bankers 1, 7f;0 50 | 16, 000 00 Notes and bills re-discounted Biiis payable 5, 506 00 11,645 58 !. otal Total. 265, 556 36 578,823 83 Traders' National Bank, Bangor. No. 1095. "WALTER B R O W N , Preside Loans and discounts -' Overdrafts ; U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve a g e n t s . . . Due from other banks and b a n k e r s . . . Real estate, furniture, and fixtures. . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearinghouse Bills of otherbanks Fraf+^M'.al currency Specie L'-pal tende t 11. 8. certificates of deposit , Due from U. 6. Treasurer $159. 966 25 100. 000 00 3.600 G O 4ij 50° 98 J ' 474 0' 1. 837 EiiENEZEK TRASK, Cashier. Capital stock paid in Surplus fund Other undivided profits 19, 000 00 26,711 90 National bank notes outstanding Stat'd bank notea outstanding 85,166 00 Dividends unpaid Individual deposits ' United States deposits 1. 590 92 Deposits of U. S. disbursing officers . . I . 825 00 180 85 6oO 00 4.000 CO $100,000 00 5, 000 00 84, 199 78 Due to other national banks Diuj to State banks and bankers Note.s and bills re-discounted . Bills payable. 4. 500 00 320, 077 68 63 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. Veasie National Bank, Bangor. WM. C. HOLT, Cashier,, No. 2089. A L F R E D VEAZIE, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages.. Due from approved reserve agents. . . Due from other banks and bankers . . Real estate, furniture, and fixtures... { Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit j Due from U. S. Treasurer $1-22, 590 36 "i66,"66o"66" ""i'oob'bo 19,301 02 •2,054 35 863 75 5, 975 29 2, 530 00 196 39 2, 250 00 " " 4 "560" 55" 3,354 05 13,707 93 Surplus fund ,. Other undivided profits. National bank notes outstanding I 90, 000 06 Individual deposits I United States deposits ! Deposits of U. S. disbursing officers .1 Due to other national banks Due to State banks and bankers . 55, 649 1 G State bank notes outstanding Dividends unpaid , 2, 555 58 Notes and bills re-discounted. Bills payable 265, 266 66 Total. $100, 000 00 Capital stock paid in. 265, 266 6Q Total. First National Bank, Bath. No. 61. OLIVER MOSES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures. - . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer $246,839 19 3, 436 87 200, 000 00 24, 000 00 72,843 65 557 87 5, 000 00 2, 511 71 6, 966 00 76 33 10,000 00 9, 000 00 Total . W. D. MUSSENDEN, Cashier. Capital stock paid in. $200, O 0 00 G 50, 000 00 15, 003 73 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 178, 290 00 726 00 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national bankg Due to State banks and bankers . . . 133,458 62 3, 753 27 Notes and bills re-discounted Bills payable 581,231 62 581,231 62 Bath National Bank, Bath. A R T H U R SEVVALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 494. $178, 275 95 I25,"666" 66" 6,2o666 19, 950 00 13, 513 42 W. D. H I L L , Cashier. Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 1,585 74 1, 823 17 2, 884 00 116 18 435 00 5. O11O 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. $125, 000 00 40, 732 64 13, 290 67 110, 000 00 1, 489 00 69,896 la Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 5, 625 00 360, 408 46 360, 4 64 REPORT O F T H E COMPTROLLER OF T H E CURRENCY. .1 A I N 1 Lincoln National Bank, Bath. CHAS. DAVENPORT, No. 761. President. WM. R. S H A W , Cashier. Resources. Liabilities, Loans and discounts Overdrafts U. S. bonds to secure circulation : U. S. bonds to secure deposits :. IT. S. bonds on hand ! Other stocks, bonds, and mortgages..! Due from approved reserve agents. ..j Due from other banks and bankers . . j Real estate, furniture, and fixtures... | Current expenses and taxes paid j Premiums paid j. Checks and other cash i t e m s . . . . . j. Exchanges for clearing house r Bills of other banks j Fractional currency Specie , Legal tender notes ' IT. S. certificates of deposit i. Due from U. S. Treasurer 200,000 00 I Surplus fund | Other undivided profits 70. i 00 00 •: 28, 350 00 ;j National bank notes outstanding... !!•"• -7"!3 -;6 ' State bank noies outstanding , .V"^ QQ !| Dividends unpaid 6;J 5 0 52, 000 5,369 145, 050 00 12, 225 I Individual deposits . I United States deposits j; Deposits GI U. S. disbursing officers. 10, ri8 50 000 7, 00J 00 jj Due to other national banks 53 | Due to Stare banks and bankers . . . 00 ; S 00 |i Notes and bills re-discounted |! Bills payable 9.000 00 l i Total . 578, n}9 54 Total. $200 000 00 5:13s, 776 6S j Capita 163, 796 158 10 578,619 54 Marine National Bank, Bath. S. D. BAILEY, No. 782. President. Loans and discounts j Overdrafts XT. S. bonds to secure circulation ! IT. S. bonds to secure deposits ! U. S. bonds on hand .j Other stocks, bonds, and mortgages.. j Due from approved reserve agents. . . | Due from other banks and bankers . . | Real estate, furniture, and fixtures... | Current expenses and taxes paid j Premiums paid , Checks and other cash items j Exchanges for clearing house i Bills of other banks ... Fractional currency ! Specie : Legal tender notes \ IT. S. certificates of deposit ; Due from U. S. Treasurer ; Totax ! $115,605 30 H. A. DUNCAN, Cashier. Capital stock paid in., $100,000 00 """oi'soo'oo" ' Surplus fund 20, 000 00 395 04 j! Other undivided profits 300 51,2-1 National bank notes outstanding ! State bank notes outstanding Dividends unpaid . 82, 800 00 5,455 00 Individual deposits United States deposits. 752 00 Deposits of U. S. disbursing officers. , 3,110 00 Due to other national banks 32 65 Due to State banks and bankers — 564 00 5, 000 00 Notes and bills , Bills payable 4,250 00 275,395 39 66, 745 35 275, 395 39 Sagadahock National Bank, Bath, No. 1041. FRANKLIN R E E D , President. HENRY EAMES, Cashier. Loans and discounts j $152,359 15 J Capital stock paid in . Overdrafts j ; IT. S. bonds to secure circulation 100, 000 00 j Surplus fund IT. S. bonds to secure deposits ! Other undivided profits IT. S. bonds on hand ! j National bank notes outstanding.... Other stocks, bonds, and mortgages.. State bank notes outstanding Due from approved reserve agents... Due from other banks and bankers..j Dividends unpaid Real estate, furniture, and fixtures... 5T 000 00 ' Current expenses and taxes paid 600 90 Individual deposits Premiums paid j ; United States deposits Checks and other cash items \ Deposits of IT. S. disbursing officers. ! Exchanges for clearing house Bills of other banks I 2, 240 00 Due to other national banks Fractional currency ! 2 82 Due to State banks and bankers. Specie \ 1.000 00 Legal tender notes j 5r 000 00 Notes and bills re-discounted IT. S. certificates of deposit ! , Bills payable Due from U. S. Treasurer ! 4. 500 00 Total ! 327.060 13 Total. $100, 000 00 36, 000 00 6,355 75 84, 375 00 1,482 00 98,847 38 327,060 13 REPORT OF. THE COMPTROLLER OF THE CURRENCY. 65 MAINE. Belfast National Bank, Belfast JAS. No. 840. P. W H I T E , President. A. H. BRADBURY, Cashier. Resources. Liabilities. $197, 402 26 Overdrafts U. S. bonds to secure circulation L. S. bonds to secure deposits Capital stock paid in 150, 000 00 Other stocks, bonds, and mortgages . . Due from approved reserve agents. . Due from other banks and bankers Real estate, furniture, and fixtures. . Current expenses and taxes paid 1 29, 270 11 $150,000 00 Surplus fund Other undivided profits 38, 716 73 4,606 64 National bank notes outstanding State bank notes outstanding 133, 000 00 < Dividends unpaid 671 52 522 00 i Individual deposits 68,197 45 Checks and other cash items 1, 748 93 | Deposits of U. S. disbursing officers . Fractional currency 3,200 00 ' Due to other national banks .... ' Due to State banks and bankers Legal tender notes U. S. certificates of deposit 1,666-66 Notes and bills re-discounted 5, 000 00 ! Bills payable 6, 750 00 . Total 395, 042 82 . Total 395, 042 82 First National Bank, Biddeford. THOS. H. COLE, President. No. 1089. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $123, 233 29 ioo.ooooo 7,136 66 5, 096 71 1, 232 70 .. CHAS. A. MOODY, Cashier. i0, 000, 00 Capital stock paid in. Surplus fund Other undivided profits 11, 355 00 7, 201 05 National bank notes outstanding State bank notes outstanding 85, 540 00 Dividends unpaid . Individual deposits United S tates deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers . 3, 000 00 244, 349 36 Total. 39, 455 69 797 62 Notes and bills re-discounted . Bills payable Total. 244, 349 36 Biddeford National Bank, Biddeford. C. E. GOODWIN, Cashier. W M . P. H A I N E S , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $198,641 35 124, 000 00 6, 732 41 4,064 81 Capital stock paid in., Surplus fund Other undivided profits National bank notes outstanding . State bank notes outstanding Dividends unpaid . 1, 962 05 Individual deposits United States deposits Deposits of U. S. disbursing officers 6, 428 00 48 78 Due to other national banks Due to State banks and bankers . 5, 672 00 $150, 000 00 40, 000 00 7,394 70 105, 600 00 7, 061 06 Notes and bills re-discounted . Bills payable "" "5," 580"66" 353,129 40 Total. 34, 905 35 8,168 29 353,129 40 66 REPORT OF THE COMPTROLLER OF THE CURRENCY, MAINE. National Village Bank, Bowdoinham. ROBT. P. CARR, President. No. 944. H . Q. SAMPSON, Cashier, Resources. Loans and discounts. Overdrafts j U. S. bonds to secure circulation j XL S. bonds to secure deposits j U. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $40,120 29 Capital stock paid in 5, 622 55 j Dividends unpaid 300 00 $50, 000 00 j j ! State bank notes outstanding 4, 200 00 27, 475 93 • Surplus fund Other undivided profits National bank notes outstanding 50, 000 00 I Individual deposits j 60 52 United States deposits .. j 1,709 00 Deposits of U. S. disbursing officers.. j j 27 Due to other national banks Due to State banks and bankers \ 2, 250 00 Notes and bills re-discounted j \ *2,'256'6o" Bills payable Total !, 366 01 ; 44, 195 00 1,207 40 27, 341 06 -. -~ .--128, 366 01 First National Bank, Brunswick. N. T. PALMER, President. J. P. WlNCHELL, Cashier, Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $52,205 15 $100, 000 00 Capital stock paid in *Io6,"6o6"6o" Surplus fund Other undivided profits 20, 000 00 25, 969 58 89,000 00 1 National banknotes outstanding... 1 State bank notes outstanding 34, 220 59 89,100 00 666 32 258 G O Dividends unpaid | Individual deposits ; ! United States deposits ',432 87 i| Deposits of U. S. disbursing officers 3, 268 7 40 3, COO 00 Due to other national banks 41 i Due to Staie banks and bankers 00 ; 00 [ Notes and bills re-discounted *4,"506"6o" 45,810 40 "~8," 985* 75 ! Bills payable ! 290,123 73 290, 123 73 Total Pejepscot National Bank, Brunswick. H. C. MARTIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1315. $27, 036 13 66 12 50, 000 00 L. H. STOVER, Cashier Capital stock paid in , Surplus fund ""i"ioo''6 Other undivided profits 6 13, 250 00 National bank notes outstanding 15, 327 66 State bank notes outstanding 866 07 8, 750 00 Dividends unpaid. Individual deposits United States deposits 439 51 Deposits of U. S. disbursing officers. $50, 000 00 2, 600 00 6,370 55 42, 900 00 18, 353 61 2,261 00 Due to other national banks 27 67 Due to State banks and bankers . 50 00 1,000 00 Notes and bills re-discounted Bills payable 56*66" 120,224 16 Total 120,224 16 REPORT OF THE COMPTROLLER OF THE CURRENCY. 67 Union National Bank, Brunswick. ADA3I LEMONT, H. A. RANDALL, Cashier, No. 1118,. President, Liabilities. Resources. Loans and discounts Overdrafts U- S. bonds to seciire circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges? for clearing h o u s e . . . . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $75, 0, 000 00 Capital stock paid i n . "loo" Surplus fund Other undivided profits 500 00 , j 90, 000 00 National bank notes outstanding State bank notes outstanding Dividends unpaid j Individual deposits United States deposits Deposits oi U. S. disbursing officers. 13, 366 2, 763 352 38, 437 Due to other national banks Due to State banks and bankers . :, 400 Notes and bills re-discounted. Bills payable S*400" :,969 Total. 244, 969 63 Bucksport National Bank, Bucksport. No. 1079. T. C. WOODMAN, President: Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents. . . Due from other banks and bankers... Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items $109, 251 77 100, 000 E D W A R D SWAZEY, Cashier, Capital stock paid in $100, 000 00 Surplus fund . . Other undivided profits 20, 609 96 3,981 00 National bank notes outstanding State bank notes outstanding 87, 794 00 °°J 57, 809 77 Dividends unpaid 500 00 4,105 80 3,385 316 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 70, 183 75 oo ; Due to other national banks . Due to State banks and bankers 232 37 ! 2, 200 00 i Notes and bills re-discounted Bills payable 5,400 00 Fractional currency Specie U. S. certificates of deposit Due from U. S. Treasurer Total Total 282, 884 71 282, 884 71 Calais National Bank, Calais. JOSEPH A. L E E , President. No. 1425. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . $171,216 11 2, 455 44 70, 000 00 Due from approved reserve agent3-. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid 16,901 65 1,231 55 Checks and other cash items. Exchanges for cleai'ing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. 717 15 1,881 54 684 00 86 38 3, 805 00 3,"l5o"6o' 272, 128 8:2 FRANK NELSON, Cashier, Capital stock paid in. $100,000 00 Surplus fund Other undivided profits 33, 598 62 3, 992 55 National bank notes outstanding State bank notes outstanding 61,000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 72,244 72 617 58675 35 Notes and bills re-discounted Bills payable Total. . 272,128 82: 88 REPORT O F T H E C O M P T R O L L E R O F T H E CURRENCY. A I IV E . Camden National Bank, Cam den. J. F . STETSON, Cashier. No. 2311. 'HENRY KNIGHT, President. Resources. Liabilities. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid _ Checks and other cash items Exchanges for clearing house Bills of other banks „ Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $41, 204 02 Capital stock paid in Other undivided profits $50, 000 00 200 00 2, 903 00 i 4,7r3 36 li. 4 3 L 32 i 4(3!' 63 , 47 5,UUO 00 087 16 127 00 11 51 145 34 [ 00 ", "65" I"350 National bank notes outstanding State bank notes outstanding „ \ \ 27, 000 00 , j. I Individual deposits \ United States deposits ..;. Deposits of U. S. disbursing officers.. j. 18,712 81 Dividends unpaid Due to other national banks Due to State banks and bankers . Note:-; and bills re-discounted Bills payable 98,815 Total. i | j ""3o,"o6o"6o" Surplus fund j j J Total. 98,815 81 First National Bank, Damariscotta. No. 446. E D W I N FLYE, President. Loans and discounts : Overdrafts ! U. S. bonds to secure circulation ; •>U. S. bonds to secure deposits ! U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents...j Due from other banks and bankers..! Real estate, furniture, and fixtures Current expenses and taxes paid , Premiums paid \ Checks and other cash items j Exchanges for clearing house , Bills of other banks Fractional currency Specie Legal tender notes ; r U. S. certificates of deposit Due from IT. S. Treasurer I ! 50, 000 00 Surplus fund Other undivided profits 14, 414 55 $50,000 00 I | $55,571 34 Capital stock paid in . 10,000 00 8,271 55 National banknotes outstanding State bank notes outstanding Dividends unpaid. 507 02 Individual deposits United States deposits 376 23 Deposits of U. S. disbursing officers.. 4,475 00 Due to other national banks 2 53 Due to State banks and bankers 5, 000 00 Notes and bills re-discounted. Bills payable 2, 250 00 143,596 67 Total. WILLIAM FLYE, Cashier. Total 45, 000 00 165 00 30, 030 81 129 31 143,59<3 67 First National Bank, Dexter. CHARLES SHAW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits ' U. S.bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. J Due from other banks and bankers .. •Real estate, furniture, and fixtures...; Current expenses and taxes paid ; : •Premiums paid Checks and other cash items Exchanges for clearing house ; Bills of other banks j Fractional currency •Specie. ; Legal tender notes ; >U. S. certificates of deposit j Due from U. S. Treasurer Total No. 2259. C, W. CURTIS, Cashier, $111,719 15 I Capital stock paid in . 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 1, 507 64 Dividends unpaid 1, 600 00 748 63 17, 000 00 Individual deposits United States deposits 1, 343 60 Deposits of U. S. disbursing officers.. 38 00 Due to other national banks 15 76 Due to State banks and bankers . 190 00 Notes and bills re-discounted Bills payable 4.500 00 238. 667 78 Total. $100, 000 00 2, 000 00 1, 862 38 88, 845 00 288 00 10, 572 40 35,100 00 238, 667 78 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 69 ill A i ]\T E . Frontier National Bank, Eastport No. 1495. S. B. HUME, President. E. J. No YES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S, bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items . . Exchanges for clearing house Bills of other banks Fractional currency. Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $120, 893 06 """GO"300*60' 14, 804 33 2, 802 40 Capital stock paid in. $75, 000 00 Surplus fund Other undivided profits National banknotes outstanding.. State bank notes outstanding 15, 225 22 54, 270 00 Dividends unpaid . 3, 375 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 3, 650 148 770 4, 000 00 20 00 00 *3,"3i3'50* 62, 707 33 Due to other national banks Due to State banks and bankers . . . 103 92 Notes and bills re-discounted Bills payable 210,681 49 210,631 49 First National Bank, Fairfield. HENRY KELLEY. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bond3 on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 2175. $56, 013 62 '""50"660"66" E. G. PRATT, Cashier. Capital stock paid in j $50,000 00 Surplus fund Other undivided profits National bank notes outstanding I 9, 832 64 State bank notes outstanding | 563 90 306 90 3,854 00 Dividends unpaid \ 180 00 \ I 27, 565 45 2, 420 00 6 03 410 00 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers [ 1, 566 50 1, 550 00 Notes and bills re-discounted 70 00 1,566 64 1, 996 50 44, 400 00 ...'• Bills payable ; "" "2,"250" 56" l Total 127, 277 09 127,277 09 Sandy River National Bank, Farmington. J. W. FAIRBANKS, President. Loans and discounts Overdrafts ! U. S. bonds to secure circulation U S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks aDd other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 901. $72, 865 76 ""75,"666"o5" 21, 000 00 17, 888 21 " 3 "578* 53" 1,281 45 T. F. BELCHER, Caskie, Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. $75, 000 00 24, 098 49 2 75 65, 300 00 1.065 00 4,190 00 30, 013 53 Due to other national banks Due to State banks and bankers . 1, 850 00 I Notes and bills re-discounted.. Bills payable 2, 804 00 ! . 26 82 i 199, 669 77 Total. 199, 669 77 70 REPORT OF THE COMPTROLLER OF THE CURRENCY 1AOE. Cobbossee National Bank, Gardiner. JAMES STONE, President. No. 939. JOSEPH ADAMS, Cashit Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. ! $146, 605 10 1 Capital .stock paid in 1 I 100,000 00 i! Surplus fund || Other undivided profits $100, 000 00 ! \ j 7,000 00 ! National bank notes outstanding 17 001 .""" • State-bunk notes outstanding 20,000 0*) 16,378 42 j ' 37,400 00 ......,-_. Individual deposits \ United States deposits I Deposits of U. S. disbursing officers. - j 61,4(54 25 , -- 440 00' 'l~79l~hh'•' dividends} unpaid . 347 22 1,118 334 1, 380 2, 100 00 39 00 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 2,584 62 4,500 00 | 283,267 29 j! 288, 267 29 Total. Gardiner National Bank, Gardiner. JOS. BRADSTREET, President. No. 1174. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers .. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit j Due from IT. S. Treasurer | $69, 485 18 $50, 000 00 Capital stock paid in. '""so'ooo*56' Surplus fund ""io,"6oo'6o" Other undivided profits 8,351 28 19,905 87 32 National bank notes outstanding . . . 16 State bank notes outstanding 80 04 Dividends unpaid . Individual deposits 1,083 75 United States deposits -— 437 17 Deposits of U. S. disbursing officers. 3,792 33, 203 1,369 12,651 2, 336 00 70 90 231 55 1,500 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable , 44, 400 00 1,210 00 63,408 05 1,190 17 2, 249 50 Total. leS, 465 37 Total. G-EO. F . ADAMS, Cashier, .j 188, 4o5 37 Oakland National Bank, Gardiner. JOSHUA GRAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.." Due from other banks and bankers .. Real estate, furniture, and fixtures .. Current expenses and taxes paid.. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 740. S. BOWMAN, Cashier. $159, 832 63 i Capital stock paid in 1,277 67 ! 100, 000 00 | Surplus fund Other undivided profits $100, 000 00 16, 200 00 17,103 10 National bank notes outstanding... State bank notes outstanding 87, 498 00 ""i"756"60" Dividends unpaid. Individual deposits United States deposits 2,435 09 Deposits of U. S. disbursing officers. 75, 400 07 21, 770 15 2, 482 00 Due to other national banks 13 09 ! Due to State banks and bankers . 13 00 3,299 00 Notes and bills re-discounted Bills payable 5, 30.) 00 594 00 1, 427 51 298, 227 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 71 MAINE. American National Bank, Hallowell. P. F. SANBORN, President. No. 624. A. D. KNIGHT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S, bonds to secure deposits -. U. S. bonds on hand ! Other stocks, bonds, and mortgages..! Due from approved reserve agents...! Due from other banks and bankers Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes j U. S. certificates of deposit I Due from U.S. Treasurer Total. $77, 533 78 75, 000 00 8, 229 86 "5"93I"50" 428 30 Capital stock paid in. $75, 000 00 8, 750 00 5, 950 87 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid. 66, 600 00 255 00 Individual deposits United States deposits , Deposits of U. S. disbursing officers . 15,186 41 1, 638 00 Due to other national banks 70 84 Due to State banks and bankers . 1,485 00 Notes and bills re-discounted. Bills payable 3,375 00 171, 742 28 Total. 171,742 28 Northern National Bank, Hallowell. No. 532. •SIMON PAGE, President. JUSTIN E. SMITH, Cashier- $165,036 61 |i Capital stock paid in. Loans and discounts $1CO, 000 00 Overdrafts U. S. bonds to secure circulation | 100, 000 00 Surplus fund 25, 000 00 U. S. bonds to secure deposits 26,455 81 Other undivided profits U. S. bonds on hand Other stocks, bonds, and mortgages .. 6, 500, 00 National bank notes outstanding ! 87, 368 00 j Due from approved reserve agents. .-i 9, 718 00 State bank notes outstanding j Due from other banks and bankers..;.. Real estate, furniture, and fixtures ...; 2, 424 98 Dividends unpaid I 1,122 00 Current expenses and taxes paid j ! Individual deposits „ j 51,300 14 Premiums paid -J ; United States deposits I Checks and other cash items j 1, 255 3:2 I Deposits of U. S. disbursing officers.. I Exchanges for clearing house , : Bills of other banks , ; 710 00 Due to other national banks .. \ 2, 929 82 Fractional currency ' 21 86 Due to State banks and bankers i Specie \... 110 00 ! Legal tender notes j 3, 899 00 Notes and bills re-discounted U. S. certificates of deposit ; , Bills payable i Due from U. S. Treasurer | 4, 500 00 Total... , ...| 294,175 77 Total. Ocean National Bank, Kennebimk* C. LTTTLF.FIELD, Cashier, JOSEPH TITCOMB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $95, 680 07 Capital stock paid in i $ 100, 000 00 101, 000 00 Surplus fund OtDer undivided profits i ! 20 000 00 5. 400 09 i 84, 336 00. Na'ional bank notes outstanding State bank notes outstanding Dividends unpaid . 3,500 00 321 67 Individual deposits United States deposits 1, 207 23 Deposits of U. S. disbursing officers. 1,520 00 15 58 250 00 2, 786 00 570 00 15, 993 66 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 5, 300 00 226,299 75 226, 299 75 72 REPORT OF THE COMPTROLLER OF THE CURRENCY. AINE. First National Bank, Lewiston. No. 330. E. F . PACKARD, President. A. L. TEMPLETON, Cashier. Resources. Liabilities. $555, 586 208 400, 000 50, 000 88 Capital stock paid in . 50 00 Surplus fund 00 Other undivided profits. $400, 000 00 National bank notes outstanding 316, 952 19 State bank notes outstanding " ia*656"66* Dividends unpaid Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 355, 200 00 125, 000 00 32, 078 86 900 00 Individual deposits United States deposits 10, 715 87 Deposits of U. S. disbursing officers. 443,321 92 34, 220 52 50 43 22, 955 00 Due to other national banks 202 80 Due to State banks and bankers 1,500 00 10,500 00 Notes and bills re-discounted Bills payable 18, 000 00 Total. 8,849 Total 1, 399, 621 24 51 1, 399, 621 24 Manufacturers' National Bank, Lewiston. J. M. ROBBINS, President. No. 2260. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house I Bills of other banks Fractional currency Specie Legal tender notes ., IT. S. certificates of deposit ] Due from U. S. Treasurer j I Total. WILLIAM LlBBY, Cashier. $228,791 10 | Capital stock paid'in . 1 75 ' 70, 000 00 Surplus fund Other undivided profits. 21, 735 28 2, 353 33 5, 200 00 1,635 21 9, 300 00 3, 875 50 $200, 000 00 2, 000 00 5, 393 69* National bank notes outstanding State bank notes outstanding 63, 000 00' Dividends unpaid . 119 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 85, 764 04- 5, 934 00 Due to other national banks 10 06 1,061 50 Due to State banks and bankers . 3, 229 0J Notes and bills re-discounted. Bills payable 3,150 00 Total 356, 276 73 ! 356, 276 73 New Castle National Bank, New Castle. JOSEPH HAIXES, President. Loans and discounts , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks , Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 953. $65, 494 39 D. W. CHAPMAN, Cashier, Capital stock paid in . $50, 000 00 ; Surplus fund Other undivided profits | 6, 000 00 National bank notes outstanding | 34, 390 52 State bank notes outstanding 5 44 „ 1, 725 00 Dividends unpaid 375 45 Individual deposits United States deposits Deposits of U. S. disbursing officers.. "so" 666'66' 1,038 66 1 Due to other national banks 1 j Due to State banks and bankers . 30 79 1,200 00 | Notes and bills re-discounted I Bills payable 2, 250 00 ; 162, 509 59 Total 20,000 00 6, 017 45 45, 000 00 220 00 1.272 14 j i I 162,509 59 REPORT OF THE COMPTROLLER OF THE CURRENCY. 73 MAINE. North Berwick National Bank, North Berwick. WILLIAM HILL, President. No. 1523. C. W. GREENLEAF, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes .U. S. certificates of deposit Due from U. S. Treasurer $49, 295 29 Capital stock paid in. 1,900 00 113 77 900 97 1,048 00 14 91 800 00 ""*2,"256"66' 4, 768 33 3, 009 61 43,300 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable " 106,322 94 Total. $50, 000 00 " 50," 000 7)6' Surplus fund Other undivided profits National bank notes outstanding... State bank notes outstanding Total., 4,494 31 750 69- 11.6, 322 94- Norway National Bank, Norway. SUMNER BURNHAM, President. H. D. SMITH, Cashier. No. 1956. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit . Due from TJ. S. Treasurer $102, 575 47 Capital stock paid in. 2,889 4, 111 1,900 1, 006 11, 000 61 60 00 40 00 3, 483 05 394 292 25 1, 500 00 82 00 00 Other undivided profits. National bank notes outstanding State bank notes outstanding Dividends unpaid . 4,800 00 3,317 49 88,100 00 420 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 21, 720 72 3, 687 90 11,631 84 4, 500 00 233, 677 95 j Total. $100,000 00- "ioo'ooo'oo" Surplus fund 233,677 Total Orono National Bank, Orono. EEEN'R WEBSTER, President. Loans and discounts Overdrafts I U. S. bonds to secure circulation j U. S. bonds to secure deposits j U. S. bonds on hand j Other stocks, bonds, and mortgages..: Due from approved reserve agents... Due from other banks and bankers ..! Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1134. E. P. BUTLER, Cashier. $36, 343 35 Capital stock paid in. 441 76 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 4,001 14 7, 782 06 4, 650 00 343 67 Dividends unpaid . Individual deposits United States deposits 2,276 36 || Deposits of U. S. disbursing officers. $50,000 005,990 00 3,293 7031, 700 00 36 00 23,842 78' 3, 540 00 Due to other national banks 81 80 Due to State banks and bankers. 852 34 2, 300 00 Notes and bills re-discounted Bills payable 114,862 48 Total. 114,862 48^ 74 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. Union National Bank, Phillips. No. 2267. DARIUS HOWARD, President. J. E. THOMPSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts j U. S. bonds to secure circulation j 17. S. bonds to secure deposits ] U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . . Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes p a i d . . . . . Premiums paid ..» Checks and other cash items Exchanges for clearing house I Bills of other banks | Fractional currency | Specie j Legal tender notes j U. S. certificates of deposit ! Due from U. S. Treasurer j Total. $33,131 59 Capital stock paid i n . . . . j 50, 000 00 ;j Surplus fund 1 Other undivided profits j National bank notes outstanding 1,415 11 'i State bank notes outstanding Dividends unpaid 7, 832 00 147 00 ! I \ j [ Individual deposits ! United States deposits J. Deposits of U. S. disbursing officers.. \ $50,000 00 430 00 1,101 76 43, 920 00 21 00 610 00 306 00 Due to other national banks 13 20 Due to State banks and bankers. 311 00 Notes and bills re-discounted. , Bills payable 2,250 00 96, 062 76 Total. 96, 032 76 First National Bank, Portland. No. 221. H- J. LiBBY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exehauges for clearing house Bills of other banks Fractional ciirrency Specie Legal tender notes U, S. certificates of deposit Diitf from U. S. Treasurer Total... WM. E. GOULD, Cashier. $1,200,790 83 || Capital stock paid in. $800, 000 00 533, 000 00 'i Surplus fund 2U0, 000 00 j| Other undivided profits. 25,842 33 || National bank notes outstanding... 44 °15 31 i' State bank notes outstanding 7a 006 97 l' . ., , O D 00 !' Dividends unpaid D 3, ho6 o4 || I u d i v i d u a l ^epositr """: Lmtod States deposits 24,459 60 || Deposits of U. S. disbursing officers.. 16,485 00 ! Due to other national banks 200 08 , Due to State banks and bankers 6, 980 00 i 34,799 00 i Notes and bills re-discounted Bills 200, 000 00 103, 636 24 529, 200 00 1, 373 00 478, 597 02 35, 927 23 51, 449 91 52, 712 26 ab 1 26,460 00 ; I 2,252,895 66 ., 2, 252, 895 66 Canal National Bank, Portland. \T. W. THOMAS, President. B. C. SOMERBY. Cashier. $1,072,474 66 Capital .stock paid in. $600, 000 00 Loans and discounts . Overdrafts U. S. bonds to secure circulation j , 120, 000 00 533, 000 00 Surplus fund U. S. bonds to secure deposits \ 266, 744 99 Other undivided profits., U. S.bonds on hand Other stocks, bonds, and mortgages.. 13,100 00 National banknotes outstanding 479, 560 00 Due from approved reserve agents... 161, 474 67 State bank notes outstanding Due from other banks and bankers .. 9, 644 47 1,488 50 Real estate, furniture, and fixtures . . 20, 000 00 Dividends unpaid . Current expenses and taxes paid 3, 630 75 Individual deposits 435, 600 63 Premiums paid ij United States deposits Checks and other cash items 56, 312 63 i Deposits of U. S. disbursing officers. Exchanges for clearing house Bills of other banks 20, 000'66 Due to other national banks i 34, 696 91 Fractional currency Due to State banks and bankers !. Specie 4, 476 35 Legal tender notes 20, 000 00 Notes and bills re-discounted.. U. S. certificates of deposit Bills payable Due from U. S. Treasurer 23, 977 50 Total. Total. 1,938,091 03 REPORT OF THE COMPTROLLER OF THE CURRENCY. 75 MAINE. Casco National Bank, Portland. I. P. FARRINGTON, President. No. 1060. W M . A. WINSHIP, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $1,487,693 91 5o,"6oo oo 4, (J00 00 132, 620 23,051 5, 000 4, 409 66 83 00 64 30, 599 32 % 747 327 6, 127 25, 000 00 82 02 00 2^250'6o"| 1, 773, 827 20 i Capital stock paid in . $800, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 400, 000 00 71, 712 93 45, 000 00 2,403 66 Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers 436, 674 33 18, 036 28 Notes and bills re-discounted Bills payable Total 1,773,827 20 Cumberland National Bank, Portland. H. N. JOSE, President. SAMUEL SMALL, Cashier. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U S Treasurer Total. $352, 844 03 "260,066 00 49, 402 51 15, 000 00 3, 154 45 11,954 • 4,737 00 179 07 1,014 00 11,000 00 $250, 000 00 Capital stock paid in Surplus fund Other undivided profits 50, 000 00 66, 466 49 National bank notes outstanding State bank notes outstanding Dividends unpaid . 180, 000 00 482 69 Individual deposits United States deposits Deposits of U. S. disbursing officers. 111,286 36 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted.. Bills payable 8, 950 00 658,235 54 Total. 658, 235 54 Merchants' National Bank, Portland. RENSELLAER CRANE, President. Loans and discounts Overdrafts.. U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers.. Real e;-tate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency. Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3- CHARLES PAYSON, Cashier. $580,013 33 I Capital stock paid in . 81 92 j 300, 000 00 Surplus fund 50, 000 00 ! Other undivided profits . 14,212 60 National bank notes outstanding 91,536 61 j State bank notes outstanding 5, 668 35 25, 930 22 Dividends unpaid 3,056 5L Individual deposits United States deposits Deposits of U. S. disbursing officers.. 16, ?27 26 4, 738 00 4,011 91) 20, 500 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable $300, 000 00 60, 000 00 127,463 55 265, 000 00 1, 638 52 312,333 35 38, 467 08 21,213 76 3, 960 44 i3,"500 00 1, 130, 076 70 Total. L ,130,076 70 76 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. National Traders' Bank, Portland. A. K. SHURTLEFF No. 1451. president. EDWARD GOULD. Cashier. Liabilities. Resource Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S, Treasurer Total. $470, 456 42 Capital stock paid in. 54 35 300, 000 00 Surplus fund Other undivided profits 20, 580 00 National bank notes outstanding 41,834 85 State bank notes outstanding 1, 377 44 Dividends unpaid. 4,007 05 Individual deposits 5,261 05 United States deposits 7, 203 49 Deposits of U. S. disbursing officers. 11, 000 00 Due to other national banks 1, 105 54 1,450 00 Due to State banks and bankers 11, 176 00 Notes and bills re-discounted . Bills payable 15, 499 00 Total 891, 005 19 $300, 000 00 75, 000 00 55, 007 75 243, 850 00 769 40 214,651 48 514 27 1,212 29 891, 005 19 First National Bank, Richmond. No. 662. L E V I MUSTARD, President. Loans and discounts Overdrafts U. S. bonds* to seeure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $47,868 15 "56" ooo "66 $50, 000 00 Capital stock paid in 1, 475 00 Surplus fund Other undivided profits National bank notes outstanding 3,738 84 4, 000 00 1, 596 03 State bank notes outstanding 43, 090 00 Dividends unpaid 2,194 74 86 00 189 33 325 00 " " 2 " 256' 66' Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 109, 227 06 I Total . JAMES CARNEY, Cashier. Total... 10,541 03 109, 227 06 Richmond National Bank, Richmond. JAS. M HAGAR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents .. Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certifi cates of deposit Due from U. S. Treasurer Total. No. 909. $126,003 28 120, 000 00 28,836 22 ""1," 266*66 1,587 44 1, 658 212 1,03! 1,500 00 75 60 00 "9,466" 66' 300, 347 33 W M . H. STUART, Cashier, Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits Uniti-d States deposits Deposits of U. S. disbursing officers. $120, 000 00 20, 000 00 2, 860 40 104, 500 00 560 0052, 426 95 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills pay ably Total 300, 347 35 REPORT OF THE COMPTROLLER OF THE CURRENCY. 77 MAINE. Lime Rock National Bank, Rockland. J O H N T. B E R R Y , President. No. 2097. G E O . W . B E R R Y , Cashier. Liabilities. Resources. $152,536 38 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits 105, 000 00 Other stocks bonds and mortgages Due from approved reserve a g e n t s . . . Due from other banks and b a n k e r s . . . 27,212 44 3, 620 9'J Current expenses and taxes paid . 12 000 00 967 10 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency . $105, 000 00 Surplus fund Other undivided profits 4,000 00 4,687 43 National bank notes outstanding State bank notes outstanding 93, 700 00 Individual deposits United States deposits Deposits of U S disbursing officers. 86, 369 79 5, 302 00 2, 995 00 378 29 Due to other national banks Due to State banks and bankers 5, 840 00 Legal tender notes XJ. S certificates of deposit Due from U. S. Treasurer Total Capital stock paid in Notes and bills re-discounted Bills payable . 16,215 89 4,725 00 . . 315, 275 11 . Total 315, 275 11 Rockland National Bank, Rockland. MAYNARD SUMNER, President. No. 1446. Loans and discounts Overdrafts X S. bonds to secure circulation L U. S. bonds to secure deposits .... U.S.bonds on hand Other stocks, bonds, and mortgages.. 19,634 35 Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid 42, 398 37 498 93 12, 500 00 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer G. HOWE WJGGIN, Cashier. Capital stock paid in. $150,000 00 40, 000 00 18, 629 34 Surplus fund Other undivided profits 1,286 74 3, 620 75 991 9, 000 00 72 00 00 National bank notes outstanding . . . State bank notes outstanding Dividends unpaid . 134, 200 00 1, 253 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 166,189 97 Due to other national banks Due to State banks and bankers . . . 10,173 71 6, 309 09 Notes and bills re-discounted. Bills payable , 6, 750 00 Total. 526, 755 11 Saco National Bank, Saco. R. JORDAN, President. No. 1535. T. SCAMMAN, Cashier. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $119,427 31 Capital stock paid in . 100,000 00 Surplus fund Other undivided profits 20, 000 00 1,319 86 3, 134 36 564 46 3, 500 00 National bank notes outstanding State bank notes outstanding . . . . 85, 0C0 00 Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. cei tificates of deposit Due from U. S. Treasurer Total. 975 51 828 00 81 74 336 88 4, 000 on Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers . $100, 000 00 2, 546 50 31, 643 54 1, 638 36 Notes and bills re-discounted. Bills payable 9,"300" 00 242, 148 26 Total 242,148 26 78 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. York National Bank, Saco. R. F. C. HARTLEY, President. No. 1528. J. C. BRADBURY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from TJ. S. Treasurer Total. Liabilities. $155, 250 07 282 08 100, 000 00 3,'6oo"6o 4,000 13, 130 3, 676 2, 500 00 39 00 00 226 00 6, 625 00 65 86 5, 600 00 $100, 000 00 Capital stock paid in. 35, 000 00 5,506 15 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 77, 500 00 Dividends unpaid . 5,104 33 Individual deposits United States deposits. .* Deposits of U. S. disbursing officers. 78,144 92 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 301, 255 40 Total. 301, 255 40 First National Bank, Skowhegan. ABNER COBURN, President. No. 239. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. boi ds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $183, 964 28 ""i5o,'666'bo 7, 337 21 "2,"6oo"6o 2,745 33 7,755 00 479 63 5, 000 00 6,75666 N. PAGE, Cashier. Capital stock paid in. $150, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 50, 000 00 6,221 74 134. 990 00 70 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 366,031 45 Total . GEO. Total. 24, 346 49 403 22 366,031 45 Second National Bank, Skowhegan. SAML. ROBINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 298. $139,889 06 672 37 125, 000 00 5, 000 00 10, 484 89 400 35 4,000 00 1, 480 39 1 540 0J ( 2 83 1 288 00 1 050 00 JAMES FELLOWS, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. $125, 000 00 35, 000 00 2, 636 46 109, 517 00 440 00 22, 858 43 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 5,625 00 295, 451 89 Total. 295,451 89 REPORT OF THE COMPTROLLER OF THE CURRENCY. 79 MAINE. South Berwick National Bank, South Berwick. J. H. BURLEIGH, President. No. 959. J. F. WALKER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand . . . Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . Liabilities. $105, 008 47 2,973 00 100 000 00 2, 535 00 28, 255 86 Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits. 20, 000 00 7, 094 83 National bank notes outstanding State bank notes outstanding 88, 768 00 Dividends unpaid... 1, 328 60 5, 052 50 Individual deposits ( United States deposits j. Deposits of U. S. disbursing officers.. j. 787 00 23 82 Due to other national banks . . . Due to State banks and bankers. 385 00 24, 882 42 Notes and bills re-discounted . Bills payable 4, 500 65 245, 797 75 245, 797 75 Total. Georges National Bank, Thomaston. EDWAKD O'BRIEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid... Premiums paid..' Checks and other cash items Exchanges for clearing house , Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1142. J. C. LEVENSALER, Cashier. $121,369 01 Capital stock paid in. 110, 000 00 "" 2,'550 65 92,194 64 $110, 000 00 Surplus fund Other undivided profits 11, 000 00 6, 434 01 National bank notes outstanding . . State bank notes outstanding 97, 500 00 2, 200 00 Dividends unpaid Individual deposits United States deposits 2, 875 50 Deposits of U. S. disbursing officers 240 00 113,887 11 J, 507 00 Due to other national banks 34 11 225 00 Due to State banks and bankers... 7, 500 00 Notes and bills re-discounted 4, 950 00 Bills payable 345, 405 26 1,844 14 4,500 00 Total . 345, 405 26 Thomaston National Bank, Thomaston. WILLIAM SINGER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures -.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 890. $87, 947 93 "ioo, ooo 66 OLIVER ROBINSON, Cashier. Capital stock paid in I $100, 000 00 Surplus fund Other undivided profits 16, 000 00 5, 240 03 National bank notes outstanding State bank notes outstanding 87, 800 00 47, 934 24 1,804 93 17,400 00 Dividends unpaid. 10, 000 00 4,053 70 "l,"465"66" 400 45 4,000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 613 00 19, 853 22 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable 4, 500 00 279, 506 25 Total . 279,506 25 80 REPORT OF T H E COMPTROLLER OF THE CURRENCY. II A I N E . T Medomak National Bank, Waldoboro'. S. W. JACKSON, President. No. 1108. GEORGE ALLEN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $45,573 94 1, 198 78 50, 000 00 3, 900 00 14,646 50 85 70 1,063 66 Capital stock paid in . $50, 000 00 Surplus fund Other undivided profits 5,000 00 1,161 32 National bank notes outstanding State bank notes outstanding Dividends unpaid. 41,648 00 793 50 Individual deposits United States deposits 2, 988 72 Deposits of U. S. disbursing officers.. 26,714 48 1,472 00 Due to other national banks 156 00 Due to State banks and bankers . 482 00 1, 500 00 Notes and bills re-discounted. Bills payable 2, 250 00 Total. 125, 317 30 125,317 30 Waldoboro' National Bank, Waldoboro'. ISAAC REED, President. No. 744. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for cleai'ing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. B. B. HASKELL, Cashier. $42, 127 70 Capital stock paid in . $50,000 00 "56"666"66" Surplus fund Other undivided profits 10,000 00 4,519 17 National bank notes outstanding State bank notes outstanding 45, 000 00 23, 000 00 13, 253 86 506'66' Dividends unpaid. 263 2,5 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 539 00 86 220 00 438 00 22, 547 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2,250 00 Total. 132, 329 42 132,329 42 Merchants' National Bank, Waterville. JOHN W A R E , President. Loans and discounts Overdrafts I U. S. bonds to secure circulation j U. S. bonds to secure deposits I U. S. bonds on hand | Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 2306. $71,802 92 100, 000 00 GEO. H. WARE, Cashier. Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding . . . $100, 000 00 3, 000 00 2,784 48 65,868 00 5, 226 41 State bank notes outstanding 276 11 8,594 82 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers.. 1, 370 7 14 580 00 05 00 00 20, 718 83 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 4, 500 00 192,371 31 Total. 192, 371 31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 81 MAINE. People's National Bank, Waterville. JOHN WEBBER, President. No. 880. HOMER PERCIVAL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid.. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities.' $223, 998 24 Capital stock paid in. 2. 000 00 200,000 00 Surplus fund Other undivided profits National bank notes outstanding 25, 162 38 State bank notes outstanding Dividends unpaid . 6, 000 00 "6," 666* 66' 2, 289 37 595 7 740 1, 200 00 30 00 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $200, 000 00 40, 000 00 6, 777 80 175, 000 00 372 00 58, 562 68 279 81 13,000 00 480, 992 29 Total. 480, 992 29 Ticonic National Bank, "Waterville. SAMUEL APPLETON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.S. Treasurer $120, 577 47 Capital stock paid in . $100,000 00 "io6,"6oo'66" Surplus fund 8, 467 66 3, 956 01 11,000 00 5, 409 74 3,676 00 62 50 1,543 00 "*4,"5O6"66' Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. 25, 000 00 4, 242 76 88, 700 00 830 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 259, 192 38 Total. A. A. PLAISTED, Cashier. No. 762. Total. 40, 009 46 410 16 259,192 38 Waterville National Bank, Waterville. D. L. MILLIKEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 798. $107,336 28 E. L. GETCHELL, Cashier. Capital stock paid in . "127,606 1)0 Surplus fund Other undivided profits 11,550 00 National bank rotes outstanding 7, 510 55 State bank notes outstanding " 2," 750 06' Dividends unpaid. Individual deposits United States deposits ; 75 Deposits of U. S. disbursing officers. 3, 195 00 9 31 2, 000 00 ""5,625 66 267, 782 89 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. $125, 000 00 30, 500 00 3,239 70 101,800 00 250 00 6, 667 86 325 33 267,782 89 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. West Waterville National Bank, West Waterville. A. P. BENJAMIN, President. No. 2231. GEO. H. BRYANT, Resources. Cahier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid $46,419 63 Capital stock paid in 1 73 75, 000 00 Surplus fund Other undivided profits 18, 188 64 1, 168 89 389 25 10, 403 25 $75, 000 00 850 53 1,418 07 National bank notes outstanding . . State bank notes outstanding Dividends unpaid 90 00 3, 128 33 Individual deposits Uiiited States deposits Deposits of U. S. disbursing officers. 2,720 00 2 99 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 67, 330 00 Due to other national banks Due to State banks and bankers . 367 00 3," 375 00 16,476 H Notes and bills re-discounted Bills payable Total. Total. 161, 164 71 National Bank, Winthrop. No. 553. C. M. BAILEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. $149, 459 33 Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 25, 472 83 Total. 100, 000 00 J . M. BENJAMIN, Cashier. Capital stock paid in. $100, 000 00 Surplus fund Other undivided profits 20, 000 0037,089 41 National bank notes outstanding State bank notes outstanding 86, 670 00 j Dividends unpaid . 5, 569 8L ,256 00 8 37 325 00 5,500 00 1,455 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 47, 876 93 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 4,5 000 293, Total 091 34 293,091 34 First National Bank, Wiscasset. HENRY INGALLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1549. $115,972 27 83 94 100, 000 00 S. W. GREENLEAF, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding 10, 000 00 State bank notes outstanding 11,096 37 458 27 i Dividends unpaid . 1,626 64 Individual deposits j United States deposits. Deposits of U. S. disbursing officers. 924 76 872 00 186 86 Due to other national banks Due to State banks and bankers . 500 00 $100, 000 00 25, 000 00 6,014 05 86, 000 00 1,158 00 23, 849 06 5, 000 00 Notes and bills re-discounted. Bills payable. * " 5,300'00 247,021 11 247,021 11 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 83 HAMPSHIRE. Connecticut River National Bank, Charlestown. H O P E LATHROP, President. No. 537. GEORGE OLCOTT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $119,280 31 ""loo"600 60 21, 107 23 ""2,* 756 66 Capital stock paid in $100,000 00 Surplus fund Other undivided profits 32, 000 00 2, 614 50 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. 1,125 00 123 86 Due to other national banks Due to State banks and bankers . 1,285 00 25, 556 90 Notes and bills re-discounted.. Bills payable 4,500 66 Total. 250, 171 40 il Total. 250,171 40 Claremont National Bank, Claremont. GEO. No. 596. N. F A R W E L L , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand _ Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $158, 702 39 1,931 97 150, 000 00 7, 400 00 38,757 12 35, 29 L 95 2, 400 00 2, 058 94 JNO. L. F A R W E L L , Cashier. Capital stock paid in. $150, 000 00 Surplus fund Other undivided profits 63, 000 00 238 83 National bank notes outstanding State bank notes outstanding 133, 500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 62, 817 51 386 52 700 5,125 00 Due to other national banks 97 Due to State banks and bankers00 | 00 Notes and bills re-discounted. Bills payable 6, 750 00 Total. 409, 556 34 409, 556 34 First National Bank, Concord. G. A. PlLLSBURY, President. No. 318. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . $185, 897 21 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid ! 68,166 29 4,956 72 10, 000 00 1, 990 88 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. 150, 000 00 90, 000 00 40, 500 00 4,488 57 10,814 00 1, 479 38 4,700 00 13, 700 00 WM. F. THAYER, Cashier, Capital stock paid in . Surplus fund Other undivided profits. National bank notes outstanding . . . State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers $150, 000 00 30,000 00 46,424 73 131,850 00 210 00 180, 022 32 17, 274 64 20, 266 30 17, 395 06 Notes and bills re-discounted. Bills payable 6, 750 00 593, 443 05 Total.. 593, 443 05 84 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW II A HI P S II I K E . National State Capital Bank, Concord. J . V. BARRON, President. No. 758. H. J. CRIPPEN, Cashier. Resources. Liabilities. •Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer $235,216 88 Capital stock paid in 422 15 200, 01)0 00 Surplus fund Other undivided profits 26,839 70 National bank notes outstanding 31,571 43 State bauk notes outstanding 10, 000 00 22, 800 00 Dividends unpaid 2, 121 56 Individual deposits 5, 247 36 United States deposits Deposits of U. S. disbursing officers.. 6, 835 00 Due to other national banks 318 72 I, 200 00 Due to State banks and bankers 10,000 00 Notes and bills re-discounted 9, 000 00 Biils payable 60, 000 00 21,263 25 166, 000 00 521 00 105, 541 32 10,277 23 563, 602 80 563, 602 80 Total. $200, 000 00 Derry National Bank, Derry. No. 499. JNO. W. NOYES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . G-. C. CURRIER, Cashier. Capital stock paid in Surplus fund Other undivided profits 15, 000 00 I National bank notes outstanding 2, 004 35 State bank notes outstanding 500 00 Dividends unpaid . 364 23 Individual deposits United States deposits 2, 664 00 I Deposits of U. S. disbursing officers.. 9,500 00 I, 190 11 53, 300 00 676 00 9,796 03 189 00 i| Due to other national banks 20 93 '\ Due to State banks and bankers. 25 00 Notes and bills re -discounted Bills payable 2,700 00 , [ 134,462 14 134,462 14 Cochecho National Bank, Dover. J. E. LOTHROP, President. Loans and discounts Overdrafts <U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1087. $151, 121 45 3, 551 51 150, 000 00 1,021 57 6, 000 00 1, 455 79 5, 000 00 928 32 1, 537 00 268 19 600 00 8t"050"66" 329, 533 83 HARRISON HALEY, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers. Dae to other national banks Due to State banks and bankersNotes and bills re-discounted. Bills payable Total. $150, 000 00 7,261 00 7,199 08 135, 000 00 1,168 92 28,404 83 500 00 329, 533 83 REPORT OP THE COMPTROLLER OF THE CURRENCY. NEW 85 HAMPSHIRE. Dover National Bank, Dover. No. 1043. OLIVER WYATT, President. CALVIN HALE, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S- bonds on band Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie ., Legal tender notes U. S. certificates of deport Due from TJ. 8. Treasurer $100,212 14 1 63 100, 000 00 595 00 14,460 81 9, 300 00 751 38 1,008 63 6, 668 00 1, 153 98 2, 0(0 00 '"""i," 5oo" 6b" Surplus fund Other undivided profits 10,375 00 4, 859 68 National bank notes outstanding State bank notes outstanding 83, 300 00 Dividends unpaid . 65 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 240,651 57 Total., $100, 000 00 Capital stock paid in 40, 580 32 1,471 57 240,651 57 Total. Strafford National Bank, Dover. W. S. STEVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1353. $205, 906 11 685 07 151, 000 00 16, 000 00 72,764 36 4,500 00 E. R. BROWN, Cashier. Capital stock paid in. $150, 000 00 Surplus fund Other undivided profits 30, 000 00 32, 590 60 National bank notes outstanding . . State bank notes outstanding Dividends unpaid . Individual deposits ..., United States deposits Deposits of U. S. disbursing officers 2,742 00 25 89 1, 275 00 3,914 00 135, 000 00 1, 832 00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted.. Bills payable I 01 47,059 82 6, 750 00 Total. 465, 562 43 465, 562 43 Monadnock National Bank, East Jaffrey. BENJAMIN CUTTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. No. 1242. $102,705 61 " "I66f"("66"66" 2, 000 00 10,218 42 12,900 60 1,526 59 1,625 09 3,252 00 28 00 800 00 '""'i,"6o6'66' 236, 656 31 PETER UPTON, Cashier. Capital stock paid in. $100,000 00 Surplus fund Other undivided profits 13,364 13 19, 439 13 National bank notes outstanding . . . State bank notes outstanding 85, 400 00 909 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,197 02 16, 347 03 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. 236, 656 31 86 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. National Granite State Bank, Exeter. J. L. MERRILL, President. No. 1147.. W. F . PUTNAM, Cashier. Resources. Liabilities. Loans and discounts i $140, 329 38 Capital stock paid in Overdrafts I U. S. bonds to secure circulation ] 100, 000 00 Surplus fund U. S. bonds to secure deposits I Other undivided profits U. S. bonds on hand . . I ... Other stocks, bonds, and mortgages..! 10, 000 00 National bank notes outstanding Due from approved reserve agents...| 5, 286 54 State bank notes outstanding Due from other banks and bankers . . I Real estate, furniture, and fixtures...! 6, 500 00 Dividends unpaid. Current expenses and taxes paid | 1, 98 L 85 Individual deposits Premiums paid j United States deposits Checks and other cash items j 2, 264 54 Deposits of U. S. "disbursing officers . . Exchanges for clearing house '' Bills of other banks ; 588 00 Dne to other national banks Fractional currency j 373 62 Due to State banks and bankers. : Specie Legal tender notes i 1,000 00 Notes and bills re-discounted..... U. S. certificates of deposit ; Bills payable ! Due from U. S. Treasurer 4, 500 00 Total j 272, 823 93 100, 000 00 10,000 00 18,405 19 89, 300 00 2,145 00 52,973 74 272, 823 93 Farmington National Bank, Farmington. THOS. F. COOKE, Cashier. No. 2022. Gr. M. H E R R I N G , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures.. . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks \ Fractional currency • I Specie Legal tender notes . I U. S. certificates of deposit Due from U. S. Treasurer Total $114,757 78 794 77 100, 000 00 $ LOO, 000 00 Capital stock paid in. Surplus fund I Other undivided profits 7,000 00 2,735 67 ! National bank notes outstanding 6, 923 34 | State bank notes outstanding 89,200 00 Dividends unpaid . 897 74 533 08 j Individual deposits 10, 000 00 | United States deposits Deposits of U. S. disbursing officers - 80 00 32, 687 83 2,216 00 \ Due to other national banks 21 35 ; Due to State banks and bankers . Notes and bills re-discounted. Bills payable. 12,896 40 4, 5 JO 00 j 244, 599 90 Total 244, 599 90 ! First National Bank, Francestown, J . D. BUTLER, President. Loans and discounts Overdrafts U. S bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for dealing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. N o . 576. T. B. BRADFORD, Cashier. $100,000 00 i8, 067 24 100, 000 00 ioo'66' 3, 000 00 4, 879 95 800 00 59 L, 85 848 00 1,215 00 16 86 600 00 7*500 66* Surplus fund Other undivided profits 15,200 00 7,294 90 National bank notes outstanding State bank notes outstanding 84, 980 00 Dividends unpaid 144 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable Total 207, 618 90 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 87 HAMPSHIRE. First National Bank, Gonic. A. D. WHITEHOUSE, Cashier. No. 838. N. V. WHITEHOUSE, President. Resources. Liabilities. $47,264 71 Loans and discounts Overdrafts U. S. bonds to secure circulation • U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks . Fractional currency Specie Legal tender notes ^-.. U. S. certificates of deposit Due from U. S. Treasurer " "60," 000 "66" 7,403 90 1, 000 00 '231 00 34 00 131 00 2 25 1,510 25 55 00 Capital stock paid in. $60, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 3, 880 17 2, 432 35 52,100 00 530 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable " 2,700 66 Total. Total. 120,332 11 120,332 11 Great Falls National Bank, Great Falls. NATHL. WELLS, President. No. 1180. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures . . . j Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks. Fractional currency $190,954 56 1,821 69 150, 000 00 10, 000 00 847 01 J. A. STICKNEY, Cashier. $150,000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 40, 000 00 20, 130 46 129, 700 00 865 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 24, 064 23 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Legal tender note U. S. certificates of deposit Due from U. S. Treasurer Somersworth National Bank, Great Falls. No. 1183. OLIVER H. LORD, President. Loans and discounts Overdrafts . U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total I $148,468 99 800 00 100,000 00 19, 242 58 SAML. S. ROLLINS, Cashier. Capital stock paid in. 20,000 00 23, 112 69 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid . 913 91 1, 112 00 2,'500 66 6 21 279, 543 i $100,000 00 Surplus fund Other undivided profits Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 725 00 44, 706 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable Total. 279,543 69 88 REPORT OF THE COMPTROLLER OF THE CURRENCY, NEW HAMPSHIRE. Dartmouth National Bank, Hanover. HIRAM HITCHCOCK, President. No. 1145. N. S. HUNTINGTON, Cashier,. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits | U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents .. Due from other banks and bankers .. Real estate, furniture, and fixtures...; Current expenses and taxes paid i Premiums paid Checks and other cash items Exchanges for clearing house. Bills of other banks ' Fractional currency \ Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $38, 901 15 Capital stock paid in.. $50, 000 00 50, 000 00 Surplus fund Other undivided profits 6, 628 61 |! National bank notes outstanding 24 886 22 !' ^ t a t e bank notes outstanding 1, 715 00 Dividends unpaid 222 03 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 1,490 00 13 33 200 00 j 1,000 00 || 2,250 00 |! 13.000 00 1,991 53 43, 000 00 19,314 81 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 127, 306 34 Total. 127,306 34 First National Bank, Hillsborough. STEPHEN KKNRICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks I Fractional currency Specie .-. Legal tender notes U. S. certificates of deposit j Due from U. S. Treasurer Total. No. 1688. JNO. C. CAMPBELL, Cashier. $44, 624 49 Capital stock paid in . $50, 000 00 50, 000 00 Surplus fund Other undivided profits 5, 000 00 National bank notes outstanding 1, 398 49 State bank notes outstanding Dividends unpaid . 801 45 3, 050 00 Individual deposits United States deposits 1, 783 80 I Deposits of U. S. disbursing officers.. t 1,833 00 Due to other national banks 1 4 L 'Due to State banks and bankers . 1, 600 00 ; Notes and bills re-discounted Bills payable 2, 250 00 i 112, 342 64 3, 200 00 2,155 83 44, 300 Oft 12, 686 81 112, 342 64 Ashuelot National Bank, Keene. G. A. WHEELOCK, Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers -. Real estate, furniture, and fixtures... Current expenses and taxes paid.. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 946. President. H. O. CO OLID GE, Cashier. 907 54 Capital stock paid in. 2 45 000 00 It Surplus fund I Other undivided profits ""so'oo" I National bank notes outstanding i, 600 00 State bank notes outstanding $148, $150,000 00 150, 22, 000 00 5,344 10 132,200 00 ', 454 74 6 500 00 Dividends unpaid . , 541 38 1 Individual deposits : 9 50 1 United States deposits 1 . 548 9 ) jj Deposits of U. S. disbursing officers 1,317 00 2i 51 f 207 95 9 109 00 , 6" "5 , 750 6 349, 026 97 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable. Total 75 00 32, 495 94 6, 911 93 349, 026 97 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. Cheshire National Bank, Keene. No. 559. J. H. ELLIOT, President. R. H. P O R T E R , Cashier* Liabilities. Resources. $248, 595 10 Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits 200, 000 00 Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid 10, 000 00 36,491 48 Checks and other cash items Exchanges for clearing house Bills of other banks .. Fractional currency Specie U. S. certificates of deposit Due from U. S. Treasurer 24, 450 56 7,808 11 536 03 6,893 00 .... 62 29 $200, 000 00 Capital stock paid in Surplus fund Other undivided profits ... National bank notes outstanding Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers 50, 000 00 33, 547 81 175, 000 00 97, 880 70 408 OR 500 00 8 000 00 "" 13," 500 "65" 556, 836 57 Total 556, 836 57 Total Citizens' National Bank, Keene. No. 2299. S. D. OSBORNE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes -. U. S. certificates of deposit Due from U. S. Treasurer $107,086 60 Capital stock paid in. 785 62 100, 000 00 Surplus fund O ther undivided profits National bank notes outstanding... 7,821 67 State bank notes outstanding 3, 000 00 Dividends unpaid. 1, 533 03 Individual deposits United States deposits 232 78 Deposits of U. S. disbursing officers. "I,*376'o6' 368 42 3,000 00 $100, 000 00 1, 000 00 5, 749 51 89. 530 00 234 00 33,190 61 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 4,500 00 Total. 229,704 12 Total. O. G. DORT, Cashier. 229,704 12 Keene National Bank, Keene. E D W A R D JOSLIN, President. Loans and discounts Overdrafts . * U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 877. G-EO. W. TiLDEN, Cashier. $157,029 32 Capital stock paid in. 1,715 80 100, 000 00 I Surplus fund I Other undivided profits1,800 00 j! National bank notes outstanding 4, 988 43 jj State bank notes outstanding Dividends unpaid 45 30 Individual deposits United States deposits 5,848 15 I Deposits of U. S. disbursing officers. 3, 836 00 87 39 500 00 5,600 00 ""7,"o6o'66' 288, 450 39 $100, 000 00 20, 000 00 18,077 14 87, 000 00 460 00 62, 913 25 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted i Bills payable Total. 288, 450 39 90 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. Laconia National Bank, Laconia. J. C MOULTON, President. No. 1645. D. S. DlNSMOOR, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $152,789 74 Capital stock paid in 1, 090 88 i 150, 000 00 Surplus fund Other undivided profits National bank notes outstanding 2, 023 70 "i,ooo 66" $150, 000 00 14, 000 00 596 98 134, 200 00 State bank notes outstanding 5, 438 50 Dividends unpaid - "16,143 75 Individual deposits United States deposits 6o" Deposits of U. S. disbursing officers.. Due to other national banks 00 I Due to State banks and bankers 00 i Notes and bills re-discounted I 00 i Bills payable 28, 459 86 6, 402 27 "" 1," 050 445 1, 000 6, 750 Total. 332, 695 34 332, 695 34 National Bank, Lebanon. No. 808. WILLIAM S. EL A, President. Loans and discounts Overdrafts: U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U S. Treasurer $84, 607 00 2, 333 22 100,000 00 12, 337 00 8, 927 98 1,615 18 6, 935 66 880 02 123 50 E. A. KENDRICK, Cashier. Capital stock paid in. $100, 000 00 Surplus ftind Other undivided profits National bank notes outstanding State bank notes outstanding 82, 500 00 1,071 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 33, 606 95 8, 309 00 Due to other national banks 984 12 Due to State banks and bankers 620 00 3, 100 00 Notes and bills re-discounted . Bills payable 4, 500 00 235, 272 68 Total. 12, 637 77 5, 456 96 235, 272 68 Littleton National Bank, Littleton. JOHN FARR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. -Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. 8. certificates of deposit Due from U. S. Treasurer Total. No. 1885. O. C. HATCH, Cashier. $137,169 74 Capital stock paid in. ""i5o,'6o6'66" Surplus fund Other undivided profits 5, 000 00 55, 729 49 2, 825 68 825 47 485 14 63 14 4, 302 13 1, 000 7, 0U0 00 27 00 00 6,750*66" 371, 163 93 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. $150, 000 00 14, 000 00 3,130 12 133, 200 00 148 50 70, 526 42 158 89 371, 163 93 REPORT OF THE COMPTROLLER OF THE CURRENCY. JVEW 91 HAMPSHIRE. First National Bank, Manchester. WATERMAN SMITH, President. No. 1153. Resources. FREDERICK SMYTH, Cashier. I $107,136 187 150, 000 100,000 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 87 95 00 00 Liabilities. i Capital stock paid in. j ! Surplus fund j Other undivided profits . 7,200 00 29, 677 43 3, 404 39 5, 000 00 2,236 50 427 25 $150, 000 00 34,000 00 5,489 12 135, 050 00 National bank notes outstanding State bank notes outstanding . 7 . Dividends unpaid 1,288 I Individual deposits United States deposits Deposits of U. S. disbursing officers.. 45. 299 89 46, 206 59 1, 750 00 | Due to other national banks 499 86 Due to State banks and bankers . 693 35 1, 500 00 j Notes and bills re-discounted Bills payable Total . 417, 333 60 i Total. 417, 333 60 Amoskeag National Bank, Manchester. No. 574. MOODY CURRIER, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation | U. S. bonds to secure deposits | U- S. bonds on hand ! Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Sriecie Legal tender notes U. S. certificates of deposit Dae from U. S. Treasurer : G-. BYRON CHANDLER, Cashier. $456,173 30 !| Capital stock paid in 2,911 68 II 200, 000 00 Surplus fund Other undivided profits National bank notes outstanding 68,838 29 State bank note* outstanding Dividends unpaid . "67359* 56* Individual deposits United States deposits 18.148 42 Deposits of U. S. disbursing officers. 12, 349 1, 625 1, 800 20,000 $200, 000 00 < , \ | 60.000 00 16,855 02 171.000 00 115 00 342,135 24 00 Due to other national banks 01 00 Due to State banks and bankers . 00 Notes and bills re-discounted., Bills payable ""i,"9"66"66" Total . 790, 105 26 City National Bank, Manchester. C. W. STANLEY, President. No. 1520. Loans and discounts | Overdrafts ! V S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items j Exchanges for clearing house I Bills of other banks ! Fractional currcacy Specie ,a i Legal tender notes | IT. 8. certificates of i^yoaii j Due from U. S. Treav. >er j Total H. Ex. 3-H3 | D. W. LANE. Cashier. $127,666 23 i Capital stock paid in 1,558 99 ; 153, 000 00 Surplus fund ! Other undivided profits ! $150, 000 00 j 1 899 40 10,698 58 1 35, 562 50 ; National bank notes outstanding 15, 654 87 State bank notes outstanding 13,472 33 ! Dividends unpaid 3, 042 82 Individual deposits 2,933 41 United States deposits ; Deposits of IT. S. disbursing officers. 32 43 i Due to other national banks 273 00 Due to State banks and bankers . . . 2, 000 00 Notes and bills re-discounted , Bills payable j 6,750 00 130,150 00 362,146 58 Total. 1, 006 00 69, 392 60 « 362,146 58 92 KEPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. Manchester National Bank, Manchester, No. 1059 NATHAN PARKER, President. CHAS. E. BALOH, Cashier. Resources. Liabilities. Loans and discounts ! Overdrafts | U. S. bonds to secure circulation { U. S. bonds to secure deposits ; U. S. bonds on hand ! Other stocks, bonds, and mortgages. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures Current expenses and taxes paid j Premiums paid Checks and other cash item3 Exchanges for clearing house Bills of other banks I Fractional currency Specie Legal tender notes | U. S. certificates of deposit ! Due from U. S. Treasurer j Total. $319,077 14 Capital stock paid in . 7,156 54 : 154, 000 00 Surplus fund Other undivided profits . $150, 000 00 60, 000 00 20, 124 17 13, 225 40 National bank notes outstanding 89, 509 77 State bank notes outstanding Dividends unpaid . 1,753 41 Individual deposits United States deposits 1,741 56 ; Deposits of U. S. disbursing officers . j 4,123 00 j Due to other national banks 223 02 ' Due to State banks and bankers . 237 80 i 15, 000 00 j Notes and bills re-discounted j Bills payable 6, 750 00 I 612, 802 64 Total. 132, 400 00 75 00 250, 203 47 612, 802 64 Sonhegan National Bank, Milford. R. R. HowisON, President. No. 1070. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... One from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency ....... Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. F. T. SAWYER, Cashier. $100, 000 00 $82, 693 77 Capital stock paid in. Surplus fund Other undivided profits . 41, 707 22 National back notes outstanding State bank notes outstanding 3. 237 33 Dividends unpaid , '976 43 Individual deposits United States deposits 4, 044 73 Deposits of U. S. disbursing officers. 100, 000 00 3,991 00 Due to other national banks 159 54 Due to State bank3 and bankers . 4,100 00 Notes and bills re-discounted. Bills payable 7. 500 00 7, 646 76 90, 000 00 44, 395 77 1, 519 54 "5,"i6o"oo" Total. 251, 062 07 251, 062 07 First National Bank, Nashua, E. P. EXERSOX, President. Loans and discounts | Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits ! U. S. bonds on hand Other stocks, bonds, and mortgages..) Due from approved reserve agents... , Due from other banks and bankers ..I Real estate, furniture, and fixtures...! Current expenses and taxes paid j Premiums paid !. Checks and other cash items j Exchanges for clearing house j, Bills of other banks j Fractional currency I Specie |, Legal tender notes U. S. certificates of deposit , Due from U. S. Treasurer , Total. J. A. SPALDING, Cashier. No. 84. $147,139 33 1,786 08 150, 000 00 14,000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 1,253 85 3-1, 500 00 Dividends unpaid . 1, 859 53 Individual deposits United States deposits 3, 044 30 Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . 11,000 00 I Notes and bills re-discounted . j B1II3 payable 11, 364 00 i 256 66 ; $150, 000 00 5, 900 00 2, 356 51 129, 800 00 591 00 92, 555 68 1,755 56 " h "756" 56' 382, 953 75 | Total 382,958 75- REPORT OP THE COMPTROLLER OF THE CURRENCY. T E W ¥ 93 HAMPSHIRE, Second National Bank, Nashua. No. 2240. J. w. WHITE, President. F. A. EATON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S, bonds to secure circulation U. S. bonds to secure deposits IT. S, bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearinghouse Bills of other banks Fractional currency Specie. Legal tender notes U. -8. certificates of deposit Due from IT. S. Treasurer Total. $100, 000 00 $79, 501 74 i Capital stock paid in . 487 45 i 100,000 oo ! Surplus fund 1,000 00 3, 552 24 Other undivided profits 5, 570 00 : National bank notes outstanding State bank notes outstanding 55 17,800 979 17,417 90, 000 00 23 i Dividends unpaid . 00 I 84 i Individual deposits 63 | 438 00 32, 266 91 United States deposits 473 40 I Deposits of IL S. disbursing officers. ""2*309*00" Ij Due to other national banks 20 05 I j Due to State banks and bankers . 160 00 I 2, 000 00 ! Notes and bills re-discounted.. " 4 "560" 66" I 4, 022 39 Bills payable Total. 231, 279 54 231, 279 54 Indian Head National Bank, Nashua. CALVIN B. HILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes p a i d . . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1310. $234, 111 76 528 59 120, 000 00 Capital stock paid in. $120, 000 00 27, 000 00 24,918 97 Surplus fund Other undivided profits National bank notes outstanding — . State bank notes outstanding 19, 600 00 53, 505 98 108,000 00 Dividends unpaid. 3, 222 94 6, 289 302 700 8, 000 746 42 I Individual deposits i United States deposits j! Deposits of U. S. disbursing officers 178, 395 45 00 !j Due to other national banks 57 I Due to State banks and bankers. 00 00 Notes and bills re-discounted , "l2,"800"66" Bills payable 459, 060 84 Tots FRANK A. MCKEAN, Cashier. - , Total. . 459, 060 84 New Market National Bank, New Market. W. B. SMALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits j U. S. bonds on hand ! Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house i Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1330. S. A. HALEY, Cashier. $104,117 89 | Capital stock paid in . j 81, 000 00 j Surplus fund j Other undivided profits ' National bank notes outstanding 3, 500 82 State bank notes outstanding $80, 000 00 20, 000 00 3,138 67 70, 000 00 i*70o"oo" Dividends unpaid. Individual deposits j| United States deposits 942 06 1 Deposits of U. S. disbursing officers. 1 1, 920 00 236 00 23, 626 17 Due to other national banks 20 07 j Due to State banks and bankers . 100 00 ' 100 00 i Notes and bills re-discounted Bills payable ! j J I 197, 000 84 I Total., 197, 000 84 94 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. First National Bank, Newport. No. SS8. D. RICHARDS, President. F. \V. LEWIS, Caskur. Resources. Loans and discounts ; Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits i. U. S. bonds on hand ' Other stocks, bonds, and mortgages ..';. Due from approved reserve agents. ..j Due from other banks and bankers...'. Real estate, furniture, and fixtures. Current expenses and taxes paid ;. Premiums paid ! Checks and other cash items Exchanges for clearing house i, Bills of other banks Fractional currency , : Specie ' Legal tender notes ! U. S. certificates of deposit ! Due from U. S. Treasurer ! Total. Liabilities, $106,044 75 Capital stock paid in . $100, 000 00 100, 000 00 Surplus fund Other undivided profits . 4,500 00 National bank notes outstanding 7, 842 65 State banknotes outstanding Dividends unpaid 149 96 23. 000 C O 4; 815 71 : ; 81.100 00 : , Individual deposits i United States deposits ,. | Deposits of U. S. disbursing officers..j 5, 913 5 2,780 1, 000 00 j Due to other national banks 50 Due to State banks and bankers 00 i 00 Notes and bills re-discounted . Bills payable 6,800 00 235, 035 66 '•[ 26,120 15 r.. | ] Totai. 235. 035 86 First National Bank, Peterborough. F. LIVINGSTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits IT. S. bonds on hand , Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1179. $111, 365 52 i Capital stock paid in 25 91 1 100,000 00 ; Surplus fund.... • ',. Other undivided profits 16.231 35 i National bank notes outstanding 9, 477 79 State bank notes outstanding 1, 000 00 Dividends unpaid I, 191 99 Individual deposits United States deposits 219 15 Deposits of U. S. disbursing off i $100, 000 00 \ 18,' SI 85. 495 00 508 CKJ ! 5, 689 00 Due to other national banks 65 25 ! Due to State banks and bankers 53 99 I 600 00 Notes and bills re-discounted. Bills payable 4, 500 57 Total. 250, 420 52 Total. C. P. RICHARDSON, Cashier 250. 420 52 Pittsfield National Bank, Pittsfield. C. H. CARPENTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation "I IT. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. ..j Due from other banks and bankers..! Real estate, furniture, and fixtures .. Current expenses and taxes paid i Premiums paid j Checks and other cash items ! Exchanges for clearing house j Bills of other banks 1 Fractional currency ' Specie • Legal tender notes ! U. S. certificates of deposit | Due from U. S. Treasurer ! Total. No. 1020. JOSIAH CARPENTER, Cashier. $29, 944 27 i; Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding ! 8,241 85 || State banknotes outstanding '3"600"oo ; 1 Dividends unpaid 1 2,272 27 Individual deposits United States deposits Deposits of U. S. disbursing officers. $50, 000 00 j ! j I. 5, 250 00 854 61 42, 200 00 294 0i) 4, 738 02 3,725 00 ' Due to other national banks 52 26 | Due to State banks and bankers . 600 00 Notes and bills re-discounted. Bills payable 2, 500 93 103, 336 63 : Total. 103,336 63 REPORT OF THE COMPTROLLER OF THE CURRENCY. MEW 95 HAMPSHIRE. First National Bank, Portsmouth, W. H. Y. HACKETT, President. E D W . P . KIM BALL, Cashier. Liabilities1. Resources. $388, 682 10 ! Capital stock paid in Loans and discounts ! | 927 00 : Overdrafts i 318, 000 00 Surplus fund U. S. bonds to secure circulation ! 122, 000 00 U. S. bonds to secure deposits.... ; Other undivided profits (7. S. bonds on hand i. . """85," 372 "67*! National bank notes outstanding Other stocks, bonds, and rnoitgages. J 53, 793 03 ! State bank notes outstanding Due from approved reserve agents...', 7. 065 98 :Dividends unpaid Due from other banks and bankers . . 4. 000 00 Real estate, furniture, and fixtures-..! 7, 682 62 Individual deposits Current expenses and taxes paid j Premiums paid i. United States deposits 2,240 61 Depo&its of U. S. disbursing officers. Checks and other cash i t e m s . . . . » j Exchanges for clearing house .). 15,700 00 Due to other national banks Bills of other banks " j 346 13 ; Due to State banks and bankers . Fractional currency j 2 "=Q2 50 specie ; Legal tender notes | U, 500 00 ! Notes and bills re-discounted. C. S. certificates of deposit !. Bills payable 14,300 00 Due from U. S. Treasurer i Fetal. 1, 036, 792 64 Total. $300, 000 00 100, 000 00 52, 026 73 286, 000 00 272 00 177,891 69 50, 998 74 26,843 88 30, 262 75 12,496 85 1, 036, 792 64 National Mechanics and Traders' Bank, Portsmouth. JOHN* SISE, President. No. 401. GEO. W . BUTLER, Cashier. $321,356 98 \ Capital stock paid in Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IX S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing hou»e BUI* of other banks Fractional currency Specie Legal tender notes U, 8. certificates of deposit Due from U. S. Treasurer '"*300"000*00" ! $300, 000 00 j j Surplus fund Other undivided profits 6, 000 00 15,160 63 270, 000 00 16, 500 00 National bank notes outstanding | 24, 592 42 State bank notes outstanding j Dividends unpaid I 5, 943 71 3,115 72 15,591 00 100 66 700 00 6,000 00 13, 500 00 Notes and bills re-discounted Bills payable 707, 490 49 Total. 30 00 Individual deposits .! United States deposits ...| Deposits of U. S. disbursing officers..j Due to other national banks | Due to State banks and bankers I Total 114,161 31 2,048 55 j I... | 707,400 49 New Hampshire National Bank, Portsmouth. J. P. B A R T L E T T , President. No. 1052. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve a g e n t s . . . Due from other banks and bankers Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house I Bills of other banks | Fractional currency Specie Legal tender notes U. S- certificates of deposit Due from U. S. Treasurer ! Total I $178,854 64 150, 000 00 5, 000 00 47, 786 34 L. S. B U T L E R , Cashier. Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding \ Dividends unpaid . j $150, 000 00 j I 30, 000 00 6, 688 22 j I 135, 000 00 195 00 1, 845 63 75, 277 73 Individual deposits , „ United States deposits 105 55 ' Deposits of U. S. disbursing officers . ..» 1,109 00 Due to other national banks 99 79 Due to State banks and bankers. 110 00 , 5, 500 00 : Notes and bills re-discounted ' Bills payable 6, 750 00 397,160 25 Total. 397,160 95 96 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAfflPSHIKE. Rockinghain National Bank, Portsmouth. J. J. PICKERING, President. JOHN P. HART, Cashier. No. 1025. Resources. Loans and discounts j Overdrafts ; U. S. bonds to secure circulation i U. S. bonds to secure deposits j. U. S. bonds on hand Other stocks, bonds, and mortgages..j. Due from approved reserve agents — Due from other banks and bankers .., Real estate, furniture, and fixtures. . J Current expenses and taxe3 paid !. Premiums paid I. Checks and other cash items Exchanges for clearing house \. Bills of other banks ; Fractional currency ' Specie , . Legal tender notes U. S. certificates of deposit i. Due from U. S. Treasurer I Liabilities. $252,160 85 786 55 206, 000 00 o "as," ooo"o 29, 878 58 1.605 78 5, 000 00 3, 784 66 1,973 00 57 59 1, OS5 65 6, 500 00 Capital stock paid in . $200, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 40, 000 00 25, 895 53 180, 000 00 4, 612 00 Dividends unpaid 135 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 199 13 Due to other national banks Due to State bank3 and bankers . Notes and bills re-discounted. Bills payable 9.000 00 542,832 66 Total. 542, 332 66 Rochester National Bank, Rochester. JOHN McDUFFEE, President, No. 2138. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents. -. Due from other banks and bankers... Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. F. McDUFFEE, Cashier. 43, 687 31 Capital stock paid in . $50, 000 00 50, 000 00 Surplus fund Other undivided profits 1.500 00 2,310 82 15O"65' 20, 331 37 396 85 437 41 8, 933 37 1,706 96 1, 517 00 129 72 2, 300 00 2, 250 00 National bank notes outstanding 45, 000 00 State bank notes outstanding 263 00 Dividends unpaid 37,761 17 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable Total. 136. 83y 99 136. 839 99 Citizens' National Bank, Tilton. No. 1333. ELEAZER DAVIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation I U. S. bonds to secure deposits ! U. S. bonds on hand j Other stocks, bonds, and mortgages Due from approved reserve agents... Due from other banks and bankers ..' Real estate, furniture, and fixtures .. j Current expenses and taxes paid ! Premiums paid | Checks and other cash items ! Exchanges for clearing house ! Bills of other banks j Fractional currency i Specie ! Legal tender notes ' U. S. certificates of deposit ! Due from U. S. Treasurer ! Total . WM. T. CASS, Cashier. $74,445 03 ! Capital stock paid in. 72, 000 00 4,022 83 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid , C39 90 ; Individual deposits i United States deposits 702 69 Deposits of U. S. disbursing officers. 2,406 18 190 1,000 00 07 00 00 3, 150 00 15 574 57 ! $70,000 00 j | 13.400 00 1, 384 35 60, 500 00 13, 290 22 Due to other national banks Due to State banks and bankers . Notes and bills re-discountedBiila payable Total . 158,574 57 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 97 HAMPSHIRE* Kearsarge National Bank, Warner. No. 1674. N. G. ORDWAY, President. G. C. GEORGE, Cashier. Liabilities Resources. Loane and discount? Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchange? for clearing house Bills of other banks Fractional currency $43, 964 33 \ Capital stock paid in *"36"666"66"i Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 4.630 00 5, 085 43 National bank notes outstanding State bank notes outstanding 25, 096 00 Dividends unpaid 437 49 I Individual deposits ,. ' jj United States deposits 13,994 06 I Deposits of U.S. disbursing officers. I 1,113 00 59 25 -I. $50, 000 00 Surplus fund Other undivided profits 700 00 2, 068 00 2, 514 65 Due to other national banks Due to State banks and bankers . 2,224 10 Notes and bills re-discounted. Bills payable 1,350 00 i 91,618 18 I Total. Total. 91,618 18 Winchester National Bank, Winchester. E-DWD. C. TMAYER, President. Loans and discounts r Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 887. $121,696 71 ""166*666"66* HENRY ABBOTT, Cashier. Capital stock paid in $100,000 00 Surplus fund « Other undivided profits National bank notes outstanding 1 2, 731 69 1 State bank notes outstanding 20,000 00 11, SG8 55 j 85, 355 00 | , 5, 538 24 !i Dividends unpaid 876 15 j! Individual deposits j| United States deposits 1,001 53 j Deposits-of U.S. disbursing officers. 80 00 21, 950 82 3,524 00 I Due to other national banks 31 80 ! Due to State banks and bankers . 345 50 .ji Notes and bills re-discounted. Bills payable 4:448 75 240,194 37 Total. 240,194 37 Lake National Bank, Wolfborough, JSQ. M. BRACKETT, President. Loans and discounts O verdraft s U. S. bonds to secure circulation U. S. bonds to secure deposits | U. S. bonds on hand I Other stocks, bonds, and mortgages Due from approved reserve agents... Due from other banks and bankers Real estate, furniture, and fixtures... Current expenses and taxes paid ' Premiums paid Cheeks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1486. CHAS. F . PARKER, Cashier. $95,343 52 j Capital stock paid in I $ 125, 000 00 125, 000 00 ; j \ ! 10, 843 65 \ | 3, 000 00 ' j 10.200 00 2, 744 26 Surplus fund Other undivided profits National bank notes outstanding.... State bank notes outstanding 112,500 00 Dividends unpaid . 9, 900 00 Individual deposits „ United States deposits Deposits of U. S. disbursing officers .! 5,160 00 33 36 Due to other national banks Due to State banks and bankers • Notes and bills re-discounted ! Bills payable 5, 600 00 j 254, 880 53 Total. 4,436 27 j ! j 254,880 53 98 REPORT OF THE COMPTROLLER OF THE CURRENCY. VE O N T• National Bank, Barre, No. 2109. N. W. BRALEY, President. CHAS. A. KING, Caskic- Kesources. Liabilities. Loans and discounts ! Overdrafts i U. S. bonds to secure circulation I U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bond3, and mortgages.., Due from approved reserve agents. ..j Due from other banks and bankers ..! Real estate, furniture, and fixtures . . | Current expenses and taxes paid j Premiums paid : Checks and other cash items j Exchanges for clearing house ; Bills of other banks i Fractional currency Specie Legal tender notes j U. S. certificates of deposit ! Due from U. S. Treasurer Total $208,889 86 ; Capital stock paid in 5,395 27 j 200, 000 00 ; Surplus fund i Other undivided profits j National bank notes outstanding 217 06 j State bank notes outstanding j 1, 400 00 j Dividends unpaid 391 15 j j Individual deposits 3,759 19 j United States deposits I 1,914 00 j Deposits of U. S. disbursing officers 701 Si j Due to other national banks Due to State banks and bankers 3,385 00 , Notes and bills re-discounted ! 8, 500 00 i Bills payable 434,553 34 ; j $200, 000 00 ' 13,000 00 5, 247 21 ISO, 000 00 ! \ ! ; 36, 306 10 : i ; Total ; 434,553 34 Barton National Bank, Barton. No. 2290. HIRAM MCLELLAN, President. Loans and discounts , Overdrafts U. S. bonds to secure circulation i U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. ... Due from other banks and bankers...;, Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks ; Fractional currency Specie Legal tender notes ; U. S. certificates of deposit Due from U. S. Treasurer Total. H. K. DEWEY, Cashier •$159, 730 39 ; Capital stock paid in 100, 000 00 | I ; 3,165 96 | 1, 500 00 1,516 46 809 68 | Dividends unpaid $150, 000 00 i Surplusfund Other undivided profits National bank notes outstanding State bank notes outstanding 1,000 00 10,470 94 85, 300 00 i ; 20 00 Individual deposits United States deposits , Deposits of U. S. disbursing officers.-I 4, 085 00 Due to other national banks 351 85 1, 200 00 Due to State banks and bankers . 8, 500 00 Notes and bills re-discounted Bills payable 4, 500 00 285,659 34 38. 568 40 I i... -- Total. National Bank, Bellows Falls. j . H. WILLIAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation • U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..!, Due from approved reserve agents.. -1 Due from other banks and bankers... J Real estate, furniture, and fixtures .. j Current expenses and taxes paid... Preminms paid , Checks and other cash items -. Exchanges for clearing house. Bills of other banks Fractional currency , Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1653. J. H. WILLIAMS. Jr., Cashier, $154, 220 35 •] Capital stock paid in . : 100, 000 00 Surplus fand | Other undivided profits j , National bank notes outstanding : | 63, 2?1 22 State bank notes outstanding 36, 683 09 I Dividends unpaid ; 12, 500 00 | Individual deposits ; | United States deposits 6, S?6 41 | Deposits of U. S. disbursing officers - - j. $100,000 C O 20, 000 00 40. 480 40 90, 000 00 5, 000 00 93 G O 133,275 03 1,099 00 j Due to other national bank3 -82 42 ! Due to State bank3 and bankers . 439 05 3, 460 00 | Notes and bills re-discounted. Bills payable 4, 500 00 388, 971 54 Total. 388, 971 54 REPORT OP THE COMPTROLLER OP THE CURRENCY. VERMONT. First National Bank, Bennington. No. 130, L. R, GRAVES, President. E L L I S A. COBB, Oa&kier. Resource?. Liabilities Loans and discounts ! Overdrafts I IT. S. bonds to secure circulation \ U. 8. bonds to secure deposits j : U. S. bonds on hand Other stocks, bonds, and mortgages..! Due from approved reserve agent3... j Due from other banks and bankers .. i Real estate, furniture, and fixtures . - j Current expenses and taxes paid I Premiums paid .] Checks and other cash items j Exchanges for clearing house | Bills of other banks I Fractional currency -! Specie. j Legal tender notes ' : IT. S. certificates of deposit Due from U. S. Treasurer j Total ! $243, 834 95 Capital stock paid in 3,593 P3 122, 000 00 Surplus fund , Other undivided profits | 110, 000 CO 5.8SL 67 108, 285 00 1, 000 00 National bank notes outstanding 10, 775 52 State bank notes outstanding 743 76 5, 000 00 Dividends unpaid 663 66 | Individual deposits , ! United States deposits 1, 062 73 Deposits of U. S. disbursing officers. . 2, 575 00 Due to other national banks 323 25 Due to State banks and bankers . 410 00 5, 676 00 Notes and bills re-discounted. Bills payable 5, 450 00 403,308 50 $110, 000 00 64, 933 74 4, 203 Total. 0L> 403,306 50 National "White River Bank, Bethel. No. 962. NELSOSf GAY, President. Loans and discounts | Overdrafts j U. S. bonds to secure circulation j LT. S. bonds to secure deposits I U, S. bonds on hand .....; Other stocks, bonds, and mortgages..• Due from approved reserve agentg...;' Due from other banks and bankers .. i Real estate, furniture, and fixtures... j C urrent expenses and taxes paid Premiums paid , Checks and other cash items ! Exchanges for clearing house.. ; Bills of other banks | Fractional currency ! Specie , Legal tender notes I U. S. certificates of deposit ....! Due from U. S. Treasurer ' Total. F. P . HOLDEN, Cashier. $135, 260 41 ! Capital stock paid in . „.. 1, 052 67 ' 125, 000 00 j Surplusfund I Other undivided profits I National bank notes outstanding 3, 0o9 00 I State bank notes outstanding 3, GOO 00| I » i 2,601 45 $125, 000 j I j | 20,000 G O 6, 526 10 112, 500 CO »n dividual deposits j un'ted States deposits j p Dei osits of U. S. disbursing officers . j . 20, 557 63 Dividends unpaid . 3, 750 00 ! Due to other national banks 180 00 I Due to State banks and bankers . 4, 445 00 Notes ancl bills re-discounted 5, 625 00 Bills payable 284, 563 ' Total. • i 284, 583 First National Bank, Brandon. No. 278. N, T. SPRAGCE, J I . , President. H. C. CO PEL AND, Cashier. Loans and discounts ! $187, 376 22 !i Capital stock paid in I $150,000 00 Overdrafts j 2, 955 2 3 ri ! U. S. bonds to secure circulation j 150, 000 00 ': Surplus fund j 80, 000 00 IT. S. bonds to secure deposits |.. ...;! Other undivided profits I 5,967 46 IT. S. bonds on hand „ „ Other stocks, bonds, and mortgages. . . . i ; National bank notes outstanding....j 126,340 00 j Due from approved reserve agents... j 26, 970 -, q , State bank notes outstanding Due from other banks and bankers .. j 3 0, 819 Dividends unpaid . | 250 GO Real estate, furniture, and fixtures... 3, 200 Current expenses and taxes paid i 145 Individual deposits I 28,187 89 : Premiums paid j ; United States deposits Checks and other cash items j I, 518 Deposits of U. S. disbursing officers.. i Exchanges for clearing house j Bills of other banks j 953 Due to other national banks Fractional currency I ' 57 Due to State banks and bankers . Specie ; Legal tender notes ....I Notes and bills re-discounted IT. S. certificates of deposit J Bills payable Due from U. S. Treasurer j 6, 750 Total i 390, 745 35 Total. 390,745 a; 100 REPORT OF THE COMPTROLLER OF THE CURRENCY. V ERJIO N T• Brandon National Bank, Brandon. «?. A. COXANT, No. 404. President. D. C. BASCOM, Cashier. Liabilities. Resources. Loans and discounts | Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents...! Due from other banks and bankers. . . Real estate, furniture, and fixtures..-! •Current expenses and taxes paid Premiums paid ! Checks and other cash items j ! Exchanges for clearing house Bills of other banks | Fractional currency ' Specie ! L-gal tender notes ; U. S. certificates of deposit ' Due from U. S. Treasurer ! Total. $379, 540 17 "20a" ooo "GO' 7, 715 69 Capital stock paid in $200, 000 00 Surplus fund Other undivided profits . 80, 000 00 10, 644 44 180,000 00 National bank notes outstanding . . State bank notes outstanding I'IOO 60" Dividends unpaid. 3,776 71 Individual deposits , United States deposits Deposits of U. S. disbursing officers 465 00 47,761 82 ' Due to ether national banks 267 69 Due to Stats banks and bankers... 4. 469 00! Notes and bills re-discounted. Bills payable 2,200 00 ; 609,071 26 90, 000 00 609,071 26 rotal. First National Bank, Brattleboro"1. No. 470. N. B. WILLISTON, President. Loans and discounts j : Overdrafts . IT. S. bonds to secure circulation I U. S. bonds to secure deposits U. S, bonds on hand ' Other stocks, bonds, and mortgages..!. Due from approved reserve agents...! Due from other banks and bankers... i. R ^ ! estate, furniture, and fixtures. . . j . Current expenses and taxes paid Premiums paid Checks and other cash items ; Exchanges for clearing house Bills of other banks Fractional currency •8 pecie ". Legal tender notes U. S. certificates of deposit Ijixe from U. S. Treasurer ; ' . Total. S. M. WAITE, Cashier. $300,000 00 $311, 420 00 Capital stock paid in- 39, 000 00 9,210 12 Surplus funi iooooooo Other undivided profits National bank notes outstanding 3° "12 20 State bank notes outstanding i, Dividends unpaid 69 92 90,000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 136, 512 20 3, 500 45 1, 675 21, 000 00 Due to other national banks 20 Due to State banks and bankers 00 00 , Notes and bills re-discounted Bills payabb 4,500 00 574, 72-2 32 ! 32 People's National Bank, Brattleboro1. ARLEY STARR, President. Loans and discounts ! Overdrafts ; U. S. bonds to secure circulation ! <U. S. bonds to secure deposits I U. S. bonds on hand. ; Other stocks, bonds, and mortgages.. i Due from approved reserve agents...j Due from other banks and bankers ..: Real estate, furniture, and fixtures...; Current expenses and taxes paid | Premiums paid ! Checks and other cash items j Exchanges for clearing house j Bills of other banks j Fractional currency I Specie | Legai tender notes j U. S. certificates of deposit j Due from U. S. Treasurer | Total. No. 2305. . W. A. FACLKNER, Cashiei $ 117,129 69 Capital stock paid in $100, 000 00 63, 000 00 Surplus fund Otiler undivided profits National bank notes outstanding 1, 816 01 State bank notes outstanding j 2, 000 00 Dividends unpaid 915 65 Individual deposits j 11,525 00 United States deposits j 907 74 Deposits of U. S. disbursing officers 832 00 Due to other national banks 58 54 Due to State banks and bankers ., 145 00 3, 000 00 Notes and bills re-discounted Bills payable 2, 700 00 201,031 63 Total. 3, 000 00 3,590 49 54,000 00 34, 657 69 | | j 5, 003 00 201,031 63 REPORT OF THE COMPTROLLER OF THE CURRENCY. 101 VERMONT. Vermont National Bank, Brattleboro\ LAFAYETTE G-EO. S. DOWLEY, Cashier. No. 1430. CLARK. President. Resources. Liabilities. Loans and discounts .. Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U S, bonds on hand Other stocks, bonds, and mortgages.. $263,810 84 2 980 07 150! 000 03 Due from approved reserve agents . . . Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums? paid 3, 606 38 702 49 19, 700 00 1. 928 00 Capital stock paid in $150, 000 00 Surplus fund Other undivided profits , National bank notes outstanding State bank notes outstanding Dividends unpaid 3, 933 33 Due to other national banks Due to State banks and bankers 7, 000 00 Notes and bills re-discounted Bills payable 3 33, 200 00 Individual deposits I United States deposits I Deposits of U. S. disbursing officers.. | 3,065 00 '571 09 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 100,00) 00 24, 045 57 I t I ! j i 50,000 00 106,361 10 ! !..«, 440 53 ....!. j. 6, 750 00 Total 514,047 20 514,047 20 Total. Howard National Bank. Burlington. LAWRENCE BARNES. No. 1693. President. Loans and discounts Overdrafts X S. bonds to secure circulation L U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonda, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid $373, 091 22 "IGO'OOO'GO" Surplus fund Other undivided profits j I 15; 063 83 12. 000 00 6,395 83 176, 200 00 State bank notes outstanding . 25, 500 00 2, 552 o'J Dividends unpaid 4, 092 00 326 37 700 00 12,227 00 i, 026 68 Total. $300,000 00 Capital stock paid in National bank notes outstanding 7, 827 37 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie " Legal tender notes U, S- certificates cf deposit Due from U. S. Treasurer C. A. SUMNER, Cashier. Individual deposits United States deposits . . . . . Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers J 48, 811 03 Notes and bills re-discounted. Bills payable 650, 406 85 5, 000 00 Total. 650,406 86 Merchants1 National Bank, Burlington. No. 1197. H. P . HiCKOK, President. Loan* and discounts O rerdraf ts • U S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes p a i d . . . Premiums paid Checks and other cash items E xehanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U, S. certificates of deposit Due from IT. S. Treasurer Total ,.. C. W. WOODHOUSE, Cashier. $700, 000 00 $589,324 99 i! Capital stock paid in. 500, 125, Surplus fund Other undivided profits 223 National bank notes outstanding State bank notes outstanding 50, 000 00 50, 560 77 j 443, 000 00 Dividends unpaid. "ii Individual deposits.. S 'I; United States deposits j ! i Deposits of U. S. disbursing officers.. 3,989 00 275 59 3.000 00 36.578 00 1,534,178 04 227,561 90 23,690 81 39,364 56 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total ! .J I | 1,534,178 04 102 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT, Castleton National Bank, Castleton. C. S; SHERMAN, President. No. 15PS. M. D. COLE. Resources. Loans and discounts ! Overdrafts... , IT. S. bonds to secure circulation . IT. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents...! Due from other banks and bankers-..; Heal estate, furniture, and fixtures...: Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $55,115 04 ' Capital stock paid in 2,279 52 \ 50, 000 00 Surplus fund Other undivided profits •, $50,000 00 . 10, WO 00 4,077 68 National bank note3 outstanding 2.257 51 • State bank notes outstanding 422 67 -^. . , , ., 3. C00 00 Dividends unpaid 45, 000 C O - Deposits of U. S. disbursing officers f>6l 00 Due to other national banks 27 70 Due to State banks and bankers 200 00 2,000 00 Notes and bills re-discounted i Bills payable 2, 650 00 ; ; 118,613 44 I „ Total 118,813 First National Bank, Chelsea. ELIHU HYDE, President. No. 2120. JOH.V C. CLARK, Cashv. Loans and discounts ; 3115,105 Overdrafts \ o, 340 U. S. bonds to secure circulation I 150, 000 U. S. bonds to secure deposits U. S. bonds on hand : Other stocks, bonds, and mortgages . . i Due from approved reserve a g e n t s . . . ! . . . . Due from other banks and bankers . . Real estate, furniture, and fixtures...! 2, 3?4 19 Capital stock paid in 27 : 00 , Surplus fund Other undivided profits Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency •Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 43 : Deposits of U. S. disbursing officers -; i 00 • Due to other national banks ; i 10,763 04 00 Due to State banks and bankers ! 55 i' 00 i Notes and bills re-discounted ..:............,. Bills payable i ..... 00 ; Total j | j ' j '•• i ; 1, 4>5 1,170 100 479 320 12, 250 $150.000 00 , : ' National bank notes outstanding State bank notes outstanding -^ . - , ., Diviaendsunpaid 53 302, 5i3 72 Total ; ! ! ; ; 8, 740 00 1, 966 23 123, S O G O O -.,-, , a tu, ^ 302, di Caledonia National Bank, Danville. BLISS N. DAVIS, President. No. 1576. Loans and discounts \ Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..: Due from approved reserve agents... i Due from other banks and bankers . . ' Healestate, furniture, and fixtures. , . | Current expenses and taxes paid i Premiums paid. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total i : j j j j • j | J. B. MATTOCKS, Cashier. 3117,865 63 j Capital stock paid in j ; ! 100, 000 00 i Surplus fund , , Other undivided profits ! ; 2, o00 00 ; National bank notes outstanding,...| 1,170 60 ; S : a l e b a n k n o t e s °^*andiag • \ ^ . . , , <^^.^n-A ' 3,300 00 .j DmJend a unpaid j 2 62 Individual deposits j United States deposits ' 67 16 \ Deposits of U. S. disbursing officers $100,000 00 24, 643 33 57 62 69,905 U O i < f- <-n 1, *4a «i0 18, 5^8 73 ..-., : i, 462 376 , 2, 615 3.100 00 , Due to other national banks 42 , Due to State banks and bankers : 00 Notes and bills re-discounted ; Bills payable 00 ; * 232,612 6 6 ; Total ; ; ,!. : | 232,819 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 103 VERMONT. National Bank, Derby Line. No. 136S. T. FOSTER, President. STEPHEN FOSTER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits ; U. S. bonds on hand ; Other stocks, bonds, and mortgages..: Due from approved reserve agents...' Due from other banks and bankers Real estate, furniture, and fixtures...' Current expenses and taxes paid : Premiums paid Checks and other cash items j Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. 8. certificates of deposit Due from U. S. Treasurer : {5211,164 45 ' ; Capital stock paid in • 150, 000 (O J 10, 200 00 14, 511 29 18. 137 00 $150,000 00 ! j 30,000 00 5, 353 55 National bank notes outstanding State bank notes outstanding ! I 134, 200 00 Dividends unpaid . 145 00 Individual deposits United States deposits 1,367 97 - Deposits of U. S. disbursing officers. 4, 525 00 Due to other national banks 30 26 Due to State banks and bankers . 1,167 00 2, 545 00 Notes and bills re-discounted Bills payable 6. 750 00 96, 699 42 : 4,000 00 Total. 420,397 97 Total. ; Surplus fund Other undivided profits 420,397 97 First National Bank, Fair Haven. No. 344. JOSEPH ADAMS, Presiden•:. ' $163, 416 34 ! Capital stock paid in 86 87 : 100, 000 00 Surplus fund... Other undivided profits LoriL.!* and discounts «-,-.. O vc-rirnits ....,:- t U. S, K.nds to secure circulation U. >- builds to secure deposits l \ S. L-onds on hand OtLLcr stocks, bonds, a n d mortgages., Dn<=- from approved reserve a g e n t s . . , D u r ::om other b a n k s and b a n k e r s ., U"ai e-tate, furniture, and f i x t u r e s . . . C ;:ri'cu: expenses and taxes p a i d . . . . , I'rtriixLurns paid C h ck* and other cash items !•]>:•".'...ages for clearing house li.L^- cf other b a n k s , Vi ti jr.onal currency c'hl i ender novos >, certificates of deposit • c flora U. S. Treasurer -- E. H. PHELPS, Cashier, $102, 700 00 30,000 00 156 26 90, 000 00 National bank notes outstanding . . . State bank notes outstanding 21, 580 00 11,247 -2'i Dividends unpaid 5. 0'...0 i v 1. VJ-2 (;•; Individual deposits United States deposits S44 8 0 Deposits of U. S. disbursing officers 4^0 u o 87.397 37 2,867 00 ; Due to other national banks 126 03 : Due to State banks and bankers . 200 00 6,490 00 -. Notes and bills re-discounted. Bills payable 4, 500 00 Total 317.550 33 I Total. 317, 550 33 Lamoille County National Bank, Hyde Park. L. H. NO YES, President. No. 1163. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits i U. S. bonds on hand j Other stocks, bonds, and mortgages..j Due from approved reserve agents... Due from other banks and bankers...! Real estate, furniture, and fixtures...! Current expenses and taxes paid | Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Soecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. Total j j I ! i A. L. NOYES, Cashier, $133,187 05 I jCapital stock paid in <i 150, 000 00 j Surplus fund ! i Other undivided profits 11,112 08 National bank notes outstanding State bank notes outstanding j : : | I Dividends unpaid ; 5, 784 54 953 35 Individual deposits i 6, 000 00 United States deposits i Deposits of U. S. disbursing officers.. | 2,649 02 $150,000 00 20,000 00 2.410 41 131, 994 00 17, 135 81 | 1, 978 00 Due to other national banks 236 18 Due to State banks and bankers . . . J 2, 890 00 j I 321. 540 25 Notes and bills re-discounted. Bills payable 6,750 00 Total. 321, 540 22 104 REPORT OF THE COMPTROLLER OF THE CURRENCY. West River National Bank, Jamaica. W M . HARRIS, President No. 1564. Resources. J. A. B U T L E R , •! Liabilities?. $71, 113 05 i Capital stock paid in 75 S6.700 00 Surplus fund Other undivided profits. Loans and discounts 0 verdraf ts • U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. 3. bond on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other b a n k s and b a n k e r s . Real estate, furniture, niid fixtures. Current expenses and taxes p a i d . . . P r e m i u m s paid $100,000 00 1.279 19 3,269 64 74,120 00 National bank notes outstanding Stute bank notes outstanding Dividends unpaid. 37 41 143 00 466 50 i Individual deposits United States deposits Deposits of U. S. disbursing officers.. Checks and other cash items Exchanges for clearing h o u s e . . . . . . Bills of other b a n k s Fractional currency Specie Legal "tender notes U . S . certificates of deposit D n t from U. S. Treasurer 6,346 57 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 643 00 305 84 113 27 245 3, 00 4" "5 ,501 5 185, 627 j 0 5.627 10 Total. Cashier. National Bank, Lyndon. No. 1140. HENRY CHASE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation II, S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house 8:11s of other banks Fractional currency Specie. Legal tender notes tT. S. certificates of deposit Due from U. S. Treasurer H. M. PEARL, Cashier, $149,524 81 jj Capital stock paid in. $106, 000 00 20, 675 00 2, 040 39 94,295 00 105,000 00 |! Surplus fund Other undivided profits 200 00 National bank notes outstanding 5,140 72 | State bank notes outstanding Dividends unpaid . 1, 0£2 65 | Individual deposits ! 1 Tjjiited States deposits 1 754 30 ii Deposits of U. S. disbursing officers. 1,250 00 I Du« *o other national banks 60 00 | 390 00 | Due to State banks and bankers . 5, 000 00 |; Notes and bills re-discounted. I' Bills payable.. 4, 770 00 ; 276,272 48 !| Total 155 00 53,107 09 !.... 276,272 43 Battenkill National Bank, Manchester. E. B. BURTON, President. No. 1488. Loans and discounts ! Overdrafts |. U. S. bonds to secure circulation • lT. S. bonds to secure deposits !. U. S. bonds on hand !. Other stocks, bonds, and mortgages..!. Due from approved reserve agents...! Due from other banks and bankers...'. Keal estate, furniture, and fixtures...' Current expenses and taxes paid :. Premiums paid . Checks and other cash items j. Exchanges for clearing house ;. Bills of other banks I Fractional currency '. Specie ..j Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer j Total... , W. P. BLACK, Cashier. $90,235 09 ; Capital stock paid in. 75, C O 00 |! Surplu3fund C j: Other undivided profits „„.. , j; National bank notes outstanding o ., .^ 7 S I; State bank notes outstanding $75, 000 00 27, 000 00 2, 90S 48 67, 500 CO Dividends unpaid. Individual deposits I United States deposits ! Deposits of U. S. disbursing officers,. 31, 655 24 Due to other national banks Due to State banks and bankers . 900 87 4,620 00 i| Notes and bills re-discounted. I Bills payable 1,194 00 204, 063 72 | 204, 063 72 105 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT, National Bank, Middlebnrjr. PARIS FLETCHER, No. 1195. President, J. G. WELLINGTON, Resources, Loans and discounts | Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits ! U. S. bonds on hand j Other stocks, bonds, and mortgages.. I Due from approved reserve agents... j Due from other banks and bankers . . • Real estate, furniture, and fixtures. ..j Current expenses and taxes paid , Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency •Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer CashUr. Liabilities. I $192, 726 62 200, 000 00 Capital stock paid in 63, 050 C O 3, 600 00 National bank notes outstanding 26,924 S3 |,State bank notes outstanding "S'ooo'oo'j: 9 000 00 , $200, 000 00 31,651 £7 72, 141 30 j j 176,170 00 Dividends unpaid . 921 00 Individual deposits ; United Slates deposits 4, 6136 72i Deposits of U. S. disbursing officers . 3, 000 00 fc'95 41 1,276 00 19,483 00 48. 539 Co Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 529, 422 63 Total. j Surplus fund Other undivided profits Total j i 529, 422 63 First National Bank, Montpelier. JNO. A. PAGE, President, Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No; 743. $363,777 35 || Capital stock paid iu 3.413 43 i 250, 000 00 || Surplus fund Other undivided profits i 10 798 00 127 37 1.301 25 5, 312 00 $250, 000 00 102, 000 (0 3, 607 10 16, 700 00 j National bank notes outstanding j | 10, 864 59 | State bank notes outstanding 2, 096 57 ' 3, 700 00 Dividends unpaid. 1,554 52 Individual deposits United States deposits 217 24 Deposits of U. S. disbursing officers. 216,350 00 10 00 116,145 22 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total. 688,112 32 Total. J. C. HOUGHTON, JR., Cashier, Montpelier National Bank, Montpelier. J. R. LANGDON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits.... U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents. ..j Due from other banks and bankers . . ! Real estate, furniture, and fixtures. . J Current expenses and taxes paid I Premiums paid Checks and other cash items Exchanges for clearing h o u s e . . . . . . Bills of other banks Fractional currency Specie Legal tender notes (J. S. certificates of deposit Due from U. S. Treasurer Total. No. 857. $307,768 00 1,622 66 300, 000 00 100, 000 G O 100 00 75, 400 00 32,531 74 1, 655 63 1,223 33 CHAS. A. REED, Cashier. 150, 000 00 23, 537 75 Surplus fund Other undivided profits. National bank notes outstanding j State bank notes outstanding ; Dividends unpaid i Individual deposits I Deposits of U. deposits United States S. disbursing officers.. 2, 364 00 ! Due to other national banks 424,11 I Due to State banks and bankers 766 05 11, 661 00 ! Notes and bills re-discounted. Bills payable 13, 500 00 849, 051 52 $300, 000 00 Capital stock paid in . Total. 260r 800 00 72, 566 30 24, 330 51 17, 816 Sti ! \ 849,051 52 106 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. National Bank, Newport, No. 2-263. Lucius ROBINSON, President. C. W. SCOTT, Cashier, Resources. Liabilities. Loans and discounts $126, 164 51 Capital stock paid in. Overdrafts • U. S. bonds to secure circulation 33,500 00 Surplus fund U. S. bonds to secure deposits Other undivided profits U. S. bonds on hand National bank notes outstanding Other stocks, bonds, and mortgages Due from approved reserve agent3 ..: 12,135 63 State bank notes outstanding Due from other banks and bankers . . Real estate, furniture, and fixtures... 1. 230 39 Dividends unpaid Current expenses and taxes paid 877 87 Premiums paid 5, 355 62 Individual deposits United States deposits Checks and other cash items 700 80 Deposits of U. S. disbursing officers.. Exchanges for clearing house Bills of other banks 2'c»5 00 Due to other national banks Fractional currency 38 47 Due to State banks and bankers Specie 70S 50 Legal tender notes 3, 610 00 Not :s and bill* re-discounted Bill sparable.. U. S. certificates of deposit Due from U. S. Treasurer 1, 510 00 Total . 0, 000 00 12, 776 66 30, 150 00 43,200 13 Total. 186,126 186, 125 79 First National Bank. North Bennington. No, 194. W. PARK. President. S. B. HALL, Cas, $490, 404 30 ; Capital stock paid in 12.599 76 * 551.500 00 Surplus futsd '. ' Other undivided profits Loans and discounts O verdrafts • U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand. Other stocks, bonds, and mortgages. Due from approved reserve agents. Dne from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items1 Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer j i -j I $500, 000 00 190. 0^0 00 8,202 43 495,340 00 172,700 00 ' National bank notes outstanding °S 461 1* • ktate tank notes outstanding • 5* 00^ 00 ' dividends unpaid Individual deposit•2, C85 49 ; Deposits of U. S. disbursing officers.. j 10,140 124 855 7, 000 Total. 00 Due to other national banks 50 Due to State banks and bankers .. 00 • 00 i Nores and bills re-discounted , Bills payable 1,310,626 19 Total. 2,564 03 j 1,310,625 19 Northfield National Bank, Northfield. GEO. NICHOLS, President. No. 1G38. Loans and discounts i Overdrafts i U. S. bonds to secure circulation | U. S. bonds to secure deposits | U. S. bonds on hand ; Other stocks, bonds, and mortgages.. Due from approved reserve agents - . . Due from other banks and bankers . . j Real estate, furniture, and fixtures...j Current expenses and taxes paid | Premiums paid i Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency •Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total F. L. ELY, Cashier. $119,900 04 Capital stock paid in . 81 42 100, 000 00 Surplus fund Other undivided profits 2, 200 00 National bank notes outstanding State b a n k n o t e s outstanding 19.853 26 Dividends' unpaid. 6, 550 00 1, 037 86 Individual deposits United States deposits Deposits of U. S. disbursing officers. 625 i $100, 000 00 16, 000 00 6, 616 93 85,800 00 32 00 48,772 03 423 00 i Due to other national banks 127 58 ! Due to State banks and bankers. i j ; : ! 1, 917 00 : Notes and bills re-discounted . Bills payable 4, 500 00 257,220 95 257, 220 96 REPORT OF THE COMPTROLLER OF THE CURRENCY. 107 VERMONT. First National Bank, Orwell. No. 228. J . L. HAMMOND, President. C. E. BUSH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $313, 495 29 58,~6oo 66' 47, 362 660 2, 500 745 60 30 00 64 762 60 Capital stock paid in. 90, 000 00 18, 923 82 52, 200 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 2,758 00 Due to other national banks 386 38 Due to State banks and bankers.. 457 00 6, 000 00 Notes and bills re-discounted Bills payable 2,610 66 435, 737 81 Total. $100, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Total. 172, 590 39 2, 023 60 435, 737 81 National Bank, Poultney. JOSEPH JOSLIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house I: ills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1200. $231, 795 15 783 04 100,000 00 8, 391 47 15, 335 23 259 09 19,474 39 1, 470 99 MERRITT CLARK, Cashier, Capital stock paid in., $100, 000 00 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United St&tes deposits Deposits of U. S. disbursing officers. 4o"66" Due to other national banks 1, 068 07 7,176 00 20, 000 00 3,816 73 89,975 00 1, 229 00 175,196 68 76 02 Due to State banks and bankers . Notes and bills re-discounted. Bills payable 4, 500 00 Total. 39C, 293 43 390, 293 43 National Black River Bank, Proctorsville. H. W. ALBEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3- No. 1383. $77,193 19 GEO. S. HlLL, Cashier. Capital stock paid in. $50, 000 00- "so.'ooo'oo"! Surplus fund Other undivided profits 4,440 1,957 1, 400 102 04 56 00 80 132 00 200 47 6, 000 00 „ National bank notes outstanding State bank notes outstanding 23,211 09 2, 396 57 45,000 oa Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 23, 568 40 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted., Bills payable "2,"756"66" 144,176 06 i Total , 144,176 06 108 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT, National Bank, Royaiton. No. 1673. CHESTER DOWNER, President. ASA W. KENNEY, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages .., Due from approved reserve agents . . . Due from other banks and bankers. Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total : $125, 033 26 Capital stock paid in . 439 85 100, 000 00 Surplus fund Other undivided profits 100 00 10, 400 00 National bank notes outstanding 26, 757 33 State bank notes outstanding 4, 600 00 Dividends unpaid . 1, 760 49 Individual deposits 1, 508 81 United States deposits 204 14 Deposits of U. S. disbursing officers 00 Due to other national banks 92 Due to State banks and bankers . 00 00 Notes and bills re-discounted. Bills payable 4,500 00 $100, 000 00 4,200 00 3, 750 79 89, 410 00 23 25 35, 060 76 81 69 220 20(J 275,944 80 43, 500 00 Total. 275,944 60 Baxter National Bank, Rutland. No. 1700. H. H. BAXTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents...[ Due from other banks and bankers .. Real estate, furniture, and fixtures.. .| Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks i Fractional currency j Specie Legal tender notes i U. S. certificates of deposit Due from U. S. Treasurer $300, 000 00 , National bank notes outstanding 41, 617 83 State bank notes outstanding 7, 017 90 5, 377 00 Dividends unpaid Individual deposits United States deposits 9, 668 00 Deposits of U. S. disbursing officers 713 81 Due to other national banks Due to State banks and bankers 8,000 00 Notes and bills re-discounted 13, 500 00 Bills payable 40, 000 CO 7, 641 55 256, 000 00 208 00 189,094 89 2, 400 00 5, 665 10 792,944 44 Total. G. R. BOTTUM, Cashier. $378, 453 29 Capital stock paid in 20,531 51 300, 000 00 Surplus fund Other undivided profits . , , , Total.. 792,944 44 National Bank, Rutland. JNO. B. PAGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... CHirrent expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 1450. $790, 350 62 5, 035 39 500, Q O 00 U 69, 360 56 ' 32,'666* 00 274 98 "I,859 66 446 89 13, 000 00 S. W. ROWELL, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . $500, 000 00 100, 000 00 40,902 55 432,136 00 335 00 368, 453 89 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 29, 500 00 1,441,827 44 Total. 1, 441, 827 44 REPORT OF THE COMPTROLLER OF THE CURRENCY. 109 V E R ]f O N T . J Rutland County National Bank, Rutland. Y. RLTLEY, President. No. 820. HENRY F . FIELD. Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer. $313, 806 13 Capital stock paid in . 3, 164 03 200, 000 00 Surplus fund 50, 000 00 Other undivided profits . 2, 650 00 : National bank notes outstanding 41,2-38 55 State bank notes outstanding 3, 500 00 Dividends unpaid 431. 91 Individual deposits 512 25 United States deposits 1,228 29 Deposits of U. S. disbursing officers . $200, 000 00 73,000 00 7,796 61 180, 000 00 150 00 150,264 13 28, 489 73 Due to other national banks Due to State banks and bankers First National Bank, Springfield. No. 122. SAML. ALFORD, Jr., President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . . Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of d 3posit Due from U. S.Treasurer $216, 769 39 1,653 H 200, 000 00 Capital stock paid in. $200, 000 00 Surplus fund Other undivided profits . 30, 000 00 9,702 17 I National bank notes outstanding 16,332 13 State bank notes outstanding 1, 000 00 Dividends unpaid . 644 45 Individual deposits United States deposits 1,061 40 Deposits of U. S. disbursing officers. 3,990 00 Due to other national banks 274 28 Due to State banks and bankers . 550 00 4, 049 00 Notes and bills re-discounted Bills payable "9," 665" 79' 455,323 79 Total. ALBERT BROWN, Cashier. Total. 179, 400 00 298 00 32, 923 62 3, 000 00 455,323 79 First National Bank, St. Albans. HIRAM BELLOWS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid.. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 269. ALBERT SOWLES, Cashier. $444, 414 29 Capital stock paid in . 8,381 16 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding 67,331 84 State bank notes outstanding 941,09 12,000 00 Dividends unpaid. Individual deposits United States deposits 9,501 98 Deposits of U. S. disbursing officers. 10, 230 00 Due to other national banks 176 61 773 00 Due to State banks and bankers. 25, 000 00 Notes and bills re-discounted. Bills payable 4, 500 00 683, 279 97 Total. ;LOO, 000 00 70, 000 00 33,596 78 89, 180 387, 540 10 2, 961 09 683,279 97 110 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. Vermont National Bank, St. Albans. BRADLEY B A R L O W , President. CYRUS N. BISHOP, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bond3 on hand Other stocks bonds and mortgages Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixture* . . Current expenses and taxes paid.. . . Liabilities. $369, 877 47 ! Capital stock paid in $200 000 00 200, 000 00 ; Surplus fund Other undivided profits . National bank notes outstanding 19 ! State bank notes outstanding 88 00 Dividends unpaid 71 8,972 1.390 8,000 3,315 100, 000 00 6,679 36 180,000 00 128, 648 20 United States deposits 4,620 05 : Deposits of U S disbursing officers Cliecks and other cash items Exchanges for clearing house Bills of other banks.. _ Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 2 795 00 291 26 ,. Total Due to State banks and bankers 7,065 00 ; Notes and bills re-discounted . . . . Bills payable 9,000 00 Total * 615, 327 56 615,327 56 First National Bank, St. Johnsbury. LUKE P. POLAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 489. $591,207 84 "566,60660" Capital stock paid in. $500, 000 00 Surplus fund Other undivided profits 110, 000 00 14,948 61 National bank notes outstanding State bank notes outstanding 10,212 22 1, 862 67 16, 000 00 I Dividends unpaid . Individual deposits United States deposits 9, 179 54 Deposits of U. S. disbursing officers. 443 838 00 90, 670 22 1, 242 52 200 7, 000 00 Due to other national banks 56 Due to State banks and bankers. 00 j 00 Notes and bills re-discounted. Bills payable 22, 500 00 j 1, 159, 456 83 Total. GEORGE MAY, Cashier. Total 1,159,456 83 Merchants' National Bank, St. Johnsbury. F R E D . F L E T C H E R , President. Loans and discounts Overdrafts TI. S. bonds to secure circulation U. S. bonds to secure deposit U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 2295. $387, 169 16 53,000 00 4, 847 53 3, 586 07 20, 000 00 776 94 . 190 00 957 74 W. E. HAZEN, Cashier. Capital stock paid in. Surplus fund , Other undivided profits. National bank notes outstanding State bank notes outstanding $300, 000 00 23,135 16 47, 700 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 109, 832 95 2,221 00 Due to other national banks 324 67 ! Due to State banks and bankers . 5, 000 00 '2 "595'66'! 480,668 11 Notes and bills re-discounted Bills payable Total 480,668 11 REPORT OF THE COMPTROLLER OF THE CURRENCY. Ill VERMONT. National Union Bank, Swanton. No. 1634. W. L. SOWLFS, President. G. W. BEEBE, Cashier, Resources. Liabilities. $107,167 12 Loans and discounts 75, 000 00 U. S. bonds to secure circulation U. S. bonds to secure deposits Other stocks bonds and mortgages Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid 2,329 23 Fractional currency Specie Legal tender notes . . . . . U. S. certificates of deposit. . . . . . . . . . . . Other undivided profits National bank notes outstanding State bank notes outstanding Individual deposits 21, 707 00 1,034 28 67, 500 00 1,750 00 186 11 2,000 00 66* 43, 561 10 Deposits of U S disbursing officers Due to other national banks Due to State banks and bankers 177 67 Notes and bills re-discounted . . . . Bills payable 208, 980 05 Total $75, 000 00 2,800 00 14,372 59 Checks and other cash items Capital stock paid in Total ... 208, 980 05 National Bank, Vergennes. C. T. STEVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents. . . Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1364. $190, 234 55 150, 000 00 ""5,566 66 20,235 87 2, 982 07 6, 863 95 4, 044 29 Capital stock paid in . $150, 000 00 Surplus fund Other undivided profits., 21,444 89 36, 353 46 National bank notes outstanding State bank notes outstanding 135, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 55, 259 48 "3*744"66' Due to other national banks Due to State banks and bankers. Notes and bills re-discounted 6,75O"66" Bills payable 703 10 7, 000 00 398, 057 83 Total . D. H. LEWIS, Cashier. 398,057 83 Total. Waterbury National Bank, Waterbury. PAUL DILLINGHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand..-. Other stocks, bonds, and mortgages... Due from approved reserve agents . . . Due from other banks and bankers... Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. . No. 1462. $140,753 68 100, 000 00 19,714 62 1, 500 00 1,029 15 CURTIS W E L L S , Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $100, 000 00 30, 000 00 6, 973 31 90, 000 00 Dividends unpaid. Individual deposits United States deposits 367 50 1 Deposits of U, S. disbursing officers. 1 44, 885 90 326 00 Due to other national banks 146 16 Due to State banks and bankers. 122 10 3, 400 00 Notes and bills re-discounted. Bills payable 4, 500 00 271, 859 21 Total. 271,5 1 21 112 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. National Bank of Newbury, Wells River. W. H. CUMMINGS, President. No. 1406. GEORGE LESLIE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $327,016 13 : Capital stock paid in . 7, 932 25 ; 300, 000 00 j Surplus fund soo"6o"i 0 ther undivided profits 16, 588 00 National bank notes outstanding 1C, 987 25 ! State bank notes outstanding 140 00 3,000 00 Dividends unpaid . 845 60 : Individual deposits United States deposits 6, 134 49 Deposits of U. S. disbursing officers. 53 00 Due to other national banks 146 59 Due to State banks and bankers . 1,716 75 20, 600 00 Notes ar>d bills re-discounted. Bills payable , 23, 500 00 Total. Total. 719,160 06 • $300, 000 00 28, 000 00 4, 039 93 269, 925 00 2,118 93 86, 840 44 28, 235 76 719,160 06 Randolph National Bank, West Randolph. W. H. DD BOIS, President. R. T. Du BOIS, Cashier. No. 2274. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $85,127 02 j Capital stock paid in . $100, 000 00 ""95,'666'uo"' Surplus fund Other undivided profi 4,078 51 1, 986 579 15, 217 823 02 46 50 39 1,108 00 42 53 300 00 1, 500 00 Total. 600 00 3, 240 33 National bank notes outstanding State bank notes outstanding 78, 900 00 Dividends unpaid . Individual deposits , United States deposits Deposits of U. S. disbursing officers i Due to other national banks i ; Due to State banks and bankers . | Notes and bills re-discounted Bills payable 210, 037 43 Total. 15,797 10 11, 500 00 210, 037 43 Ascutney National Bank, Windsor. HIRAM HARLOW, President. No. 816. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits j U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. Total : HENRY WARDNER, Cashier. $89, 330 50 jCapital stock paid in . 100, 000 00 j Surplus fund j Other undivided profits 30,000 00 j 7, 635 00 j National bank notes outstanding 9, 707 06 State bank notes outstanding Dividends unpaid . i Individual deposits , United States deposits 3, 214 89 ; Deposits of U. S. disbursing officers. $100, 000 00 20, 000 00 25, 085 00 86, 922 00 1, 057 00 1, 640 00 17, 558 01 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 252,262 01 Total. 252, 262 01 REPORT OF THE COMPTROLLER OF THE CURRENCY. 113 VERMONT. "Woodstock National Bank, Woodstock. FREDK. BILLINGS, President. No. 1133. H. C. JOHNSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $335, 512 96 Capital stock paid in . 300, 000 00 ""39,"257 50 14, 073 41 10, 600 00 12 05 627 28 Surplus fund Other undivided profits.. National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers . 96 20 200 3, 000 00 Due to other national banks 97 Due to State banks and bankers . 00 00 Notes and bills re-discounted. Bills payable 17, 500 00 720, 900 17 Total . $300, 000 00 31, 400 00 6, 726 48 265, 000 00 1,157 82 116,135 11 480 76 720, 900 17 114 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Abington National Bank, Abington. BAXTER COBB, President. No. 1336. J. N. F A R R A R . Resources. Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on band Other stocks, bonds, and mortgages. $181, 336 18 50 00 150,000 00 Due from approved reserve a g e n t s . . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 9,112 24 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 2,200 00 10, 000 00 $150, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 2,555 00 27 56 135 00 9, 542 00 134, 900 00 6, 685 00 Dividends unpaid. 10, 661 ! 30, 000 00 22, 092 57 Individual deposits United States deposits Deposits of U. S. disbursing officers. 46, 022 31 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable " * 6 , 75o"oo' Total. Total. 339,699 88 389, € > 88 First National Bank, Adams. H. J . BLISS, No. 462. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $243,172 86 5,894 84 142,000 00 "'ib'bbb'bb' 12, 9, 17, 4, 511 720 000 321 28 39 00 23 2, 006 37 H. H. WELLINGTON, Cashier. Capital stock paid in .. Surplus fund Other undivided? profits National I ank notes outstanding State bank notes outstanding $150,000 00 50, 000 00 10,149 42 127, 800 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 94,051 93 1,560 00 7,716 76 2, 390 00 Due to other national banks 401 14 Due to State banks and bankers 3, 965 00 10, 000 00 Notes and bills re-discounted., Bills payable , 7, 395 00 29, 500 00 Total. 470,773 11 470, 778 11 First National Bank, Amherst. L. D. HILLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. R. J. D. WESTCOTT, Cashier No. 393. $182, 017 87 128 31 150, 000 00 24,050 00 16, 878 01 13, 512 55 10, 000 00 325 00 4,150 00 2, 795 59 989 00 554 14 560 75 1, 947 00 Capital stock paid in., Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. $150, 000 00 50, 000 00 686 28 134, 990 00 3,588 00 78,388 94 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills pay able 9, 745 00 417,653,22 j Total. 417, 653 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. 115 MASSACHUSETTS. Andover National Bank, Andover. No. 1129. J. L. TAYLOR, President. MOSES FOSTER, Co shier. Resources. Liabilities. $208, 479 49 Loans and discounts U. S. bonds to secure circulation U. S. bonds to secure deposits U S bonds on hand ...... . . . Other stocks bonds, a n d m o r t g a g e s . . D u e from approved reserve a g e n t s . . . D u e from other banks and b a n k e r s . . . Real estate, furniture, and fixtures... Current expenses and taxes paid 200, 000 $250, C O 00 O Surplus fund Other undivided profits 57, 577 51 279 OS "*65 000 00 62,161 41 5, 000 00 ... ... Checks and other cash items Exchanges for clearing house Bills of other banks .- .Fractional currency Specie Legal tender notes . .. U S certificates of deposit Due from U. S. Treasurer Capital stock paid in National bank notes outstanding State bank notes outstanding 153, 962 00 9,568 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 87, 861 43 4,316 10 2,781 2, 500 00 Due to other national banks 12 , Due to State banks and bankers 00 Notes and bills re-di3counted 00 Bills p a y a b l e . . . . ... 9,000 00 559, 248 02 Total Total 559, 248 02 First National Bank, Ashburnham. No. 2113. G. C. WINCHESTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages, Due from approved reserve agents. . . Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes , U. S. certificates of deposit Due from U. S. Treasurer Total. GEO. W. EDDY, Cashier. Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid., 660 00 1, 532 9543, 565 00 72 50 Individual deposits United States deposits Deposits of U. S. disbursing officers . 4, 903 05 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 100, 788 50 j 100,783 50 Total Athol National Bank, At hoi. T. H. GOODSPEED, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 2172. $100, 574 38 427 44 33, 500 00 19, 089 527 7, 496 971 4,500 73 35 93 50 00 224 31 2, 460 00 728 61 C. A. CHAPMAX, Cashier. Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers , $100, 000 00 615 39 4,674 63 30,140 00 149 87 39,117 60 616 76 Notes and bills re-discounted Bills payable Total 175,314 25 116 REPORT OF THE COMPTROLLER OP THE CURRENCY. MASSACHUSETTS. Miller's River National Bank, Athol. ALPHEUS HARDING, President. No. 708. A. L. NEWMAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts i. U. S. bonds to secure circulation U. S. bonds to secure deposits ;. U. S. bonds on hand Other stocks, bonds, and mortgages., j Due from approved reserve agents... j Due from other banks and bankers ..J Real estate, furniture, and fixtures...! Current expenses and taxes paid ! Premiums paid . |. Checks and other cash items j Exchanges for clearing house j. Bills of other banks i Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $290,019 51 Capital stock paid in. $150, 000 00 ioo.ooo'66"; Surplus fund Other undivided profits 41,000 00 National bank notes outstanding 14, 373 32 ! State bank notes outstanding 5. 978 42 I 6, 500 00 |! Dividends unpaid . ! 2, 842 95 i Individual deposits • United States deposits 410 82 Deposits of U. S. disbursing officers. 5, 507 00 Due to other national banks 587 11 i Due to State banks and bankers . 900 00 Notes and bills re-discounted 9,716 00 Bills payable 6,750 00 Total. 534,585 13 100, 000 00 9,991 02 131,640 00 454 63 134, 709 14 7, 790 34 534,585 13 First National Bank, Attleboro'. WILLARD BLACKINTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer Total. H. M. DAGGETT, Cashier. No. 2232. $141, 698 35 $100, 000 00 Capital stock paid in., 35,000 00 Surplus fund '16"666*65"! Other undivided profits National bank notes outstanding 8,225 43 State bank notes outstanding 273 45 1, 500 00 Dividends unpaid. 5 00 5, 931 25 Individual deposits United States deposits 593 16 Deposits of U. S. disbursing officers.. !, 183 00 512 66 Due to other national banks . Due to State banks and bankers. Notes and bills re-discounted. 5, 000 00 ; Bills payable 2, 175 00 213, 097 30 j Total. 1,400 00 1, 285 23 31, 500 00 2,634 00 74,718 79 1,559 2S 213,097 30 First National Bank, Barre. HIRAM WADS WORTH, President. E D W I N WOODS, Cashier. No. $165,968 94 ! Capital stock paid in . Loans and discounts 24 97 Overdrafts 150, 000 00 Surplus fund U. S. bonds to secure circulation U. S. bonds to secure deposits '"""ia'oso'oo" Other undivided profits U. S. bonds on hand National bank notes outstanding Other stocks, bonds, and mortgages . . 21,800 00 State bank notes outstanding 20,151 00 Due from approved reserve agents... Due from other banks and bankers . . Dividends unpaid. Real estate, furniture, and fixtures... Current expenses and taxes paid Individual deposits Premiums paid 1,590 91 United States deposits 937 39 Deposits of U. S. disbursing officers. Checks and other cash items j Exchanges for clearing house • 8,453 00 Bills of other banks j Due to other national banks 45 55 Fractional currency j Due to State banks and bankers. 275 00 Specie I Legal tender notes j Notes and bills re-discounted 1 U. S. certificates of deposit ! Bills payable Due from U. S. Treasurer ! 6, 750 00 I Total. 395,387 56 ' Total. $150, 000 00 48.000 00 18.001 85 133, 700 00 696 00 44, 939 71 395, 387 56 REPORT OF T H E COMPTROLLER OF T H E CURRENCY. 117 MASSACHUSETTS. Beverly National Bank, Beverly. Jonv PICKETT, President. R. G-. BENNETT, Cashier, Resources. Liabilities. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie j Legal tender notes IT. S. certificates of deposit j Due from U. S. Treasurer I $231, 715 47 1,416 37 200, 000 00 Capital stock paid in. 40, 000 00 6,758 65 National bank notes outstanding State bank notes outstanding Dividends unpaid 126 02 266 00 214 75 1,240 00 10, 495 00 175, 988 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 5,031 25 109,627 44 1, 666 27 141,076 92 6, 975 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 9, 000 00 570,798 57 Total. $200,000 00 Surplus fund Other undivided profits . 570, 798 57 Total. First National Bank, Boston. No. 200. A. T. LOWE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total JOHN CARR, Cashier. $1, 000, 000 00 Capital stock paid in. $3, 033, C07 18 235 08 589, 000 00 Surplus fund O ther undivided profits 220, 400 00 National bank notes outstanding 435,091 15 State bank notes outstanding 116,562 85 265, 000 00 Dividends unpaid . 44,131 226,143 29, 502 2, 350 57, 3L5 108, 600 Iu5, 000 50, 100 67 30 00 06 Of) 00 00 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. il j Due I ! I ! to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 5, 282, 438 29 ! Total 1,000,000 00 129, 412 23 515, 000 00 37, 464 00 903, 385 49 1,651,974 27 45, 202 30 5, 282, 438 29 Second National Bank, Boston. JAS. H. BEAL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender aotes U. S. certificates of deposit Due from U. S. Treasurer Total No. 322. A. J. LOUD, Cashier. $3, 663, 549 03 Capital stock paid in. 4,381 89 540, 000 00 1 Surplus fund 1 I6o"6oo"oo" Other undivided profits National bank notes outstanding 236, 598 46 State bank notes outstanding 188, 858 31 Dividends unpaid . 8, 694 59 26, 800 00 11, 101 33 260, 596 97 37, 592 00 1, 925 36 119,464 64 55, 000 00 25r, 000 00 24, 3U0 00 iI Individual deposits j| United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers ! i Notes and bills re-discounted., i Bills payable...e, i 5, 593, 862 58 I Total $1,600,000 00 750, 000 00 46, 372 11 479, 000 00 43,224 00 2, 065, 550 25 566, 079 31 43, 636 91 5,593,862 58 118 REPORT OF THE COMPTROLLER OF THE CURRENCY. Third National Bank, Boston. No. 359. P. L. EVERETT, President. F. B. SEARS. Cashi, Resources. Liabilities. Loans and discounts , $1,121, 728 83 Overdrafts 110 99 50, 000 00 U. S. bonds to secure circulation U. S. bonds to secure deposits j. U. S. bonds on hand 96, 675 00 Other stocks, bonds, and mortgages.. 95, 183 14 Due from approved reserve agents... 57, 699 60 Due from other banks and bankers... Real estate, furniture, and fixtures . . Current expenses and taxes paid 2, 012 82 Premiums paid 2, 468 83 Checks and other cash items 96. 639 56 Exchanges for clearing house 14,777 00 Bills of other banks 53 43 Fractional currency 67,810 83 Specie 48, 000 00 Legal tender notes 40, 000 00 U. S. certificates of deposit 2, 250 00 Due from U. S. Treasurer Total. Capital stock paid in j Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . $300, 000 00 120, 000 00 27,330 73 45, 000 00 8,165 00 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers 1,059,222 21 112, 973 97 22,713 07 Notes and bills re-discounted. Bills payable 1,695,410 03 i 1,695,410 03 Total. Fourth National Bank, Boston. S. P. WOODBRIDGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks . . Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2277. $223, 711 98 ""so," 666" 67 F. N. ROBBINS, Cashier. $200,000 00 Capital stock paid in . Surplus fund O ther undivided profits National bank notes outstanding State bank notes outstanding 38, 514 50 2,261 30 Dividends unpaid . 8, 937 50 28,888 85 6,511 00 1, 052 33 2, 000 00 216 35 45,000 00 3,314 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 127,197 11 Due to other national banks Due to State banks and bankers . 10, 0 JO 00 Notes and bills re-discounted Bills payable 2f"850"66" 377, 727 46 377, 727 46 Total. Atlantic National Bank, Boston. ISAAC PRATT, Jr., President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Suspense acco>i,nt Total. ... JAS. T. DROWN, Cashier. No. 643. Capital stock paid in . $750, 000 C O Surplus fund Other undivided profits 27,"250 65" National bank notes outstanding 130,226 29 State bank notes outstanding 40, 838 32 241,502 26 Dividends unpaid . 144 55 Individual deposits 5,566 27 United States deposits 50. 961 16 Deposits of U. S. disbursing officers. 5,716 00 594 31 Due to other national banks 13,268 75 Due to State banks and bankers 27,558 00 30,000 00 Notes and bills re-discounted. 23, 530 00 Bills payable , 26, 931 50 300, 000 00 24, 616 16 $983, 302 43 19 57 524, 000 00 2, 131,459 41 Total 407. 360 00 30,452 00 587, 419 63 27, 522 23 4, 089 39 ! 2,131,459 41 REPORT OF THE COMPTROLLER OF THE CURRENCY. 119 MASSACHUSETTS. Atlas National Bank, Boston. M D, SPAULDING, President. CHAS. L. LANE, Cashier, No. 654. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items - . Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes I r. 8. certificates of deposit Due from U. S. Treasurer $2, 463, 583 60 1 00 500, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 60, 000 00 283,589 61 14-2, 363 42 6, 296 04 125, 292 80 19. 963 00 3, 533 23 13,949 60 73, 380 00 145, 000 00 22, 500 00 300, 000 00 92, 317 74 449, 980 00 39, 547 00 Dividends unpaid ; Individual deposits United States deposits I Deposits of U. S. disbursing officers . • ! Due to other national banks Due to State bauks and bankers Notes and bills re-discounted.. j Bills payable 3, 859, 455 30 j Total. $1, 500, 0C0 00 Capital stock paid in . Total 1,075,377 65 4, 479 24 397,753 67 3, 859, 455 30 Blackstone National Bank, Boston. JOSHUA LORING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation XT. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes I . S. certificates of deposit Due fromU. S. Treasurer No. 514. $3, 626,103 40 Capital stock paid in . 353 54 588,000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 389, 470 44 395,041 82 Dividends unpaid . 357, 930 44 76 05 Individual deposits United States deposits 6, 280 63 Deposits of U. S. disbursing officers. 155,918 69 95,259 00 Due to other national banks 1,175 25 Due to State banks and bankers 13, 590 05 Notes and bills re-discounted. 130,000 00 150, 000 00 Bills payable 26, 460 00 5,935,659 3L Total. JAMES ADAMS Jr., Cashier. Total. $2, 000, 000 00 372, 000 00 50, 529 07 512, 700 00 53, 582 00 1, 788, 526 61 628, 860 92 529, 460 71 5, 935, 659 31 Blue Hill National Bank of Dorchester, Boston. E. J. BISPHAM, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . Due from other bauks and bankers . . Real estate, furniture, and fixtures. .Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency . Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 684. S. J . WILLIS, Cashier. $308, 045 42 Capital stock paid in 2,945 17 ! 200,000 00 Surplus fund Other undivided profits National bank notes outstanding 50, 756 48 *25,140 85 33, 285 64 16, 351 78 150, 202 00 State bank notes outstanding Dividends unpaid Individual deposits | United States deposits 6, 087 00 i Deposits of U. S. disbursing officers . 26 55 ! Due to other national banks 1,382 50 i Due to State banks and bankers 22, 335 00 | Notes and bills re-discounted j """9,"6oo"oo*| Bills payable 625, 713 97 j $300, 000 00 Total 9, 352 50 116, 527 05 625, 7'8 97 120 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Boston National Bank, Boston. LYMANT NICHOLS, President. No. 408. CHAS. B. HALL, Cashier. Resources. Liabilities. Loans and discounts $1,536, 7J3 17 Overdrafts U. S. bonds to secure circulation i 667, 000 00 : U. S. bonds to secure deposits 50, 000 00 U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents... 102,125 44 Due from other banks and bankers .. 56, 069 65 Real estate, furniture, and fixtures Current expenses and taxes paid • , 10 13 Premiums paid Checks and other cash items Exchanges for clearing house 33, 510 88 Bills of other banks 9,000 00 Fractional currency 1,364 09 Specie 43,200 00 Legal tender notes 23, 524 00 U. S. certificates of deposit 45, 000 00 Due from U. S. Treasurer 54, 884 34 Total Capital stock paid in $1, 000, 000 00 Surplus fund Other undivided profits 304,497 04 National bank notes outstanding State bank notes outstanding Dividends unpaid 535,100 00 Individual deposits | United States deposits I Deposits of U. S. disbursing officers..' 466, 307 34 14, 474 73 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 133,741 07 147,871 52 2,627,401 70 Total • 25,410 00 | 2, 627, 401 70 Boylston National Bank, Boston. Jos. T. BAILEY, President. No. 545. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $700, 000 00 Surplus fund Other undivided profits National bank notes outstanding 150, 000 00 64, 343 99 524, 400 00 State bank notes outstanding 31, 935 70 Dividends unpaid 757, 647 90 Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 2, 253, 327 59 Total. D. S. WATERMAN, Cashier. Capital stock paid in 25, 000 00 Total 2,233,327 59 Broadway National Bank, Boston. A X E L DEARBORN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation | U. S. bonds to secure deposits j U. S. bonds on hand | Other stocks, bonds, and mortgages .. j Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . . Current expenses and taxes paid ' Premiums paid j Checks and other cash items | Exchanges for clearing house j Bills of other banks j Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 551. $201, 048 87 AQUILA ADAMS, Capital stock paid in . 200, 000 00 Surplus fund. Other undivided profits 25, 000 00 National bank notes outstanding 35,313 98 State bank notes outstanding Dividends unpaid 2,112 50 3, 686 21 26, 980 91 13,211 00 3 89 1,517 75 52, 000 00 8, 950 00 569, 825 11 Individual deposits United States deposits Deposits of U. S. disbursing officers. $200, 000 00 . j 34 90 162,400 00 109 50 207, 280 71 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 569,825 11 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 2 1 MASSACHUSETTS. Bunker Hill National Bank of Charlestown, Boston. E D W A R D LAWRENCE, President. No. 635. C. R. LAWRENCE, Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing h o u s e . . . . . . . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer >1, 019, 379 10 227 44 100, 000 00 331,920 6,188 25, 000 3 33 49 00 00 1,196 92 37, 908 46 44, 965 00 1, 730 00 8, 909 00 41,314 00 ""4*566'66' $500, 000 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . 90, 000 00 15,297 00 Individual deposits United States deposits , Deposits of U. S. disbursing officers, 654, 977 75 600 00 Notes and bills re-discounted Bills payable 1,626,241 74 Total. 250, 000 00 115,366 96 Surplus fund , O ther undivided profits Total., 1, 626, 241 74 Central National Bank, Boston. C. J . BISHOP, No. 2103. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearinghouse. Bills of other banks Fractional currency . Specie Legal tender notes U. S. certificates of deposit . . . Due from U. S. Treasurer $683, 532 82 Capital stock paid in . $500, 000 00 ""367'666* 66" Surplus fund Other undivided profits 9, 000 00 4,697 44 67, 803 89, 253 12, 212 1, 000 1,924 58, 255 75 82 35 00 64 14 5, 950 01 34,541 92 3, 523 00 317 73 4,657 00 20, 000 00 National bank notes outstanding State bank notes outstanding Dividends unpaid., 315, 300 00 11,616 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 470,104 91 55, 768 S3 Notes and bills re-discounted., Bills payable 16, 515 00 1,366,487 18 Total.. L. W. YOUNG, Cashier, Total 1,366,487 18 Columbian National Bank, Boston. J. T. COOLIDGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie .......... Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1029. $1, 808, 697 41 889,66666 """"Iii'666'66" 112, 646 96 18, 413 19 2,274 57 18,156 25 "86," "96*65' 27, 202 00 752 33 14,403 00 24, 800 00 75, 000 00 71, 700 00 3, 260, 241 76 J. M. GORDON, Cashier, Capital stock paid in . $1,000,000 00 Surplus fund Other undivided profits 400, 000 00 33,755 14 National bank notes outstanding State bank notes outstanding 741,000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. 30, 740 00 1, 054, 746 62 Due to other national banks Due to State banks and bankers., Notes and bills re-discounted., Bills payable Total. 3, 260, 241 76 122 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Continental National Bank, Boston. No. 524. OLIVER DITSON, President. CHAS. F . SMITH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 51,273,784 88 642, 000 00 100, 000 00 5, 500 00 132, 927 96 87, 028 69 179, 000 00 19, 625 00 75 00 74, 416 87 23,5-21 00 353 2L 5,500 00 36, 000 00 ] 0,000 00 50, 875 00 Capital stock paid in . Dividends unpaid.. 100,000 00 1,811 67 535,300 00 15, 805 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 730, 577 75 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 2,113 19 100, 000 00 2, 640, 607 61 Total. $1, 000, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Total - 155, 000 00 2,640,607 61 Eleventh "Ward National Bank, Boston. E L I J A H C. D R E W , President. No. 1993. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . $480, 765 94 5, 762 (18 100, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid G. S. W H E E L W R I G H T , Cashier. $300,000 00 Capital stock paid in . Surplus fund Other undivided profits 12, 000 00 18, 448 88 National bank notes outstanding State bank notes outstanding 90, 000 00 , 5, 330 "25, 410 15,534 5, 664 9, 001) Dividends unpaid. 7, 328 6, 432 4,411 22 102 14,145 Checks and other cash items Exchanges for clearing house Bills of other banks . Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 66 63 66 57 00 70 03 00 61 45 00 Due to other national banks Due to State banks and bankers. 99 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Notes and bills re-discounted. Bills payable , 85,804 91 1,553 15 113, 415 48 63, 088 91 4, 500 00 Total. 684, 410 33 684, 410 33 Total. Eliot National Bank, Boston. No. 536. W. H. GOODWIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand .r Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $1, R. B. CONANT, Cashier. 593, 390 12 ; Capital stock paid in . 519 36 ! 889, 000 00 i Surplus fund , Other undivided profits. National bank notes outstanding 351,064 09 State bank notes outstanding 123, 672 90 Dividends unpaid. 3.975 00 Individual deposits United States deposits 10.167 28 Deposits of U. S. disbursing officers. 135,918 27 21,837 00 ! Due to other national banks 26 00 Due to State banks and bankers . . . 27,785 04 56, 289 00 Notes and bills re-discounted. 50,000 00 Bills payable 51, 100 00 3,314,744 06 Total $1, 000, 000 00 200, 000 00 16,541 26 791, 070 00 19, 283 00 917,488 25 229,109 55 141, 252 00 3,314,744 06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 2 3 MASSACHUSETTS. Everett National Bank, Boston. WARREN SAWYER, President. No, 1469. G-EO. E. CARR, Cashier. Liabilities. Loans and discounts . ... Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $767,264 87 $400, 000 00 Capital stock paid in. "232,"o6o"b6" Surplus fund 104,764 90 16, 479 44 I. 328 22 6, 443 00 38,649 69 7, 543 00 92 80 4,504 38 42, 000 00 30, 000 00 9, 694 00 70,458 20 7, 402 56 Other undivided profits National bank notes outstanding State bank notes outstanding 133, 500 00 Dividends unpaid. 8, 409 00 Individual deposits United States deposits Deposits of U. S. disbursing officers-. Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 45, 035 00 4,154 68 1,260,764 30 Total. 1, 260, 764 30 591, 804 86 Faneuil Hall National Bank, Boston. NATHAN ROBBINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $1, 485, 875 91 2 122 24 750^ 000 00 252, 046 44 143,814 95 ] 68, 000 00 Capital stock paid in. $1,000,000 00 250, 000 00 42,908 69 Surplus fund -..„„.. . Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid. 599, 700 00 32, 646 00 Individual deposits United States deposits 889 25 Deposits of U. S. disbursing officers. 69,259 01 28, 747 00 Due to other national banks 1,303 01 27,411 00 Due to State banks and bankers. 21, 000 00 Notes and bills re-discounted. , 40, 000 00 Bills payable 33, 750 00 3, 024, 218 81 Total. T. G. HlLER, Cashier. No. 847. Total 1,086,334 73 12, 629 39 3,024,218 81 First Ward National Bank, Boston. W. L. STURTEVANT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . H. Ex. 3- GEO. No. 2112. B. FORD, Cashier. $343, 657 89 | Capital stock paid in . ""125,666 66 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 73, 803 31 82, 324 26 Dividends unpaid . 5, 000 00 15, 000 00 Individual deposits United States deposits 94 79 Deposits of U. S. disbursing officers. 1,922 1,310 3, 942 6,110 10 000 5, 624 00 26 77 00 00 75 673, 790 03 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. $300, 000 00 5,500 00 6,133 40 105, 500 00 7, 261 00 243, 760 76 5, 634 87 673,790 03 124 REPORT OF THE COMPTROLLER OF THE CURRENCY. M ASSACIIITSE T T 8. Freeman's National Bank, Boston, No. 605. JNO. IT. ROGERS, Prestdeni. JEREMY DRAKE, Cashier. Resources. j Loans and discounts $1, 185, 9(14 93| Capital stock paid in Overdrafts ; 66 17 j U. S. bonds to secure circulation j 400, 000 00 Surplus fund U. S. bonds to secure deposits ! 1 Other undivided profits.... 1 i U. S. bonds on hand \ 20, 000 00 National bank notes outstanding Other stocks, bonds, and mortgages.. I Due from approved reserve agents...! 200, 462 62 State bank notes outstanding Due from other banks and bankers ..! 31, 069 58 j Real estate, furniture, and fixtures...! 13, 814 11 Dividends unpaid Current expenses and taxes paid ; Individual deposits j Premiums paid j 4,150 00 United States deposits | Checks and other cash items ' 2, 309 06 Deposits of LI. S. disbursing officers..j Exchanges for clearing house ! 39, 565 91 Bills of other banks ' 8, 631 00 Due to other national banks.. Fractional currency ] 75 00 Due to State banks and bankei ; Specie .* 6, 709 98 Legal tender notes 33,41.0 00 Notes and bills re-discounted U. S. certificates of deposit i 35, 000 00 Bills payable ; Due from U. S. Treasurer 19, 990 00 r... Total '• 2,000,318 36 Total $800, 000 00 160,000 00 17,497 31 345, 100 00 20, 796 00 599, 571 13 57, 353 92 ! 2, 000, 318 36 Globe National Bank, Boston. W M . B. STEVENS, President. CHAS. JAS. SPRAGUE, Cast Loans and discounts ! $2,167, 172 30 Capital stock paid in. Overdrafts i U. S. bonds to secure circulation ! 200, 000 00 Surplus fund TJ. S. bonds to secure deposits i Other undivided profits — U. S. bonds on hand ! 50, 000 00 Other stocks, bonds, and mortgages . . 164, 571 23 National bank notes outstanding . . . Due from approved reserve agents... 183, 403 20 State bank notes outstanding . . . . . . Due from other banks and bankers ..\ 6, 486 21 Dividends unpaid . Real estate, furniture, and fixtures ...I Current expenses and taxes paid | 429 38 Individual deposits Premiums paid j United States deposits Deposits of U. S. disbursing officers. Checks and other cash items | Exchanges for clearing house j 75, 498 72 Bills of other banks , 18,067 00 Due to other national banks Fractional currency j 107 95 Due to State banks and bankers . . . Specie I 5, 000 00 ! Legal tender notes 239, 000 00 Notes and bills re-discounted U. S. certificates of deposit Bills payable ." Due from U. S. Treasurer : 9, 000 00 Total.. $1, 000, 000 00 230, 000 00 50, 870 62 179, 000 00 30, 600 00 1, 383, 370 79 198,255 36 46, 639 22 Total. 3, 118,735 99 i 3, 118, 735 99 Hamilton National Bank, Boston. S. S. BLANCHARD, President. No. 778. $1,650,185 16 I Capital stock paid in . Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures - . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. -S. certificates of deposit Due from U. S. Treasurer Total Gr. W. NEWHALL, Cashier. 13 26 ! 270, 000 00 i 194,448 01 20,859 61 30 00 357 04 130,931 08 18,598 00 155 32 3, 122 99 31, 4J'J 00 90, 0;K) 00 14, 150 00 I 2, 424, $750, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 150, 000 00 35, 269 48 236, 500 00 Dividends unpaid . 19, 512 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total 1, 146, 685 22 21, 332 77 L I 65, 000 "66 2, 424, 299 47 REPORT OP THE COMPTROLLER OF THE CURRENCY. 125 MASSACHUSETTS. Howard National Bank, Boston. No. 578. R. E. DEJiMON, President. S. F. WlLKlNS, Cashier. Liabilities. $1, 965, 210 70 6, 436 51 500, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae fromU. S. Treasurer 251, 114 14 56, 557 82 10, 67, 27, 4, 35, 8, 45, 22, 403 219 642 853 032 000 000 500 84 23 00 69 00 00 00 00 Capital stock paid in 160, 000 00 24, 446 05 National bank notes outstanding State bank notes outstanding 435,100 00 Dividends unpaid . 28, 354 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 808, 485 68 Due to other national banks Due to State banks and bankers 395,768 27 121,625 94 Notes and bills re-discounted Bills payable 26, 874 00 Total. 3, 000, 653 94 Total . $1, 000, 000 00 Surplus fund Other undivided profits 3, 000, 653 94 Manufacturers' National Bank, Boston. No. 2111. E D W A R D TURNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie . Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $1, 002,169 71 I67,"6oo"5o 110,942 36 38, 704 90 110,772 48 2, 298 02 27, 500 00 1, 522 39 29,413 84 3,918 00 29 27 4, 776 75 58, 000 00 40, 000 00 18, 515 00 F. E. SEAVER, Cashier. Capital stock paid in. $500, 000 00 Surplus fund Other undivided profits 13, 000 00 5, 043 23 National bank notes outstanding . . State bank notes outstanding . 150, 300 00 Dividends unpaid. 9, 762 00 Individual deposits , United States deposits Deposits of U. S. disbursing officers 599, 867 83 Due to other national banks Due to State banks and bankers . - 106, 699 76 110, 889 90 Notes and bills re-discounted. Bills payable 120, 000 00 Total. 1,615,562 72 1, 615, 562 72 Market National Bank, Boston. C. O. WHITMORE, No. 505. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages.. ., 298, 808 11 664 16 50, 000 00 Due from approved reserve agents-.. Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid , 137. 228 56 75, 677 94 Checks and other cash items Exchanges for clearing house Bills of other banks I Fractional currency j Specie j Legal tender notes j U. S. certificates of deposit. . j Due from U. S. Treasurer.. ...... | Total . ....... j JONA. BROWN, Cashier. Capital stock paid in $800, 000 00 Surplus fund Other undivided profits 101, 055 02 62,914 04 2, 425 00 i National bank notes outstanding State bank notes outstanding 4,556 39,371 5,821 981 12,384 31,802 30. 000 iij 250 69! 45, 000 00 Dividends unpaid. 21,187 00 In dividual deposits United States deposits 24 !Deposits of U. S. disbursing officers. l 39 !! 00 ||Due to other national banks 36 H Due to State banks and bankers 00 ii 00 !: Notes and bills re-discounted j 00 '; Bills payable... 00 ! 7d Total., 660, 235 20 1, 578 50 j 1,691,969 76 126 REPORT OF TII2 COMPTROLLER OF THE CUERENCY. Massachusetts National Bank, Boston. HENRY A. RICE, President,. No. 974. H. K. FKOTHINGHAM, Cashier,. Resources. Liabilities. $1,786,294 74 Capital stock paid in Loans? and discounts Overdrafts 50,000 00 Surplus fund U. S. bonds to secure circulation U. S. bonds to secure deposits Other undivided profits , U. S.bonds on hand National bank notes outstanding Other stocks, bonds, and mortgages . . j State bank notes outstanding Due from approved reserve agents. 05, 985 01 C7,G77 33 Dividends unpaid . Due from other banks and bankers . . 4, 719 17 Real estate, furniture, and fixtures... £,730 76 Current expenses and taxes paid Individual deposits Premiums paid United States deposits 4,061 12 Deposits of U. S. disbursing officers Checks and other cash items 117, -)(:() 30 Exchanges for clearing house . 14, 4bl3 00 Due to other national banks . . . Bills of other banks 3, 191 00 Due to State banks and bankers Fractional currency Specie 52, :"i85 00 Notes and bills re-discounted. Legal tender notes 65, 000 00 Bills payable .. U. S. certificates of deposit •2, 250 00 Due from U. S. Treasurer 2, 3G3, 285 95 Total. Total. $800, 000 00 160, 000 00 68,378 59 45, 000 00 20, 666 50 1,240,301 97 3,938 89 25, 000 00 2, 363, 285 95 Maverick National Bank, Boston. ASA P. POTTER, President. No. 677. SAML. PHILLIPS, Jr., Cashier. Loans and discounts , $2, 079, 063 33 |; Capital stock paid in . Overdrafts U. S. bonds to secure circulation \ 400, 000 00 Surplus fund , U. S. bonds to secure deposits | , Other undivided profits. U. S. bonds on hand I National bank notes outstanding... Other stocks, bonds, and mortgages... 229, 247 33 ; State bank notes outstanding Due from approved reserve agent3-.. Due from other banks and bankers ..j 41, 368 53 Dividends unpaid . Real estate, furniture, and fixtures . . . ! Current expenses and taxes paid Individual deposits Premiums paid United States deposits 29, 577 64 | Deposits of U. S. disbursing officers. Checks and other cash items | 98, 636 01 Exchanges for clearing house ; 26, 178 00 i Due to other national banks Kills of other banks | ; 210 76 1 Due to State banks and bankers Fractional currency 29, 627 43 Specie | 112, 350 00 | Notes and bills re-discounted Legal tender notes ; U. S. certificates of deposit ; Bills payable "i&~bbo"oo\ Due from U. S. Treasurer 3, 064, 459 03 Total. Total. $400, 000 00 175, 000 00 32,805 38 342, 600 00 13, 684 00 1, 745, 055 70 13, 056 67 30, 320 61 311, 936 67 3, 064, 459 03 Mechanics' National Bank, Boston. J. W. CONVERSE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation • U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills cf other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 932. ALVAN SIMONDS, Cashier. $335, 418 07 : Capital stock paid in . "*225,"6o6"6o" $250, 000 00 Surplus fund Other undivided profits 60, 000 00 3, 450 03 National bank notes outstanding State bank notes outstanding , 36, 364 30 43, 058 20 \ Dividends unpaid y, 400 oo j Individual deposits United States deposits 1, 901 34 ; Deposits ox U. S. disbursing officers 7, 740 86 11,633 00 ' Due to other national banks 1,092 58 Due to State banks and bankers . 5, 450 00 i 15,188 00 ; Notes and bills re-discounted 15, 000 00 Bills payable 21,125 00 184, 850 00 728,371 35 ; Total. 10, 258 25 219, 813 07 728,371 35 REPORT OF THE COMPTROLLER OF THE CURRENCY, 127 MASSACHUSETTS. Merchandise national Back, Boston. I. G. WHITNEY, President. No. 2304. E. O. ROCKWOOD, Cashier. Resources. Liabilities. Loans and discounts $1,118, 672 60 I Cap: Overdrafts U. S. bonds to secure circulation 200,000 00 Surplus fund j U. S. bonds to secure deposits ! Other undivided profits j U. S. bonds on hand j . . . , Other stocks, bonds, and mortgages..! National bank rioter outstanding Due from approved reserve agents... 136, 765 30 State bank notes outstanding Due from other banks and bankers . . 5, 686 19 ; Real estate, furniture, and fixtures... j 3, 000 00 Dividends unpaid Current expenses and taxes paid j 172 35 Premiums paid i 25, 456 43 InTvihu] 'li»p.»-:+H | LY.Ito'1 ci'MMliv-) iH I Checks and other cash items j 39 41 ! f T Exchanges for clearing house ! 38, 266 37 D\>< 'i ,i oi U. S. di-sbiir,ing officers.. Bills of other banks j 3, 032 00 ; -o oiVr rational banks Fractional currency ; 33 61 to £ „: 'e h:.u.X > and bankers Specie | 4,928 10 : Legal tender notes I 19, 980 00 -'lirfcounted. U. S. certificates of deposit | 80, 000 00 . Bills Due from U. S. Treasurer j 18,000 00 ! Total 1, 654, 032 45 Total $500, 000 00 000 00 324 40 179, 300 00 , 837 00 , 845 01 4, 675 04 . . . j 1,654,032 45 Merchants' National Bank, Boston. $3, 000, 000 00 i, 122,183 53 ! Capital stock paid in . Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for cleaiing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total GEO. R. CHAPMAN, Cashier. No. 475. FRANKLIN HAVEN, President. 1, 050, 000 00 109, 000 63 2, 000, 000 00 | Surplus fund 100, 000 00 | Other undivided profits 400, 000 00 National bank notes outstanding 561,398 66 State bank notes outstanding . . 1, 051, 046 28 Dividends unpaid 375, 000 00 63, 000 00 1,653,280 0(7 90,739 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 6, 207, 870 72 7. 400 00 936, 833 56 7, 774 00 Due to other national banks 1, 160 00 204, 770 95 I Due to State banks and bankers . . . 412, 500 00 Notes and bills re-discounted 305. 000 00 | Bills payable 90,000 00 14,731 19 328, 946 16 188,504 28 Total I 12,643,071 93 12,643,071 98 Metropolitan National Bank, Boston. S. W. RICHARDSON, President No. 2289. Loans and discounts ! Overdrafts I U. S. bonds to secure circulation | U. S. bonds to secure deposits j U. S. bonds on hand I Other stocks, bonds, and mortgages..[ Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total G. H O W E DAVIS, Cashier. $720, 161 70 I Capital stock paid in 741 31 j 50, 000 00 j Surplus fund J Other undivided profits I 1,069,429 09 \ $500, 000 00 12,694 65 National bank notes outstanding 44, 965 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks I Due to State banks and bankers | Notes and bills re-discounted | Bills payable I Total.. 428, 298 91 601 55 27, 868 98 ,55,000 00 -i 1,069.429 09 128 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Monument National Bank of Charlestown, Boston. JAS. O. CURTIS, President. No. 1005. WARREN SANGER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation ; U. S. bonds to secure deposits j U. S. bonds on hand i Other stocks, bonds, and mortgages..: Due from approved reserve agents...! Due from other banks and bankers .. Real estate, furniture, and fixtures .., Current expenses and taxes paid ' ; Premiums paid . Checks and other cash items Exchanges for clearing house Bills of other banks \ Fractional currency ; Specie " \ Legal tender notes ; U. S. certificates of deposit i Due from U. S. Treasurer J Total. $150, 000 00 455, 853 46 I Capital stock paid in . 50, 000 00 Surplus fund ] Other undivided profits 10, 000 00 i National bank notes outstanding 125, 581 93 \ State bank notes outstanding 100 00 i Dividends unpaid. I j j |. 5 85 Individual deposits United States deposits 12,776 40 Deposits of U. S. disbursing officers.. .. 17,i78 00 Due to other national banks 2,271 50 Due to State banks and bankers . 11, 770 00 12, 500 00 Notes and bills re-discounted. Bills payable 2, 250 00 Total. 700,287 14 130, 000 00 30,748 76 44, 990 00 4,916 00 338,246 76 1, 385 62 700,287 14 Mount Vernon National Bank, Boston. CARMI E. KING, President. No. 716. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer H. W. PERKINS, Jr., Cashier. $200, 000 00 $330, 800 81 | Capital stock paid in. 'izh~,b('o oo" Surplus fund Other undivided profits National bank notes outstanding 90,201 14 !State bank notes outstanding 49, 148 22 Dividends unpaid. 619 65 Individual deposits United States deposits 1,649 18 Deposits of U. S. disbursing officers. 24, 194 76 13, 794 00 Due to other national banks 1,862 34 5, 900 00 Due to State banks and bankers. 12, 254 00 Notes and bills re-discounted 30, 000 00 Bills payable 5, 625 00 Total. 697,049 10 j: Total. 40, 000 00 24,783 16 112,200 00 3,942 00 316,123 94 697,049 10 National Bank of Erighton, Boston. No. 1099. C. W. KlNGSLEY, President. Loans and discounts • $319,781 01 Overdrafts U. S. bonds to secure circulation 200, 000 00 U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents... 57, 469 08 Due from other banks and bankers .. 10, 132 16 Real estate, furniture, and fixtures..., 50, 000 00 Current expenses and taxes paid Premiums paid : ; Checks and other cash items 2, 402 13 Exchanges for clearing house Bills of other banks ; 2, 435 00 Fractional currency j 26 40 Specie. ..'< 280 00 ; Legal t ender notes 11, 674 00 ; U. S, certificates of deposit Due from'U. S. Treasurer ' 9, 000 00 Total ; 6f,3,199 78 BE LA S. FISKE, Cashier. Capital stock paid in., Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. $300, 000 00 50, 000 00 6, 623 25 180, 000 00 8, 902 40 92,674 13 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. 25, 000 00 663,199 78 EEPOET OF THE 00:>IPTR0LLE2 OF THE CURRENCY. 129 M A S S A C II U § E T T 8 . Bank of Commerce, Boston. BEN.T. E. BATES, Xo. 551. President. GEO. $4, 295, 321 84 - Loans and discounts Overdrafts --. U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total W. H A R R I S , Cashier. Liabilities. Resources. $2, 000, 000 00 Capital stock paid in 500, 000 00 Surplus fund , Other undivided profits - GOO, 000 00 23, 130 79 120, 708 36 National bank notes outstanding 411, 470 00 837, 933 82 State bank notes outstanding. 459, 091 62 226, 452 73 Dividends unpaid. 6-22 72 ; Individual deposits 118,461 92 397,145 56 200,319 00 6 50 10,975 25 322,800 00 220, 000 00 162,300 00 ! 49, 240 11 2,128, 238 39 United States deposits Deposits of U. S. disbursing officers. 2,563,944 10 96, 115 93 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total 7,872,139 32 7,872, 139 32 National Bank of the Commonwealth, Boston. E. C. SHERMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits | U. S. bonds on hand I Other stock, bonds, and mortgages... Due from approved reserve a g e n t s . . . Due from other banks and b a n k e r s . . . Real estate, furniture, and fixtures..Current expenses and taxes paid ! Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total . No. 1827. 2,853,277 67 J O H N J. E D D Y , Cashier. j J 48, 212 00 | i -A ooi /n 454,991 41 ' 88, 499 04 179, 508 07 31,116 39 11,010 00 22,108 90 235, 143 58 17, 463 00 3, 183 37 9,308 53 415, 000 00 $500, 000 00 Capital stock paid in. so, ooo 65 i Surplus fund 100,000 00 72, 296 77 „ Other undivided profits 45, 000 00 National bank notes outstanding . . . . State bank notes outstanding 12, 066 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 956, 854 50 Due to other national banks Due to State banks and bankers - 1, 734, 859 69 Notes and bills re-discounted. Bills payable I 2,250 55" 4, 421, 076 96 Total . 4,421,076 96 National Bank of North America, Boston. ISAAC T. B U R R , President. No. 672. J N O . K. H A L L , Cashier. Loans and discounts $1,431,385 28 Capital stock paid in Overdrafts , Surplus fund , U. S. bonds to secure circulation 672, 500 00 U. S. bonds to secure deposits Other undivided profits U. S. bonds on hand National bank notes outstanding... Other stocks, bonds, and mortgages... Due from approved reserve a g e n t s . . . 102, 523 39 State bank notes outstanding Due from other banks and bankers . . 72, 370 1)5 Dividends unpaid. Real estate, furniture, and fixtures Current expenses and taxes paid j : Individual deposits Premiums paid United States deposits Checks and other cash items Deposits of U. S. disbursing officers. Exchanges for clearing house 86, 026 39 ; Bills of other banks 10, 186 00 Due to other national banks Fractional currency 250 32 • Due to State banks and b a n k e r s . . . Specie 5,634 82 : Legal tender notes 78, 949 00 ; Notes and bills re-discounted U. S. certificates of deposit I ' Bills payable Due from U. S. Treasurer I 30, 000 00 Total . 2.489,826 15 $1, 000, 000 00 117, 223 71 3, 313 00 541,700 00 34, 622 00 711, 533 19 74,102 17 7, 332 08 2,489,826 15 130 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. National Bank of Redemption, Boston. » WM. E. A. PllESBREY, Cashier. D. FORBES, President. Resources. Loans and discounts Overdrafts IT. 8. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes ._ IT. S. certificates of deposit Duo from U. S. Treasurer $1, 000, 000 00 $3,994, 438 24 Capital stock paid in 232 01 500,000 00 890, 000 00 Surplus fund 41,276 14 Other undivided profits 510, 000 00 396, 060 00 National bank notes outstanding 816, 837 60 State bank notes outstanding 182, U84 13 20.296 00 3, 849 05 Dividends unpaid 10, 673 68 963,724 33 75,413 75 Individual deposits 2,398 07 United States deposits 755, 118 04 Deposits of U. S. disbursing officers 4,399,527 91 90,000 00 1,127 15 Due to other national banks 581, 442 71 149,742 37 Due to State banks and bankers 155,413 00 Notes and bills re-discounted , 225. 000 00 40, 000 00 Bills payable 7, 902, 327 09 Total. Total.. 7, 902, 327 09 National Bank of the Republic, Boston. H. O. BRIGGS, President. No. 379. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .Due from approved reserve agents.. Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer. Total. CHAS. A. VIALLE, Cashier. 080, 706 28 Capital stock paid in. LOO," 000 "66' $2, Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 267, 073 152,161 118,332 18 21, 350 99 93 35 50 00 "148," 754*28" 7, 000 00 3, 000 00 70, 000 00 ,500,000 00 300, 000 00 128, 690 86 944, 300 00 Dividends unpaid . 41, 464 50 Individual deposits United States deposits Deposits of U. S. disbursing officers 912,599 07 Due to other national banks Due to State banks and bankers - - Notes and bills re-discounted . Bills payable 153, 470 01 37, 372 89 49, 500 00 Total. 4, 017, 897 33 4, 017, 897 33 National City Bank, Boston. CHAS. L . T H A Y E R , Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie.. Legal tender notes U. S. certificates of deposit Due from TJ. S. Treasurer Total. No. 609. President. $1, 573, 027 47 366,"666"66" 8, 050 00 14,765 00 59, 301 40, 587 59,212 302 97 23 10 92 59, 022 80 6, 573 00 840 41 23,164 19 52, 840 00 "13,560 65 2,211,187 09 CHAS. C. BARRY, Cashier. Capital stock paid in. $1, 000, 000 00 119, 649 96 130,346 36 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid., 259, 000 00 23,523 00 Individual deposits . United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. 569,746 90 , 22 56 48, 898 31 60, COO 00 2.211,187 09 131 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. National Eagle Bank, Boston. No, 993. "R. S. COVELL, President. W. G-. BROOKS, Jr., Cashier. Liabilities. Resources. $1, 581, 924 24 Overdrafts . | U. S. bonds to secure circulation . . . . . XT. S. bonds to secure deposits Other stocks, bonds, and mortgages.. Due from approved reserve a g e n t s . . . Due from other banks and bankers . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks .. . . . Fractional currency Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 250, 000 00 50, 000 "no" 5G, 991 29 2G, 192 90 920 72 9,893 75 1,505 75 68, 552 32 21, 385 00 851 18 15 103 % 62, 500 00 40, 000 00 11, 250 00 $1, 000, 000 00 Surplus fund . Other undivided profits 200, 000 00 9,116 29 National bank notes outstanding . . . . State bank notes outstanding 197, 770 00 737, 839 49 Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers 33, 886 73 Notes and bills re-discounted Bills payable 2, 197, 070 51 To+al 18, 458 00 Dividends unpaid Individual deposits .. Total 2, 197, 070 51 National Exchange Bank, Boston. EDW, L. T E A D , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes p a i d . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. No. 529. $4, 378, 099 92 1, 493 91 889, 000 00 """356,"600 66 492,113 70 189,018 58 9, 599 27 58,578 13 486,898 31 46,194 00 580 29 228, 484 69 129, 100 U0 110, 000 00 69, 000 00 J. M. PETTINGILL, Cashier. $1, 000, 000 00 Cajutal stock paid in. Surplus fund O ther undivided profits 700, 000 00 119,343 3U National bank notes outstanding State bank notes outstanding 777, 000 00 38, 880 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. 1, 846, 848 50 Due to other national banks Due to State banks and bankers 2, 304, 790 58 366, 298 42 Notes and bills re-discounted. Bills payable 7,438,160 80 285, 000 00 Total. 7, 438,160 80 National Hide and Leather Bank, Boston. G E O R G E R I P L E Y , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 460. $2, 678, 456 61 59 30 1, 045, 000 00 46," 566 66' 295,754 38 115,493 64 21, 000 00 49 95 161, 938 51 20, 040 00 445 18 11,791 02 163,160 00 47,"625"6o' 4, 600, 713 59 G E O . N. JONES, Cashier. Capital stock paid in . ., 500, 000 00 Surplus fund Other undivided profits 153, 300 00 17,522 15 National bank notes outstanding... State bank notes outstanding 937, 800 00 33, 987 50 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers 923,588 62 Due to other national banks Due to State banks and bankers 873,730 GO 160, 785 32 Notes and bills re-discounted Bills payable Total. , , 4, 600, 713 59 132 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. National Market Bank of Brighton, Boston. No. 800. L I F E BALDWIN, President. E. P. W R I G H T , Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..! Due from approved reserve agents. ..i Due from other banks and bankers . . Real estate, furniture, and fixtures...: Current expenses and taxes paid Premiums paid ! Checks and other cash items j Exchanges for clearing house, ! Bills of other banks ! Fractional currency I Specie j Legal tender notes i U. S. certificates of deposit j Due from U. S. Treasurer I $5(32, 372 14 Capital stock paid in . 852 20 250, 000 00 Surplus fund Other undivided profits 10, 000 00 20, 000 00 $250, 000 00 100, 000 00 54, 513 88 219, 670 00 National bank notes outstanding . . . . State bank notes outstanding 9, 672 50 Dividends unpaid . 70 00 Individual deposits United States deposits 22, 604 86 Deposits of U. S. disbursing officers . 2, 133 00 30 89 125 70 8, 500 00 5, 000 00 13,75) 00 Total. 11,251 00 116, 827 93 Due to other national hanks Due to State banks and bankers . 152, 848 48 Notes and bills re-discounted. Bills payable 9i)5, ILL 29 905, 111 29 National Revere Bank, Boston. SAML. H. WALLEY, President. No. 1295. HENRY BLASDALE, Cashier. $3,454,784 19 jCapital stock paid in Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 556*000 65"; 255*i)0(V00*j $2, 000, 000 00 Surplus fund Other undivided profits 257, 000 00 12, 994 50 18, 100 00 National bank notes outstanding 306, 467 45 ! State bank notes outstanding 178,206 20 I j Dividends unpaid. 31 00 | 50,000 00 jIndividual deposits United States deposits Deposits of U. S. disbursing officers. "228,"725 90' 40, 650 00 Due to other national banks 319 17 Due to State banks and bankers 28,431 00 234, 400 00 Notes and bills re-discounted. Bills payable 25, OJ 00 ! iO 500, 000 00 5, 376, 114 91 Total.. 52, 956 00 1,896,055 96 570 879 14 86, 229 31 Total.. 5,376,114 91 National Hockland Bank of Roxbury, Boston. SAMUEL L I T T L E , President. No. 615. Loans and discounts Overdrafts U. S. bonds to secure circulation : TJ. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages...; Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items i Exchanges for clearing house Bills of other banks , Fractional currency '• Specie I Legal tendernotes | U. S. certificates of deposit ; Due from U. S. Treasurer i Total i R. B. PAIRBAIRN, Cashier. ! $659,114 80 | Capital stock paid in 1, 227 80 li 300, 000 00 Surplus fund. Other undivided profits ! i 150, 000 00 7, 322 86 21, 000 00 National hank notes outstanding 290,659 17 I State bank notes outstanding 3, 330 86 Dividends unpaid . 269, 000 00 15, 340 00 1 00 I 624, 529 50 Individual deposits I United States deposits 21,192 52 Deposits of U. S. disbursing officers. 2, 362 00 I Due to other national banks 2, 029 71 Due to State banks and bankers 1,754 50 5,000 00 Notes and bills re-discounted 40, 000 00 Bills payable 13, 500 00 1,367,192 36 Total $300,000 00 j | 1, 000 00 j j i -| 1,367,192 36 REPORT OF THE COMPTROLLER OF THE CURRENCY. 133 M A S S A C 51 U S E T T § . National Security Bank, Boston. '«. A. GARLTON, No. 1675. President. CHAS. R. BATT, Cnshicr Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid . . . Premiums paid . ... Checks and other cash items Exchanges for clearing h o u s e . . . . . . . Bills of other banks Fractional currency «. Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $709, 437 34 Capital stock paid in 6, 767 83 200, 000 00 Surplus fund Other undivided profits $200, 000 00 140, 000 00 4, 0.94 76 180,000 00 National bank notes outstanding 156, 933 84 State bank notes outstanding 18,781 65 75, 000 00 Dividends unpaid Individual deposits United States deposits 5, 526 99 Deposits of U. S. disbursing officers.. 44,970 66 13, 490 00 Due to other national banks 1, 033 09 Due to State banks and bankers . 10,230 00 49, 300 00 Notes and bills re-discounted. 25, 000 00 Bills payable 9, 000 00 1,325,471 40 Total. j | j Total 3,579 00 782,314 26 .j 1,325.471 40 National Union Bank, Boston. No. 985. G-. C. RICHARDSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation..... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . . Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. .j ALMARIN TROWTIRIDGE, Cashier. $1,836,988 13 Capital stock paid in 122 82 620, 000 00 Surplus fund Other undivided profits J $1,000,000 00 I National bank notes outstanding 178, 130 97 State bank notes outstanding 86, 379 88 Dividends unpaid 11 25 Individual deposits United States deposits 2,741 99 i Deposits of U. S. disbursing officers. 146,851 59 ! 30, 160 00 j Due to other national banks Due to State banks and bankers. 43,135 69 80, 000 00 ! Notes and bills re-discounted Bills payable 3, 067, 422 32 Total 500,000 00 31,163 40 553, 000 00 j j 33, 425 00 939,618 35 10,215 57 j ! 3, 067, 422 32 National Webster Bank, Boston. FRANCIS JAQUES, President. No. a527. E D W ' D R. HALL, Cashier. il, 857, 287 20 !| Capital stock paid in ! $1,500,000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation j 444, 000 00 Surplus fund..., 155,100 00 U. S. bonds to secure deposits Other undivided profits 36,211 73 U. S. bonds on hand 70, 000 00 Other stocks, bonds, and mortgages..j , |j National bank notes outstanding ! 358,300 00 , Due from approved reserve agents . . . | 113, 949 10 I State bank notes outstanding Due from other banks and bankers .. I 13, 698 32 | Dividends unpaid . 28,174 00 Real estate, furniture, and fixtures...! 574 17 Current expenses and taxes paid ! , I! Individual deposits , 543,451 86 1 Premiums paid I 1 j United States deposits , Checks and other cash items j 3 431 Deposits of U. S. disbursing officers.-i 1 Exchanges for clearing house 95, 094 85 | Bills of other banks 18, 880 00iI Due to other national banks. 56,134 18 Fractional currency 46 08ij Due to State banks and bankers 7,990 63 Specie .' ! 20, 272 25 Legal tender notes I 31, 577 00 Notes and bills re-discounted Bills payable U. S. certificates of deposit... J Due from U. S. Treasurer 19, 980 00 Total 2, 685, 362 40 Total 2,685,362 40 134 REPORT OF THE COMPTROLLER OF THE CURRENCY. IA§§ACIfUSETT S . New England National Bank, Boston. THOMAS LAMB, President. No. 003. CHAS. F. SWAN, Cashier, Liabilities. Loans and discounts ; $1, Overdrafts .. j . U. S. bonds to secure circulation ..... U. S. bonds to secure deposits i. U. S. bonds on hand |. Other stocks, bonds, and mortgages..! Due from approved reserve agents. ..j Due from other banks and bankers . J Real estate, furniture, andfixtures...j Current expenses and taxes paid Premiums paid |. Checks and other cash items j Exchanges for clearing house \ Bills of other banks j Fractional currency I Specie j Legal tender notes • U. S. certificates of deposit j Due from U. S. Treasurer Total Capital stock paid in 689,170 15 $1, 000, 000 00 780, 000 00 | 436,132 93 10,296 63 25, 100, 214, 140, 8, 685, 500 00 000 000 172 000 003 00 00 02 00 25 4, 356 195, 358 43, 942 1,442 28, 130 62, 000 45 30 00 98 63 00 Surplus fund I Other undivided profits National bank notes outstanding j j. I State bank notes outstanding I Dividends unpaid j j ! Individual deposits \ United States deposits I Deposits of U. S. disbursing officers..| Due to other national banks Due to State banks and bankers ! ! 31, 410 00 848, 768 71 — 80, 466 53 234, 000 l,i Notes and bills re-discounted. Bills payable 35, 000 00 3, 326, 575 78 3, 326, 575 78 Total. North National Bank, Boston. No. 525. GEO. WHITNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand .' Other stocks, bonds, and mortgages Pue from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items.., Exchanges for clearing house. Bills of other banks , Fractional currency , Specie , Legal tender notes , U. S. certificates of deposit Due from U. S. Treasurer J. B. WITHERBEE, Cashier. $1, 000, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid 86,888 91 429, 500 00 40, 808 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. 300 ooo oa 1,299,409 30 565, 098 75 2,299 06 3, 794, 004 02 Total. Old Boston National Bank, Boston. II. W. PICKERING, President. No. 1015. F. L. CHURCH, Cashier. Loans and discounts $1, 294, 689 59 Capital stock paid in . ! Overdrafts U. S. bonds to secure circulation j 335, 000 00 Surplus fund U. S. bonds to secure deposits j Other undivided profits U. S. bonds on hand I...... Other stocks, bonds, and mortgages National bank notes outstanding Due from approved resei've agents... 188, 734 45 State bank notes outstanding Due from other banks and bankers., i 634,463 07 Dividends unpaid . Real estate, furniture, and fixtures... j 72, 000 00 Current expenses and taxes paid j Individual deposits Premiums paid I United States deposits Checks and other cash items \ Deposits of U. S. disbursing officers. Exchanges for clearing house ! 161,959 48 Bills of other banks j 34, 708 00 Due to other national banks Fractional currency | ! Due to State banks and bankers Specie I 69,364 05 Legal tender notes | 220, 448 00 ! Notes and bills re-discounted. ] U. S. certificates of deposit Bills payable Due from U. S. Treasurer | 23, 500 00 Total i 3. 034. 866 64 | Total $900, 000 00 180,000 00 93,23) 87 255, 400 00 39, 717 60 1, 437, 843 47 128, 306 9-1 367 76 ! 3. 034, 866fiI REPORT OF THE COMPTROLLER OF THE CURRENCY. 135 Iff A S § A C I I IT S E T T S . People's National Bank of Roxbury, Boston. HENRY GUILD, President. GEO. C. LKACH, Cashier. No. 505. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due frerc U. S. Treasurer Liabilities. $687, 213 47 Capital stock paid in 18 07 300, 000 00 Surplus fund Other undivided profits . 15, 000 00 National bank notes outstanding 88, 946 97 State bank notes outstanding 525 64 1, 118 89 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted """"is," 509 "6b" Bills payable 762 11 1, 275 63 6,415 00 381 36 4, 800 00 18, 000 00 1,137,966 14 Total. $300, 000 00 180,000 CO 12, 559 29 263, 475 00 12, 043 00 366,147 85 3,741 00 1, 137, 966 14 Shawmut National Bank, Boston. JOHN CUMMINGS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. No. 582. ., 990, 626 73 JAS. P. STEARNS, Cashier. Capital stock paid in . il, 000, 000 00 " 400," 656* 00' Surplus fund "375"566'66' Other undivided profits National bank notes outstanding . . . 146,781 97 State bank notes outstanding 45,449 68 Dividends unpaid . 61,591 11 413 33 Individual deposits United States deposits Deposits of U. S. disbursing officers. 43, 606 26 46,076 00 32, 946 97 116,739 00 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable , 18, 000 00 3, 277, 231 05 200, 000 00 57,954 31 314,500 00 23, 400 00 1, 004, 646 72 68,703 04 173, 026 98 435,000 00 3,277,23! 05 Shoe and Leather National Bank, Boston. SETH TURNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from XL S. Treasurer Profit and loss Total. No. 646. $2,609,981 16 960 64 889, 000 00 136,666 66 304,733 50 91, 760 55 100, 000 00 30 00 38,714 69 122,122 78 38, 763 00 37 59 16, 404 44 43, 500 00 205. 000 00 40, 000 00 15, 686 20 4, 646, 694 55 SAMUEL CARR, Cashier. Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding il, 000, 000 00 200, 000 00 1,312 61 787, 400 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total 23, 290 50 1, 353, 657 23 752, 232 58 198,801 63 "336," 666'65 4,646,694 55 136 REPORT OF THE COMPTROLLER OF THE CURRENCY. JJI A S S A C If U S E T T S . State National Bank, Boston. A. W. STETSON, No 102;=. President. C. B. PATTEN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other batiks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IJ. S. certificates of deposit Due from U. S. Treasurer $2, 667, 353 77 Capital stock paid iu "1,125,000 66 .Surplus fund Other undivided profits 282, 619 73 27,111 76 96, 000 00 54,130 97 National bank notes outstanding State bank notes outstanding Dividends unpaid 989, 900 00 48, 775 50 586 98 ! Individual deposits 6,831 06 United States deposits 19, 680 85 Deposits of U. S. disbursing officers.. 85, 477 01 Due to other national banks 23,921 00 Due to State banks and bankers 7,509 74 17, 300 00 Notes and bills re-discounted. 10, 000 00 Bills payable 63, 125 00 4,33(3,517 50 j Total. $2, 000, 000 00 Total 1, 080, 774 35 43, 436 76 23, 499 92' 4,336,517 50 Suffolk National Bank, Boston. D. R. W H I T N E Y , No. 629. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid- — Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer Total. $2,474,310 92 ' 750, 000 00 i46,"6oo"oo" 320,417 96 3,620 33 270,000 00 10,594 40 3, 556 00 315,234 00 62, 932 00 3,526 90 28, 765 00 192, 550 0(J " 69,450 00 E D W A R D TYLER, Capital stock paid in Cashier. $1, 500, 000 00 Surplus fund Other undivided profits 260, 000 00 60,674 22 National bank notes outstanding State bank notes outstanding 636, 400 00 Dividends unpaid . 42,183 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 1, 056, 767 07 Due to other national banks Due to State banks and bankers 1 018,232 50 76, 700 72 Notes and bills re-discounted Bills payable 4, 650, 957 51 Total 4, 650, 957 51 Traders' National Bank, Boston. E D W A R D SANDS, President. No. 1442. F R E D . S. DAVIS, Cashier. Loans and discounts | $1,061,119 59 Capital stock paid in. Overdrafts U. S. bonds to secure circulation 205, 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits . U. S. bonds on hand Other stocks, bonds, and mortgages.. National bank notes outstanding State bank notes outstanding Due from approved reserve agents... 54, 762 Due from other banks and bankers . . | 46, 510 Dividends unpaid Real estate, furniture, and fixtures . . i 1,591 66 Current expenses and taxes paid • Individual deposits Premiums paid | United States deposits Checks and other cash items , Deposits of U. S. disbursing officers. 3, Exchanges for clearing house 124, Due to other national banks Bills of other banks 6, Fractional currency I; Due to State banks and bankers Specie i 55, i Notes and bills re-discounted. Legal tender notes j 83, Bills payable IT. S. certificates of deposit ' Due from U. S. Treasurer ' 11, Total cw 47 Total $600, 000 00 < 92, 668 38 871 92 173, 702 00 10,151 00 696, 936 93 74, 680 66 5, 087 58 1, 654, 098 47 ' REPORT OF THE COMPTROLLER OF THE CURRENCY. 137 M A S S A C II U S E T T S . Tremont National Bank, Boston. W I L L I A M PERKINS, No. 625. President. A. T. FROTHIXGHAM, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 1,487,709 42 155 20 746, 000 00 1, 800 00 189, 697 14 125, ooo oo: Capital stock paid in j $2, 000, 000 00 Surplus fund Other undivided profits ;, 164, 589 41 213 21 National bank notes outstanding State bank notes outstanding 596, 617 00 Dividends unpaid 698 00 1 Individual deposits 1 || United States,deposits 18, 193 22 1 Deposits of U. S. disbursing officers.. 1 82, 892 76 75, 649 00 •j Due to other national banks 1, 600 00 ; i Due to State banks and bankers 48, 849 62 86, 869 00 Notes and bills re-discounted 20,000 00 Bills payable 59, 270 00 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due froniU. S. Treasurer Total. 3, 943, 685 36 Total ), 756 82 265, 470 23 75, 340 69 j 3,943,685 36 Washington National Bank, Boston. No. 601. A. D. HODGES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures. - . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bilis of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer W. H. BRACKETT, Cashier. ,194,990 44 Capital stock paid in. "456*660*06" Surplus fund Other undivided profits 280, 453 25 40, 347 59 National bank notes outstanding State bank notes outstanding 383, 000 00 "56, 66600" 11, 000 00 119,634 49 5, 176 46 56, 712 31 50, 177 08 19, 267 00 145 51 5, 923 00 27, 500 00 35, 000 00 27, 000 00 Total. $750, 000 00 26,216 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 534, 285 77 Due to other national banks Due to State banks and bankers 5,349 12 32, 904 56 Notes and bills re-discounted. Bills payable 2, 052, 556 29 Total 2,052,556 2i> Home National Bank, Brockton. R. P . KlNGMAN, President. No. 2152. 5381, 428 59 Capital stock paid in . "56,666*60 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total C. D. FULLERTON, Cashier. Surplus fund Other undivided profits. 25, 000 00 30, 818 68 2, 500 00 200 00 4,142 50 10,419 96 606 00 891 43 16, 000 00 $200, 000 00 7,000 00 7,987 63 National bank notes outstanding State bank notes outstanding 45, 000 00 6, 657 00 Dividends unpaid Individual deposits .. .. United States deposits Deposits of U. S. disbursing officers.. 257, 612 53 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable j ""2,~25u""i6" ! 524,257 16 ! Total. 524,257 16 138 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Cliarles River National Bank, Cambridge. SAM'L B. RINBGE, President. No. 731. EJ3EN SNOW, Cashier. Resources. Liabilities. Loans and discounts $346,319 22 J Capital stock paid in . ; Overdrafts U. S. bonds to secure circulation j 100, 000 00 | Surplus fund U. S. bonds to secure deposits ! ! Other undivided profits U. S. bonds on hand j...... | Other stocks, bonds, and mortgages.. 1,595 00 \ National bank notes outstanding Due from approved reserve agents... 140, 187 44 j State bank notes outstanding Due from other banks and bankers . . J I Dividends unpaid . Real estate, furniture, and fixtures... Current expenses and taxes paid. 1,550 00 I Individual deposits Premiums paid ji United States deposits Checks and other cash items 15, 61G 78 || Deposits of U. S. disbursing officers.. Exchanges for clearing house Bills of other banks 10,149 00 \\ Due to other national banks 1,196 58 ! i Due to State banks and bankers . Fractional currency 2.325 00 1 1 Specie 27,000 00 i Notes and bills re-discounted. Legal tender notes U. S. certificates of deposit Bills payable 4, 500 00 Due from U. S. Treasurer 650,439 02 Total. $100, 000 00 50,000 00 43, 492 54 89,900 00 3,392 00 363, 654 48 Total . 650, 439 02 First National Bank of Cambridge, Cambridgeport. BENJ. TlLTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 433. W. A. BULLARD, Cashier. $405,544 18 I Capital stock paid in. $200, 000 00 223, 000 00 J Surplus fund j Other undivided profits 207, 011 95 100,000 00 47, 906 77 National bank notes outstanding State bank notes outstanding 190, 400 00 5, 234 00 Dividends unpaid . 3, 433 17 7, 383 00 478 79 13, 709 00 8, 070 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 335,089 32 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 10, 000 00 878, 630 09 878, 630 09 Cambridgeport National Bank of Cambridge, Cambridgeport. ROBERT DOUGLASS, President. No. 1228. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $158,695 62 10 50 100, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie .. . . . . . Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 111, 880 76 Total. 17, 000 00 3 00 5, 015 78 2, 887 00 430 30 800 00 9,000 00 5, 000 00 4, 500 00 415,222 96 SEYMOUR B. SNOW, Cashier. Capital stock'paid in., $100, 000 00 Surplus fund Other undivided profits 20, 000 00 45,621 26 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 4,848 00 2, 233 00 152, 520 70 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 415,222 96 139 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. National City Bank of Cambridge, Cambridgeport GEO. T. G A L E , No. 770. President. H E X R Y B. D A V I S , Cashier. Liabilities. Resources. Loans and discounts ! Overdrafts [ IT. S. bonds to secure circulation j U. S. bonds to secure deposits j . . U. S. bonds on hand i.. Other stocks, bonds, and mortgages..i Due from approved reserve agents . - j Due from other banks and b a n k e r s . . . j . . Real estate, furniture, and fixtures. . . j . . Current expenses and taxes paid I.. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer | j . . i j j j j \ $204,521 7-2 ! Capital stock paid in . 12 00 I 100, 000 00 Surplus fund. Other undivided profits 50, 000 00 7, 790 27 j 3, 000 00 || National bank notes outstanding 1Q 514 75 i State bank notes outstanding 89, 700 00 1 Dividends unpaid 1 ' 1 4, 748 80 ' |! Individual deposits l! United States deposits 2,242 01 1 Deposits of U.S. disbursing officers.. I 1 2,460 403 150 200 5.000 5, 300 90, 565 08 00 I Due to other national banks 67 1 Due to State banks and bankers . 1 00 j 00 \\ Notes and bills re-discounted 00 1 Bills payable. 1 00 342,804 15 Total. $100, 000 00 Total. 342,804 15 Neponset National Bank, Canton, CHAS. H. F R E N C H , No. 663. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. $336, 904 32 1,308 94 250, 000 00 Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid « Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 38, 395 27 3, 200 00 70 50 4,107 $2o0, 000 00 Surplus fund Other undivided profits. 39,117 31 37, 939 53 I National bank notes outstanding State bank notes outstanding 12, 540 68 Individual deposits United States deposits Deposits of U. S. disbursing officers. 87, 489 23 1 415 00 ; Due to other national banks , 7 04 Due to State banks and bankers . 630 00 o 798 00 Notes and bills re-discounted "ii, 250 00 223, 000 00 j Dividends unpaid . Bills payable 650, 086 75 Total. F. \V. DEANE, Cashier. Capital stock paid in . . . j j Total. ., 650, 086 75 First National Bank, Chelsea. ISAAC STEBBINS, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes p a i d . . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3 No. 533. R. PEARMAIN, | Cashier. $300, 000 00 60, 000 00 11,234 12 10, 000 00 i National bank notes outstanding j I, 21, 663 96 | State bank notes outstanding 697 11 ! 20, 000 00 Dividends unpaid . 3,6U7 66 Individual deposits United States deposits 14,947 71 Deposits of U. S. disbursing officers.. 12,780 00 j: Due to other national banks 3,748 76 i Due to State banks and bankers i 7,130 00 1 1 Notes and bills re-discounted 45,200 00 1 Bills payable 1 257,400 00 484 00 :86, 986 98 644 18 " 15,' 500 00 j | 916,749 28 || 6 Wai. $461,474 08 |j Capital stock paid in .1 300,000 oo |; Surplus fund Other undivided profits . Total. -1 916,749 28 140 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Chicopee. No. 1056. JEROME WELLS, President. F. B. DOTEX, Cashier Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. | | \ | j j Due from approved reserve agents ..I Due from other banks and bankers... j Real estate, furniture, and fixtures... j Current expenses and taxes paid j Premiums paid ! Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer.\ j i j { | ! ! Total j $193,172 31 ] 50, 000 00 74,370 74 14, 282 4 G 90 66 Capital stock paid in ! Surplus fund Other undivided profits 75, 000 00 25, 070 39 National bank notes outstanding State bank notes outstanding US, 000 00 Dividends unpaid , 6, 253 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 7, 664 00 Due to other national banks 604 24 Due to State banks and bankers. 650 00 Notes and bills re-discounted 2, 800 00 Bills payable 6, 750 00 Total. 450,384 41 $150,000 00 76,061 02 j \. 450,384 41 First National Bank, Clinton. No. 440. C. G. STEVENS, President. C, L. S. HAMMOND, Cashier, $341, 030 17 ' Capital stock paid in Loans and discounts U S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks bonds and mortgages 200.000 00 $200, 000 00 Surplus fund Other undivided profits 40, 000 00 21,411 57 National bank notes outstanding Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid 86,712 ?6 44 06 4,500 00 j 1,509 67 Checks and other cash items Exchanges for clearing house . . . . . . . Bills of other banks Fractional currency 5, 436 62 11,242 00 1,508 17 U S certificates of deposit . . Due from U. S. Treasurer 180, 000 00 27, 000 00 ' Notes and bills re-discounted [ Bills payable 11,000 00 ... 248, 571 98 Deposits of U. S. disbursing officers Due to State banks and bankers Total 689, 983 55 Total 689 9*3 55 Concord National Bank, Concord. GEO. HAYWOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand ! Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit D u e from U. S. Treasurer Total. No. 833. H. J . WALCOTT, Cashier, $113,531 06 Capital stock paid in . 100, 000 00 Surplus fund Other undivided profits 36, 000 00 11,559 45 National bank notes outstanding State bank notes outstanding 89, 000 00 75,406 01 2, 000 00 487 00 13 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. $100, 000 00 770 00 70, 275 14 956 14 320 9, 377 00 Due to other national banks 52 Due to State banks and bankers., 00 Notes and bills re-discounted 00 Bills payable 5,500 00 307, 604 59 Total 307, 604 59 REPORT OF THE COMPTROLLER OF THE CURRENCY. 141 MASSACHUSETTS. Conway National Bank, Conway. No. 895. E. D. HAMILTON, President. E. L. MUNX, Cashier. Liabilities. Loans and discounts . Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid — Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $120, 728 50 Capital stock paid in 1, 087 44 150,000 00 Surplus fund Other undivided profits 300 00 National bank notes outstanding State bauk notes outstanding 7,051 0G 4, filJJ 90 1,000 09 1,411 62 30,000 00 6, 006 07 107, 600 00 Dividends unpaid 168 35 Individual deposits . United States deposits Deposits of U. S. disbursing officers. 39 48 6, 120 00 510 16 13, 243 74 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,400 00 6, 75o'(J6" 307,018 16 j| Total. $150,000 00 i | Total. 307,018 16 First national Bank, Danvers. No. 594. DAN'L RICHARDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items . . . Exchanges for clearing house... Bills of other banks Fractional currency . Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer .. \ $150, Surplus fund Other undivided profits 2,170 00 National bank notes outstanding 85,191 20 State bank notes outstanding 7,669 32 11,334 66 21, 671 115 443 5, 000 00 10 19 00 000 00 54, 667 39 2,441 69 135, 000 00 5,461 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. 102, 232 66 449,802 74 Dedham National Bank, Dedham. EZRA W. TAFT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer L. WESTON, Cashier. Capital stock paid in 449, 802 74 Total. Total. $159, 457 85 42 150, 000 00 WM. No. 669. L. H. KlNGSBURY, i $420, 794 71 Capital stock paid in. ""3o6"6o6"66" 55, 7(58 75 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 3, 747 44 978 71 2, 596 00 100 66 3,125 76 16, 278 00 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable $300, 000 00 75, 000 00 29,209 76 259, 067 00 1,331 00 152, 237 27 45 00 13, 500 00 816, 890 03 Total. 816,890 03 142 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Cambridge National Bank, East Cambridge. No. 449. D. R. SORT WELL, President. J. C. BULLARD, Cashier. Liabilities. Resources. $185,778 30 Capital stock paid in 63J 23 109, 000 00 ! Surplus fund Other undivided profits Loans and discounts 3verdrafts U. S. bonds lo secure circulation U. S. bondsj[o secure deposits U S bonds on hand $100, 000 00 30, 000 00 21,804 45 National bank notes outstanding 40,765 95 1,788 58 Due from approved reserve agents... Due from other banks and bankers . . Dividends unpaid 3,575 00 Current expenses and taxes paid Checks and other cash items Exchanges for clearing house Bills of other banks 120, 866 86 United States deposits Deposits of U. S. disbursing officers 6, C98 17 ; Due from U. S. Treasurer 00 08 00 00 12 209 516 1, 060 6,000 ...... Legal tender notes Total 93, 200 00 . . . Due to other national banks Due to State banks and bankers Notes and bills re-discounted 1 Bills payable , „.. 5,000 00 369, 446 31 Total 369, 446 31 Lechmere National Bank, East Cambridge. L E W I S HALL, President. No. 614. Loans and discounts Overdrafts ; U. S. bonds to secure circulation ! U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . j Due from approved reserve agents. . . | Due from other banks and bankers Real estate, furniture, and fixtures.. -; Current expenses and taxes paid \ Premiums paid | Checks and other cash items ' Exchanges for clearing house Bills of other banks Fractional currency Specie . Legal tender notes U. S. certificates of deposit ; Due from U. S. Treasurer Total T. HENRY HUDSON, Cashier. $258, 568 33 Capital stock paid in. 7 99 150, 000 00 Surplus fund O ther undivided profits 20, 000 00 80, 199 16 $150, 000 00 100,000 00 2, 702 62 National bank notes outstanding State bank notes outstanding Dividends unpaid. 12, 000 00 2 91 Individual deposits 2,190 00 United States deposits.' 5, 506 54 Deposits of U. S. disbursing officers. 128,100 00 4,367 00 170, 011 50 1, 620 00 Due to other national banks 2, 041 74 Due to State banks and bankers . 1,078 45 15, 216 00 Notes and bills re-discounted Bills payable 6, 750 00 Total. 555, 181 12 555,181 12 First National Bank, East Hampton. H. G. KxiGHT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. Si Treasurer Total. No. 428. $218, 831 76 1, 296 77 150, 000 00 2, 000 00 37,129 12, 852 12, 000 519 50 73 C O 41 75 00 C. E. WILLIAMS, Cashier. Capital stock paid in. $200, 000 00 Surplus fund Other undivided profits 40,000 00 9, 956 36 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 131,325 00 173 00 73, 353 09 3, 933 688 250 8, 480 00 Due to other national banks 53 | Due to State banks and bankers . 75 | 00 | Notes and bills re-discounted Bills payable 6, 750 00 454, 807 45 Total. 454, 807 45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 4 3 MASSACHUSETTS. Martha's Vineyard National Bank, Edgartown. DANIEL F I S H E R , No. 1274. President. Jos. T. PEASE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $104,813 99 Capital stock paid in. $100, 000 00 100,000 00 Surplus fund 41.743 14 1 77 Other undivided profits . 20, 000 00 National bank notes outstanding State bank notes outstanding 16.4P3 03 77, 973 79 3, 000 00 50 3,615 50 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. 434 17 86, 480 C O 1,536 00 184 25 Due to other national banks Due to State banks and bankers. 5, 000 00 102,090 42 Notes and bills re-discounted. Bills payable " "4," 5oo "66" 333, 930 83 Total . 333,930 83 National Bank, Pairhaven. GEO. No. 490. F . T R I P P , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits | U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie L egal tender notes U. S. certificates of deposit Due from U. S. Treasurer , Total. REUBEN1 NYE, Cashier. $137,390 15 |: Capital stock paid in. $240, 000 00 Surplus fund Other undivided profits 32,100 00 3, 827 04 National bank notes outstanding . . . State bank notes outstanding 23, 942 08 1,612 14 ! 89, 677 55 I Dividends unpaid . 85 Individual deposits United States deposits 6, 402 17 Deposits of U. S. disbursing officers. 225,250 00 270, 000 00 1 36, 000 00 'h'bib'bb' 661 72 5, 244 00 5, 467 20 82, 296 42 i Due to other national banks i Due to State banks and bankers . Notes and bills re-discounted Bills payable 12, 000 00 588, 940 66 588,940 66 First National Bank, Fall River. J. S. BitAYTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency * . Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 256. C. A. BASSETT, Cashier. $861,002 61 I j Capital stock paid in. "loo'ooo'oo'l! Surplus fund Other undivided profits National bank notes outstanding 32,471 67 State bank notes outstanding 18,408 18 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 12,846 1,335 3,865 7,000 10, 000 18,000 00 1 Due to other national banks 1 07 I Due to State banks and bankers . 00 I Notes and bills re-discounted. 00 ! 00 I Bills payable 00 i! 1, 364, 928 53 Total. $400, 000 00 80, 000 00 311,139 05 .355, 990 00 213,220 41 4, 579 04 1,364,928 53 144 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Second National Bank, Fall River. No. 439. S. A. CHACE, President. C. J. HOLMES, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer Liabilities. $220, 220 30 Capital stock paid in 3,000 00 150, 000 00 Surplus fund Other undivided profits. 91, 647 43 45,192 68 8, 566 49 National bank notes outstanding State bank notes outstanding ; Dividends unpaid 1, 970 77 241 ! 2, 083 00 2,417 68 2, 569 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 134, 000 00 325 00 139, 594 37 6, 225 86 6, 750 00 483, 904 40 ' . Total. $150, 000 00 Total . 483, 904 40 Fall River National Bank. Fall River. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total F. II. GiFFORD, Cashier. No. 590. G. H. HATHAWAY, President. $498, 565 53 Capital stock paid in. $400, 000 00 "'466"6o6"6o' Surplus fund Other undivided profits 3, 000 00 National bank notes outstanding 77,579 00 j:State bank notes outstanding Dividends unpaid 9, 000 00 11 71 Individual deposits United States deposits 7, 309 81 ! Deposits of U. S. disbursing officers. 25, 3, 4, 18, 197 661 650 165 00 77 40 00 j Due to other national banks Due to State banks and bankers . Notes and bills re-discounted "22"766"66"! Bills payable 1,069,840 22 Total 137, 400 00 41 67 351, 800 00 19, 375 00 157, 587 43 12 1, 069, 840 22 Massasoit National Bank, Fall River. C. P. STICKNEY, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 612. LEANDER BORDEN, Cashier. $380, 549 8, 845 200, 000 50, 000 62 Capital stock paid in . 78 00 Surplus fund 00 Other undivided profits . National bank notes outstanding 69,974 02 State bank notes outstanding 1.309 42 4,679 68 Dividends unpaid 4,780 31 Individual deposits United States deposits 1,424 84 Deposits of U. S. disbursing officers . 20,411 00 Due to other national banks 468 02 Due to State banks and bankers. 3,062 25 28,362 00 Notes and bills re-discounted Bills payable $200, 000 00 146,118 96 15, 274 58 173, 050 00 1,032 00 202, 268 58 28, 032 27 16, 506 87 583 68 " " 9 " 666" 66". 782, 866 94 Total. 782, 866 94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 145 MASSACHUSETTS. Metacomet National Bank, Fall River. A. S. TRIPP, Cashier. JEFFERSON BORDEN, President. Resources. Loans and discounts Overdrafts . . U. S. bonds to secure circulation . U, S. bonds to secure deposits. U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from othei banks and bankers... Current expenses and taxes paid Checks and other cash items Exchanges for clearing h o u s e . . . . . . . . Bills of other banks Legal tender notes . . . . . . . . . . . . . . . . . . U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $956, 006 25 Capita? stock paid in Other undivided profits 10," 050 oo" 3,000 00 National bank notes outstanding 58, 502 54 'l82 61 Dividends unpaid 1,400 50 878 69 11,165 00 214 43 5 968 35, 000 00 20,"037 05" 226 000 on 102, 220 16 375, 200 00 2,960 00 218,645 23 United States deposits Deposits of U- S. disbursing officers.. Due to other national banks Due to State banks and bankers 11, 880 25 Notes and bills re-discounted . . . . . Bills payable 1, 536, 905 6 9 ; Total $600, 000 00 434, 500 00 Total 1, 536, 905 National Union Bank, Fall River. COOK B O R D E N , No. 1288. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie „ Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 1,182 33 Individual deposits United States deposits 3, 005 82 Deposits of U. S. disbursing officers. 3, 622 814 1, 500 16, 445 00 Due to other national banks 31 Due to State banks and bankers . 00 00 Notes and bills re-discounted. Bills payable , 13, 599 20 694, 405 06 Total. D. A. CHAPIN, Cashier. $347, 772 02 I Capital stock paid in 2,311 84 I 300, 000 00 Surplus fund Other undivided profits National bank notes outstanding 2, 679 14 State bank notes outstanding 708 40 Dividends unpaid . Total. $300, 000 00 46, 600 00 11,747 81 266, 870 00 860 00 45, 840 22 12, 487 03 10, 000 00 694, 405 06 Pocasset National Bank, Fall River. W E A V E R OSBORN, No. 679. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . $311, 465 05 "200" 000," 00* 5, 000 00 Due from approved reserve a g e n t s . . . Due from other banks and b a n k e r s . . . Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid 2,101 99 50, 000 00 1,165 17 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 11,393 978 4, 055 38, 720 Total 9,9 E. E. H A T H A W A Y , Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits $ 34 Deposits of U. S. disbursing officers. 00 54 10 00 Due to other national banks Due to State banks and bankers . $200, 000 00 40, 000 00 58, 373 19 171, 900 00 860 00 147, 031 60 25, 652 40 Notes and bills re-discounted. Bills payable 9, 000 00 643,867 19 Total. 643,867 19 146 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Falmouth National Bank, Falmouth. ERASMUS GOULD, President. No. 1320. G E O . E. CLARKE, Cashier. Resources. Loans and discounts Overdrafts ; U. S. bonds to secure circulation j U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..; Due from approved reserve agents...! Due from other banks and bankers Real estate, furniture, and fixtures .. i Current expenses and taxes paid Premiums paid j Checks and other cash items j Exchanges for clearing house Bills of other banks Fractional currency '• Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer '• Total Liabilities. $8*, 324 94 Capital stock paid in j $100,000 00 100, 000 00 Surplus fund Other undivided profits 15, 920 00 National bank notes outstanding 20, 635 92 State bauk notes outstanding 2, 000 00 Dividends unpaid 24, 000 00 1, 527 82 88, 080 00 2,904 00 Individual deposits | United States deposits i 301 11 Deposits of U. S. disbursing officers.. 1, 660 00 Due to other national banks 20 75 Due to State banks and bankers 56 15 625 00 Notes and bills re-discounted Bills payable 4, 500 00 231,243 87 14, 732 05 j Total . 231,243 87 Fitchburg National Bank, Fitchburg EBENEZER TORREY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1077. $340, 668 34 CHAS. J . BILLINGS, Cashier. $250, 000 00 Capital stock paid in. 157, 500 00 524 18 250, 000 00 Surplus fund Other undivided profits 50, 600 00 National bank notes outstanding 37,773 17 State bank notes outstanding 12, 354 23 Dividends unpaid. 7, 562 50 22, 890 32 "i'hoi'ob' 386 12 4,924 00 10, 000 00 162, 000 00 | Individual deposits United States deposits '. Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 170, 754 75 i j i 9,225 75 Notes and bills re-discounted. Bills payable 11,250 00 750, 004 68 Total. 750,004 68 Rollstone National Bank, Fitchburg. H. A. WILLIS, President. Loans and discounts { Overdrafts ; U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks | Fractional currency | Specie | Legal tender notes \ U. S. certificates of deposit ' Due from U. S. Treasurer Total. J. M. GRAHAM, Cashier. No. 702. $329,172 18 "'666'66" 250, i 000 00 920 27 $250, 000 00 Capital stock paid in 167, 000 00 1, 837 42 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding ;o, ooo oo Dividends unpaid . 3 50 7, 500 00 204/00 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 3, 886 28 11,515 00 217,771 31 19, 170 67 1, 277 000 7, 00 Due to other national banks 85 Due to State banks and bankers . 00 00 Notes and bills re-discounted. Bills payable 750 00 852,314 41 Total. 190 68 .| 852,314 41 REPORT OF THE COMPTROLLER OF THE CURRENCY. 147 MASSACHUSETTS. Safety Fund National Bank, Fitchburg. HENRY ALLISON, President. No. 2153. F. F. WOODWARD, Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $169,386 30 44 96 200, 000 00 10, 000 00 448 87 4,000 00 5, 322 91 32,543 18 3,155 10 Capital stock paid in. $200, 000 00 Surplus fund Other undivided profits. National bank notes outstanding . . . State bank notes outstanding Dividends unpaid . 20, 707 60 4, 978 03 177, 600 00 336 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 32, 438 43 930 00 Due to other national banks 871 33 Due to State banks and bankers . Notes and bills re-discounted. 3,000 00 Bills payable 2,612 59 *9, boo bo" Total. 438, 702 65 438,702 65 Wachusett National Bank, Fitchburg. A. W. SEAVER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiu aas paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes , . U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2265. $522, 543 99 29 07 200, 000 00 72, 250 00 46, 839 99 42, 025 55 6,688 90 47, 500 00 301 99 H. L. JEWETT, Cashier. Capital stock paid in. $500, 000 00 Surplus fuu d » Other undivided profits National bank note3 outstanding State bank notes outstanding . Dividends unpaid . 178, 699 00 1, 794 00 Individual deposits United States deposits Deposits ot" U. S. disbursing officers. 564 00 Due to other national banks 34 11 Due to State banks and bankers . 81 90 8,198 00 Notes and bills re-discounted. Bills payable 9, 500 00 956, 557 50 5,804 73 16,212 36 116, 968 34 20,103 06 116, 976 01 956, 557 50 Total. Framingham National Bank, Framingham. JAS. "VV. CLARK, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates o£ deposit Due from U. S. Treasurer Total. JAS. J. VALENTINE, Cashier. No. 526. $312, 703 01 1,690 85 225, 000 00 3, 000 00 7, 577 37 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 4 75 Individual deposits United States deposits 3, 988 13 Deposits of U. S. disbursing officers. 3, 921 00 Due to other national banks 9L 95 Due to State banks and bankers 435 00 10, 008 00 Notes and bills re-discounted . Bills payable 9, 975 00 578, 395 06 Total. $200, 000 00 50, 000 00 27, 722 62 197,127 00 10, 290 00 58,159 83 35,095 61 578,395 06 148 -REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Franklin National Bank, Franklin. JAMES P. RAY, President. No. 1207. MOSES FARNUM, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation j ! U. S. bonds to secure deposits IF. S. bonds on hand Other stocks, bonds, and mortgages . . j Due from approved reserve agents.. J Due from other banks and bankers Real estate, furniture, and fixtures . . . j Current expenses and taxes paid i Premiums paid I Checks and other cash items ! Exchanges for clearing house \ Bills of other banks .j Fractional currency ! : Specie Legal tender notes j U. S. certificates of deposit j D ae from U. S. Treasurer Total. $177,700 34 200, 000 00 -. Capital stock paid in j $200, 000 00 Surplus fund Other undivided profits j j 28,000 00 5, 798 00 National bank notes outstanding State bank notes outstanding 158, 700 00 I I j 13, 975 00 Individual deposits United States deposits | 7, 432 82 Deposits of U. S. disbursing officers..! -. 1,841 00 308 83 15, 0U0 00 Dividends unpaid . Due to other national banks Due to State banks and bankers j 859 00 28,728 62 4,172 37 Notes and bills re-discounted. Bills payable 10, 000 00 426, 257 99 Total. 426, 257 99 First National Bank, Gardner. No. 884. C-HAS. HEYWOOD, President. Loans and discounts Overdrafts I U. S. bonds to secure circulation ! U. S. bonds to secure deposits ! U. S. bonds on hand ! Other stocks, bonds, and mortgages..; Due from approved reserve agents...' Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. JNO. D. EDGELL, Cashier, $182, 429 86 Capital stock paid in 431 88 ' 125, 000 00 ; Surplus fund. Other undivided profits 52, 387 77 "i5*372'6o" 1,919 70 2, 000 00 2,169 89 I, 663 1, 239 210 7, 500 00 55 00 00 National bank notes outstanding State bank notes outstanding Dividends unpaid $150, 000 00 29, 000 00 6, 654 65 110,175 00 112 50 Individual deposits United States deposits Deposits of U. S. disbursing officers . 102, 036 50 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable 5, 625 00 397,978 65 1 1 Total. 397,973 65 Georgetown National Bank, Georgetown. H. P. CHAPLLV, President. No. 2297. GEO. H. CARLETON, Cashier. I Loans and discounts $109, 804 65 Capital stock paid in . Overdrafts TJ. S. bonds to secure circulation \ 60, 000 00 | Surplus fund U. S. bonds to secure deposits ! O ther undivided profits ; U. S. bonds on hand Other stocks, bonds, and mortgages ~ , National bank notes outstanding Due from approved reserve agents... 6,143 35 State bank notes outstanding Due from other banks and bankers , Real estate, furniture, and fixtures...; 1, 000 00 Dividends unpaid. Current expenses and taxes paid i 12 78 Individual deposits Premiums paid 8, 850 00 United States deposits Checks and other cash items 164 11 Deposits of U. S. disbursing officers.. Exchanges for clearing house Bills of other banks 313 00 Due to other national banks Fractional currency ! 123 50 Due to State banks and bankers . Specie , Notes and bills re-discounted. Legal tender notes ' 1,817 00 U. S. certificates of deposit , Bills payable Due from U. S. Treasurer £,250 00 Total. 190, 483 39 Total. $100, 000 00 1,000 00 1,106 69 41, 500 00 2,691 00 44,185 70 190, 483 39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 4 9 MASSACHUSETTS. First National Bank, Gloucester. No. 519. SI. L. W E T H E R E L L , President. GEO. Resources. Loans and discounts Overdrafts Lr. S. bonds to secure deposits X S bonds on hand J Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and b a n k e r s , . . Real estate, furniture, and fixtures... Current expenses and taxes paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency. Specie Legal tender notes R. B R A D F O R D , Cashier. Liabilities. $241,811 13 679 82 200, 000 00 Capital stock paid in $200 000 00 Surplus fund Other undivided profits. .„ 40 000 00 6, 369 97 National bank notes outstanding 73,163 85 | State bank notes outstanding 976 00 24, 000 00 10, 162 62 10, 000 Of) Individual deposits United States deposits Deposits of U. S disbursing officers 480 » , 6, 793 151 5, 974 5,000 178 300 00 00 Due to other national banks 49 Due to State banks and bankers 93 00 i Notes and bills re-discounted . . 161, 346 54 225 07 9,000 00 Due fromU. S. Treasurer 537, 217 58 Total Total 587, 217 58 Cape Ann National Bank, Gloucester. GORHAM P . LOW, President. No. 899. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve ageDts... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . D ue from U. S. Treasurer Total. H I R A M R I C H , Cashier. $196,828 81 ! Capital stock paid in. $150, 000 00 ""iso, 665 6 " Surplus fund. 1 Other undivided profits 1 19, 500 00 i 5, 400 00 I National bank notes outstanding 69,678 69 \ State bank notes outstanding 130, 225 00 4, 066 00 14, 534 60 : Dividends unpaid. 140 93 75,000 00 12,143 28 Individual deposits United States deposits Deposits of U. S. disbursing officers. 111, 03L 06 8, 256 940 1,703 8,733 00 I Due to other national banks , 01 |: Due to State banks and bankers. 30 I! 00 j Notes and bills re-discounted. Bills payable 6,750 00 Total. 482, 465 34 482, 465 34 City National Bank, Gloucester. A D D I S O N G I L B E R T , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid '. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of depusit Due from U. S. Treasurer Total. No. 2292. $177, 787 27 11 39 150, 000 00 85,389 94 20, 648 04 5, 714 96 23, 945 79 1,489 22 109 00 297 55 1,381 50 8,425 00 W I L L I A M A. P E W , Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $150, 000 00 18, 067 19 133, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 180, 882 47 Due to. other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 6, 750 00 481,949 66 Total. 481,949 i 150 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Gloucester National Bank, Gloucester. E. W. MERCHANT, President. No. 1162. WILLIAM BABSON. Cashier Resources. Liabilities. Loans and discounts $373, 829 20 Capital stock paid in., Overdrafts 130 48 U. S. bonds to secure circulation 300, 000 00 Surplus fund U. S. bonds to secure deposits i Other undivided profits U. S. bonds on hand Other stocks, bonds, and mortgages.. | National bank notes outstanding Due from approved reserve agents...; 88, 111 48 State bank notes outstanding Due from other banks and bankers... j 23, 315 02 Dividends unpaid Real estate, furniture, and fixtures...! 37, 000 00 Current expenses and taxes paid | 11 35 Individual deposits Premiums paid i United States deposits Checks and other cash items ! 2, 301 61 Deposits of U. S. disbursing officers Exchanges for clearing house ! Bills of other banks | 7.086 00 Due to other national bank3 Fractional currency 2, 001 71 Due to State banks and bankers Specie | 41 00 Legal tender notes ! 15, 663 00 Notes and bills re-discounted. U. S. certificates of deposit Bills payable Due from U. S. Treasurer 13, 500 00 Total. 867, 993 35 $300, 030 00 100, 0C0 00 17, 516 68 265, 000 00 8,186 00 | ] .\ 172, 909 13 I 4, 382 04 867, 993 85 Total. First National Bank, Grafton. No. 188. G. F. SLOCUM, President. Loans and discounts ] ! Overdrafts U. S. bonds to secure circulation I U. S. bonds to secure deposits | U. S. bonds on hand ! Other stocks, bonds, and mortgages Due from approved reserve agents... Due from other banks and bankers... | Real estate, furniture, and fixtures. ..\ Current expenses and taxes paid ! Premiums paid : Checks and other cash items j Exchanges for clearing house i Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. A. A. BALLOU, Cashier. ?127, 665 67 Capital stock paid in. $100, 000 00 100, 000 00 Surplu s fund Other undivided profits National bank notes outstanding 6,157 86 State bank notes outstanding Dividends unpaid 166b; Individual deposits United States deposits 1, 359 11 Deposits of U. S. disbursing officers.. 26, 116 36 17 07 89, 000 00 1, 921 50 26, 128 66 2,915 32 243 300 00 Due to other national banks 95 !i Due to State banks and bankers 00 00 Notes and bills re-discounted 4,500 00 Bills payable 243,183 59 Total. 243,183 59 Grafton National Bank, Grafton. JONA. D. WHEELER, President No. 824. HENRY F . W I N G , Cashier. $114,800 87 | Capital stock paid in | $100,00000 Loans and discounts Overdrafts U. S. bonds to secure circulation j 100, 000 00 Surplus fund 17, 675 00 744 85 U. S. bonds to secure deposits i Other undivided profits U. S. bonds on hand \ | National bank notes outstanding Other stocks, bonds, and mortgages... j 90, 000 00 Due from approved reserve agents... j 2, 330 27 State bank notes outstanding Due from other banks and bankers...! 2, 928 00 Real estate, furniture, and fixtures . . . j 500 00 Dividends unpaid . Current expenses and taxes paid j Individual deposits 15, 720 53 Premiums paid j . . , United States deposits Checks and other cash items j 4S2 89 Deposits of U. S. disbursing officers.. Exchanges for clearing house Bills of other banks ! 3,319 00 Due to other national banks Fractional currency j 18 35 Due to State banks and bankers. Specie I 217 00 Notes and bills re-discounted j Legal tender notes U. S. certificates of deposit ', Bills payable , Due from U. S. Treasurer ! 5, 400 00 Total 7, 068 38 Total. 227, 068 38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 5 1 MASSACHUSETTS. National Mahaiwe Bank, Great Barrington. J. L. D O D G E , No. 1203. President. F. N. D E L A N D , Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation i U. S. bonds to secure deposits i U. S. bonds on hand \ Other stocks, bonds, and mortgages.. Due from approved reserve agents...! Due from other banks and bankers... i Real estate, furniture, and fixtures... | Current expenses and taxes paid : Premiums paid | Checks and other cash items I Exchanges for clearing house Bills of other banks ; Fractional currency Specie ; Legal tender notes ; U. S. certificates of deposit I Due from U. S. Treasurer | 165,7-21 45 200, 000 00 66. 414 08 9, 382 54 3, 000 00 1, 332 02 Surplus fund Other undivided profits 100, 000 00 47, 837 68 National bank notes outstanding . . . State bank notes outstanding 178,100 00 2, 454 00 Dividends unpaid. Individual deposits United States deposits 7,794 31 j Deposits of U. S. disbursing officers. 143, 977 90 Due to other national banks Due to State banks and bankers . . . 1, 946 96 08 5, 485 00 638 22 5,624 00 8, 925 C O Notes and bills re-discounted Bills pajTable 674 316 62 | Total. $200, 000 00 Capital stock paid in. Total. 674,316 62 First National Bank, Greenfield. W. B. W A S H BURN, President. J. W. STEVENS, Cashier. Loans and discounts Overdrafts , U. S. bonds to secure circulation ! U. S. bonds to secure deposits \ U. S. bonds on hand j Other stocks, bonds, and mortgages . . Due from approved reserve agents... j Due from other banks and bankers -.1 Real estate, furniture, and fixtures. ..j Current expenses and taxes paid i Premiums paid _ Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer j j ' $402, 388 45 ! I Capital stock paid in 59 55 ii 300, 000 00 1 Surplus fund 1 Other undivided profits $300, 000 00 195, 000 00 14, 543 75 20,666 6o"| I 00 | National bank notes outstanding 41 : State bank notes outstanding 37 ! 00 j Dividends unpaid 67 Individual deposits 1,659 51 United States deposits ;. Deposits of U. S. disbursing officers..; 5,278 00 Due to other national banks 1,885 22 Due to State banks and bankers 2,000 00 22, 000 00 Notes and bills re-discounted. Bills payaMe 13, 500 00 ; 74,200 64,794 45, 097 10, 000 1,793 964, 656 18 i Total. ' Total. 265,460 00 618 00 184, 487 98 4, 546 45 964,656 18 Franklin County National Bank, Greenfield. W I L L I A M K E I T H , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bils of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 920. H E N R Y K. SIMONS, Cashier. $321,573 35 Capital stock paid in. 589 05 ! 200, 000 00 | Surplus fund Other undivided profits - ""Is'ooo'oo"! 15, 000 00 | National bank notes outstanding 6, 321 93 | State bank notes outstanding 1. 836 58 ! Dividends unpaid . 50, 101 19 474,52 ! ,, 3,994 44 \ Individual deposits United States deposits. 6, 370 95 I Deposits of U. S. disbursing officers 14, 336 655 961 17, 688 00 Due to other national banks 08 j Due to State banks and bankers . 40 ! 00 I Notes and bills re-discounted. Bills payable 11, 000 00 I 665,902 49 Total. $200, 000 00 61, 000 00 22,486 60 180, 000 00 6, 560 57 175, 855 04 20, 000 28 665, 902 49 152 REPORT OF THE COMPTROLLER OF THE CURRENCY, MASSACHUSETTS. Packard National Bank, Greenfield.. W . N. P A C K A R D , No. 2264. President. R. A . P A C K A R D , Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . . Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid j Checks and other cash items j Exchanges for clearing house Bills of other banks Fractional currency Specie j Legal tender notes i U. S. certificates of deposit | Due from U. S. Treasurer ! j Total Cashier, Liabilities. $94, 999 54-2 GO, 000 25, 426 219 2, 616 74 8, 900 Capital stock paid i n . 510 00 1,553 71 ji National b a n k notes outstanding ij State b a n k notes outstanding 53, 000 00 j Dividends u n p a i d . 1, 905 G O ! Individual deposits , j United Strifes deposits j Deposits of U. S. disbursing officers..! 578 1, 671 104 100 2, 400 $100, 000 00 Surplus fund Other undivided profits . •' Duo to other national b a n k s i D u e to Suite b a n k s a n d b a n k e r s I I „ j i. ' Notes and bills re-discounted Bills'.)ayjiblo 43, 032 45 326 90 - 2, 700 00 ! 200,333 06 \ Total. 200, 333 06 Cape Cod National Bank, Harwich. P. S. CROWELL, President. No. 712. Loans and discount Overdrafts U. S. bonds to secure circulation \ U. S. bonds to secure deposits ' : U. S. bonds on hand Other stocks, bonds, and mortgages . . j Due from approved reserve agents... j Due from other banks and bankers. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house j Bills of other banks | •Fractional currency.... j Specie | Legal tender notes j TJ. S. certificates of deposit j Due from U. S. Treasurer Total. GEO. H. SNOW, Cashier. $418,279 49 ;j Capital stock paid in \ $300,000 00 \ 284, 000 00 I Surplus fund I Other undivided profits 60,000 00 26, 995 57 l i i 3, 000 00 | National bank notes outstanding . . . . j i State bank notes outstanding j 240, 500 00 j 2, 000 00 j Dividends unpaid i 228 47 j I Individual deposits j j United States deposits ..j Deposits of U. S. disbursing officers . . j 90,114 84 865 00 j D u e to other national b a n k s . . . . 16 00 I Due to State banks and bankers 75 90 Notes and bills re-discounted.. Bills payable 12, 775 00 Total. 721,239 86 \ j 717 0 2,911 95 j 721,239 86 First National Bank, Haverhill. MOSES H O W , President Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums? paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer .. Total. No. 481. E. G. TVOOD, Cashier. $476, 232 90 Capital stock paid in . $300, 000 00 200, 000 00 Surplus fund Other undivided profits 100, 000 00 14, 698 61 National bank notes outstanding State bank notes outstanding 178, 000 00 18, 222 88 12, 000 00 8,976 57 4, 684 92 12, 930 00 3, 009 35 3, 000 00 14,000 00 Dividends unpaid. Individual deposits . . United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. 565 00 182,170 53 622 48 !N"otes and bills re-discounted. Bills payable 23, 000 00 776, 056 62 Total. '6, 056 62 REPORT OF THE COMPTROLLER OF THE CURRENCY. 153 MASSACHUSETTS. Essex National Bank, Haverhill. No. 589. JOHN C. TILTON, President. W)i. CALDWELL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid j Premiums paid j Checks and other cash items j Exchanges for clearing housi Bills of other banks Fractional currency Specie Legal tender notes I U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $100, 000 00 $133, 490 42 j Capital stock paid in ""I6o,boo 65 Surplus fund Other undivided profits 20, 000 00 16, 933 21 National bank notes outstanding """"5"660*06"; State bank notes outstanding 3, 137 99 Dividends unpaid 6, (100 00 3,419 10 Individual deposits United States deposits 2, 095 45 Deposits of U. S. disbursing officers.. 81,300 00 305 00 49, 828 30 Due to other national banks Due to State banks and bankers Haverhill National Bank, Haverhill. JSO. A. ArPLETON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation LT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..j Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer No. 484. $347,846 09 Capital stock paid in . $200, 000 00 "263,666 60 18,832 33,313 11,500 6, 747 1,762 Surplus fund Other undivided profits 40 j National bank notes outstanding . . . . State bank notes outstanding 84 Dividends unpaid. 00 27 Individual deposits United States deposits 26 Deposits of U. S. disbursing officers. "xhbb'60 47 24 2, 604 75 17, 900 -00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 100, 000 00 6, 761 23 180, 000 00 959 00 180,310 14 7 l ir >'? 24, 400 00 Total. 675,153 85 Total. JAMES E. GALE, Cashier. 675,153 85 Merrimack National Bank, Haverhill. E. J . M. HALE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total No. 633. $429, 227 53 JOHN L. HOBSON, Cashier. Capital stock paid in " 246,666 66 Surplus fund " 17, 004 45 3,000 00 7, 941 90 9, 393 69 10, 757 00 932 77 620 00 12, 000 00 Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers $240, 000 00 100, 000 00 62, 296 32 212,^00 00 1,075 00 124, 009 73 2, 096 Notes and bills re-discounted. Bills payable 10,800 00 741, 677 34 Total 741, 677 34 154 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Hingham National Bank, Hingham. No. 1119. Jos. JACOBS., Jr., President. J. S. TILESTON, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... 1 Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks ! Fractional currency I Specie Legal tender notes U. S. certificates of deposit Due from TJ, S. Treasurer Total. $164,064 54 j! Capital stock paid in. $140, 000 00 140, 000 00 Surplus fund Other undivided profits 10, 000 00 34, 046 85 8, 221 47 1, 164 68 251 23,640 50 2, 472 99 National bank notes outstanding State bank notes outstanding Dividends unpaid . 121,575 00 4,295 90 Individual deposits United States deposits Deposits of U. S. disbursing officers. 80, 382 17 2,965 00 j Due to other national banks 63 14 Due to State banks and bankers . 345 20 3, 944 00 Notes and bills re-discounted . Bills payable 7,300 00 | Total 372,305 56 I 372,366 56 Holliston National Bank, Holliston. ALDEN LELAND, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Cue from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash itema Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 802. $158,613 52 Capital stock paid in., $150, 000 00 " "I34,666 66" Surplus fund 25, 000 00 11, 595 07 Other undivided profits National bank notes outstanding State bank notes outstanding "14,393 55 Dividends unpaid . Individual deposits 4,671 50 United States deposits 491 6Q Deposits of U. S. disbursing officers. 60 29 203 3, 000 00 97 35 00 ""*6"636"66' 31, 000 00 4,923 48 106,483 00 5, 072 98 60, 609 16 Due to other national banks. Due to State banks and bankers. Notes and bills re-discounted Bills payable 358, 088 62 Total . THOS. E. ANDREWS, Cashier. Total. 358, 088 62 Hadley Falls National Bank, Holyoke. C. W. RANLET, President. Loans and discounts | Overdrafts | U. S. bonds to secure circulation I U. S. bonds to secure deposits j U. S. bonds on hand I Other stocks, bonds, and mortgages..j Due from approved reserve agents. ..j Due from other banks and bankers ..j Real estate, furniture, and fixtures...j Current expen es and taxes paid j Premiums paid Checks and other cash items | Exchanges for clearing house : Bills of other banks ; Fractional currency S pe cie I Legal tender notes • U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1246. H. P. TERRY, Cashier. §-2B&, 874 9 1 I Capital stock paid in. "266*666'66"! Surplus fund ""25*600 60"! 27, 040 39 2,210 75 15, 397 03 9 45 4, 312 50 6, 750 35 Other undivided profits National bank notes outstanding State bank notes outstanding $200,000 00 100, 000 00 23,208 19 173, 200 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 10,250 00 Due to other national banks 991 37 Due to State banks and bankers . 2,262 60 15, 362 00 | Notes and bills re-discounted. ; Bills payable 109, 983 06 1, 070 10 ""9,'666"66"| 607,461 35 I Total. 607,461 35 REPORT OF THE COMPTROLLER OF THE CURRENCY. 155 MASSACHUSETTS. Holyoke National Bank, Holyoke. No. 1939. W M . WHITING, President. W. C. SIMONS, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $311, 740 55 522 02 139,000 00 Surplus fund Other undivided profits National bank notes outstanding . State bank notes outstanding . .. 24, 703 02 195 96 1, 000 00 Dividends unpaid. 65 18, 000 00 Individual deposits United States deposits 1,913 32 Deposits of U. S. disbursing officers. 16, 500 00 2,217 67 121,100 00 4, 000 00 198, 398 05 21, 019 00 Due to other national banks 345 25 Due to State banks and bankers . 580 35 16, 865 00 Notes and bills re-discounted. Bills payable 8, 055 00 Total. 543, 940 12 Total. $200, 000 00 Capital stock paid in . 1, 724 40 543, 940 12 Hopkinton National Bank, Hopkinton. L. B. MAYBRY, President. No. 626. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $172,046 00 i5o,~666"o6" 5, 740 00 6, 364 29 586 82 23 81 950 00 6,"75O"66" $150, 000 00 Surplus fund Other un divided profits National bank notes outstanding... State bank notes outstanding Dividends unpaid. 30, 532 75 4, 451 95 131, 000 00 253 50 Individual deposits United States deposits Deposits of U. S. disbursing Qfficers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted.. Bills payable , 342, 460 92 Total. E. J . JENKS, Capital stock paid in . Total . 25,174 54 1,048 18 342, 460 92 First National Bank, Hyannis. S. B. PHINNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... •Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . H. Ex. 3- No. 1107. JOSEPH R. HALL, Cashier. $117,814 56 Capital stock paid in . 88 03 100, 000 00 Surplus fund Other undivided profits 8,660 50 7, 728 85 National bank notes outstanding State bank notes outstanding $100, 000 00 13, 000 00 3, 967 04 87, 300 00 Dividends unpaid . 559 90 445 48 Individual deposits United States deposits Deposits of U. S. disbursing officers. 48, 393 94 7,195 00 Due to other national banks 70 66 Due to State banks and bankers . 491 00 4, 207 00 Notes and bills re-discounted. Bills payable , 5, 400 00 252, 660 98 Total. 252, 660 98 156 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Lancaster National Bank, Lancaster. No. 583. GEO. W. H O W E , President. WM. Resources. Loans and discounts Overdrafts \ U. S. bonds to secure circulation | U. S. bonds to secure deposits j ! U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit | Due from U. S. Treasurer Total. II. MCNEIL, Cashier. Liabilities. $142, 976 68 Capital stock paid in. "5O,()6o 00 Surplus fund O tker undivided profits 20, 000 00 14, 941 23 National bank notes outstanding.... State bank notes outstanding 45, 000 00 15, 540 36 95 57 6, 000 00 Dividends unpaid 0 3 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 105 00 802 65 J 140 , 819 $100,000 00 44,850 22 Due to other national banks Due to State banks and bankers 00 84 00 00 Notes and bills re-discounted Bills payable 250 00 224 794 45 224, 794 45 Bay State National Bank, Lawrence. GEO. L. DAVIS, President. No. 1014. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie L egal tender notes U. S. certificates of deposit Due from U. S. Treasurer a $659, 009 34 40 87 375, 000 00 Capital stock paid in. j ! I j 39,250 00 I National bank notes outstanding 1 State bank notes outstanding 20, 419 65 $375,000 00 j j Surplus fund Other undivided profits 329,100 00 Dividends unpaid . 16,466 988 3, 811 14, 000 20, 000 39, 975 00 61 40 00 00 00 75, 000 00 118,193 5y 14,134 00 Individual deposits United States deposits 2,114 70 j I Deposits of U. S. disbursing officers. I Due to other national banks I Due to State banks and bankers . j Notes and bills re-discounted : Bills payable ' 269, 490 74 10,204 70 : 1,191, 123 03 i Total- SAMUEL W H I T E , Cashier. Total .....I 1,191,123 03 Lawrence National Bank, Lawrence. A. J. FRENCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures 1 Current expenses and taxes paid ! Premiums paid j Checks and other cash items j Exchanges for clearing house i Bills of other banks ;..i Fractional currency _ ! Specie j Legal tender notes I U. S. certificates of deposit ; Dae from U. S. Treasurer j Total. No. 1962. P. G. PlLLSBURY, Cashier. $454,491 40 \] Capital stock paid in 991) 10 I j 300, O'JO 00 • Surplus fund , Other undivided profits I National bank notes outstanding State bank notes outstanding Dividends unpaid 30,000 00 71,879 22 Individual deposits United States deposits Deposits of U. S. disbursing officers. 00 Due to other national banks 30 Due to State banks and bankers . 00 00 Notes and bills re-discounted. Bills payable 34, 950 03 1,216 1,085 2, 130 43, 250 939, 992 02 Total. $300,000 00 20, 000 00 4, 299 22 270, 000 00 9,184 00 298, 439 75 18,069 05 REPORT OF THE COMPTROLLER OF THE CURRENCY. 157 MASSACHUSETTS. National Pemberton Bank, Lawrence. LEV I SFRAGUE, President. No. 1048. J . M. COBURN, Cashier, Resources. Liabilitie Loans and discounts , Overdrafts U. S. bonds to secure circulation i U. S. bonds to secure deposits j U. S. bonds on hand j Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures...j Current expenses and taxes paid j Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $300, 9-"G 6:7 40 97 000 (JO j J50, Capital stock paid in $150, 000 00 Surplus fund Other undivided profits 65,000 00 807 39 National bank notes outstanding State bank t t t d i 37, 895 20 ; S t t b knotes outstanding ., ; 1 Dividends unpaid | ii 1 134,000 00 j 4, 705 00 I 1 Individual deposits • i ij United States deposits 346 35 i; Deposits of U. S. disbursing officers.. | !, 626 00 ! Due to other national banks 579 HI i Due to State banks and bankers . ,272 00 I, 000 00 ; Notes and bills re-discounted i Bills payable „ » 149,159 37 17,751 19 1,756 66 Total Total . 521, 422 95 Lee National Bank, Lee. H. G A R F I E L D , No. 885. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure d e p o s i t s . . . . . . . U. S. bonds on hand Other stocks, bonds, and mortgages . $272, 627 81 6, 902 73 210, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash i t e m s . . . . Exchanges for clearing house Bills of other banks Fractional currency Specie . ... „ Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 20, 981 80 1,774 72 6, 000 00 2,493 2L Total. 11,869 48 "I," 907" 65" 942 33 395 00 10,287 00 JNO. L. KILBON, Cashier. Capital stock paid in. $210, 000 00 Surplus fund Other undivided profits 60, 000 00 13,431 C O National bank notes outstanding State bank notes outstanding 187,000 00 226 62 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers.. 74,319 44 Due to other national banks Due to State banks and bankers 10, 654 02 Notes and bills re-discounted. Bills payable , 9, 450 00 555,631 08 i| Total. 555,631 0c Leicester National Bank, Leicester. CHENEY H A T C H , President. No. 918. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $177, 005 99 109 40 200, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and faxes paid. Premiums paid 26, 023 85 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie ., Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . . . . Total 38,"666"oo" 5,000 00 D. E. MERKIAM, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. $200, 000 00 40, 210 08 1 34 175, 530 00 4,732 00 18,"000 00 7, 232 50 194 78 1,810 21 966 4,281 01) 63 50 00 "9"666'66' 487, 645 65 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bill;* re-discounted Bills payable Total. 62,452 19 720 04 4,000 00 437, 615 65 158 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS, First National Bank, Lsominster. SAMUEL PUTNAM, President. A. L. BURDITT, Cashier, Resources. Liabilities. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation | U. S. bonds to secure deposits . ! U. S. bonds on hand ....[ Other stocks, bonds, and mortgages.. • Due from approved reserve agents \..j Due from other banks and bankers... i Real estate, furniture, and fixtures... Current expenses and taxes paid ' Premiums paid ] Checks and other cash items ' Exchanges for clearing house Bills of other banks \ Fractional currency Specie ! Legal tender notes U. S. certificates of deposit J Due from U. S. Treasurer | Total | $340, 371 89 ital stock paid in $300, 000 00 200, 000 00 ! Surplus fund Other undivided profits j | , j, National bank notes outstanding 26, 710 27 : State bank notes outstanding.... 327 01 I Dividends unpaid 26, 800 00 2, C99 65 Individual deposits 17,000 00 I United S tates deposits 262 28 Deposits of U. S. disbursing officers. 1,115 00 10 98 1,129 10 3, 609 00 5, 000 00 9, 000 00 Due to other national banks Due to State banks and bankers-. 31,500 00 9,954 02 174,150 00 2,132 00 117,475 74 823 42 Notes and bills re-discounted . Bills payable Total. 636,035 18 636,035 18 First National Bank, Lowell. No. 331. A. P. BONNEY, President. Loans and discounts Overdrafts U S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid -. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $319,120 34 29 97 259, 000 00 i"666"65" 24 000 00 79,404 86 B. A L L E N , Cashier. Capital stock paid in. $250, 000 00 Surplus fund Other undivided profits 100,000 00 24, 584 77 National bank notes outstanding State bank notes outstanding 217, 947 00 Dividends unpaid . 50 16,803 14 4,864 00 934 85 829 00 15, 400 00 "I I,"250* 66" 7, 805 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers - 132,178 89 121 00 Notes and bills re-discounted. Bills payable , 732, 636 66 Total. GEO. Total. 732, 636 66 Appleton National Bank, Lowell. J . F . KlMBALL, Vresident. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand «. Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . . Carrent expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 986. $595, 996 56 2,318 64 306, 000 00 67,681 39 156, 474 54 43, 480 04 3, 220 92 29, 679 04 5, 019 00 415 69 5, 030 00 37, 042 00 """"32"s65"55* 1,284,857 82 E. K. PERLEY, Cashier. Capital stock paid in . $300, 000 00 Surplus fund Other undivided profits 100, 000 00 15, 984 31 National bank notes outstanding State bank notes outstanding 257,850 00 Dividends unpaid. Individual deposits . United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. 6, 055 00 600,135 34 4,833 17 Notes and bills re-discounted Bills payable Total 1,284,857 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 159 MASSACHUSETTS, Merchants' National Bank, Lowell. II. W. B. WTGIITMAN, President. No. 506. CHAS. W. EATON, Cashier, Resources. Loans and di nts Overdrafts IT. S. bonds to secure circulation . . U. S. bonds to secure deposits.... U. S. bond:-? en hand Other stocky bonds, and mortgages.. Due from approved reserve agents...!. Due from othot banks and bankers. ..j Real estate, furniture, and fixtures. . . | Current expenses and taxes paid j Premiums paid ! Cheeks and other cash items ! Exchanges for clearing house j Bills of other banks .... j Fractional currency i Specie ... ..I Legal tender notes „...-«.. U. S. certificates of deposit Due from U. S. Treasurer . Total Liabilities. $400, 000 00 l stock. paid in. ',000 51 Surplus f'rvl Other undivided profits . 1 National bank notes outstanding.... 1 | Stiit;s I;.ink ivAa-6 outstanding Dividend unpaid 35, 000 00 5, 058 So 360, 000 00 j ! Total 1,821 81 10, 980 00 397,374 63 21,387 29 o r-'- „', I Individual deposits ?tteo0o |j U n ; t e ( 1 Htafps deposits 4,453 13 !' Depositor LI. S. disbursing officers. Due to other national banks Due to State banks and bankers. I Notes and bills re-discounted. I Bills payable !, 000 00 21 04 I 1,229,821 81 Old Lowell National Bank, Lowell. EDWARD TUCK, President. No. 1329. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash item! Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. C. M. WILLIAMS, Cashier, $200, 000 00 $200, 977 23 Capital stock paid in. '""s66,"666"66" Surplus fund Other undivided profits j | 50,000 00 10,110 25 j j National bank notes outstanding State bank notes outstanding ... j j Dividends unpaid . 178, 300 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 89, 372 75 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable , 541,602 04 3, 977 00 9, 842 04 Total. Prescott National Bank, Lowell. D. S. RICHARDSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . . . . . . . . . Due from U. S. Treasurer Total. A. A. COBURN, Cashier, No. 960. $532,839 07 18,166 4L 242, 000 00 35, 994 17, 703 1, 500 25, 000 76 87 00 00 9, 306 78 2, 2, 6, 17, 825 812 491 832 00 78 00 00 ""23," 096" 65" 935,561 67 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . $300, 000 00 100, 000 00 7, 290 80 213, 400 00 7, 387 00 304, 8S5 83 2, 593 04 Notes and bills re-discounted Bills payable Total. 935,561 67 160 REPORT OF THE COMPTROLLER OF THE CURRENCY. M A S S A C fI U S E T T S . Railroad national Bank, Lowell. JACOB ROGERS, President. No. 753. J. S. HOVEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $>eS, S57 34 Capital stock paid in . "715,000 00 •Surplus fund-.... Other undivided profits. . 15,01)0 00 43, 500 00 129, 174 04 140,000 00 30, 534 19 National bank notes outstanding State bank notes outstanding Dividends unpaid . j , 610,750 00 18,771 00 1. £00 00 2i> 56 31,640 00 Individual deposits I rnited States deposits 29, 03 L 81 Deposits of U. S. disbursing officers.. 6, 657 00 2.321 44 6, rm oo 7, 000 00 32, 175 00 297,221 73 11,602 30 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Uii;.-, payable 1, 908, 879 22 Total. $800, 000 00 Total i 1, 908, 879 2\ Wamesit National Bank, Lowell. G. W. KNOWLTON, Cashier. CHAS. WHITNEY, President. Loans and discounts Overdrafts _ , U. S. bonds to secure circulation ' U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents...! Due from other banks and bankers Real estate, furniture, and fixtures. ..J ; Current expenses and taxes paid Premiums paid Checks and other cash items j Exchanges for clearing house Bills of other banks j Fractional currency \ Specie ! Legal tender notes i U. S. certificates of deposit ;. Due from U. S. Treasurer | Total. $436, 260 98 Capital stock paid in 100 75 202, 000 00 Surplus fund Other undivided profits. National bank notes outstanding . . . 9, 883 24 State bank notes outstanding 6, 000 00 Dividends unpaid 5, 612 38 Individual deposits United States deposits 6, 075 25 Deposits of U. S. disbursing officers. $250, 000 00 50,000 00 49,023 95 176, 650 00 1,755 00 144, 603 32 "l," 054" 66" Due to other national banks 94 67 1,622 08 6, 100 00 11,771 08 Due to State banks and bankers. Notes and bills re-discounted Bills payable 9, 000 00 Total. 683, 803 35 683, 803 35 First National Bank, Lynn. JXO. WOOLDREDGE, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid... Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie .Legal tender notes 17. S. certificates of deposit Due from U. S. Treasurer Total. No. 638. $714, 878 88 "ihb'/obb'bo 62, 706 06 8, 660 65 OWEN DAME, Caskiei Capital stock paid in $500,000 00 100,000 00 7,311 10 Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding j ..| Dividends unpaid . 12, 342 00 Individual deposits | 14,603 44 United States deposits j 9, 123 56 Deposits of U. S. disbursing officers 16, 193 0 0 3, 379 79 1 n, 932 00 13,000 Of) 10,000 00 | 13,450 00 1,341,927 38 Total 349,821 18 30,563 10 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills miyablo 341, 884 00 j . -.: ; 1,341,927 38 REPORT OP THE COMPTROLLER OP THE CURRENCY. 161 MASSACHUSETTS. Central National Bank, Lynn. No. 1201. PHILIP A. CHASE, President. E. W. MUDGE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits XT. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $349, 077 54 Capital stock paid in 37 75 200, i 00 00 Surplus fund Other undivided profits """30," 666" 66' 786 46 10,000 00 3, 247 50 5,460 11 4, 442 527 4, 077 10, 000 00 00 08 00 "9,'666'66' Total. $300, 000 00 70, 000 00 6, 014 38 National bank notes outstanding State bank notes outstanding Dividends unpaid . 5, 768 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. 626, 655 44 168, 450 00 171,139 75 5,283 31 626, 655 44 National City Bank, Lynn. A. P. TAPLET, President. tNo. 697. B. V. FRENCH, Caskier. $726, 063 81 9 28 200, 000 00 Surplus fund Other undivided profits Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 80, 156 25 National bank notes outstanding 88,152 31 9L1 99 1, 000 00 Individual deposits 19, 000 00 United States deposits .......... 46, 952 95 Deposits of U. S. disbursing officers 24,876 C O Due to other national banks 800 00' 3, 865 00 17,360 00 Notes and bills re-discounted 15, 000 00 Bills payable 13, 000 00 Total . Total 1, 237, 147 59 $300, 000 00 120, 000 00 18, 995 28 177, 827 00 4, 660 00 519, 760 28 95, 905 03 1, 237,147 59 First National Bank, Maiden. No. 588. E. S. CONVERSE, President. Loans and discounts $155, 763 25 Overdrafts U. S. bonds to secure circulation 101, 000 00 U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents... 9, 278 11 Due from other banks and bankers , Real estate, furniture, and fixtures... 5, 000 00 Current expenses and taxes paid.. Premiums paid Checks and other cash items j 1,178 91 Exchanges for clearing house j Bills of other banks \ 4,671 00 Fractional currency 1 28 76 Specie I 1,176 80 Legal tender notes | 2, 287 00 U. S. certificates of deposit i Due from U. S. Treasurer : 4, 500 00 Total ' 284,883 83 I CHARLES MERRILL, Cashier. Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits 30, 000 00 2,844 18 National bank notes outstanding State bank notes outstanding 87, 100 00 Dividends unpaid., Individual deposits . United States d^ Deposits of U. S. disbursing officers. 2, 745 50 62, 014 65 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total 179 50 284, 883 83 162 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Marblehead National Bank, Marblehead. ISAAC C. WYMAN, President. No. 767. W3I. REYNOLDS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation I U. S. bonds to secure deposits ' U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house... Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $163,126 43 \ Capital stock paid in. $102, 000 00 103, 000 00 Surplus fund Other undivided profits 0, 000 00 National bank notes outstanding 17,110 16 Suite bank notes outstanding Dividends unpaid . 6 200 00 , 78J 82 Innividunl deposits United States deposits 579 16 Deposits of U. S. disbursing officers.. 405 00 1, 137 32 1,718 25 5, 700 00 Due to other national banks Due to State banks and bankers Not-s and bills re-discounted Bills payable 4, 590 00 Total 311,350 14 20,400 00 26,151 72 82, 500 00 3, 585 00 79, 713 42 j 314,350 14 National Grand Bank, Marblehead. E. B. PHILLIPS, President. No. 676. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures . .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks | Fractional currency j Specie | Legal tender notes , j U. S. certificates of deposit I Due from U. S. Treasurer Total. J. P . TURNER, Jr., Cashier. $120, 000 00 Capital stock paid in. $128,862 59 ""l2"6*666 66' j Surplus fund ..... I i Other undivided profits National bank notes outstanding 7, 900 00 State bank notes outstanding 10,141 37 6, 500 00 |! Dividends unpaid . 1 85 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,849 75 |j 2, 160 00jj Due to other national banks 912 50 456 70 || Due to State banks and bankers , 4, 080 00 ij Notes and bills re-discounted I Bills payable "9"466 66 18,886 71 5, 769 62 103, 584 00 3, 926 50 40, 055 93 42 00 292,264 76 First National Bank, Marlboro'. WILLIAM GIBBON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie \ Legal tender notes j U. S. certificates of deposit \ Due from U. S. Treasurer j Total. No. 158. $124, 556 13 ""260*666 66' 65,"ooo"6o" 82, 000 00 24, 547 08 1, 850 30 14, 820 00 4, 825 45 7,155 123 1,582 2, 000 00 34 I 00 I 00 i "11,006 66 539, 459 30 E. C. WHITNEY, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . $200, 000 00 40, 000 00 9,425 08 180, 000 00 10 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 86, 054 54 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Biiis payable 23,969 18 Total. 539. 459 30 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 6 3 MASSACHUSETTS. First National Bank of Amesbury, Merrimac. W. H. HASKELL, President. No. 268. D. J. POORE, Jr., Caikhr. Resources. Liabilities. Loans and discounts I $233, 364 74 Overdrafts 91 U. S. bonds to secure circulation 200, 090 00 U. S. bonds to secure deposits ; U. S. bonds on hand j Other stocks, bonds, and mortgages..!.......-.. Due from approved reserve agents.. J 11, 119 44 Due from other banks and bankers .. j Real estate, furniture, and fixtures-..' ...» -. Current expenses and taxes paid ; 5, 615 49 Premiums paid I Checks and other cash items | 732 60 Exchanges for clearing house 684 00 Bills of other banks 52 77 Fractional currency 150 00 Specie , 200 00 Legal tender notes U. S. certificates of deposit Duo from U. S. Treasurer 9, 000 00 Total. Capital stock paid in j $200, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding . .. j ; I ; 35,000 00 14, 936 23 178, 200 00 Dividends unpaid • 643 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 3?, 090 22 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable .. 50 50 460, 460, 919 95 National Bank, Methuen. No. 1485. JAMES WALTON, President. $137,577 11 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer JACOB EMERSON, Cashier. Capital stock paid in ! i 100, 000 00 Surplus fund. Other undivided profits $100,000 00 ; j 25, 000 00 13, 903 75 """5," 4oo "65" National bank notes outstanding . . . . | State bank notes outstanding : 23,263 47 89, 200 00 3,"666"66" 86 70 8, 513 4 302 1,000 00 69 40 00 j 4,579 00 Individual deposits ..S United States deposits j Deposits of U. S. disbursing officers.. Dividends unpaid 50,964 62 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 4,500 00 283, 647 37 283, 647 37 Total. Home National Bank, Milford. N. B. JOHNSON, Cashier. SAMUEL WALKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furnitut e, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie L egal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $124, 061 24 Capital stock paid in . ""Il8, 665 66 $130, 000 00 1, 000 00 8, 280 33 Surplus fund. Other undivided profits National bank notes outstanding 13,243 42 j State bank notes outstanding 3, 000 00 ! Dividends unpaid. 99,263 00 2,841 50 I 21, 400 00 i 58, 009 45 Individual deposits Uni ted States deposits 2, 632 32 I Deposits of U. S. disbursing officers . 2,141 92 752 4,133 I- 00 Due to other national banks 71 Due to State banks and bankers. 85 00 Notes and bills re-discounted. Bills payable 5, 310 00 297, 608 04 Total . 255 00 780 26. 297,608 04 164 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Milford National Bank, Milford. No. 866. A. C. MAYHEW, President. AUG. WHEELER, Cashier. Resources. Liabilities. Loans and discounts I Overdrafts j U. S. bonds to secure circulation I IT. S. bonds to secure deposits I IT. S. bonds on hand j Other stocks, bonds, and mortgages.. j Due from approved reserve agents . ..I Due from other banks and bankers..! Real estate, furniture, and fixtures ..I Current expenses and taxes paid I Premiums paid j Checks and other cash items j Exchanges for clearing house j Bills of other banks j Fractional currency ! Specie. Legal tender notes U. S. certificates of deposit., Due from U. S. Treasurer . Total ! $357,002 44 ! Capital stock paid in., $250, 000 00 244,000 00 j Surplus fund j ! Other undivided profits ! National bank notes outstanding 7, 242 92 j State bank notes outstanding » j 4. 300 00 ! Dividends unpaid. 5,487 85 j Individual deposits , i United States deposits 2, 293 36 !Deposits of U. S. disbursing officers. i 3, 574 00 j Due to other national banks 523 14 j Due to State banks and bankers . 1, 019 50 ' 5, 700 00 | Notes and bills re-discounted. Bills payable , 10, 980 00 ! 612.128 21 Total. 50, 000 00 12, 119 76 211,600 00 1, 860 00 116, 149 63 398 82 642,128 21 Millbury National Bank, Millbury. HOSEA CRANE President. No. 572. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks , Fractional currencySpecie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $224,021 58 "2OO"666 00" 30, 032 66 AMOS ARMSBY, Cashier. Capital stock paid in $200, 000 00 Surplus fund • „ Other undivided profits National bank notes outstanding . . . State bank notes outstanding Dividends unpaid . I Individual deposits j United States deposits 432 00 j Deposits of U. S. disbursing officers. . 6, 909 00 I Due to other national banks 89 61 ! Due to State banks and bankers 200 00 Notes and bills re-discounted Bills payable 9,000 00 475, 879 15 177,900 00 4, 223 00 194 30 5, 000 00 Total. 40, 000 00 5, 773 72 Total. 47,165 61 816 82 475,879 15 Monson National Bank, Monson. No. 503. C. W. HOLMES, President. B. F. MORRIS, Cashier. Loans and discounts $115,293 40 '•• Capital stock paid in . Overdrafts.. U. S. bonds to secure circulation 170, 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits U.S.bonds on hand Other stocks, bonds, and mortgages.. 25, 312 50 j National bank notes outstanding . . . Due from approved reserve agents... 43,479 19 State bank notes outstanding Due from other banks and bankers... 27, 066 01 ! Dividends unpaid... Real estate, furniture, and fixtures... 2, 500 00 Current expenses and taxes paid j 1, 513 98 Individual deposits Premiums paid j United States deposits Checks and other-cash items > 1, 530 8 L Deposits of U. S. disbursing officers. Exchanges for clearing house Bills of other banks j 795 00 Due to other national banks Fractional currency i 239 45 Due to State banks and bankers. Specie j 300 00 Legal tender notes 3,144 00 Xotes and bills re-discounted U. S. certificates of deposit j Bills payable Dae from U. S. Treasurer j 7, 250 00 Total [ 398,429 34 Total. $150, 000 00 30,000 00 69, 325 40 141,810 00 525 00 6,008 94 760 00 398, 429 34 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 6 5 MASSACHUSETTS. Pacific National Bank, Nan tucket. F. No. 714. C. SANFORD, President. Jos. Resources. MITCHELL, Cashier. Liabilities. $207, 736 72 Loans and discounts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve a g e n t s . . . Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid 202, 000 00 8 6uO 10, 000 10, 672 3,687 6, 692 on 00 33 58 50 1,388 39 1, 813 52 Checks and other cash items Exchanges for clearing house Bills of other banks 7,574 500 2, 820 13, 840 Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 00 49 00 00 $200, 000 00 Capital stock paid in 29 000 on 639 06 Surplus fund Other undivided profits 170, 840 00 National bank notes outstanding State bank notes outstanding Dividends unpaid 3, 756 50 .. 83, 006 89 Deposits of U S disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 9," 889" 05" Total 487, 242 45 487 242 45 Total Natick National Bank, Natick. LEONARD WINCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid .-,..„.. Checks a t d other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 2107. $215, 977 74 82F"6o6"66" 132, 188 98 25, 000 00 1,938 08 926 57 3, 000 00 10 00 9 92 1, 000 00 10, 000 00 5, 190 00 $1CO, 000 00 Capital stock paid in . Surplus fund O ther undivided profits j j 9, 000 00 3,526 27 National bank notes outstanding State bank notes outstanding j j. 73, 800 00 2,968 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers.. 287, 947 02 Due to other national banks — Due to State banks and bankers Notes and bills re-discounted. Bills payable 477, 241 29 Total. G-. S. TROWBRIDGE, Cashier. Total. 477,241 29 First National Bank, New Bedford. Jos. GRINNELL, President. No. 261. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. $1,113,424 31 103 00 694, 00U 00 70, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid 86, 400 68 2, 532 04 23, 000 00 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer........ Total. 180, 975 00 2, 252 00 17,804 00 728 00 21,200 61. 24, 995 00 31," 366" 66" 2, 268, 714 64 W. P. WlNSOR, Cashier. Capital stock paid in . $1, 000, 000 00 Surplus fund Other undivided profits. 200, 000 00 3, 390 09 National bank notes outstanding . . . State bank notes outstanding 601, 365 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . 32, 776 40 402,134 57 25, 738 37 2,127 00 1,183 21 Notes and bills re-discounted Bills payable 2, 268, 714 64 166 REPOKT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Citizens' National Bank, New Bedford. J. A. BEAUVAIS, President. T. B. FULLER, Cashier. Resources. Liabilities. $349. 529 40 Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house... Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer Capital stock paid in | $250, 000 00 14 76 250, 000 00 I Surplus fund Other undivided profits National bank notes outstanding 44, 934 02 State bank notes outstanding 2, 028 74 9, 500 00 I Dividends unpaid. , 10, 000 00 1,768 48 218, 575 00 3, 762 00 212, 663 77 20,201 40 I Individual deposits 3,537 81 1 United States deposits 1 Deposits of U. S. disbursing officers.. 3, 433 00 j! Due to other national banks 230 23 1 Due to State banks and bankers 1 1,076 86 I 13, 533 C | N^ieA and bills re-discounted O Bills payable .......j 11,250 00 709, 269 25 Total. Total ,. 12,500 00 j 709,269,25 Mechanics' National Bank, New Bedford. W. W. CRAPO, President. No. 743. E. W. HERVEY, Cashier. Loans and discounts j $981, 367 89 Capital stock paid in Overdrafts j 278 23 U. S. bonds to secure circulation j 534, 000 00 I Surplus fund. U. S. bonds to secure deposits j Oth<-r undivided profits . U. S. bonds on hand. i Other stocks, bonds, and mortgages..| 58,300 00 National bank notes outstanding . . Due from approved reserve agents... | 91, 960 40 State bank notes outstanding Due from other banks and bankers .. I ... . Real estate, furniture, and fixtures . . 4, 000 00 Dividends u n p a i d . . . . . . . Current expenses and taxes paid ! Individual deposits , Premiums paid ! United States deposits Checks and other cash items L.., , Deposits of U. S. disbursing officers Exchanges for clearing house Bills of other banks j 8, 7 L L 00 Due to other national banks . . Fractional currency ! 707 29 Specie ! 580 00 Due to State banks and bankers . Legal tender notes j 8, 312 00 Notes and bills re-discounted U. S. certificates of deposit \ Bills payable Due from U. S. Treasurer ! 25, 000 00 Total.. | 1,716,716 86 $600, 000 00 240,000 00 39,041 60 455, 625 00 11,476 00 369, 672 14 902 12 1,716,716 86 Total. Merchants' National Bank, New Bedford. P. C. HOWL AND, Cashier. No. 799. CHAS. R. TUCKER, President. $1, Loans and discounts $1, 952, 766 04 Capital stock paid in. Overdrafts 1,298 74 U. S. bonds to secure circulation i 817, 000 00 Surplus fund U. S. bonds to secure deposits I 100, 000 00 Other undivided profits . U. S. bonds on hand • j National bank notes outstanding Other stocks, bonds, and mortgages..! Due from approved reserve agents.,. I 47,127 77 State bank notes outstanding Due from other batiks and bankers .. j 3, 231 54 Dividends unpaid Real estate, furniture, and fixtures.. J Current expenses and taxes paid ! Individual deposits Premiums paid ..... | United States deposits Checks and other cash items \ Deposits of U. S. disbursing officers.. | Exchanges for clearing house : Bills of other banks 5, 014 00 I Due to other national banks j Fractional currency 843 14 Due to State baaks aad bankers Specie ; 806 41 Legal tender notes 26, 600 00 Notes and bills re-discounted U. S. certificates of deposit : Bills payable Due from U. S. Treasurer i 37, 757 90 Total ' 2, 992, 450 54 To^al. 000, 000 00 530, 003 00 727, 900 00 21, 685 50 643, 876 03 40, 317 61 28,671 35 2,992,450 54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 6 7 MASSACHUSETTS. National Bank of Commerce, New Bedford. T. S. HATHAWAY, President. No. 690. BEKJ. F. COOMBS, Cashier, Resources. Loans and discounts .. Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $719, 205 65 145 12 750, 000 00 Capital stock paid in . Individual deposits 47, 593 75 United States deposits 3, 779 05 Deposits of U. S. disbursing officers. 3, 564 00 Due to other national banks 778 02 24,264 69 Due to State banks and bankers . 22, 940 00 Notes and bills re-discounted. Bills payable 33, 750 00 Total. 2,163, 374 60 Total. $1, 000, 000 00 Surplus fund . Other undivided profits ""225," 666'66 125, 818 75 National bank notes outstanding 185, 250 47 State bank notes outstanding 7,016 30 14,268 80 Dividends unpaid . 200, 000 00 6, 593 06 639,572 00 15, 473 95 219,518 43 82,217 16 2,163, 374 60 First National,Bank, Newburyport. € . H. COFFIN, President. Loans and discounts O vei'drafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from TJ. S. Treasurer $429,071 47 Capital stock paid in., 169 94 300, 000 00 Surplus fund HO, 000 00 Other undivided profits., 23, 136 23 National bank notes outstanding State bank notes outstanding 61, 023 10 Dividends unpaid . 3, 000 00 123 42 1,700 00 1, 516 78 5,079 00 997 89 11,100 00 "13,566 66 Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 910,417 83 Total. T. P. STICKNEY, Cashier. No. 279. Total. $300, 000 00 80, 000 00 8, 684 03 252, 993 00 7,238 00 200,082 08 59, 557 57 874 29 988 81 910,417 83 Mechanicks' National Bank, Newburyport. E. S. MOSELEY, President. Loans and discountg Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . . •Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. F. O. WOODS, Cashier. No. 584. $405, 776 84 Capital stock paid in. 17 68 250, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 4,000 00 30 84 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 633 472 833 3, 976 00 Due to other national banks , 65 Due to State banks and bankers., 45 00 Notes and bills re-discounted . Bills payable 11, 250 00 673, 990 46 To c al $250, 000 00 100, 000 00 13, 846 10 202, 240 00 5,971 00 99, 064 88 7, 868 48 678,990 46 168 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Merchants' National Bank, Newburyport. N A T H ' L HILLS, President. No. 1047 A. W. GREENLEAF, Cashie Liabilities. $271,049 85 Capital stock paid in 11 59 120, 000 00 jj Surplus fund jj Other undivided profits 26006" Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer 23, 086 150 4,000 3 . . . I $120,000 00 46, 000 00 4,564 73 !' National bank notes outstanding 83 |; State bank notes outstanding 00 Dividends unpaid 00 50 j j 2, 882 00 ji Individual deposits jj United States deposits jj Deposits of U. S. disbursing officers . 154, 794 20 1, 077 76 936 00 I Due to other national banks 99 67 ii Due to State banks and bankers . 1,329 75 7, 517 00 I Notes and bills re-discounted " 5,466*00 I Bills payable 434, 496 69 Total. 105, 178 00 Total. 434,496 69 Ocean National Banlf, Newburyport. No. 1011. CHARLES LUNT, President. $189, U82 68 189 98 150, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 54, 099 35 4.000 00 213 41 556 10 PHILIP H. LUNT, Cashier. $150, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding j j. Dividends unpaid . I 3, 765 50 Individual deposits . . . . | 108,011 46 United States deposits j Deposits of U. S. disbursing officers.. 1 . 10,403 00 Due to other national banks 1, 550 00 Due to State banks and bankers 1, 044 48 12, 256 00 Notes and bills re-discounted. Bills payable 7, 837 09 Total. 30, 000 00 7, 895 13 131,560 00 431, 232 09 Total. j j . . _ 431,232 09 Newton National Bank, Newton. JOSEPH N . BACON, President. L o a n s a n d discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and m o r t g a g e s . . . No. 789. ! ! j j ! i D u e from approved reserve a g e n t s . . . [ D u e from other b a n k s a n d b a n k e r s . . . | Real estate, furniture, a n d fixtures . . . j Current expenses and taxes paid ' P r e m i u m s paid + .\ Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notas U. S. certificates of deposit Due from U. S. Treasurer Total I i i J I ' B . F R A N K L I N B A C O N , Cashier. $339, 803 97 Capital stock paid in . 286 19 152, 000 00 Surplus fund Other undivided profits 20, 000 00 10, 000 00 National bank notes outstanding State bank notes outstanding 45, 006 76 24, OuO 00 4, G O 00 O 5, 257 94 4,337 00 382 01 900 00 1, 500 00 10, 000 00 7, 840 00 (J23, 313 87 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. $200, 000 00 50,000 00 3 78 136, 800 00 3, 903 00 231, 739 19- Due to other national banks Due to State banks and bankers., Notes aiid bills re-discounted Bills payable Total. 2, 867 90 625,313 87 REPORT OF THE COMPTROLLER OF THE CURRENCY. 169 MASSACHUSETTS. Adams National Bank, North Adams. S. BLACKINTON, President. No. 1210. E. S. WILKINSON, Cashier. Resources. Loans and discounts Overdrafts U. S- bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U, S. Treasurer Liabilities. $595, 309 3,261 370, 000 50, 000 80, 000 40, 000 78, 403 25, 112 34, 000 58 } Capital stock paid in. i 40 00 1 Surplus fund 1 00 | Other undivided profits. 00 00 j National bank notes outstanding 86 \\ State bank notes outstanding 67 Dividends unpaid 00 || Individual deposits 10, 000 00 ji United States deposits 979 62 jj Deposits of U. S. disbursing officers. 100, 000 00 25, 290 74 320, 890 00 13, 362 00 365,173 05 26,321 34 8, 726 00 Due to other national banks Due to State banks and bankers . 2, 185 00 26, 409 00 Notes and bills re-discounted . 10, 000 CO Bills payable 16, 650 00 1,351,037 13 |i Total. $500, 000 00 1, 351, 037 13 Total. Attleboro' National Bank, North Attleboro'. DANIEL EVANS, President. Loans and discounts Overdrafts U. S. bond** to secure circulation U. S. bonds to secure deposits U. S. bonds on hand — Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie « Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1604- $168, 830 03 "ibb'bbh'bo Capital stock paid in., $100,000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 27, 575 43 4,456 61 15,000 00 Dividends unpaid . 25 Individual deposits United States deposits 690 80 Deposits of U. S. disbursing officers. 5, 390 00 345 79 300 00 2,000 00 5, 000 00 4,500 00 Due to other national banks. Due to State banks and bankers. Notes and bills re-discounted . Bills payable 334, 133 91 Total . E. R. PRICE, Cashier. 20, 000 00 5, 654 80 89, 200 00 4, 845 00 114,148 44 290 67 334,138 91 Total. First National Bank of Easton, North Baston. OLIVER AMES, President Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.., Due from other banks and bankers . . Real csrate, furniture, and fixtures . . Current expen es and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency j S pecie Legal tender notes U. S. certificates of deposit j Due from U. S. Treasurer Total. No. 416. P. A. GIFFORD, Cashier. $278, 510 58 Capital stock paid in. "*310,000 00" Surplus fund ! Other undivided profits . 16,590 00 National bank notes outstanding 131,628 18 State bank notes outstanding Dividends unpaid . Individual deposits j United States deposits 14, 449 47 j Deposits of U. S. disbursing officers. 2, 2, 15, 13, $300, 000 00 60, 000 00 24, 767 38 243, 948 00 14, 785 00 135, 107 60 388 00 Due to other national banks 11 35 Due to State banks and bankers . 220 40 280 00 I Notes and bills re-discounted. 000 00 I Bills payable 500 00 784,607 98 Total. 784, 607 98 170 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Northampton. No. 383. WM. B. HALE, President. HENRY ROBERTS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits j U. S. bonds on hand j Other stocks, bonds, and mortgages. .J Due from approved reserve agents... j Due from other banks and bankers... j Real estate, furniture, andfixtures...i Current expenses and taxes paid j Premiums paid i Checks and other cash items j Exchanges for clearing house Bills of other banks | Fractional currency ; Specie I Legal tender notes U. S. certificates of deposit j Due from U. S. Treasurer ! Total. $552,404 62 14 79 400, 000 00 60, 000 00 20, 000 00 34, 640 00 51,684 18 7, 577 05 25, 000 00 12,190 29 Capital stock paid in $500, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid * Individual deposits United States deposits 914 51 Deposits of U. S. disbursing officers. 2,149 00 392 33 797 5U 15,918 00 18, 666 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 1, 201, 682 27 145, 000 00 22, 078 83 346,130 00 513 00 162, 575 31 24,913 74 471 39 1, 201, 682 27 Total.. Hampshire County National Bank, Northampton. LUTHER BODMAN, President. No. 418. L E W I S WARNER, Cashier. $295,112 00 Capital stock paid in . 2,793 38 250, 000 00 Surplus fund Other undivided profits 5, 657 20 National banknotes outstanding 14,495 55 State bank notes outstanding 7,031 56 35,489 89 Dividends unpaid . 1,569 24 Individual deposits United States deposits 268 50 Deposits of U. S. disbursing officers. Loans and discounts Overdrafts ,U. S. bonds to secure circulation ,U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid . . . . . . . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer *5,'778*6o' 12, 748 00 iI"256 56 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 642, 883 20 Total. $250, 000 00 37,100 00 4, 952 18 223,100 00 238 77 109, 902 66 17, 589 59 642, 883 20 Total. Northampton National Bank, Northampton. OSCAR EDWARDS, President. No. 1018. $458,141 87 Capital stock paid in. 2,750 6L 400, 000 00 Surplus fund Other undivided profits . . - - Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total JOHN WHITTELSEY, Cashier. 135,564 75 National bank notes outstanding 70, 035 08 State bank notes outstanding 33,137 46 Dividends unpaid . 17, 000 00 34, 000 00 Individual deposits United States deposits 8,434 44 Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . 17,431 00 Notes and bills re-discounted Bills payable 2, 648 00 1,346 00 $400, 000 00 50, 000 00 40,360 98 348, 633 00 8,569 69 352, 798 45 1,127 09 si, 665 66 j 1,201,489 21 1,201,489 21 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 7 1 MASSACHUSETTS. Nortliborough National Bank, Northborough. W I L D E R BUSH, No. 1279. President. O. H. LAWRENCE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $100, 000 00 $253, 059 13 Capital stock paid in . ""ic6,"666"66" Surplus fund Other undivided profits 26, 000 00 12,400 14 National bank notes outstanding State bank notes outstanding 87,800 00 5, 400 00 37, 530 53 357 (30 2, 000 00 693 49 Dividends unpaid. 888 82 11, 789 63 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 820 383 1, 400 11, 500 171,306 45 Due to other national banks Due to State banks and bankers . 00 04 00 00 35, 478 07 Notes and bills re-discounted. Bills payable 2, 500 00 433, 678 15 433, 678 15 Total. Orange National Bank, Orange. D. E. CHENEY, No. 2255. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $107,127 66 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items E xchanges for clearing house Bills of other banks Fractional currency. Specie Legal tender notes U. S. certificates of deposit Dui fromU. S. Treasurer 9, 509 258 1,892 2, 407 5, 678 5, 072 56 99 32 55 28 97 2,351 54 475 4, 055 00 93 00 00 Total. io'ooo'oo' JAS. H. W A I T E , Cashier. $100, 000 00 Capital stock paid in . 6,000 00 3,328 58 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 36, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 35,354 68 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 1, 800 00 180, 683 26 Total. 180, 683 26 Oxford National Bank, Oxford. S. C. PAINE, President. Loans and discounts O rerdrafts | U. S. bonds to secure circulation i U. S. bonds to secure deposits I U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit D ue from U. S. Treasurer Total H. Ex. 3- No. 764. $118,785 38 327 40 100, 000 00 C. A . ANGELL, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding 17,504 11 State bank notes outstanding 2,315 62 Dividends unpaid. 1, 568 41 392 00 26 122 40 602 00 5. 124 64 246, 742 22 Individual deposits United States deposits Deposits of U. S. disbursing officers. D ue to other national banks Due to State banks and bankers . $100, 000 00 20, 000 00 7, 574 45 88,291 00 3, 501 00 27, 157 82 217 95 Notes and bills re-discounted Bills payable Total 246, 742 22 172 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Palmer National Bank, Palmer. No. 2324. M. W. FRENCH, President LEONARD GREEN, Cashier. Resources. Liabilities. Loans and discounts ; Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages ..'• Due from approved reserve agents...: Due from other banks and bankers...! Real estate, furniture, and fixtures 1 Current expenses and taxes paid • Premiumspaid ! Checks and other cash item3 i Exchanges for clearing house \ Bills of other banks ; Fractional currency j Specie Legal tender notes U. S. certificates of deposit i Due from U. S. Treasurer Total $75, 924 52 Capital stock paid in. $68, 300 00 30, 000 00 Surplus fund Other undivided profits. 5, 000 00 19, 041 66 National bank notes outstanding ! State bank notes outstanding 1, 700 00 Dividends unpaid . 1, 707 04 Individual deposits 4,923 63 j United States deposits 226 02 j Deposits of U. S. disbursing officers. 4,263 98 27,000 00 37, 710 47 765 00 Due to other national banks 274 95 Due to State banks and bankers . 2, 560 00 Notes and bills re-discounted Bills payable 1,350 00 143,472 82 6,198 37 Total. 143, 472 82 South Danvers National Bank, Peabody. E. T. OSBORN, President. No. 958. Loans and discounts Overdrafts U. S. bonds to secure circulation ' U. S. bonds to secure deposits U. S. bonds on band Other stocks, bonds, and mortgages Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid , Premiums paid Checks and other cash items Exchanges for clearing house., Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 1265,811 63 j Capital stock paid in. $150, 000 00 150, 000 00 ! Surplus fund ! Other undivided profits National banknotes outstanding . . . 26, 765 54 State bank notes outstanding 963 6L 1, 500 00 Dividends unpaid . Individual deposits United States deposits 1, 317 86 Deposits of U. S. disbursing officers. 75, 000 00 27,474 57 130,100 00 5, 982 00 78, 051 88 4,545 00 Due to other national banks 362 16 Due to State banks and bankers1,790 50 7,000 00 Notes and bills re-discounted. Bills payable 6, 600 00 466, 656 30 Total . G. A. OSBORNE, Cashier. 47 85 Total. 466, 656 30 Warren National Bank, Peabody. No. 616. LEWIS ALLEN, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits J U. S. bonds on hand ! Other stocks, bonds, and mortgages .. j Due from approved reserve agents... j Due from other banks and bankers .. | Real estate, furniture, and fixtures . . . | Current expenses and taxes paid ; Premiums paid Checks and other cash items j : Exchanges for clearing house Bills of other banks | Fractional currency ! Specie i Legal tender notes J U. S. certificates of deposit | Due from U. S. Treasurer ; Total ' FRANK C. MERRILL, Cashier. $453, 967 42 Capital stock paid in $250,000 00 253, 000 00 j Surplus fund I Other undivided profits 96, 959 90 4,688 41 6, 000 00 i National bank notes outstanding 17,154 54 State bank notes outstanding 173 21 Dividends unpaid., i 3 00 Individual deposits United States deposits 21, 433 73 Deposits of U. S. disbursing officers. 16, 610 00 Due to other national banks . 308 68 Due to State banks and bankers. 2,500 00 10, 000 00 Notes and bills re-discounted Bills payable... 11,250 00 792,400 58 Total. 224, 800 00 10, 855 50 204,142 14 954 63 j 792, 400 58 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 7 3 MASSACHUSETTS. Agricultural National Bank, Pittsfield. J. R. WARRINER, Cashier. No. 1082. E. H, KELLOGG, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bond s on hand Other stocky, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $680, 696 26 Capital stock paid in. 2,197 84 200, 000 00 Surplus fund Other undivided profits National bank notes outstanding 62, 882 39 State bank notes outstanding 13,993 79 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. 2, 410 32 2,904 00 i Due to other national banks 318 34 | Due to State banks and bankers . 680 00 22,138 00 Notes and bills re-discounted . Bills payable 9, 000 00 997,267 61 ; i Total. $200, 000 00 100, 000 00 144,156 30 180, 000 00 14, 505 00 356, 191 84 2,414 47 997, 267 61 Pittsfield National Bank, Pittsfield. JULIUS ROCKWELL, President. Loans and discounts Overdrafts.. _ M U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages-Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid .... Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1260. $703,720 07 '! Capital stock paid in. 2,105 14 I j 488,000 00 !!Surplus fund Other undivided profits National bank notes outstanding . . . 60,824 16 State bank notes outstanding 45,491 40 Dividends unpaid . 15, 000 00 3, 583 82 Individual deposits United States deposits 13, 948 22 Deposits of U. S. disbursing officers. 17,278 00 260 30 1,660 00 12, 000 00 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable $500,000 00 100, 000 00 97, 049 02 422, 322 00 496 00 264, 865 79 1, 366 60 227 70 22, 456 00 1,386,327 11 Total. E. S. FRANCIS, Cashier. Total 1, 386, 327 11 Old Colony National Bank, Plymouth. GEO. G. DYER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents. -. Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 996. $386,691 01 W. S. MORISSEY, Cashier. Capital stock paid in . $250, 000 00 1 Surplus fund 1 ;: Other undivided profits 1, 400 00 i National bank notes outstanding 47, 566 35 I State bank notes outstanding 2, 500 00 !| Dividends unpaid . 2 16 Individual deposits United States deposits 896 18 Deposits of U. S. disbursing officers. 100,000 00 11,511 82 "214*606" 65' 584 00 553 97 583 00 4, 386 00 190, 000 00 8, 430 00 109,190 85 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 10, 000 00 669,162 67 Total. 669,162 67 174 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Plymouth National Bank, Plymouth. W M . T. DAVIS, No. 779. President. I. ST. STODDARB, Cashier. Resources. Liabilities. Loans and discounts ! Overdrafts U. S. bonds to secure circulation | U. S. bonds to secure deposits | U. S. bonds on hand \ Other stocks, bonds, and mortgages.. i Due from approved reserve agents... I Due from other banks and bankers . . Real estate, furniture, and fixtures... | Current expenses and taxes paid ! Premiums paid i Checks and other cash items j Exchanges for clearing house i Bills of other banks | Fractional currency Specie I : Legal tender notes U. S. certificates of deposit ; Due from U. S. Treasurer ! Total I $270, 409 73 563 52 200, 000 00 Capital stock paid in . $200, 000 00 Surplus fund O ther undivided profits 40, 000 00 16, 095 54 200 00 8, 943 18 4, 643 32 National bank notes outstanding State bank notes outstanding Dividends unpaid. 178, 300 00 3,045 00 Individual deposits 7, 038 00 United States deposits 79 36 Deposits of U. S. disbursing officers. 68, 233 90 2, 545 00 Dae to other national banks 12 30 Due to State banks and bankers . 240 00 2, 0U0 00 Notes and bills re-discounted. . . . Bills payable 9, 000 00 Total. 505,674 44 505, 674 44 First National Bank, Provincetown. S T E P H E N COOK, President. No. 736. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . : Due from approved reserve agents... Due from other banks and bankers.. . Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie i Legal tender notes | U. S. certificates of deposit ' Due from U. S. Treasurer ; $222,177 91 Capital stock paid in . $200, 000 00 200, 000 00 Surplus fund I Other undivided profits 40, 000 00 | 64. 000 00 |I National bank notes outstanding State bank notes outstanding 3,000 00 Dividends unpaid. 68, 000 00 5, 057 80 169, 590 00 5,969 00 1 Individual deposits 1 ii United States deposits 3, 707 07 I Deposits of U. S. disbursing officers.. i 114, 063 81 (O !j Due to other national banks J 75 76 ! Due to State banks and bankers . 216 35 7,230 00 Notes and bills re-discounted. 2, 9 000 00 , Bills payable. ..„ 562, 590 61 Total. MOSES N. G I F F O R D , Cashier. Total 562,590 61 National Granite Bank, Quincy. CHARLES MARSH, President. No. 832. Loans and discounts ! $193,624 04 Overdrafts ! U. S. bonds to secure circulation j 150, 000 00 IL S. bonds to secure deposits ' U. S. bonds on hand i Other stocks, bonds, and mortgages.. j Due from approved reserve agents... j 65, 823 50 Due from other banks and bankers . . I Real estate, furniture, and fixtures...; 8,465 81 Current expenses and taxes paid i Premiums paid . . . J j Checks and other cash items j 632 75 Exchanges for clearing house I Bills of other banks ! 9, 400 00 Fractional currency ' . 259 68 Specie Legal tender notes 9, 500 00 U. S. certificates of deposit ; ! Due from U. S. Treasurer 6, 750 00 ( Total 444.455 78 i R. F . CLAFLIN, Cashier. Capital 3tock paid in. $150, 000 00 Surplus fund Other undivided profits. • 40,000 00 2,213 04 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 133, 250 00 7, 832 00 111, 160 74 Due to other national banks Due to State banks and bankers . Notes and bills re-di3counted Bills payable Total . 444, 455 78 REPORT OF THE COMPTROLLER OF THE CURRENCY. 175 MASSACHUSETTS. National Mount Wollaston Bank, Quincy. HORACE B. SPEAR, Cashier. J. W. ROBERTSON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $267, 003 94 Capital stock paid in 322 46 150, 000 00 | ! I Surplus fund 1 Other undivided profits 1 || National bank notes outstanding 1 51,825 91 1 State bank notes outstanding $150, 000 00 75, 000 00 4,248 95 127, 000 00 7,018 00 Dividends unpaid ] j Individual deposits |! United States deposits 2, 806 55 1 Deposits of U. S. disbursing officers . 1 125, 270 31 1, 599 01) Due to other national banks 4 85 Due to State banks and bankers . 44 55 ! 3,180 00 i Notes and bill3 re-discounted 5, 000 00 | Bills payable 6, 750 00 | 483,537 26 || Total. 488, 537 Total. Randolph National Bank, Randolph. R. W. TURNER, President, C. G. HATHAWAY, CasJrier. No. 558. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit , Dae from U. S. Treasurer. $389, 059 07 $200, 000 00 Capital stock paid in. Surplus fund , Other undivided profits., National bank notes outstanding State bank notes outstanding Dividends unpaid , Individual deposits | United States deposits j Deposits of U. S. disbursing officers.. 200, 000 00 22, 962 77 176, 430 00 12,888 03 238, 275 94 58, 977 23 Due to other national banks Due to State banks and bankers . j Notes and bills re-discounted. I Bills payable Total., 909, 533 94 Total. 909,533 94 Rockport National Bank, Rockport. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total H. H. PAUL, Cashier. No. 1194. CHARLES TARR, President. $150, 000 00 6, 380 44 I Capital stock paid in . 150,000 00 j|Surplus fund Other undivided profits ""is'ooo'oo'ij National bank notes outstanding 12,383 63 I State bank notes outstanding , "ii'783"57"; Dividends unpaid I 2, 709 10 j Individual deposits I -..- 20, 000 00 1,314 06 135, 000 00 1, 332 00 57,481 04 I United States deposits 6, 850 00 I Deposits of U. S. disbursing officers. j 270 31 | Due to other national banks | Due to State banks and bankers . . . 3,000 00 Notes and bills re-discounted I Bills payable 6, 750 U0 365,127 10 Total . . . 365,127 10 176 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHISETTS.J First National Bank, Salem. No. 407. WILLIAM SUTTON, President. E. H. PAYSON, Cashier. Resources. Liabilities. Capital stock paid in. $300, 000 00 Surplus fund | Other undivided profits 500 66' 11, 757 50 I National bank notes outstanding 40, 233 11 | State bank notes outstanding 1 Dividends unpaid . 1 100, 000 00 25,799 46 $533,181 31 2,275 35 250, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 168,000 00 15,295 00 ijj 273,923 36 Individual deposits 11, 056 79 i United States deposits j 7, 349 42 i Deposits of U. S. disbursing officers. 5. 944 1, 326 6,416 9, 000 00 j Due to other national banks 73 j Due to State banks and bankers . 07 00 Notes and bills re-discounted. Bills payable 9, 900 00 i Total. 15, 841 26 5, 000 00 903,859 03 Total. 903, 859 08 Asiatic National Bank, Salem. No. 634. L. B. HARRINGTON, President. Wl. H. FOSTER, Cashier. $565, 921 96 Capital stock paid in 171 03 242, 000 00 Surplus fund ""ii,'ooo"oo' Other undivided profits National bank notes outstanding Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.S. Treasurer 101,634 41 13,563 56 | $315, 000 00 \ ! 145, 000 00 10, 246 21 ; 196, 800 00 State bank notes outstanding Dividends unpaid 11,944 11, 594 00 937 85 1,000 00 10, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 279, 440 72 34,275 86 10,890 00 Total. Total . 930, 762 79 980, 762 79 Mercantile National Bank, Salem. No. 691. AARON PERKINS, President. L o a n s a n d discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on h a n d Other stocks, bonds, a n d m o r t g a g e s . . ; ' ; j D u e from a p p r o v e d reserve a g e n t s . . . D u e from other b a n k s a n d b a n k e r s . . Real estate, furniture, a n d fixtures... j C u r r e n t expenses a n d taxes paid P r e m i u m s paid Checks a n d other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit D u e from U. S. Treasurer Total . $260, 454 37 715 48 197, 000 00 \ : ' j 17, 442 74 1, 191 00 7, 000 00 JOS. H . P H I P P E N , Capital stock paid in . $200, 000 00 Surplus fund Other undivided profits 51,000 00 2,329 47 National bank notes outstanding State bank notes outstanding Dividends unpaid. |j Individual deposits ij United States deposits 1, 743 90 | j Deposits of U. S. disbursing officers. J i 1,671 00 jj Due to other national banks 396 85 j | Due to State banks and bankers . 1,277 00 i j 5,535 00 |j Not^s and bills re-discounted. j Bills payable 8, 865 00 503, 342 34 | Cashier. Total. 173, 500 00 4,940 00 71, 572 87 • 503,342 34 REPORT OF THE COMPTROLLER OF THE CURRENCY. 177 MASSACHUSETTS. Merchants' National Bank, Salem. No. 726. B. H. SILSBEE, President. N. B. PERKINS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..! Due from approved reserve agents.. .1 Due from other banks and bankers .. | Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $280, 265 40 Capital stock paid in 6 35 200, 000 00 Surplus fund Other undivided profits 45, 800 00 National bank notes outstanding 294, 028 94 State bank notes outstanding 180 82 D i v i d e n d g u n p a i d . 50 2, 663 70 2,136 195 3L6 18, 500 00 72 10 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. $200, 000 00 100, 000 00 5, 988 02 179,100 00 4, 080 50 363, 925 01 Due to other national banks Due to State banks and bankers Notes and bills re-discounted ""9"ooo"65" Bills payable 853, 093 53 Total. 853,093 53 National Exchange Bank, Salem. No. 817. JOHN WEBSTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Jos. H. WEBB, Cashier. $267, 000 95 Capital stock paid in. 514 53 200, 000 00 Surplus fund io, 655 66 Other undivided profits National bank notes outstanding 9, 972 78 State bank notes outstanding $200, 000 00 50, 000 00 4, 592 45 180, 000 00 46,453 60 2,"oo6"oo" Dividends unpaid . 3, 957 50 Individual deposits United States deposits 2, 972 37 Deposits of U. S. disbursing officers. 3, 303 770 1, 757 15,061 00 Due to other national banks 73 Due to State banks and bankers . 75 00 Notes and bills re-discounted. Bills payable 9, 000 00 Total. 570, 444 21 128, 051 09 3, 843 17 570,441 21 Naumkeag National Bank, Salem. W. B. PARKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 647. $959, 566 11 506 21 400, 000 00 70,950 730 52,100 31, 045 66" 00 51 70 Jos. H. TOWNE, Cashier. Capital stock paid in.. $500, 000 00 Surplus fund Other undivided profits 250, 000 00 75,145 38 National bank notes outstanding State bank notes outstanding 358, 510 00 Dividends unpaid . Individual deposits 5, 325 00 United States deposits 1,629 16 Deposits of U. S. disbursing officers. 4, 897 00 Due to other national banks 2,107 92 Due to State banks and bankers. 13, 634 78 11,192 00 Notes and bills re-discounted. Bills payable , 18, 000 00 1, 571, 684 39 Total 10,598 00 370, 909 12 1, 521 89 5, 000 Oi) 1,571,684 39 178 REPORT OF THE COMPTROLLER OF THEN CURRENCY. MASSACHUSETTS, Salem National Bank, Salem. No. 704. AUGUSTUS STORY, President. GEO. D. PHIPPEN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $551, 869 01 j| Capital stock paid in 568 83 II 300, 000 00 Surplus fund.... Other undivided profits $300,000 00 60,000 00 10, 814 90 National bank notes outstanding State bank notes outstanding Dividends unpaid 284 55 1,085 17 263, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 6, 000 00 2,915 35 252, 266 85 3, 864 2 567 16, 000 00 j Due to other national banks 88 ! Due to State banks and bankers . 00 00 | Notes and bills re-discounted Bills payable 13,500 00 Total., 896,656 79 • 4, 935 00 640 04 I 896, 656 79 Total. Powow River National Bank, Salisbury. T H O S . J . CLARK, President. No. 1049. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer $100,000 00 ""166,666 66" ' | Surplus fund ij Other undivided profits. 90, 000 00 ;; Individual deposits J| United States deposits 874 65 ![ Deposits of U. S. disbursing officers. j 50, 000 00 4,917 41 2, 003 00 ]' National bank notes outstanding . . . I < State bank notes outstanding 28,714 95 "4,"665'66" ' Dividends unpaid . I Total . GEO. F . BAGLEY, Cashier. $252, 162 67 I Capital stock paid in 160,118 05 4,470 C O 6, 601 00 Due to other national banks 2 51 Due to State banks and bankers . 1, 920 00 9, 000 00 I Notes and bills re-discounted I Bills payable 4C9,775 78 270 32 Total. 409, 775 78 Shelburne Falls National Bank, Shelburne Palls. J. B. BARDWELL, President. No. 1144. O. R. MAYNARD, Cashier. $263,561 58 ! Capital stock paid in Loans and discounts , 86 67 Overdrafts 170, 000 00 • Surplus fund U. S. bonds to secure circulation U. S. bonds to secure deposits j . . io, 666 bb I Other undivided profits U. S. bonds on hand ! National bank notes outstanding Other stocks, bonds, and mortgages.. Due from approved reserve agents... 35, 495 13 State bank notes outstanding Due from other banks and bankers . . 75 33 Real estate, furniture, and fixtures... 10, 000 00 Dividends unpaid. 1, 808 30 ' Individual deposits Current expenses and taxes paid S Premiums paid I United States deposits Checks and other cash items I 926 00 Deposits of U. S. disbursing officers. Exchanges for clearing house I 1,133 00 Due to other national banks Bills of other banks j 203 57 !j Due to State banks and bankers . Fractional currency 260 65 Specie 2, 800 00 Notes and bills re-discounted. Legal tender notes Bills payable U. S. certificates of deposit Due fromU. S. Treasurer 7, 650 00 Total . 504, 000 23 : Total. | $200, 000 00 | \ I i 40,000 00 19,177 58 149, 000 00 196 00 95, 472 07 154 58 504, 000 23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 7 9 MASSACHUSETTS. Southbridge National Bank, Southbridge, No. 934. SAML. M. LANE, President. F. L. CHAPIN, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . Liabilities. $217,388 94 *"i5o"666"66' $150, 000 00 Capital stock paid in Surplus fund Other undivided profits. 30, 000 00 38,382 31 National bank notes outstanding . . . 72,681 18 State bank notes outstanding 26 45 2, 600 00 Dividends unpaid. 130,300 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 101, 990 25 2, 400 37 4, 020 00 2 5 62 700 1, 878 00 | Due to other national banks 62 Due to State banks and bankers. 00 00 Notes and bills re-discounted . Bills payable 6,750 00 454, 692 56 I Total. 454,692 56 First National Bank, South Weymouth. J O H N S. F O G G , President. B E N J . F . W H I T E , Cashier. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. $219,279 62 Due from approved reserve a g e n t s . . . Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 39, 458 22 Total , 50, 000 00 " 18," 342" 83' "5 "666" 66" 740 68 $150r000 00 Capital stock paid in. Surplus fund Other undivided profits 30, 000 00 26, 099 89- National bank notes outstanding State bank notes outstanding 45, 000 00 5, 132 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers - 86,458 82 1, 752 00 Due to other national banks 55 61 Due to State banks and bankers. 56 L 75 5, 250 00 Notes and bills re-discounted. Bills payable 2, 250 00 342, 690 71 342,690 71 Total. Spencer National Bank, Spencer. ERASTUS JONES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . W. L. DEMOND, Cashier. No. 2288. $145,204 38 ""i25,"666"6o" Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding 50,031 01 State bank notes outstanding 2, 248 21 175 00 25, 000 00 1,431 97 8, 068 15 245 6, 000 00 40 00 00 Dividends unpaid.. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . $150, 000 00 3,000 00 1,329 97 112, 500 00 6,120 00 92, 200 32k 3, 893 6& Notes and bills re-discounted., Bills payable 5, 625 00 369, 043 97 Total. 369,043 97 180 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Springfield. JAMES KiRKHAM, President. D . A. FOLSOM, Resources. $589, 530 84 i Capital stock paid in. Loans and discounts 182 37 i Overdrafts 305, 000 00 | Surplus fund U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand " " 5 0 , " 666" 66" Other undivided profits...v National bank notes outstanding Other stocks, bonds, and mortgages . State bank notes outstanding 28,314 61 Due from approved reserve agents. ..\ 24, 408 78 Due from other banks and bankers... J Dividends unpaid . 60, 000 00 Real estate, furniture, and fixtures.. .j 5, 386 22 Current expenses and taxes paid j Individual deposits 8, 837 50 Premiums paid United States deposits 20, 670 00 Deposits of U. S. disbursing officers. Checks and other cash items > Exchanges for clearing house i 10. 697 00 Due to other national banks Bills of other banks ; 2, 657 32 Due to State banks and bankers . Fractional currency Specie | Legal tender notes i 8, 500 00 ! Notes and bills re-discounted. Bills payable U. S. certificates of deposit I Due from U. S. Treasurer 13,600 60" Total. Cashier. Liabilities. 1, 127, 784 64 $400, 000 00 167,784 15 26, 275 94 261, 400 00 1, 893 00 270,431 55 Total 1,127,784 64 Second National Bank, Springfield. No. 181. H. ALEXANDER, Jr., President. Loans and discounts , Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency. Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $361,414 82 1, 985 25 310,000 00 16, 000 00 113,534 63 28, 066 83 75, 000 00 6, 106 35 7, 555 62 808 00 449 42 1, 562 00 7,212 00 LEWIS WARRINER, Cashier. $300, 000 00 Capital stock paid in. 230,251 19 29, 755 91 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 272, 000 00 Dividends unpaid. 1, 412 49 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. Total. 116,093 46 ! I 1,411 22 520 65 951,444 92 Third National Bank, Springfield. No. 308. J. C. PARSONS, President. Loans and discounts Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits \ U. S. bonds on hand j Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items E xchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. F. H. HARRIS, Cashier. $844, 27L 2, 470 250, 000 252, 000 46 I Capital stock paid in . 67 00 Surplus fund , 00 Other undivided profits. 41,000 00 National bank notes outstanding . . . 33, 059 88 State bank notes outstanding 12,258 30 122,701 46 Dividends unpaid. 6, 657 44 Individual deposits United States deposits 10,478 10 Deposits of U. S. disbursing officers. 5, 069 2, 382 1, 827 28, 243 00 20 65 00 ll,"2o6"00 j 1,6-23,672 16 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable Total. $500, 000 00 250, 000 00 121, 109 64 225, 000 00 1,030 00 267, 672 64 202, 780 80 1,079 08 55, 000 00 1, 623, 672 16 REPORT OF THE COMPTROLLER OF THE CURRENCY. 181 MASSACHUSETTS. Agawam National Bank, Springfield. No. 1055. H. S. HYDE, President. F. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $671,691 06 1,695 78 300, 300 00 Capital stock paid in. 64 24 50 30 270, 000 00 Dividends unpaid . 25, 927 10 Individual deposits United States deposits Deposits of U. S. disbursing officers. 3, 087 67 299 2, 041 1, 408 10, 900 100, 000 00 55, 407 37 National bank notes outstanding State bank notes outstanding 3, 000 00 30, 826 19, 004 81,944 20 $500, 000 00 Surplus fund Other undivided profits - 00 13 00 00 Due to other national banks Due to State banks and bankers 184, 830 64 9, 353 11 9U0 10 Notes and bills re-discounted . Bills payable 20, 200 00 1,146, 418 32 Total., S. BAILEY, Cashier. Liabilities. Total 1, 146,418 32 Chicopee National Bank, Springfield. HENRY FULLER, Jr., President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand. Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills cf other banks, jb'ractional currency Specie .. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 988. $919, 287 86 Capital stock paid in. $400,000 00 ""300,"666"00 I Surplus fund Other undivided profits 250, 000 00 4, 937 96 """50" 666" 66" I 6, 000 96,117 5, 365 7, 500 10 00 34 61 00 00 ! National bank notes outstanding I State bank notes outstanding ! j Dividends unpaid . 15, 615 53 M.492 491 3,150 9,095 20, 000 15, 500 Individual deposits ' United States deposits Deposits of U. S. disbursing officers. 00 Due to other national banks 62 I Due to State banks and bankers . 00 I 00 I Notes and bills re-discounted. 00 ! Bills payable 00 ! 1, 462, 624 96 | Total. THOS. WARNER, Jr., Cashier. Total. 270, 000 00 19,143 69 517, 354 88 1,188 43 1,462,624 96 John Hancock National Bank, Springfield. R S. MOORE, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S p ecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 982. $197 522 53 7 10 150, 000 00 2," 25*6" 66' 10, 011 745 13, 883 4 92 73 79 20 1,925 84 2, 756 439 480 3, 500 00 10 00 00 E. D. CHAPIN, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits , United States deposits , Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . $150, 000 00 30, 000 00 21, 269 27 134,984 00 4, 326 00 56, 960 26 2, 536 1 Notes and bills re-discounted. Bills payable 16, 550 00 400, 076 21 Total. 400, 076 21 182 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Pynchon National Bank, Springfield. H. N. CASE, President. No. 987. CHARLES MARSH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $200, 000 00 $332, 527 72 Capital stock paid in. 256 83 | 150, 000 00 I Surplus fund Other undivided profits 650 00 j 25, 265 00 i National bank notes outstanding 140, 804 41 i State bank notes outstanding 11, 152 67 18,975 00 Dividends unpaid., 6 40 Individual deposits United States deposits 3, 829 79 Deposits of U. S. disbursing officers. Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 124,600 00 1, 506 49 135,000 00 7, 802 79 235,002 94 1,665 383 225 11,610 00 Due to other national bank3 04 ! Due to State banks and bankers 00 i 00 ! Notes and bills re-discounted. Bills payable 6, 750 00 Total. 704,100 86 188 64 704,100 86 Total. Housatonic National Bank, Stockbridge. D. R. WILLIAMS, President. D. A. KIMBALL, Cashier. No. 1170. $232, 917 94 56 80 200,000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. 30, 000 00 41,000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid . . . . . 56, 922 266 5, 000 1, 609 4, 685 24 48 00 3L 66 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 1,281 80 740 11,959 00 32 50 00 $200, 000 00 Capital stock paid in . Surplusfund Other undivided profits \ I 100,000 00 21,384 68 National bank notes outstanding State bank, notes outstanding I ! 177, 871 00 j 315 00 Dividends unpaid Individual deposits United States deposits ! Deposits of U. S. disbursing officers.. i 89, 858 83 6, 089 74 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 9, 000 00 Total. 595,519 25 Total 595,519 25 Bristol County National Bank, Taunton. THEO. DEAM, President. No. 766. 250, 000 00 65,609 15 508, 900 00 i Surplus fund 150, 000 00 | Other undivided profits. National bank notes outstanding Due from approved reserve agents... j Due from other banks and bankers . . ! Real estate, furniture, and fixtures... j Current expenses and taxes paid ; Premiums paid j Total $500,000 00 $763,747 63 |j Capital stock paid in. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand. Other stocks, bonds, and mortgages.. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer A. C. PLACE, Cashier. j i j ! j I I i 59, 235 93 397 04 10, 000 00 '• 444, 900 00 State bank notes outstanding ; 22, 786 00 Individual deposits ....' 150 89 United States deposits ; Deposits of U. S. disbursing officers . 2, 813 00 Due to other national banks 742 83 Due to State banks and bankers 600 00 10, 000 00 Notes and bills re-discounted. Bills payable 27, 100 00 j; 168,561 97 77,223 46 1,533,687 32 jj Dividends unpaid Total 74 i 1,533,687 32 REPORT OF THE COMPTROLLER OF THE CURRENCY. 183 MASSACHUSETTS. Machinists' National Bank, Taunton. £}. It. VlCKERY, President. No. 947. EDWARD KING, Cashier. Resources. Loans and discounts 0 verdrafts . . . . . * U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items E xehanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae from U. S. Treasurer Liabilities. $404,579 22 | Capital stock paid in. 897 33 !| 200,000 00 JSurp]ii3 fund ! Other undivided profits 8,000 149,744 673 10,00J 00 37 50 00 $200, 000 00 130, 000 00 12,674 55 INational bank notes outstanding 'jState bank notes outstanding \\ i Dividends unpaid., l Individual deposits United States deposits Deposits of U. S. disbursing officers . 180, 000 00 9,059 00 291,494 88 Due to other national banks Due to State banks and bankers Taunton National Bank, Taunton. C. J. H. BASSETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S, bonds to secure deposits \ U. S. bonds on hand j -Other stocks, bonds, and mortgages --) Due from approved reserve agents., .j Dae from other banks and bankers... Real estate, furniture, and fixtures.. . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., No. 957. $896, 725 23 Capital stock paid in. 534, 000 00 '"""53*150 97, 417 1,415 25, 000 G-EO. W. ANDROS, Cashier. $600, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 65' 50 27 00 200, 000 00 79, 124 96 470, 100 00 Dividends unpaid . 19,874 00 17, o00 00 j| Individual deposits ji United States deposits 1, 692 76 || Deposits of U. S. disbursing officers . 6, 1, 7, 17, 5, 26, 188 103 220 620 000 505 00 69 05 00 00 CO ',! Due to other national banks I1 Due to State banks and bankers 303, 599 55 12, 839 04 I Notes and bills re-discounted. ! Bills payable 1, 690, 537 55 1, 6tfO, 537 55 Townsend National Bank, Townsend. W A L T E R FESSENDEN, President. Loans and discounts Overdrafts U.S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stock?, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchauges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. E D W A R D ORDWAY, Cashier. $154,268 96 ""I6o"6oo"66' 5, 573 45 1, 000 00 3, 080 82 1, 067 27 3,021 74 1,516 500 00 00 00 00 Capital stock paid in $100, 000 00 Surplus fund Other undivided profits 50, 000 00 2,206 95 National bank notes outstanding State bank notes outstanding 87, 680 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 573 00 34,141 55 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 4, 500 00 274,601 50 Total. 274,601 50 184 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Crocker National Bank, Turner's Falls. WENDELL T. DAVIS, President. No. 2058. D. P . ABERCROMBIE, Cashier. Resources. Liabilities. Loans and discounts ; Overdrafts U. S. bonds to secure circulation | U. S. bonds to secure deposits : U. S. bonds on hand Other stocks, bonds, and mortgages.. \ Due from approved reserve agents... | Due from other banks and bankers... | Real estate, furniture, and fixtures... j Current expenses and taxes paid Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ; t. | | j i Total. $235, 095 16 300, 000 00 66, 873 56 1, 517 41 3, 000 00 52 35, 000 00 215 25 Capital stock paid in. $300, 000 00 Surplus fund Other undivided profits 12, 000 00 1,369 84 Dividends unpaid . 6, 612 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 312 00 Due to other national banks 110 67 Due to State banks and bankers . 341 00 260 00 Notes and bills re-discounted "13," 500 "66' 268, 730 00 National bank notes outstanding State bank notes outstanding Bills payable 69,513 73 | I Total. 658, 225 57 656,225 57 Blackstone National Bank, Uxbridge. MOSES TAFT, President. No. 1022. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand | Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $120,693 60 100, G O 00 O C. S. W E S T O N , Cashier. Capital stock paid in I Surplus fund Other undivided profits j ' 4, 000 00 ! National bank notes outstanding State bank notes outstanding 6,532 87 Dividends unpaid . 37 50 90,000 00 3, 722 00 22, 094 03 Due to other national banks Due to State banks and bankers . 200 00 20,521 09 35 06 i Individual deposits United States deposits Deposits of U. S. disbursing officers. 395 00 13 21 $100, 000 00 Notes and bills re-discounted. Bills payable 4, 500 00 236, 372 18 236,372 18 Total. National Bank of South Reading, Wakefield. L u c i u s B E E B E , President. No. 1455. Loans and discounts Overdrafts , U. S. bon ds to secure circulation j U. S. bonds to secure deposits • U. S. bonds on hand j Other stocks, bonds, and mortgages. J Due from approved reserve agents. ..j Due from other banks and bankers...; Real estate, iurniture, and fixtures . . | Current expenses and taxes paid j Premiums paid : Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total : THOMAS W I N S H I P , Cashie $140,354 98 I Capital stock paid in ; " 95, C O 00 O , 9,778 95 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . , 1,080 83 Individual deposits United States deposits Deposits of U. S. disbursing officers. | $100,000 00 ' 25,000 00 6,742 74 84,255 00 1,305 00 36,708 14 2,139 00 ! Due to other national banks 394 12 Due to State banks and bankers . 1,000 00 j Notes and bills re-discounted Bills payable "4," 263 "66" 254, 010 86 Total. 254, 010 88 EEPOET OF THE COMPTROLLER OF THE CURRENCY. 185 MASSACHUSETTS. Waltham National Bank, Waltham. No. 688. F. M. STONE, President. J. S. WILLIAMS, Cashier. Liabilities. Loans and discounts Overdrafts. U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.-. Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash item3 Exchanges for clearing house Bills of other banks Fractional currency I Specie j Legal tender notes I U. S. certificates of deposit Due from U. S. Treasurer Total $164,962 50 $150, 000 00 Capital stock paid in. '""i53,"666"6o" 3o,"6o6"66" 87, 032 50 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 10, 000 00 50, 000 00 6, 576 31 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 5, 737 50 409 91 22, 000 00 125, 500 00 170,816 10 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 3, 000 00 20, 000 00 6, 750 00 Total - 502, 892 41 502,892 41 "Ware National Bank, Ware. No. 628. WILLIAM HYDE, President, Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand. -. Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other ca«h items Exchanges for clearing house Bills of orher banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $439,413 62 $400, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 400, 000 00 ""2,"665" 65" 35,421 45 Dividends unpaid. " " 3 "785* 30* 3, 403 406 3, 650 7,000 00 16 00 00 80, 000 00 25, 806 49 340, 000 00 9,115 00 [ Individual deposits I United States deposits Deposits of U. S. disbursing officers. 58,158 04 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable ""lsfooo'oo" 913,079 53 Total.. WM. S. HYDE, Cashier. Total. 913,079 53 National Bank, Wareham. No. 1440. Gr. C. TO BEY, President. Loans and discounts Overdrafts -. U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, andfixtures. . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total ...| THOS. R. MILES, Cashier. $145, 358 90 i Capital stock paid in. 80,666 66" I Surplus fund I Other undivided profits. 1 11, 980 5, 379 1, 288 1,554 2, 387 00 National bank notes outstanding 37 State bank notes outstanding 68 Dividends unpaid. 00 00 i Individual deposits j United States deposits Deposits of U. S. disbursing officers. 11, 204 3 150 3, 500 $100, 000 00 22, 350 00 26,511 42 00 Due to other national banks , 17 Due to State banks and bankers., 00 00 ! Notes and bills re-discounted. I Bills payable 67, 938 00 3, 641 50 45,964 20 ;, 600 00 i 266,405 12 || Total. 266,405 12 186 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Union Market National Bank, Watertown. OEO. N. MARCH, President. No. 2108. J. K. STICKNEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid $188,889 88 jj Capital stock paid in $200, 000 00 ""f8O,"66o"6o*[ Surplus fund 4, 501 445, 803 97 Other undivided profits 11, 863 39 National bank notes outstanding State bank notes outstanding 161,000 00 576 00 9, 078 93 ' Dividends unpaid. I 3, 583 34 |j Individual deposits 32,328 75 jj United States deposits 2, 000 00 |i Deposits of U. S. disbursing officers. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 69,145 54 1, 350 00 1 Due to other national banks 1 32 66 S Due to State banks and bankers . i 3, 800 00 j | Notes ""8,"i6o"66"i! and bills re-discounted Bills payable 441,026 95 |! Total. Total, 441, 026 95 First National Bank, Webster. C. C. CORBIN, President. No. 2312. Loans and discounts Overdrafts i U. S. bonds to secure circulation U. S. bonds to secure deposits : U. S. bonds on hand ' Other stocks, bonds, and mortgages.. j Due from approved reserve agents... Due from other banks and bankers ..! Real estate, furniture, and fixtures - . Current expenses and taxes paid Premiums paid ; Checks and other cash items Exchanges for clearing house Bills of other banks ! Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . Total | E. L. S PAL DING, Cashier. $100,000 00 $ 136, 232 84 I Capital stock paid in. 80, 000 00 j Surplus fund ; Other undivided profits 1,601 84 44 09 I National bank notes outstanding . 8,156 77 | S tate bank notes outstanding 1 - 1 Dividends unpaid . 72, 000 00 j Individual deposits , 13,150 00 ;] United States deposits 15 00 : Deposits of U. S. disbursing officers. 59, 083 51 2, 022 00 11, 652 00 Due to other national banks 444 83 Due to State banks and bankers . 1, 500 00 3, 600 00 Notes and bills re-discounted Bills payable 20, 000 00 254,751 44 254,751 44 First National Bank, Westboro;, No. 421. J. A. FAYERWEATHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..; Due from approved reserve agents... ; Due from other banks and bankers . . ! Real estate, furniture, and fixtures Current expenses and taxes paid j Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. , , $188, 602 49 150, 000 00 15, 216 07 ! \ I j ; Capital stock paid in. ! Surplus fund Other undivided profits ' National bank notes outstanding State bank notes outstanding Dividends unpaid . 158 60 3, 656 00 | GEO. O. BRIGHAM, Cashier. 1, 625 00 105 57 , 2, 000 00 , 8, 050 00 j 369,413 73 Individual deposits United States deposits Deposits of U. S. disbursing officers. $150,000 00 23, 750 00 6,412 66 135, 000 00 423 00 53, 828 07 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. 369,413 73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 187 MASSACHUSETTS. First National Bank, Westfield. No. 190. CUTLER LAFLIN, President. HENRY HOOKER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures .Current expenses and taxes paid.. . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $312,491 20 225 79 250,000 00 $250, 000 00 Capital stock paid in 44, 653 35 4, 6')8 58 6, 500 00 3,529 14 14 88 882 411 387 8,064 00 95 65 00 113, 500 00 19, 929 99 National bank notes outstanding 4o"66o 65" Surplus fund Other undivided profits 222, 945 00 State bank notes outstanding 1,790 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 101,348 44 524 62 2, 980 49 Notes and bills re-discounted Bills payable 11, 250 00 713, 018 54 Total 713,018 54 Hampden National Bank, Westfield. E. B. GlLLETT, President, Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ROYAL WELLER, Cashier. No. 1367. $181, 980 73 Capital stock paid in.. 382 18 150,000 00 Surplus fund Other undivided profits i9t"6oo 65" 16, 000 00 National bank notes outstanding 111,376 91 State bank notes outstanding 2,311 42 Dividends unpaid . 8, 000 00 15 00 Individual deposits United States deposits Deposits of U. S. disbursing officers,. 13,711 80 323 13, 000 00 Due to other national bank s 64 Due to State banks and bankers 65 00 Notes and bills re-discounted. Bills payable .', Total. $150,000 00 76,000 00 4, 870 60 135, 000 00 4, 672 00 6,575 00 118, 837 08 4, 073 46 27, 153 39 Total., "Westminster National Bank, Westminster. DANIEL C. MILES, President. Loans and discounts i Overdrafts. i U. S. bonds to secure circulation j U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks. Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3- No. 2284. $70,144 96 "ioo'666 66" ""3,36b 66 3.000 00 935 99 ],000 00 1, 663 00 2,011 53 18, 124 00 1,453 97 WILLIAM MAYO, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding . . State bank notes outstanding Dividends unpaid. Individual deposits , United States deposits Deposits of U. S. disbursing officers 1, 457 00 Due to other national banks 40 28 Due to State banks and bankers . . 108 00 519 00 Notes and bills re-discounted Bills payable ""4,500 "66" 208, 257 73 Total., $100, 000 00 500 00 1, 082 78 87,285 00 52 53 15, 337 42 4, 000 00 208, 257 73 188 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Union National Bank, Weymouth. ALBERT HUMPHREY, President. No. 510. JOHN J. LOUD. Cashier. Resources, Liabilities. Loans and discounts $464,525 05 Capital stock paid in Overdrafts U. S. bonds to secure circulation ; 300, 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits U. S. bonds on hand Other stocks, bonds, and mortgages. National bank notes outstanding Due from approved reserve agents... 6, 790 61 State bank notes outstanding Due from other banks and bankers... j Real estate, furniture, and fixtures...i 5, 100 00 Dividends unpaid . Current expenses and taxes paid ! 21L 03 Individual deposits Premiums paid ; United States deposits Checks and other cash items ; 1,679 61 Deposits of U. S. disbursing officers . Exchanges for clearing house ' Bills of other banks j 6, 017 00 Due to other national banks Fractional currency 48 89 Due to State banks and bankers . Specie ! 862 70 Legal tender notes j 4, 992 00 Notes and bills re-discounted U. S. certificates of deposit • Bills payable Due from U. S. Treasurer j 13, 500 00 Total I 803,726 89 Total. $400, 000 00 66, 850 00 6, 140 15 267, 305 00 15,702 26 47, 729 48 803,726 89 Whitinsville National Bank, Whitinsville. PAUL WHITIN, President. No. 769. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house . ills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer H. A. GOODELL, Cashier. $229, 433 97 Capital stock paid in. 7 61 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding 150, 422 55 State bank notes outstanding Dividends unpaid 1, 949 26 1,177 00 205 62 552 00 5,500 00 5,000 00 4,500 00 41, 300 0Q 21, 402 78 80, 600 00 5, ] 50 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 250, 295 23 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 498, 748 01 Total. $100, 000 00 498, 748 01 First National Bank, Winchendon, J. H. FAIRBANK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie.. -.Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 327. C. L. BEALS, Cashier. $228, 674 61 Capital stock paid in. " *200, 000 00 Surplus fund Other undivided profits 12, 000 00 National bank notes outstanding 16,717 76 State bank notes outstanding 13, 000 00 Dividends unpaid. 2, 596 66 Individual deposits United States deposits 120 00 Deposits of U. S. disbursing officers . 4,143 00 119 72 1,188 00 5, 200 00 10, 000 00 9, 000 00 502, 759 75 $200, 000 00 68, 000 00 8, 770 50 178, 485 00 1,107 66 46, 396 59- Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable Total. 502, 759 75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 189 MASSACHUSETTS. First National Bank, Woburn. No. 746. E. D. HAYDEN, President. J. R. GREEN, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid j Premiums paid j Checks and other cash items ; Exchanges for clearing house ....j Bills of other banks i Fractional currency \ Specie j Legal tender notes j U. S. certificates of deposit j Due from U. S. Treasurer 74 31 I 300, 000 00 I j 150, 000 00 j 3,600 00 j Surplus fund Other undivided profits National bank notes outstanding 21, 954 66 I State bank notes outstanding 1 Dividends unpaid . 25, 855 91 Individual deposits "30," 125" 66" United States deposits 25, 446 05 Deposits of U. S. disbursing officers.. 7,287 429 783 11,681 00 ! Due to other national banks I 55 ! Due to State banks and bankers 00 00 I Notes and bills re-discounted Bills payable 93, 000 00 12, 223 98 270, 000 00 66 00 134, 503 80 10, 000 00 "13,566 66" I 8L9.793 78 || Total. $300, 000 00 $229, 057 30 Capital stock paid in. 819,793 78 Total. First National Bank, Worcester. A. M. STONE, Cashier. E. A. GOODNOVV, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $915,874 55 Capital stock paid in. 26 72 210, 000 00 Surplus fund 50, 000 00 Other undivided profits . National bank notes outstanding 83, 107 77 State bank notes outstanding 952 18 1,600 00 ! Dividends unpaid . 6,286 18 ] Individual deposits j United States deposits 10, 575 67 ii Deposits of U. S. disbursing officers.. 14, 955 00 388 25 700 00 8,500 00 30. 000 00 9, 445 00 $300, 000 00 120, 000 00 30, 708 94 189, 000 00 40 00 673, 722 10 28,791 48 112 10 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable Total 1, 342, 411 32 1,342,411 32 Central National Bank, "Worcester. JOHN C. MASON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 455. HENRY A. MARSH, Cashier. $498, 749 71 Capital stock paid in. 365 92 300, 000 00 Surplus fund Other undivided profits National bank notes outstanding 40, 449 19 State bank notes outstanding 3,364 15 Dividends unpaid 156 91 Individual deposits | United States deposits 6, 084 42 Deposits of U. S. disbursing officers. 10,132 00 80 63 4,818 00 1,500 00 j| 15, 000 00 13, 500 00 894, 200 93 Due to other national banks Due to State banks and bankers . $300, 000 U0 100, 000 00 2,754 13 255,300 00 7, 436 00 220, 555 34 8,155 46 Notes and bill3 re-discounted. Bills payable Total. 894, 200 93 190 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Citizens' National Bank, Worcester, F. H. KINNICUTT, President. No. 765. Resources. Loans and discounts Overdrafts . U. S. bonds to secure circulation U. S. bonds to secure deposits | U. S. bonds on hand • Other stocks, bonds, and mortgages Due from approved reserve agents...\ Due from other banks and bankers . . Real estate, furniture, and fixtures...i Current expenses and taxes paid i Premiums paid Checks and other cash items j Exchanges for clearing house I Bills of other banks ^Fractional currency Specie : Legal tender notes \ U. S. certificates of deposit Due from U. S. Treasurer Total L. W. HAMMOND, Cashier. : ! Liabilities. $229, 902 10 Capital stock paid in j 100, 000 00 Surplus fund Other undivided profits $150, 000 00 j J National bank notes outstanding 56, 557 44 State bank notes outstanding 38 21 Dividends unpaid IS 80 Individual deposits United States deposits 613 76 Deposits of U. S. disbursing officers.. 9,323 00 130 08 1,538 25 8, 400 00 10, 000 00 4, 500 00 Due to other national banks Dae to State banks and bankers 30, 000 00 314 68 79,400 00 303 00 148,152 62 12, 912 34 Notes and bills re-discounted., Bills payable 421,082 64 Total- 421, 082 64 City National Bank, "Worcester. No. 476. Q. W. RICHARDSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . . if. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Seal estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $629,134 79 NATHANIEL PAINE, Cashier. $400, 000 00 Capital stock paid in . ""24o,"66o"oo" Surplus fund Other undivided profits " " 2 5 " 600" 65' National bank notes outstanding State bank notes outstanding 27, 964 20 5,954 27 Dividends unpaid . 6 9') 5, 375 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 12,514 69 34, 382 00 131 52 890 00 3, 947 00 30, OdO 00 10, 800 00 Total- 177, 600 00 10, 325 00 Due to other national banks j Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 1, 025, 900 37 102,474 06 9, 360 82 Total 317,169 59 8, 970 90 1,025,900 37 Mechanics' National Bank, Worcester. HARRISON BLISS, President. No. 1135. Loans and discounts ! Overdrafts ; U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. ,.\ Due from other banks and bankers . . Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of otherbanks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due fromU. S. Treasurer Total : GEO. E. MERRILL, Cashier. $621,211 63 Capital stock paid in . 599 15 200, 000 00 Surplus fund Other undivided profits National banknotes outstanding 65, 463 47 State bank notes outstanding 9, 768 17 Dividends unpaid . | Individual deposits United States deposits 3,764 45 Deposits of U. S. disbursing officers. 9,217 119 1, 595 17, 430 10, 000 9, 000 00 Due to other national banks 12 Due to State banks and bankers 00 00 Notes and bills re-discounted. 00 I Bills payable 00 948,167 99 Total. $350,000 00 84, 000 00 1, 243 04 174, 000 00 7,808 00 326, 731 50 4, 385 45 948,167 99 REPORT OF THE COMPTROLLER OF THE CURRENCY. 191 MASSACHUSETTS. Quinsigamond National Bank, Worcester. A. A. HOWE, Caskter. ISAAC DAVIS, President. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $356,115 39 ""iii,"6o6*66' Surplus fund O ther undivided profits National bank notes outstanding State bank notes outstanding 15, 949 37 147 26 6,434 15 Dividends unpaid . 2 55 || Individual deposits United States deposits 2, 820 01 Deposits of U. S. disbursing officers. 12,024 00 105 02 3,92L 00 11, 763 00 50, 000 00 20 19 97,700 0© 25 00 129,156 56 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable r 6, 020 00 526,901 75 Total. $250,000 00 Capital stock paid in . 526, 901 75 Total. Security National Bank, "Worcester. WM, H. MORSE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2273. A. H. WAITE, Cashier $224, 688 95 | Capital stock paid in . . 6o,"66o 66" ""io," 666*66 14,634 67 1, 500 00 1,303 40 12, 395 08 1, 438 37 914 00 105 19 1,039 10 2, 927 00 10, 000 00 2,700 00 343, 645 76 i $100,000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 7, 438 33 54, 000 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers. 182, 207 43 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , Total. 343,645 76 "Worcester National Bank, "Worcester. STEPHEN SALISBURY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.S. Treasurer Total., J. P. HAMILTON, Cashier. $669, 763 83 Capital stock paid in , 5 81 450, 000 00 Surplus fund Other undivided profits . 50, 000 00 10, 000 00 National bank notes outstanding . . . . 89,070 01 State bank notes outstanding 32, 898 41 Dividends unpaid . 40, 000 00 34 92 Individual deposits 11,331 63 United States deposits 12, 470 59 Deposits of U. S. disbursing officers. 30,138 00 520 00 585 33 25,299 00 10, 000 00 20, 250 00 1, 452, 367 53 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable Total. $500, 000 00 72, 616 64 52, 099 91 390, 600 00 13, 296 00 350, 654 41 73,100 57 1, 452, 367 53 192 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS, National Bank, Wrentham. No. 1085. DANL. A. COOK, President. F. N. PLIMPTON, Cashier. Resources. Liabilities. $103, 169 94 | •Capital stock paid in Loans and discounts 105, 000 U. S. bonds to secure deposits 21,000 00 7, 256 47 Other undivided profits Other stocks, bonds, and mortgages.. Due from approved reserve agents...! Due from other banks and bankers. ..j Heal estate, furniture, and fixtures... Current expenses and taxes paid ! Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $105, 000 00 on ' ! 18, 387 i National bank notes outstanding State bank notes outstanding. Dividends unpaid . 1, 076 51 307 90 392 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 9, 536 79 '""ioo'oo" Du' to other national banks | ! • 15 25 28 00 4, 725 00 Dute to State banks and bankers . . . Notes and bills re-discounted Bills p ay able 232, 910 26 Total.. 89, 725 00 Total. 232, 910 26 First National Bank of Yarmouth, Yarmouth Port. D A V I D K. AIKEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 516. $517, 509 69 525, O O 00 u 44, 500 00 34, 112 68 W M . P. DAVIS, Cashier. Capital stock paid in . $525, 000 00 Surplus fund Other undivided profits 168, 000 00 22, 839 90 National bank notes outstanding State bank notes outstanding 426, 098 00 30, 042 2L j Dividends unpaid 340 13 Individual deposits United States deposits 72 14 Deposits of U. S. disbursing officers. 613 50 41,016 98 6, 373 21 545 927 00 ! Due to other national banks 53 ! Due to State banks and bankers . 00 j 00 Notes and bills re-discounted. Bills payable 24, 125 00 ; 1,183,568 38 Total . 1,183,566 38 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE 193 IS L A N D , Coventry National Bank, Anthony. No. 1161. JOHN POTTER, 2D, President. ASAHEL MATTESON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks ' Fractional currency Specie Legal tender notes U. S. certificates of deposit .. Due from U. S. Treasurer $105,182 38 364 00 2 95 129 90 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 22,110 33 2, 367 50 89, 397 00 212 50 9,452 02 234 07 887 59 4, 500 00 224, 651 01 Total. $100, 000 00 Capital stock paid in . Surplus fund Other undivided profits . National bank notes outstanding 991 18 State bank notes outstanding 520 34 Dividends unpaid. 10 91 Individual deposits United States deposits 3, 901 85 Deposits of U. S. disbursing officers . 100, 000 00 224, 661 01 Total. Ashaway National Bank, Ashaway. J. S. CHAMPLIN, President. G. N. LANGWORTHY, Cashier. No. 1150. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $78, 966 73 92 64 75, 000 00 1, 872 44 143 54 2, 000 00 378 26 2,905 00 34 42 166 50 249 00 Capital stock paid in. $75, 000 00 Surplus fund Other undivided profits . . National bank notes outstanding State bank notes outstanding 10,000 00 3, 108 45 64, 650 00 Dividends unpaid. 2, 614 00 Individual deposits , United States deposits Deposits of U. S. disbursing officers 6, 423 64 Due to other national banks Dae to State banks and bankers. Notes and bills re-discounted . . Billspayable Total. Total . 582 19 162, 383 28 First National Bank, Bristol. JAMES LAWLESS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer Total. No. 1292. MARTIN BENNETT, Cashier. $33, 843 38 Capital stock paid in . '"75,"666 66' Surplus fund Other undivided profits . 18, 000 00 3, 560 25 National bank notes outstanding State bank notes outstanding 59,130 00 30, 095 42 2,105 69 349 73 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 7, 070 00 Due to other national banks 78 15 Due to State banks and bankers. 3, 125 00 Notes and bills re-discounted. Bills payable "3,"375"66" 205, 042 37 Total. $75, 000 00 256 95 47, 096 83 1, 998 34 205, 042 37 194 REPORT OF THE COMPTROLLER OF THE CURRENCY. RIIO DE ISLAND. National Eagle Bank, Bristol. JOHN B. MUNRO, President, No. 1562. JOHN G. WATSON, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $76,125 81 Capital stock paid in . $50, 000 00 so," 666" 66' Surplus fund Other undivided profits National bank notes outstanding 7,971 99 State bank notes outstanding 12, 365 04 Dividends unpaid. 624 24 Individual deposits United States deposits Deposits of U. S. disbursing officers . 14,076 00 93 Due to other national banks Due to State banks and bankers . 3, 000 00 Notes and bills re-discounted. Bills payable 37,400 00 3,510 18 43, 387 00 25 00 31,279 15 812 68 2,25666" Total. 166, 414 01 166,414 01 Centreville National Bank of Warwick, Centreville. JONA. BRAYTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1284. MOSES FlFlELD, Cashier. $113, 231 72 Capital stock paid in. ""166," 566* 66' $100, 000 00 Surplus fund Other undivided profits . National bank notes outstanding . State bank notes outstanding 373 73 3, 429 07 Dividends unpaid., 2, 000 00 Individual deposits United States deposits 20, 955 00 Deposits of U. S. disbursing officers in* 66" Due to other national banks 166 73 Due to State banks and bankers . 4, 000 00 Notes and bills re-discounted. Bills payable 4,500 00 Total. 249, 273 25 20, 000 00 16,012 10 86, 795 00 1, 029 00 3,984 50 8, 904 10 12, 548 55 249, 273 25 Cumberland National Bank, Cumberland. DAVIS COOK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash itemg Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1404. $137, 569 88 "".25," 666" 66* 5, 000 00 "2*606*66" . GEORGE COOK, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 1,134 00 Due to other national banks 5 75 Due to State banks and bankers . 91 40 500 00 Notes and bills re-discounted. Bills payable 5, 625 00 276, 926 03 Total. $125, 000 00 36, 000 00 291 38 102, 430 00 6,250 00 977 75 5, 976 90 276,926 03 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 9 5 RHODE ISLAND. Greenwich National Bank, East Greenwich. HENRY SWEET, President. No. 1405. S. M. KNOWLES, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items , Exchanges for clearing house , Bills of other banks Fractional currency , Specie Legal tender notes U. S. certificates of deposit Due from U. S.Treasurer $75, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 6,953 00 6,414 71 43,900 00 460 G O 1, 362 50 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 21, 794 70 119 30 6, 755 59 Notes and bills re-discounted . Bills payable Total. Total. 162, 759 80 National Exchange Bank, Greenville. B. R. VAUGHAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1498. $152, 304 74 WILLIAM WINSOR, Cashier. $150, 000 00 Capital stock paid in. "" 150* 66o*65" Surplus fund Other undivided profits National bank notes outstanding 2, 555 32 Siaie bank notes outstanding 2,588 18 Dividends unpaid. 7,500 00 100 35 Individual deposits United St&tes deposits 837 00 Deposits of U. S. disbursing officers. 127 00 25 56 29 00 1, 428 00 32, 472 67 3, 964 24 130, 630 00 8, 078 24 Due to other national banks Due to State banks and bankers Notes and bills re-di3counted. Bills payable 7, 650 00 Total. 325,145 15 325, 145 15 First National Bank of Hopkinton, Hope Valley. AMOS G. NICHOLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1054. $90,488 33 914 44 90, 000 00 Jos. B. POTTER, Cashier. Capital stock paid in. Surplus fund , Other undivided profits. 10,000 00 I National bank notes outstanding 4,755 60 State bank notes outstanding 1, 337 42 3, 048 02 Dividends unpaid . 737 34 Individual deposits J United States deposits 4 14 I Deposits of U. S. disbursing officers. 2,664 00 \1 Due to other national banks 173 38 II Due to State banks and bankers 100 00 1, 440 00 Notes and bills re-discounted. Bills payable 4, 050 00 209, 712 67 Total. $100,000 00' 12, 512 35 3, 559 14 77, 392 00 484 00 12,168 60 11 17 3, 585 41 209,712 67 196 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. National Landholders' Bank, Kingston. N. C. PECKHAM, President. No. 1153. THOS. P. WELLS, Resources. Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $99, 506 i 1, 484 32 I 103, 000 00 I 8, 458 1, 62-2 3, 400 1, 610 32 46 00 73 49 57 |L05, 000 00 Capital stock paid in. Surplus fund Other undivided profits 26, 000 00 6, 989 36 National bank notes outstanding State bank notes outstanding 79, 800 00 Dividends unpaid. 1, 628 70 Individual deposits United States deposits Deposits of U. S. disbursing officers. 13, 293 90 1, 237 00 Due to other national banks 186 58 Due to State banks and bankers., 767 00 5, 289 00 Notes and bills re-discounted Bills payable 4,"l25"6o" Total. 232, 736 92 232, 736 92 First National Bank, Newport, T. M. SEABURY; President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers...{ Real estate, furniture, and fixtures. ..I Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house . Bills of other banks Fractional currency S pecie Legal tender notes I : . S. certificates of deposit Due rom U. S. Treasurer Total . BENTJ. MUMFORD, Cashier. No. 1021. $171,440 86 I Capital stock paid in 378 38 . 120, 000 00 I Surplus fund 50, 000 00 Other undivided profits . 45,239 91 4, 208 05 8, 000 00 l, 143 41 2, 763 76 National I auk notes outstanding State bank notes outstanding 70, 000 00 10, 393 23 104, 210 00 330 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 513 00 Due to other national banks 30 00 Due to State banks and bankers 1,163 91 11,675 00 Notes and bills re-discounted Bills payable Total. 422,006 28 j $120, 000 00 59,908 59 17, 141 72 17,038 21 ;2, 979 53 422, 006 23 Aquidneck National Bank, Newport. THOS. COGGESHALL, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1546. $283, 591 03 2,401 54 200, 000 00 7, 000 00 49,231 23 " " i "266" 66" CHAS. T. HOPKINS, Cashier. Capital stock paid in., Surplus fund O ther undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 2, 740 88 1,170 00 4, 332 93 Individual deposits United States deposits *— Deposits of U. S. disbursing officers 2, 595 66 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 634 36 1,679 00 6, 533 00 $200, 000 00 41, 414 05 8, 485 22 178, 000 00 984 00 141, 338 92 2, 036 78 9, 000 00 572, 258 97 Total. 572, 258 97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 197 RHODE ISLAND. National Bank of Rhode Island, Newport. No. 1532. W. A. CLARKE, President. T. P. PECKHAM, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie L^gal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. Capital stock paid in . 100,400 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding "u'o'oo'bo 39, 345 00 36, 890 46 7, 849 79 3, 500 00 Dividends unpaid . 823 56 Individual deposits United States deposits 4,174 94 Deposits of U. S. disbursing officers . 23, 656 17 4, 520 03 87, 470 00 200 00 72, 682 51 4,441 00 Due to other national banks 315 13 Due to State banks and bankers. 347 20 7, 757 00 Notes and bills re-discounted. Bills payable 4, 500 00 288, 528 71 Total. $100,000 00 $65,288 77 895 86 Total. 288, 528 71 National Exchange Bank, Newport. P H I L I P CASWELL, Jr., President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes . .. U. S. certificates of deposit Due from U. S. Treasurer S. H. NORMAN, Cashier. No. 1565. $149, 295 25 1,419 29 100, 000 00 67, 774 03 43 10 4, 500 00 1,774 89 1, 208 71 $100,000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 16, 500 00 4,335 66 89,200 00 794 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 441 00 Due to other national banks 61 15 Due to State banks and bankers . 1, 546 07 10, 462 00 Notes and bills re-discounted Bills payable 12i, 923 05 7, 272 28 343, 025 49 Total. Newport National Bank, Newport. H. C. STEVENS, Cashier. W M . BROVVNELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $186, 606 06 836 09 120, 000 00 53, 868 05 892 06 5, 000 00 1,017 36 Capital stock paid in . Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits 1, 407 46 Deposits of U. S. disbursing officers. $120, 000 00 40, 000 00 10,081 13 103, 480 00 795 00 113,702 55 800 00 Due to other national banks 242 60 Due to State banks and bankers . 1,114 00 10, 875 00 Notes and bills re-discounted. Bills payable 5, 400 00 388, 058 68 Total. 388, 058 68 198 KEPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. Scituate National Bank, North Scituate. G. A. AT WOOD, President. No. 1552. ALBERT HuBBARD, Cashier. Resources. Loans and discounts Overdrafts.. TJ. S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents . . . Due from other banks and bankers... Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid ! Checks and other cash items I Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes , U. S. certificates of deposit. Due from U. S. Treasurer. Liabilities. $58, 356 77 67 70 55, 000 00 $56, 000 00 Surplus fund Other undivided profits National bank notes outstanding 525 53 State bank notes outstanding 1,836 61 750 00 Dividends unpaid 668 64 Individual deposits 447 59 United States deposits 1,584 00 Deposits of U. S. disbursing officers Due to other national banks 158 00 Due to State banks and bankers 206 00 "37675'66' Total. Capital stock paid in | 11,200 00 2, 024 45 47, 529 00 ! 525 00 | I .I | I 5, 376 17 21 22 Notes and bills re-discounted. Bills payable 122, 675 84 Total. 122, 675 84 Pascoag National Bank, Pascoag. D. M. SALISBURY, President. No. 1512. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Dae from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie ..... Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $101, 355 78 ""166"666"66' 25, 517 89 Capital stock p_aid in $100, 000 00 Surplus fund Other undivided profits , National bank notes outstanding State bank notes outstanding 15, 417 40 8,103 85 83,399 00 Dividends unpaid . 482 02 750 00 3,982 81 Individual deposits United States deposits Deposits of U. S. disbursing officers 31 00 Due to other national banks 74 58 8L9 89 Due to State banks and bankers . 2, 440 00 Notes and bills re-discounted . Bills payable 4,"5OO"55 239, 953 97 Total.. JAS. S. COOK, Cashier. Total. 32,933 12 100 0Q 239,953 97 First National Bank, Pawtucket. No. 843. OLNEY ARNOLD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. W M . H. PARK, Cashier. $663, 239 19 Capital stock paid in . 8, 579 46 300, 000 00 Surplus fund Other undivided profits National bank notes outstanding 60, 975 48 State bank notes outstanding 14,930 18 Dividends unpaid . 6, 878 42 11, 682 91 3, 685 102 5, 880 32, 576 00 76 91 00 $300, 000 00 144,000 0Q 19,221 66 243, 500 00 906 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 358, 487 49- Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable 2,874 94 3, 064 62 50, 475 60' 14, 000 00 1,122, 530 31 Total 1,122,530 31 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE 199 ISLAND. Pacific National Bank of North Providence, Pawtucket. CHARLES MOIES, President. No. 1616. THOMAS MOIES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes. U. S. certificates of deposit Due from U. S. Treasurer Total. $344, 553 01 $200,000 00 Capital stock paid in . ""leo.'ooo'oo" I Surplus fund i Other undivided profits ! National bank notes outstanding i State bank notes outstanding 30,718 30 676 04 Dividends unpaid . 75, 000 00 10,483 96 600 00 1,771 86 i j Individual deposits I United States deposits 6, 478 70 ! Deposits of U. S. disbursing officers. ! 139,818 71 i 6, 093 376 1,636 8, 300 00 27 65 00 | Due to other national banks 1 Due to State banks and bankers | Notes and bills re-discounted. I Bills payable 379 97 3, 121 19 7, 200 00 567, 803 83 567,803 83 Total. Slater National Bank of North Providence, Pawtucket. W. F. SAYLES, President. No. 856. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $435, 649 79 189, 66606" 53,472 22 18, 355 15 1, 500 00 3,992 07 GEO. W. NEWELL, Cashier. Capital stock paid in . $300, 000 00 Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding Dividends unpaid 165, 800 00 815 00 Individual deposits United States deposits 16, 747 21 Deposits of U. S. disbursing officers. 14,095 00 Due to other national banks 2,684 35 Due to State banks and bankers 4,902 25 11, 529 00 Notes and bills re-discounted. Bills payable 10, 500 00 | Total. 762,427 04 78, 000 00 14,692 30 202, 277 56 701 18 141 00 762,427 04 Fhenix National Bank, Phenix. W. C. AMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand. Other stocks, bonds, and mortgages... Due from approved reserve agents . . . Due from other banks and bankers... Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. . No. 1460. H. D. BROWN, Cashier. $91,059 10 Capital stock paid in . " 5 6 "666" 66" Surplus fund Other undivided profits 14, 000 00 3, 863 77 National bank notes outstanding State bank notes outstanding 43,000 00 16,60666 2,463 3,332 4, 077 147 46 59 62 74 1,142 12 2,262 0'^ 11 36 90 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. $100, 000 00 264 00 5, 708 22 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2, 250 00 I 166, 835 99 Total. 166, 835 99 200 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. First National Bank, Providence. SAMUEL F O S T E R , No. 134. President. H. A. H U N T , Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Cashier, Liabilities. $997, 343 99 565, 150, 250, 42, 48, 24, 000 000 000 634 640 006 Capital stocK paid in. 00 00 00 25 97 88 $600, 000 00 Surplus fund Other undivided profits . 120, 000 00 142, 060 10 National bank notes outstanding . . State bank notes outstanding 499,215 00 Dividends unpaid. 14, 161 37 43, 609 38 31,364 00 18, 028 84 727, 739 58 46, 927 86 49,079 97 26, 772 00 9, 777 89 Due to other national banks Due to State banks and b a n k e r s . . 40,451 06 15, 000 00 56, 462 00 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Individual deposits United States deposits , Deposits of U. S. disbursing officers Notes and bills re-discounted . Bills payable 25,400 65" Total. Total 2, 271, 837 57 2, 271, 837 57 Second National Bank, Providence. J. M. KlMBALL, President. No. 565. Loans and discounts j Overdrafts j. U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve a g e n t s . . . Due from other banks and bankers . . Real estate, furniture, and fixtures...! Current expenses and taxes paid j Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie I Legal tender notes U. S. certificates of deposit ! Due from U. S. Treasurer j $733, 558 96 ""400,666 65" Cashier. $500, 000 00 Surplus fund Other undivided profits National bank notes outstanding . State bank notes outstanding 20, 610 45 734 39 25, 003 75 5,150 69 244, 000 00 12,174 69347, 400 00 Dividends unpaid. 9, 001 00 Individual deposits , United States deposits Deposits of U. S. disbursing officers. 469 72 5, 148 00 Due to other national banks 419 14 Due to State banks and bankers 3 85 00 775 00 Notes and bills re-discounted Bills payable 3 8,000 00 Total. 1,210,055 10 Total . W M . W. P A I N E , Capital stock paid in. 77, 033 70 19,079 97 1, 365 74 1,210,055 10 Third National Bank, Providence. No. 636. O. A. W A S H B U R N , Jr., President. Loans and discounts | Overdrafts | U. S. bonds to secure circulation | U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. .Due from approved reserve a g e n t s . . . Due from other banks and b a n k e r s . . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. C. H. CHILDS, Jr., Cashier. $724,210 26 Capital stock paid in . $500, 000 00 " 395,"6o6"65 Surplus fund Other undivided profits 65, 500 00 24,301 82 National bank notes outstanding . . . State bank notes outstanding 2,271 24 |i i "3," 962*27* [ 9, 479 82 1, 010 92 393 20, 073 00 50 28 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 355. 500 00 '909 00 948 00 147, 016 33 50, 004 33 30, 087 89- Notes and bills re-discounted., Bills payable , 17, 775 00 ],174,267 37 Total. 1,174, 267 37 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE 201 ISLAND. Fourth National Bank, Providence. R. B. CHAPMAN, President. No. 772. HENRY R. CHACE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house... Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 100, 000 00 63, 316 26 National bank notes outstanding 312. 000 00 116, 658 99 State bank notes outstanding 11,926 84 Dividends unpaid. 1, 492 00 5, 386 01 I Individual deposits 657, 705 61 i United States deposits 38, 334 56 Deposits of U. S. disbursing officers . 7,503 00 Due to other national banks 1,255 16 Due to State banks and bankers 4, 257 00 20, 500 00 Notes and bills re-discounted is'soo'oo" 9,120 54 Bills payable 1, 643, 634 41 Total. $500, 000 00 51, 066, 252 41 I Capital stock paid in . 2. 760 41 Surplus fund 353, 000 00 O iher undivided profits Total 1,643,634 41 Fifth National Bank, Providence. No. 1002. P. M. MATHEWSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents. - . Due from other banks and bankers . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer $327, 828 27 119 72 291, 000 00 97, 628 08 43, 730 51 1,415 03 15, 069 81 23,118 1, 745 300 10, 543 00 96 00 00 Capital stock paid in . $300, 000 00 Surplus fund Other undivided profits 60, 000 00 55, 668 88238, 300 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . 2, 524 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 172,505 13 Due to other national banks Due to State banks and bankers . Notes and bills re-discoHnted. Bills payable 16, 500 00 Total. 828, 998 38 Total. A. G. STILL WELL, Cashier. 828, 998 -58 American National Bank, Providence. S T E P H E N HARRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks .. Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 1472. $1, 742, 358 20 OLNEY, Cashier. WILLIAM Capital stock paid in , 667," 000 00* Surplus fund Other undivided profits 4, 750 87, 773 43, 072 15, 000 11,140 00 02 55 00 52 5, 912 48 1,415 342 1,197 12, 628 00 95 20 00 National bank notes outstanding . . . State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . $1, 437, 650 00 207, 000 00 88,128 95 523, 602 00 554 00 2, 198 00 368, 596 13 660 84 Notes and bills re-discounted. Bills payable 35*800"00": j 2,628,389 92 ;| Total 2, 628, 389 92 202 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAM), Blackstone Canal National Bank, Providence. WILLIAN AMES, President. No. 1328. OREN WESTCOTT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency-.... Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $652,986 84 |; Capital stock paid in. 85, 000 00 14, 247 97 National bank notes outstanding 39, 769 39 I State bank notes outstanding 10,709 71 27,750 00 Dividends unpaid . 3,127 36 Individual deposits United States deposits , 45, 053 90 Deposits of U. S. disbursing officers 166, 500 00 7. 634 460 2,140 21, 800 00 00 00 00 "io"s25 66" Total. $500, 000 00 Surplus fund Other undivided profits Due to other national banks Due to State banks and bankers 800 00 2, 097 25 215,132 26 13, 945 09 533 63 Notes and bills re-discounted Bills payable 998, 256 20 998. 256 20 City National Bank, Providence. A. C. BARSTOW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation X " S. bonds to secure deposits L U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency t Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1429. E. A. SMITH, Cashier. $823, 030 95 Capital stock paid in. ""278,"50o"oo" 23,223 37 8, 216 07 4,512 52 22, 140 62 5, 174 431 415 19, 000 00 86 00 00 $500, 000 00 Surplus fund Other undivided profits 112, 500 00 14, 595 90 National bank notes outstanding State bank notes outstanding 250, 650 00 Dividends unpaid. 1, 350 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 276, 193 47 6,711 46 35,176 06 Notes and bills re-discounted. Bills; payable 12, 532 50 ! 1,197,176 89 ! Total. 1,197,176 89 Commercial National Bank, Providence. DANIEL DAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits V. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes Due from U. S. Treasurer Suspense account „ Total No. 1319. $1,152,814 92 481," 666*66" 33, 782 07 11,810 60 7, 055 09 4, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding — State bank notes outstanding Dividends unpaid. ., 000, 000 00 98,000 00 34, 185 52 410, 550 00 232 00 4, 099 50 Individual deposits United States deposits Deposits of U. S. disbursing officers 222, 941 08 00 j Due to other national banks 84 I Due to State banks and bankers — 86 09 j Notes and bills re-discounted . 50 Bills payable 14 14, 417 69 2,421 30 29, 875 07 4, 418 525 5, 896 6, 324 31,637 17,707 H. G. ARNOLD, Cashier. 1, 786, 847 09 Total ' 1,786,847 09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 203 RHODE Globe National Bank, Providence. JESSE METCALF, President. No. 1126. T. SALISBURY, Cashier. Liabilities. Resources. Loan3 and discounts Overdrafts U. S. bonds to secure circulation..... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $757, 899 93 Capital stock paid in. $600, 000 00 120, 000 00 63, 528 85 314, 000 00 Surplus fund Other undivided profits I National bank notes outstanding j State bank notes outstanding 3,874 09 191 95 Dividends unpaid., 4, 824 83 Individual deposits United States deposits , 25, 744 50 Deposits of U. S. disbursing officers 323 82 700 800 00 66 00 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable< 270, 600 00 567 00 62, 460 75 5,384 36 14, 100 00 Total 1,122, 540 ! 1,122, 540 Lime Rock National Bank, Providence. THOS. J. HILL, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stock, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit... . Due from U. S. Treasurer Total. No. 1369. J. W. ANGELL, Cashier. $314, 339 34 Capital stock paid in. "117,666 66 22,112 30 $250, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 2, 830 15 Individual deposits United States deposits 8,119 22 Deposits of U. S. disbursing officers. 22, 000 00 16,471 68 103, 500 00 1,254 00 83, 280 45 2, 085 255 300 4, 200 00 Due to other national banks 12 00 Due to State banks and bankers. 00 Notes and bills re-discounted. Bills payable 5, 265 00 Total . 476,506 13 476,506 13 Manufacturers' National Bank, Providence. THOMAS HARKNESS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3- -10 No. L283. $685, 496 55 "hbh~ 666*66 G. A. PHILLIPS, Cashier. Capital stock paid in. $500, 000 00 Surplus fund Other undivided profits 189,180 05 420 17 2, 500 00 National bank notes outstanding... 98,185 75 State bank notes outstanding 14, 203 63 Dividends unpaid. 444, 843 00 4,219 00 Individual deposits United State s deposits 10, 264 58 Deposits of U. S. disbursing officers. 187,206 61 3,214 00 2,876 19 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 16, 356 00 2, 016 22 22, 500 35 1, 344, 241 05 Total. 1, 344, 241 05 204 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHOBE ISLAND. Mechanics' National Bank, Providence. LEWIS DEXTER, President. No. 1007. S. H. TiNGLEY, Cashier, Resources. Loans and discounts j Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer Liabilities. $702, 067 39 Capital stock paid in 19, 846 10, 742 22, 000 1,847 88 48 00 80 18, 701 04 Other undivided profits National bank notes outstanding State bank notes outstanding. 100, 000 00 85, 492 78 415, 500 00 1,851 50 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 690 00 Due to other national banks 466 49 Due to State banks and bankers. 300 00 3,700 00 Notes and bills re-discounted . Bills payable 22, 500 00 Total 1, 303, 865 08 Total . $500,000 00 "566," 66o* 66" Surplus fund 134, 733 40 66, 287 40* I 1,303,865 08 Merchants' National Bank, Providence. R. C. TAFT, President, No. 1131. Loans and discounts Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $1, 340,106 65 4 94 350, 000 00 J. W. VERNON, Cashier. $1, 000, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 85. 068 49 129, 233 54 75, 000 00 Dividends unpaid. Individual deposits United States deposits 31, 551 57 Deposits of U. S. disbursing officers. 21, 573 00 700 54 2, 380 00 55, 000 00 "27"766"66" Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable :,118,318 73 Total 200, 000 00 4,403 66 298, 700 00 24, 779 00 290,131 29 268,754 23 31, 550 55 I 2,118,318 73 National Bank of Commerce, Providence. AMOS D. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1366. JOHN FOSTER, Cashier. $2,128, 609 96 Capital stock paid in. 8O8,"666'66 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 61.589 18 13, 320 79 58, 187 49 Dividends unpaid. 67 59 18, 000 00 Individual deposits United States deposits 10, 681 42 Deposits of U. S. disbursing officers. 3, 098 00 855 83 2, 235 00 13, 000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable - ., 709, 200 00 183, 000 00 132, 597 07 727, 200 00 61, 209 25 367,521 19 8,192 03 15, 085 67 36, 360 00 3, 204, 005 26 Total. 3, £04, 005 2G REPORT OF THE COMPTROLLER OF THE CURRENCY. 2 0 5 RHODE ISLAND. National Bank of North America, Providence. SETH PADELFORD, President. No. 1036. C. E. JACKSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other Cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes .„ U. S. certificates of deposit Due from U. S. Treasurer Total $1,259,704 04 """776," 666" 66" I 51, 240 33,244 66. 000 3, 756 7G 39 00 12 41,153 66 21, 400 449 1,360 17, 800 00 55 00 00 Capital stock paid in. $1,000,000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. 200, 000 00 56, 421 75 666,700 00 6, 838 00 Individual deposits . United States deposits. Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 317, 262 12 28, 874 31 30, 932 34 Notes and bills re-discounted. Bills payable 34, 920 00 .1 2, 307, 028 52 Total . 2,307,028 52 National Eagle Bank, Providence. No. 1030. JOSEPH SWEET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie.... Legal tender notes U. S. certificates of deposit ...... Due from U. S. Treasurer $714, 277 55 25 00 450, 000 00 6, 932 13 29, 881 35 7, 732 46 3,*065"78" Capital stock paid in $500, 000 00 Surplus fund Other undivided profits National bank notes outstanding 116,970 40 19, 457 69 394, 969 00 State bank notes outstanding 2,026 25 Dividends unpaid Individual deposits ^ United States deposits Deposits of U. S. disbursing officers.. 2~265"o6" Due to other national banks 50 O L 1,195 98 Due to State banks and bankers 4,157 00 Notes and bills re-discounted 35,"956"66" Bills payable 195, 489 72 18, 680 10 1, 274, 212 36 Total. JNO. A. ANGELL, Cashier. Total 45, 299 30 1, 274, 212 36 National Exchange Bank, Providence. II. L. KENDALL, President.* Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agent3.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1339. CHAS. H. SHELDON, Cashier. $503, 028 96 Capital stock paid in . ~"i83,"666"66 53, 875 00 102, 4, 50, 2, 313 806 000 800 68 39 00 00 3, 570 58 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 16, 471 00 Due to other national banks 1,232 70 Due to State banks and bankers. 1, 310 00 11, 000 00 Notes and bills re-discounted. Bills payable 9, 225 00 942, 633 31 Total. $500, 000 00 100, 000 00 17,389 54 164, 500 00 857 00 1,196 00 156, 875 41 1, 815 36 942, 633 31 206 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND, Old National Bank, Providence. G-. W. HALLETT, President. No. 1151. F. A. CRANSTON, Cashier. Resources. Liabilities. {Loans and discounts $548, 796 40 Capital stock paid in . Overdrafts 4 4L U. S. bonds to secure circulation 489, 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits XL S. bonds on hand Other stocks, bonds, and mortgages. J National bank notes outstanding j Due from approved reserve agents... 131, 507 53 State bank notes outstanding Due from other banks and bankers .. 2, 313 88 Dividends unpaid Heal estate, furniture, and fixtures... 105, 000 00 Current expenses and taxes paid 6,477 91 Individual deposits Premiums paid United States deposits Checks and other cash items 13,163 09 Deposits of U. S. disbursing officers. Exchanges for clearing house < Bills of other banks 7, 740 00 Due to other national banks Fractional currency 618 78 Due to State banks and bankers Specie Legal tender notps i 11, 400 00 Notes and bills re-discounted. Bills payable U. S. certificates of deposit ; Due from U. S. Treasurer ; 22, 000 00 Total j 1,338,022 00 Total $500, 000 00 80, 851 47 24,341 32 381,1C0 00 1,096 00 275, 346 75 2,338 09 72, 948 37 1,33b, 022 00 Phenix National Bank, Providence. EDWARD PEARCE, President. Loans and discounts Overdrafts \J. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Heal estate, furniture, and fixtures . Current expenses and taxes paid . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes * . U. S. certificates of deposit Due from U. S. Treasurer Total. GEO. No. 948. E. MARTIN, Cashier. $808, 886 72 Capital stock paid in . 49 8L ! i 450,000 00 : Surplus fund Other undivided profits . 85,165 16 6,263 66 27, 500 00 8,144 98 $450, 000 00 73, 783 90 173, 780 28 National bank notes outstanding State bank notes outstanding Dividends unpaid., 392, 865 00 1, 247 50 Individual deposits United States deposits 8,245 69 Deposits of U. S. disbursing officers. 15,152 00 Due toother national banks 1,174 56 Due to State banks and bankers 8, 630 00 19,802 00 Notes and bills re-discounted Bills payable * 326,195 97 38, 236 77 7,155 16 "24,256 " 6 6 j j 1, 463, 264 58 Total . 1, 463, 264 58 Providence National Bank, Providence. WILLIAM GODDARD, President. BENJ. W. HAM, Cashier. No. 1302. $1, 003, 737 11 i Capital stock paid in . f Loans and discounts $500, 000 00 Overdrafts 50 00 !' U. S. bonds to secure circulation 240, 000 00 Surplus fund 240, 429 33 U. S. bonds to secure deposits 876 59 Other undivided profits U. S. bonds on hand j. 186, 000 00 Other stocks, bonds, and mortgages..| 100 00 National bank notes outstanding 2, 100 00 26, 630 68 State bank notes outstanding Due from approved reserve agents.. J 29,111 01 Dividends unpaid . Due from other banks and bankers.. Real estate, furniture, and fixtures... 14, 000 00 196 39 Individual deposits Current expenses and taxes paid 339, 295 75 Premiums paid ! United States deposits Deposits of U. S. disbursing officers. Checks and other cash items I 33,129 60 Exchanges for clearing house 87,811 89 Bills of other banks 19,044 00 Due to other national banks 147, 933 84 Fractional currency 1,585 61 Due to State banks and bankers Specie 6, 063 00 Legal tender notes J 120,000 00 Notes and bills re-discounted ! U. S. certificates of deposit I Bills payable Due from U. S. Treasurer j 10, 800 00 Total 1, 504, 447 40 Total I 1,504,417 40 REPORT OF THE COMPTROLLER OF THE CURRENCY. 207 KHODE ISLAND, Rhode Island National Bank, Providence. HENRY L I P P I T T , President. No. 983. S. H. T A B O R , Cashier, Liabilities. Resources. Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U S bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Current expenses and taxes paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U S certificates of deposit Due from U. S. Treasurer $651, 943 •77 137 83 535, 000 00 29, 701 59 110,967 37 8,390 95 6,919 82 Capital stock paid in 39, 039 10 17, 565 65 Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid 450, 300 0 2, 821 2G 37, 078 21 Individual deposits United States deposits Deposits of U. S. disbursing officers 12, 042 00 3,431 77 Due to other national banks Due to State banks and bankers 327, 354 40 3,096 26 18,100 00 j Notes and bills re-discounted Bills payable. 26, 463 30 1, 440,176 "eTj Total $600, 00 OO 1, 440,176 61 Total Roger "Williams National Bank, Providence. CYRUS HARRIS, President. No. 1506. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes X S. certificates of deposit L Due from U. S. Treasurer $669, 774 81 ""196"666"66" 24, 874 75 15, 139 01 50, 000 00 850 57 31,687 01 5,561 00 905 81 2, 900 00 11,100 00 8*550 66' $499, 950 00 Surplus fund Other undivided profits 100,000 00 45, 902 85 National bank notes outstanding State bank notes outstanding 161, 900 00 Dividends unpaid., 7,254 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 109,791 80 16, 384 82 159 49 Notes and bills re-discounted Bills payable 1, 011, 342 96 Total. W. H. WATERMAN, Cashier, Capital stock paid in. Total. 1,011,342 96 Traders' National Bank, Providence HENRY A. W E B B , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1396. E D W I N KNIGHT, Cashier. $205, 395 98 Capital stock paid in . " 156"566"66" Surplus fund Other undivided profits 16,719 84 100 00 1,894 12 765 00 4,535 89 662 1,003 1,310 2, 296 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. $200, 000 00 12, 080 00 11, 098 01 133,401 00 1, 263 25 39, 860 38 00 Due to other national banks 81 Due to State banks and bankers . 00 00 I Notes and bills re-discounted I Bills payable " " 7 " 626" 66' 397, 702 64 Total. 397,702 64 208 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. Weybosset National Bank, Providence. G. A. SEAGRAVE, President. O. A. JlLLSON, Cashier. No. 1173. Resources. Liabilities. $627, 440 28 Capital stock paid in . Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on band Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 334, 000 00 5,102 35 7,641 75 1,449 87 4, 344 29 Surplus fund Other undivided profits National bank notes outstanding State bunk notes outstanding Individual deposits United States deposits Deposits of U. S. disbursing officers. 00 | Due to other national banks 78 ! Due to State banks and bankers 00 ! 00 Notes and bills re-discounted Bills payable Is"065*60" 1, 003, 242 32 i 59, 441 85 43, 913 81 289, 400 00 7, 646 00 4, 604 00 Dividends unpaid. 5, 523 732 925 6, 073 Total. $500,000 00 Total. 103,117 94 118 72 1, 008, 242 32 First National Bank of Smithfield, Slatersville. WM. S. SLATER, President. No 1035. W M . H. SEAGRAVE, Cashier. I $103,465 88 || Capital stock paid in. Loans and discounts Overdrafts I.. U. S. bonds to secure circulation ' 100, 000 00 I Surplus fund U. S. bonds to secure deposits j . . Other undivided profits U. S. bonds on hand •.. Other stocks, bonds, and mortgages.-!-. i National bank notes outstanding 489 23 I State bank notes outstanding Due from approved reserve agents...'' Due from other banks and bankers .. 52 44 Dividends unpaid Real estate, furniture, and fixtures. -.!.. 995 9 i Current expen ses and taxes paid '• 1 Individual deposits 1 Premiums paid .]! United States deposits „. Checks and other cash items |.. ! Deposits of U. S. disbursing officers.. Exchanges for clearing house Bills of other banks j 241 00 ij Due to other national banks Fractional currency j 7 61 Due to State banks and bankers Specie , ! 617 00 Legal tender notes .. 2, 048 00 ! Notes and bills re-discounted U. S. certificates of deposit j Bills payable Due from U. S. Treasurer I 7,300 00 1 1 Total | 220,217 07 jj Total. $100, 000 00 28, 305 79 5, 686 53 81,310 00 900 00 1, 020 74 2,994 01 220, 217 07 National Exchange Bank, Wakefield. J. P. SHERMAN, President. No. 1554. Loans and discounts | Overdrafts | U. S. bonds to secure circulation ; U. S. bonds to secure deposits \ U. S. bonds on hand Other stocks, bonds, and mortgages, J Due from approved reserve agents.. J Due from other banks and bankers ..'< Real estate, furniture, and fixtures...; Current expenses and taxes paid Premiums paid ; Checks and other cash items ; Exchanges for clearing house Bills of other banks | Fractional currency ' Specie Legal tender notes j U. S. certificates of deposit ; Due from U. S. Treasurer | Total | ATTMORE ROBINSON, Cashier. $60,709 87 Capital stock paid in. 179 87 38, 500 00 Surplus fund Other undivided profits . 7,000 00 National bank notes outstanding 13, 205 34 State bank notes outstanding 1, 750 84 3, 500 00 Dividends unpaid. 3 97 ! Individual deposits i United States deposits | Deposits of U. S. disbursing officers.. $70, 000 00 5, 250 00 248 98 34, 650 00 1, 405 00 17, 314 36 2, 203 00 | Due to other national banks Due to State banks and bankers 82 95 Notes and bills re-discounted., Billri payable , 1, 732 50 128,868 34 Total. 128, 868 34 REPORT OF THE COMPTROLLER OF THE CURRENCY. EHODE 209 ISLAND. Wakefieia National Bank, Wakefield. B. F. ROBINSON, President. No. 1206. Resources. D. M. C. STEDMAN, Cashier. j Liabilities. $100, 000 00 $117, 082 91 Overdrafts U. S. bonds to secure circulation XI. S. bonds to secure deposits 22, 000 00 3, 989 58 80, 000 00 Other undivided profits Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.Real estate, furniture, and fixtures . . Current expenses and taxes paid Checks and other cash items Exchanges for clearing house Bills of other banks National bank notes outstanding 19, 4 i 9 32 State bank notes outstanding 432 8L 1, 500 00 Dividends unpaid 71, 000 00 2, 826 33 28,762 77 672 27 United Sfates deposits Deposits of U. S. disbursing officers.. 272 00 Due to other national banks 50 00 Due to State banks and bankers 749 37 4,000 00 Notes and bills re-discounted Bills payable 4, 400 00 Legal tender notes U. S. certificates of deposit Due from IT. S. Treasurer Total 228,578 68 228, 578 68 Total First National Bank, Warren. No. 673. GEO. LEWIS COOKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid I Checks and other cash items j Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer ..„ Total.. W. P. FREEBORN, Cashier. $171,558 89 Capital stock paid in . $150, 000 00 " 103," 6bo" 00" Surplus fund Other undivided profits National bank notes outstanding 3,003 45 State bank notes outstanding 13, 193 73 5, 072 72 Dividends unpaid . 983 25 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 4,130 00 223 23 1,000 00 15,544 63 12,671 62 90, 972 00 355 00 37, 257 02 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , 4,635 00 Total. 306, 800 27 306, 800 27 National Hope Bank, "Warren. G-. T. GARDNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. GEO. WILLIAMS, Cashier. No. 1008. $163, 085 05 " " 3*0," 000 "55' 4, 205 70 5,462 11 3,228 92 53 70 774 00 313 94 200 00 """5"850*55" 313,173 42 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $130, 000 00 26, 000 00 22, 892 30 114,395 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable Total. 17, 949 07 1,937 05 313,173 42 210 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. National Warren Bank, 'Warren. E. A. SwiFT, President. No. 14 L9. H. W. E D D Y , Cashier. Liabilities. Resources. f Loans and discounts Overdrafts ! U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand .. Other stocks, bonds, and mortgages.. $214, 263 97 Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid 6, 525 3,998 4, 500 1,575 Checkg and other cash items Exchanges for clearing h o u s e . . . . . . . Bills of other banks . . Fractional currency Specie » Legal tender notes X S certificates of deposit . . . . J Due from U. S. Treasurer 135 000 Capital stock paid in $200, 000 00 no 24 433 74 23, 235 16 ; Other undivided profits 67 27 00 74 110, 312 00 National bank notes outstanding State bank notes outstanding Dividends unpaid 706 00 Individual deposits ! United States deposits 1,225 74 Deposits of U. S. disbursing officers 188 00 59 14 15, 924 63 Due to other national banks Due to State banks and bankers 1,200 00 ' Notes and bills re-discounted Bills payable 6,075 00 Total Total 374,611 53 374, 611 53 National Niantic Bank, Westerly. No. 823. H. N. CAMPBELL, President. $217, 817 19 44 64 250, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer """so'ooo"66" 2, 000 00 54, 856 31 20 00 10, 801 45 1,135 50 8, 025 00 1, 093 70 1, 650 247 643 660 00 53 00 00 ""i8,"250'66" Capital stock paid in $250, 000 00 Surplus fund Other undivided profits 85, 486 22 7, 062 21 National bank notes outstanding 221,020 00 State bank notes outstanding 1,271 84 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 51, 689 48 714 57 . Total. 617, 244 32 Total. D. F . STILLMAN, Cashier. 617,244 32 National Phenix Bank, Westerly. No. 1169. EDWIN BABCOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $141, 495 90 14 57 150, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid 205 162 500 865 1, 787 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 3, 794 00 61 52 1,440 00 5, 060 00 J. B. FOSTER, Cashier. Total . 000 00 367 68 Capital stock paid in. Surplus fund Other undivided profits - , . National bank notes outstanding 09 | State bank notes outstanding 39 00 Dividends unpaid . 21 50 Individual deposits ! United States deposits .. 3, 948 45 I Deposits of U. S. disbursing officers. $150, 000 00 34, 000 00 3, 897 62 133, 500 00 820 00 27, 234 69 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 6, 750 00 -| 349,452 31 | Total. 349, 452 31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 2 1 1 RHODE ISLAND, "Washington National Bank, Westerly. No. 952. NATHAN F . DIXON, President. CHARLES PERRY, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $174, 468 26 Capital stock paid in. 74 150,000 00 Surplus fund Other undivided profits 2o,"o6o"oo" National bank notes outstanding 2, 500 00 State bank notes outstanding 15, 532 25 2, 680 73 10, 000 00 992 60 3, 075 00 1, 389 85 8, 781 218 263 14, 283 00 47 00 00 Dividends unpaid . $150, 000 00 75, 000 00 4,540 04 126, 400 00 2, 524 50 Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 48, 677 45 5, 692 91 8, 650 00 Total. 412, 834 90 4L2,834 90 Wickford National Bank, Wickford. No. 1592. J. J. REYNOLDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits r U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit -Due from U. S. Treasurer Total. $126, 298 01 """92,~5O6"66" 17, 748 72 1, 373 12 10, 000 00 32 41 456 00 137 48 3,100 00 "4"100"00 N. N. SPINK, Cashier. Capital stock paid in., $125, 000 00 Surplus fund O ther undivided profits 16,100 00 2, 595 72 National bank notes outstanding State bank notes outstanding 81, 865 00 Dividends unpaid . 4,169 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , Total. 255, 745 74 25, 840 52 175 00 255,745 74 First National Bank, Woonsocket. JOS. E. COLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1402. R. Gr. RANDALL, Cashier. $143, 597 13 ! Capital stock paid in . $107, 000 00 Surplus fund Other undivided profits 36,857 01 1,126 34 National bank notes outstanding State bank notes outstanding 93, 900 00 Dividends unpaid . . Individual deposits. United States deposits. 2, 585 59 ! Deposits of U. S. disbursing officers 5, 259 298 490 2,670 00 19 85 00 1 Due to other national banks 1 I Due to State banks and bankers . ! ; Notes and bills re-discounted l ; Bills payable 4,815 00 ;j 278,116 87 Total. 3, 577 50 33, 685 65 1,970 37 278,116 87 212 REPORT OF THE COMPTROLLER OP THE CURRENCY. RHODE ISLAND. Citizens' National Bank, Woonsocket. O. J . RATHE UN, President No. 970. W. II. ALDRICH, Cashier. Liabilities. Resources. •Loans and discounts , Overdrafts | IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $113,363 41 205 53 72, 510 00 13,310 30 4,9,5 28 CS7 57 33 18 915 00 211 52 778 00 15,100 00 2, 777 90 National bank notes outstanding State bank notes outstanding 64, 250 00 1, 406 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 26, 658 39 Due to other national banks Due to State banks and bankers . j 3, 262 50 210,192 29 Total. $100, 000 00 . Surplus fund Other undivided profits. Notes and bills re-discounted Bills payable » _ ] ; Capital stock paid in Total. 210,192 29 National Globe Bank, Woonsocket. SPENCER MO WRY, President. No. 1423. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . $110, 598 73 1,943 87 61,000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 5, 538 88 Capital stock paid in $100, 000 00 23, 000 00 951 32 National bank notes outstanding State bank notes outstanding 54,100 00 20, 000 00 I Dividends unpaid., 299 38 Individual deposits « United States deposits 3, 689 00 Deposits of U. S. disbursing officers. 2 834 00 177 76 80 25 1,400 00 """2," 745 "55" Cashier. Surplus fund Other undivided profits 1,543 70 30, 716 85 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 210, 311 87 Total. R. P . SMITH, Total. 210,311 87 National Union Bank, Woonsocket. W I L L I S COOK, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1409. ELISHA T. R E A D , Cashier. $186,298 08 $150,000 00 Capital stock paid in . "Iso.'ooo'oo' Surplus fund Other undivided profits 2, 500 00 40, 000 00 10,948 92 National bank notes outstanding State bank notes outstanding 134, 600 00 1, 415 00 Dividends unpaid. 1,396 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 453 00 11 54 166 47 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 2, 758 49 5,060 18 - 6, 750 00 346, 179 09 Total 346,179 09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 2 1 3 RHODE ISLAND. Producers' National Bank, Woonsocket. CHARLES NOUKSE, President. THEO. M. COOK, Cashier. No. 1421. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house, Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $260, 084 32 90, 000 00 6,184 15 Other undivided profits j National bank notes outstanding 11,873 19 State bank notes outstanding 18, 065 52 Dividends unpaid . 2,400 00 6, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 2,148 00 377 91 394 10 1,200 00 """9,"6oo"6o' Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. j Bills payable 511, 548 04 Total. $200,000 00 Capital stock paid in ""200"660 65" Surplus fund Total . 179,150 00 8,209 00 27, 872 14 132 75 511,548 04 "Woonsocket National Bank, Woonsocket. LYMAN A. COOK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total- No. 1058. L. W. BALLOU, Cashier. $364,150 93 1 Capital stock paid in . "200,000 6l> 14,790 00 2, 191 36 Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding Dividends unpaid . Individual deposits United States deposits 393 00 Deposits of U. S. disbursing officers. 17,952 2, 626 1,120 7, 500 00 i Due to other national banks 15 I Due to State banks and bankers . . . 00 ! 00 Notes and bills re-discounted ""9,006 65" Bills payable 619, 723 44 Total.... $200, 000 00 120, 000 00 2, 657 62 164, 400 00 9, 947 00 79, 840 72 8,851 66 34, 026 44 619, 723 44 214 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNE C T I C U T . Ansbnia National Bank, Ansonia. No. 1093. THOS. WALLACE, President. CHAS. H. PINE, Cashier Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $206, 319 33 ""ioo'ooo 66" Capital stock paid in . 6, 000 00 6, 524 82 National bank notes outstanding 32,796 12 State bank notes outstanding 31,898 99 Dividends unpaid . 8,000 00 884 19 Individual deposits United States deposits 1,624 03 Deposits of U. S. disbursing officers - 89, 000 00 3, 085 00 Due to other national banks 187 50 Due to State banks and bankers . 132 25 2, 500 00 Notes and bills re-discounted Bills payable 391, 927 41 Total. $200, 000 00 Surplus fund , Other undivided profits., Total. 368 00 89, 336 52 698 07 391,927 41 Birmingham National Bank, Birmingham. E. N. SHELTON, President. No. 1098. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures . Current expenses and taxes paid. -. Premiums paid Checks and other cash items Exchanges for clearinghouse Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from TJ. S. Treasurer Total. $451,435 15 2, 462 38 300, 000 00 i,"566"66' 10, 000 00 44, 351 32 8, 219 36 2,169 00 1,100 16 5, 353 00 935 00 4, 795 l'J 13, 405 00 JOSEPH ARNOLD, Cashier. Capital stock paid in . $300, 000 00 Surplus fund Other undivided profits 162, 000 00 5, 283 08 National bank notes outstanding State bank notes outstanding 265, 770 00 2, 338 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 121, 564 39 1, 392 76 877 24 Notes and bills re-discounted., Bills payable , 13, 500 00 Total. 859, 225 47 859, 225 47 First National Bank, Bridgeport. E. S. HAWLEY, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents-.. Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills cf other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total WM. E. SEELEY, Cashier. No. 335. $344,231 85 Capital stock paid in . 923 05 212, 000 00 Surplus fund 50, 000 00 Other undivided profits., 98,127 90 46, 265 75 6, 497 03 15, 629 61 National bank notes outstanding . 1 . , State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers 6,239 00 I Due to other national banks 566 35 ! Due to State banks and bankers 11, 000 00 I Notes and bills re-discounted. I BiUs payable ""9*450"66" 800,930 54 I Total. $210, 000 00 105, 000 00 24, 771 99 187, 000 00 1, 421 00 151, 265 58 24, 536 2i 272 24 82,333 18 14, 330 31 800, 930 51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 215 C ONNE CT1CUT, Bridgeport National Bank, Bridgeport. F. N. BEN HAM, Cashier. MONSON HAWLEY, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate,furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $306. 798 00 1,522 17 216, 000 00 """io"ooo"55' 19, 649 23 29,669 87 21, 758 75 8, 000 00 3, 059 64 1, 762 50 Surplus fund Other undivided profits 80, 000 00 16,374 09 National bank notes outstanding 194, 250 00 State bank notes outstanding 1,155 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. 9, 670 00 Due to other national banks 302 00 240 00 Due to State banks and bankers 5, 000 00 Notes and bills re-discounted Bills payable 9," 716 00' 114, 093 26 14, 847 29 657, 989 45 Total. $215, 850 00 Capital stock paid in Total. 34,170 34 2, 096 76 657, 989 45 City National Bank, Bridgeport. G-. B. WALLER, President. U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other ©ash items Exchanges for clearing house Bills of other banks No. 921. J. F. FAYERWEATHER, Cashier. $450, 410 20 5, 559 00 250,000 00 Surplus fund O ther undivided profits $250,000 00 96, 480 24 14, 569 53 io, 60606" 13, 290 00 National bank notes outstanding 26, 610 94 State bank notes outstanding 35,186 70 41, 877 05 Dividends unpaid 4, 488 29 Individual deposits 8, 877 43 Due to other national banks Due to State banks and bankers Notes and bills re-discounte d Bills payable 11, 250 00 Total 887,279 61 Total 1,596 00 297, 280 08 Deposits of U. S. disbursing officers 16,974 00 2,756 00 10, 000 00 Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 212, 600 00 11, 514 14 3,239 62 887, 279 61 Connecticut National Bank, Bridgeport. D. H. STERLING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. HENRY B. DREW, Gas, No. 927. $506,591 79 Capital stock paid in . 7, 550 91 256, 000 00 Surplus fund Other undivided profits 8, 050 00 25, 401 73 73, 632 70 9,300 00 2,491 15 10, 466 60 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 22,368 00 Due to other national banks 210 27 Due to State banks and bankers 200 00 16, 000 00 Notes and bills re-discounted. Bills payable $332,100 00 105, 000 00 14,934 54 222, 600 00 384 00 958 86 225, 326 36 48, 229 39 11,270 00 949,533 15 Total. 949,533 15 216 REPORT OF THE COMPTROLLER OF THE CURRENCY, CONNECTICUT. Pequonnock National Bank, Bridgeport. C. B. HOTCHKISS, President. No. 928. I. B. PRINDLE, Cashier. Resources. Liabilities. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation j U. S. bonds to secure deposits j (J. S. bonds on hand Other stocks, bonds, and mortgages.-! Due from approved reserve agents...I Due from other banks and bankers .. Real estate, furniture, and fixtures. ..I Current expenses and taxes paid : Premiums paid Checks and other cash items ' Exchanges for clearing house , Bills of other banks | Fractional currency i Specie | Legal tender notes j U. S. certificates of deposit • Due from U. S. Treasurer | Total | $236, 529 60 Capital stock paid in . 1,227 02 200, 000 00 Surplus fund Other undivided profits 2,168 60 National bank notes outstanding 50, 207 20 State bank notes outstanding . . . . . . . 68, 704 94 Dividends unpaid . 15, 935 00 1, 749 56 3, 007 53 Individual deposits United States deposits 4, 323 93 Deposits of U. S. disbursing officers $200, 000 00 6,839 00 Due to other national banks 465 67 Due to State banks and bankers — 11,960 00 Notes and bills re-discounted. „ Bills payable 9, 000 00 63,555 68 6,093 29 612,118 05 28, 20O 00 9, 876 65 178,200 00 7 00 1,210 00 124, 970 43 Total. 612,118 05 Bristol National Bank, Bristol. J. H. SESSIONS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 1, 244 44 1, 476 68 1, 500 00 1,075 60 4, 500 00 323 6H i $100,000 00 ; 2, 000 00 5, 508 65 j ; 31, 500 00 Individual deposits .j United States deposits I Deposits of U. S. disbursing officers. 41, 357 90 National bank notes outstanding State bank notes outstanding Dividends unpaid. 44 00 4, 017 00 Due to other national banks 21 34 87 25 Due to State banks and bankers 4,165 00 Notes and bills re-discounted., Bills payable 1, 575 00 180, 877 29 Total. C. S. TREADWAY, Cashier. No. 2250. $125, 841 62 I Capital stock paid in 49 70 35, 000 00 | j Surplus fund i Other undivided profits 345 42 121 32 Total. 180, 877 29 Win&ham County National Bank, Brooklyn. JOHN GALLUP, 2d, President. Loans and discounts ... Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid. Premiums paid Checks and other cash items. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer *-.Total. No. 1360. $109, 663 88 1 56 1C0, 000 00 20, 000 00 JOHN P. WOOD, Cashier. Capital stock paid i n . . . . Surplus fund Other undivided profits . : : National bank notes outstanding '• 6, 206 63 State bank notes outstanding 1,223 55 Dividends unpaid . 5,208 86 Individual deposits United States deposits Deposits of U. S. disbursing officers. 292 00 Due to other national banks 51.1 38 Due to State banks and bankers. 97 00 3, 700 00 Notes and bills re-discounted Bills payable Total. $108,300 00 22, 000 00 6,509 65 88,100 00 190 00 29, 791 72 . 254, 891 37 REPORT OF THE COMPTROLLER OP THE CURRENCY. 217 CONNECTICUT. Clinton National Bank, Clinton. J. D. LEFFINGWELL, President. No. 1314. ALFRED HULL, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers ..j Real estate, furniture, and fixtures... | Current expenses and taxes paid I Premiums paid ! Checks and other cash items Exchanges for clearing house Bills of other ban! s , Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ) Total . Liabilities. $78, 292 18 Capital stock paid in . 776 02 64, 000 00 Surplus fund Other undivided profits National bank notes outstanding 7, 440 59 State bank notes outstanding 19,192 64 Dividends unpaid . 1, 835 00 776 64 Individual deposits .United States deposits Deposits of U. S. disbursing officers. 4,950 00 Due to other national banks 44 11 Due to State banks and bankers . 11 03 1,500 00 Notes and bills re-discounted. Bills payable 2,880 00 181, 698 21 Total. $75, 000 00 21, 000 00 4, 009 99 57, 000 00 922 00 754 00 22, 736 64 275 58 181,698 21 Danbury National Bank, Danbury. No. 943. L. P. HOYT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency « Specie Legal tender notes U. S. certificates of deposit Due from U. S, Treasurer Total. JABEZ AMSBURY, Cashier, $470, 310 51 Capital stock paid ia . 398 87 285, 000 00 Surplus fund Other undivided profits $327,000 00 73,000 00 57,299 72 6, 300 00 National bank notes outstanding 10, 538 44 State bank notes outstanding 2, 403 53 13, 315 75 Dividends unpaid . 2,469 17 Individual deposits United States deposits 1,138 32 Deposits of U. S. disbursing officers. 3, 068 00 920 82 3, 702 00 '""l2"825*66' 812,390 4L Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total ..„ 252, 505 00 503 00 100, 450 21 1, 632 48 812,390 41 National Pahquioque Bank, Danbury. WM. P. SEELEY, Cashier. BARNABAS 'ALLEN. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes Due from U. S. Treasurer Suspense account Total. $268,311 59 Capital stock paid in., 5, 052 54 250, 000 00 Surplus fund Other undivided profits 500 00 National bank notes outstanding 21, 481 88 State bank notes outstanding 668 70 21, 898 49 Dividends unpaid . 2, 312 56 Individual deposits United State s deposits 430 76 Deposits of U. S. disbursing officers. 5,860 00 Due to other national banks Due to State banks and bankers . 43 07 3, 711 00 Notes and bills re-discounted. 11,250 00 Bills payable 32, 496 54 624, 017 13 Total. $250, 000 00 40, 000 00 ,17,083 43 225, 000 00 210 00 88, 501 28 3, 222 42 624,017 13 218 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Deep River National Bank, Deep River. R. P . SPENCER, President. No. 1139. G I D E O N P A R K E R , Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $228,310 83 476 69 50, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 42, 675 2, 924 2,419 572 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from IT. S. Treasurer Capital stock paid in 3, 750 00 1,764 4, 976 80 309 3, 000 2, 250 | $150, 000 00 Surplus fund Other undivided profits ' 50, 000 00 26, 398 98 National bank notes outstanding 343,511 18 I Total. 44, 965 00 61 I State bank notes outstanding j 87 I 91 I Dividends unpaid 04 Individual deposits 83 United States deposits Deposits of U. S. disbursing officers. 00 j Due to other national banks | 87 Due to State banks and bankers.. 48 I 00 I Notes and bills re-discounted Bills payable 00 Total. 319 00 71,124 52 703 1 343,511 18 National Bank of New England, East Haddam. W. H. GOODSPEED, President. No. 1480. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits j U. S. bonds on hand J Other stocks, bonds, and mortgages.. Due from approved reserve agents.. - j Due from other banks and bankers . . ! Real estate, furniture, and fixtures . . j Current expenses and taxes paid j Premiums paid , Checks and other cash items j Exchanges for clearing house : Bills of other banks j Fractional currency i Specie ! Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $187, 073 08 Capital stock paid in. 2, 420 56 ; 130, 000 00 I Surplus fund Other undivided profits 11,400 00 j National bank notes outstanding 12, 925 00 9. 884 05 State bank notes outstanding 1, 988 65 Dividends unpaid . 4,600 00 1,119 04 245 00 Individual deposits United States deposits 1, 931 86 Deposits of U. S. disbursing officers. $130,000 00 50,000 00 4, 734 05 I 117, 000 00 1,588 00 80, 508 35 1,779 00 Due to other national banks 414 16 j Due to State banks and bankers . 10, 000 00 Notes and bills re-discounted. Bills payable , 8, 050 00 ! 383, 830 40 j Total. THOMAS GROSS, Jr., Cashier. 383, 830 40 Total. Saybrook National Bank, Essex. J. E. REDFIELD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1034. $209, 465 50 3, 681 23 48, 000 00 1, 828 34 2, 268 1,329 10, 130 348 81 54 70 84 5, 197 47 1,483 00 86 07 60 64 7,251 00 2, 160 00 293,291 14 C. S. H O U G H , Capital stock paid in. Cashiet. ;ioo, 000 00 Surplus fund Other undivided profits 45, 581 63 3, 189 85 National bank notes outstanding... State bank notes outstanding 43, 200 00 2, 790 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . 2, 093 88 95, 900 28 535 50 Notes and bills re-discounted Bills payable Total. 293,291 14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 219 CONNECTICUT. National Iron Bank, Falls Village. GEO. W. PEET, President. No. 1214. A. C. RANDALL, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks . Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $172, 202 44 38 94 150, 000 00 Capital stock paid in. 3,849 00 Due to other national banks 59 88 Due to State banks and bankers 2, 430 00 11, 220 00 Notes and bills re-discounted . Bills payable 6, 750 00 43, 569 20 7, 231 01 132, 460 00 180 00 61,610 14 1, 666 86 532 67 447,249 88 Total. 447, 249 88 Total . $200, 000 00 Surplus fund , Other undivided profits. National bank notes outstanding 88,171 22 State bank notes outstanding 1, 318 03 Dividends unpaid. 8,554 51 1,721 71 Individual deposits * United S tates deposits 934 15 Deposits of U. S. disbursing officers. First National Bank, Hartford. No. 121. E. D. TIFFANY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency . Specie ....' Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $650, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding.... State bank notes outstanding 46, 134 32 220, 000 00 84, 673 63 510,000 00 1, 961 00 524 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 4.683 00 Due to other national banks i; 80S 70 Due to State banks and bankers. 7, 263 03 35, 500 00 Notes and bills re-discounted Bills payable 646, 459 88 106, 652 52 ~26, 000 66" Total 2,220,271 03 Total. C. S. GILLETTE, Cashier. 2,220,271 03 -ZEtna National Bank, Hartford. W M . R. CONE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . H. Ex. 3- -11 No. 756. A. R. HlLLYEP, Cashier. $765, 378 50 Capital stock paid in . 1,817 08 500, 000 f 0 Surplus fund Other undivided profits National bank notes outstanding 62, 746 44 State banknotes outstanding 40,014 11 Dividends unpaid . 5, 933 41 Individual deposits United States deposits 11,028 36 Deposits of U. S. disbursing officers. 11,289 00 17 48 133 10 23, 255 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $525, 000 00 130, 000 00 77,404 16 355, 075 00 5, 484 00 570 00 342, 779 83 6, 799 49 21,500 00 1, 443, 112 48 Total 1, 443, 112 48 220 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. American National Bank, Hartford. ROWLAND SWIFT, President. JOHN G-. ROOT, Cashier. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer . $1,133,735 52 6, 577 33 534, 00U 00 49, 983 78 57, 522 78 5,204 15 3, 308 00 Capital stock paid in ! $600, 000 00 Surplus fund Other undivided profits National bank notes outstanding... State bank notes outstanding Dividends unpaid . 260, 000 00 50,881 46 480,000 00 3, 990 00 2, 340 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 532,673 17 39, 7iJ9 0!) Due to other national banks 5, 088 32 Due to State banks and bankers . . . 620 00 50, 000 00 16, 189 26 361 66 25, 596 67 Charter Oak National Bank, Hartford. C. T. HlLLYER, President. No. 486. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents. . Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $729,386 61 5, 007 72 400, 000 00 100, 000 00 40, 450 00 158,526 12, 883 20, 039 7, 139 73 73 58 61 39,757 50 5,051 2,816 4, 327 65,561 00 14 82 00 J. F . MORRIS, Cashier. Capital stock paid in $500, 000 00 Surplus fund Other undivided profits . 100, 000 00 135, 707 98 National banknotes outstanding State bank notes outstanding 277, 050 00 Dividends unpaid. 2, 055 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 526,959 02 27,751 08 50,501 82 Due to other national banks Due to State bank3 and bankers . . . 2, 675 07 104 97 Notes and bills re-discounted. Bills payable 31, 837 50 Total. 1, 622, 804 94 1,622,804 91 City National Bank, Hartford. G. F . D A V I S , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash item s Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes II. S. certificate* of deposit Due from U. S. Treasurer Total No. 1377. P. S. RlLEY, Cashier. $607, 635 70 Capital stock paid in., 6, 072 64 300, 000 00 Surplus fund Other undivided profits 10, 000 00 111,455 10 525 10 921 41 1,790 80 8,084 81 17,652 00 13, 738 00 1, 263 87 1,597 00 12, 500 00 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $550, 000 00 62, 500 00 6,859 64 264, 100 00 2, 378 00 207, 285 68 13,613 11 i3,'500 00" ], 106,736 43 Total 1,106, 736 43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 221 CONNECTICUT. Farmers* and Mechanics' National Bank, Hartford. H* G. TRACY, President. No. 1321. J. L . CHAPMAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $-2, 09J, 500 57 376, 000 00 Capital stock paid in. , National bank notes outstanding . . . State bank notes outstanding 77, 938 93 197, 551 36 Dividends unpaid . 15. 000 00 11,512 72 Individual deposits • ! United States deposits 32,812 27 1 Deposits of U. S. disbursing officers. 1 5, 663 1, 139 7, 500 45, 000 00 37 00 00 Due to other national banks Due to State banks and bankers . . . 300,000 00 78,559 19 335, 600 00 17, 626 00 3,489 10 865, 03 L 85 91, 023 33 85,211 80 Notes and bills re-discounted . Bills payable 16,920 00 2,881,541 27 Total. $1,105,000 00 Surplus fund Other undivided profits 2,881,541 27 Total. Hartford National Bank, Hartford. J A M E S B O L T E R , President. No. 1338. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $2,508,227 06 $1,132,803 00 Capital stock paid in Surplus fund Other undivided profits 661,364 93 48,240 81 25, 300 00 National bank notes outstanding 162 78 State bank notes outstanding 529 36 000 00 Dividends unpaid 696 83 Individual deposits United States deposits „„ 27,157 62 Deposits of U. S. disbursing o cers.. 313, 200 00 10,854 00 354,000 00 96, 135, 40, 12, 27, 275 00 13 79 2, 523 00 37, 000 00 50, 000 00 16, 380 00 Due to other national banks Due to State bauks and bankers 3,209 30 1, 060, 761 93 107, 958 39 3,876 08 Notes and bills re-discounted. Bills payable Total 3,342,265 44 Total.. W. S. BRIDGMAN, Cashier. 3,312,265 44 Mercantile National Bank, Hartford. C. H. NORTHAM, President. No. 1300. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other bauks Fractional currency S pecie Legal tender notes Due from U. S. Treasurer Suspense account Total. , , , $525, 275 66 2, 586 39 334,000 00 130,014 44 106, 541 74 3. 938 81 18, 000 00 15, 175 24 2, 43, 15. 9, 719 464 067 000 966 93 05 00 00 90 1,206,750 16 J A S . B. P O W E L L , Cashier. Capital stock paid in. $500, 000 00 Surplus fund Other undivided profits 100,000 00 35, 6,2 28 National bank notes outstanding State bank notes outstanding 300,000 00 Dividends unpaid. Individual deposits, United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 410 00 218, 842 42 8,335 12 43, 560 34 Notes and bills re-discounted. Bills payable Total. 1,206,750 16 222 REPORT *)F THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. National Exchange Bank, Hartford. F. B. COOLKY, Piesident. No. 361. J . R. REDFIELD, Cashier. Resources. Liabilities. Loans and discounts $770, 915 11 Overdrafts 792 39 U. S. bonds to secure circulation 530, 000 00 U. S. bond.i to secure deposits U. S. bond on hand Other stocks, bonds, and mortgages Due from approved reserve agents... 61, 013 44 Due from other banks and bankers... I 64, 521 2L Real estate, furniture, and fixtures... 30, 000 00 Current expenses and taxes paid ; b¥, 5U7 24 Premiums paid Checks and other cash items \ 8,968 01 Exchanges for clearing house , Bills of other banks j 8, 732 00 Fractional currency ! 469 56 Specie I 2,476 20 Legal tender notes ' 21, 517 00 U. S. certificates of deposit Due from U. S. Treasurer 28, 450 00 Total $500, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. 424, 683 00 5, 506 00 3, 306 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 1,534,362 16 150, 000 00 29, 663 60 Total. 354, 2"6 66 61,140 41 5, 806 49 1,534,362 16 Phoenix National Bank, Hartford. JOHN L. BUNCE, President. No. 670. $1, 130, 997 47 4,578 64 700, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 538, 637 66 2tJ8, 103 81 196, 5yO 69 13, 676 84 40, 204 53 10, 592 201 21,283 48, 000 31,500 bb I Total. 00 85 58 00 H. A. REDFIELD, Cashier. Capital stock paid in. $1, 000, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 525, 000 00 56,734 73 576, 900 00 8,728 00 7, 109 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 821,409 17 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted Bills payable , 8,436 21 49 99 3,004,367 10 Total. 3,004,367 10 First National Bank, Litchfield. No. 709. HENRY* R. COIT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $202, 974 04 545 41 200, 0U0 00 30, 582 50 29, 759 1,214 12, 250 1, 438 93 43 00 59 1,308 12 447 00 312 55 200 00 4,675 00 GEO. E. JONES, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers $200, 000 00 29,650 11 9,001 65 174, 250 00 252 00 79, 032 75 2,551 06 Notes and bills re-discounted <,'666"66" Bills payable ) 491,737 57 Total. 494, 737 57 REPORT OP THE COMPTROLLER OF THE CURRENCY 2 2 3 CONNECTICUT. Meriden National Bank, Meriden. J. I. BUTLER, No. 1382. President. O. B. A R N O L D , Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U- S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $405,371 63 Capital stock paid in. 3,694 54 176,100 00 Surplus fund Other undivided profits . 3, 800 00 12.147 22 2,571 10 3,000 00 1,362 62 2,382 01 $300, 000 00 88, 000 00 23,704 12 National banknotes outstanding State bank notes outstanding. 156, 790 00 4, 320 00 720 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 4, 190 00 602 08 200 00 Due to other national banks Due to State banks and bankers . 7, 000 00 50,160 46 751 12 Notes and bills re-discounted.. Bills payable '"'2"024'50" 624, 445 7J Total. 624, 445 70 First National Bank, Middletown. BEYJ. DOUGLAS, No. 397. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits X S bonds on hand T Other stocks, bonds, and mortgages.. $247, 374 88 1 077 43 200, 000 00 Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid 70, 956 24 11,780 86 Checks and other cash items 6,500 00 1,513 42 13, 000 00 3, 702 93 4,860 116 1,925 13 000 Bills of other banks Specie 00 18 10 00 J. N. CAMP, Cashier. Capital stock paid in $200,000 00 . 23, 000 00 6,661 49 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 173, 400 00 Individual deposits United States deposits 175, 854 55 314 00 Due to other national banks Due to State banks and bankers 2, 029 61 Notes and bills re-discounted U S certificates of deposit 5, 452 61 581,259 65 Total Total * . 58 L, 259 65 Central National Bank, Middletown. J. G. B A L D W I N , President. Loans and discounts Overdrafts , U. S. bonds to secure circulation U S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1340. $206, 698 31 '"150," 606" 65' 1, 200 00 3,142 73 10,014 65 22, 800 00 2,394 13 274 76 G E O . W . H A R R I S , Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. c, 440 00 Due to other national banks 364 55 Due to State banks and bankers 650 00 5, 000 00 Notes and bills re-discounted. $150, 000 00 60, 000 00 11,026 02 115,800 00 1, 476 00 441 00 74, 562 78 2, 255 61 167 72 Bills payable 6, 750 00 415,729 13 Total. 415,729 13 224 REPORT OF THE COMPTROLLER OF THE CURRENCY. € O KNE €TI C UT . Middlesex County National Bank, Middletown. € . R. SF.BOU, President. No. 815. J. E. B I D W E L L , Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. 724 99 Capital stock paid in. 000 00 $286, Surplus fund Other undivided profits $350, 000 00 25, 000 00 13, 032 64 | National bank notes outstanding j I 30, 71-2 9!) j 8 tate bank notes outstanding 420 6L 5*7 00 Dividends unpaid. 039 49 657 50 i. Individual deposits i; United States deposits 054 03 |; Deposits of LI. S. disbursing officers.-j. 439 140 569 729 00 39 90 00 Due to other national banks j| Due to State banks and bankers 60, 000 00 10,087 96 173,430 00 392 00 158 00 88, 820 71 1,955 06 1,086,01 j: Notes and bills re-discounted. 1 Bills payable 1 10, 700 00 Total 085, 929 74 685,929 74 Middletown National Bank, Middletown. M. B. Cor EL AND, Cashier. J. H. WATKIXSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation [ U. S. bonds to secure deposits U. S. bonds on hand j Other stocks, bonds, and mortgages..j $lt)5,387 41 52 04 295, 000 00 Due from approved reserve agents . . . | Due from other banks and bankers... j Real estate, furniture, and fixtures- ..< Current expenses and taxes paid ! Premiums paid i Checks and other cash items \ Exchanges for clearing house i Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 33, 256 02 33, 307 62 Total Capital stock paid in Surplus fund Other undivided profits. 50, 000 00 l'J, 00;) 00 4,306 25 10, 136 03 9, 865 00 320 00 1, 53L 23 13, 0J0 00 National b ink notes outstanding State bank notes outstanding . .. Dividends unpaid j $369,300 00 i 100,000 00 35,814 79 253, 770 00 4,766 00 984 00 Individual deposits United States deposits. Deposits of U. S. disbursing officers. Due to other national banks Duj to State banks and bankers 165,716 21 4, 078 24 57 39 Notes and bills re-discounted . Bills payable. 13. 275 00 939, 486 ty.i 939, 486 63 Mystic National Bank, Mystic. J. S. SCHOONOVER, President. Loans and discounts I O verdrafts U. S. bonds to secure circulation I U. S. bonds to secure deposits J U. S. bonds on hand j Other stocks, bonds, aud mortgages..I Due from approved reserve agents . . . I Due from other banks and bankers . . j Real estate, furniture, and fixtures. . . | Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total No. 1268. J A B E Z W A T R O U S , J r . , Cashier. $33,574 4L Capital stock paid in 516 26 ! 52, 500 00 Surplus fund Other undivided profits 7, 500 00 National bank notes outstanding 60 ! State bank notes outstanding 00 00 i Dividends unpaid . 98 Individual deposits United States deposits 128 00 Deposits of U. S. disbursing officers.. 13, 577 33 2, 300 458 Due to other national banks Due to State banks and bankers . $52, 450 00 9,071 75 2,591 93 43, 970 00 227 50 5,631 97 379 i Notes and bills re-discounted Bills payable Total. 1L4.322 17 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 225 CONNECTICUT. First National Bank, Mystic Bridge. E. P . RANDALL, Cashier. CHAS. MALLORY, President. Liabilities. Resources. Loans and discounts Overdrafts II. S. bonds to secure circulation U. IS. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other batiks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid $140,411 50 939 53 150, 000 00 ( 950 00 1,000 00 18, 798 37 337 76 o 600 42 i 569 85 ! Capital stock paid in ! National bank notes outstanding State bank notes outstanding Dividends unpaid 121, 630 00 \ 2, 374 36 Due to other national banks Due to State banks and bankers 2,986• 00 , Individual deposits j United States deposits J. Deposits of U. S. disbursing officers..\. 1,971 76 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Notes and bills re-discounted Biiis payable 6, 750165" 330, 764 84 Total. $150, 000 00 30, G O 00 O 7, 776 33 Surplus fund Other undivided profits 40 00 21,318 51 \. j. J j I 330, 764 84 Total. Mystic River National Bank, Mystic River. W I L L I A M CLTFT, President. No. 645. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other batiks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer „ Total. $91,652 12 2, 802 02 105, 000 00 H. B. NOYES, Cashier. $100, 000 00 Capital stock paid in . Surplus fund Other undivided profits.. 45, 379 69 7,920 12 National bank notes outstanding 00 60 i State bank notes outstanding 09 i I 08 Dividends unpaid 77 I Individ ual deposits United States deposits 12, 845 83 Deposits of U. S. disbursing officers.. 89,150 00 2, 069 00 500 121,397 7, 357 3,61.1 649 ""i,'(')63 O'j' 5 00 144 44 4,047 00 Due to other national banks Duo to State banks and bankers . 232 50 111, 163 97 260 67 Notes and bills re-discounted Bills payable " 4,500 00" Total . 356, 175 95 356, 175 95 New Britain National Bank, New Britain. C. B. EllwiN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IL S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1184. • ; A. P. COLLINS, Cashier. $430. 764 41 Capital stock paid in . 1, 856 38 165, oao oo Surplus fund Other undivided profits 1,800 00 62,916 69 10, 884 26 20, 000 00 2, 166 34 877 81 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 4, 625 00 Due to other national banks 312 61 Due to State banks and bankers . 805 09 49, 314 00 Notes and bills re-discounted. $310, 000 00 120, 000 00 23,196 49 89,870 00 715 00 212, 905 33 2, 060 77 Bills payable 7, 425 00 758, 747 59 Total. 758, 747 59 226 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. First National Bank, New Canaan. STEPHEN HOYT, President. No. 1249. S. Y. ST. JOHN, Cashier. [ Resources. Liabilities. i $128, 267 85 Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U S bonds on hand Other stocks, bonds, and mortgages . . $100, 000 00 Capital stock paid in 100, 000 00 i Surplus fund . . Other undivided profits 9,000 00 National bank notes outstanding State bank notes outstanding 21,741 76 13, 125 84 1,494 05 Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legalcertificates of deposit U. S. tender notes Due from U. S. Treasurer Individual deposits United States deposits | Deposits of U. S disbursing officers Due to other national banks Due to State banks and bankers 1,240 00 288 69 6,098 00 Notes and bills re-discounted Bills payable 4*500 oo" 296, 856 19 i 88, 850 00 532 00 Dividends unpaid 11, 100 00 Total 20, 000 00 9,853 73 35, 667 80 26, 952 6G 15, 000 00 Total 296, 856 19 First National Bank, New Haven. WILLIAM MOULTHROP, Cashier. H. M. WELCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $762, 001 51 8, 770 89 Capital stock paid in. $500, 000 00 293,000 00 Surplus fund O ther undivided profits 10,000 00 National bank notes outstanding 166,615 87 State bank notes outstanding 232, 256 01 Dividends unpaid . 7, 862 19 Individual deposits United States deposits 21, 967 78 Deposits of U. S. disbursing officers 14, 990 00 175 51 640 40 60, 837 00 13,274 50 Due to other national backs Due to State banks and bankers . Notes and bills re-discounted Bills payable 1,592,391 66 Total. Total 111,779 09 36, 068 64 249, 200 00 691,6 \ 90 3,461 03 1,592,391 6G Second National Bank, New Haven. SAM'L HEMINGWAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. * I. K. WARD, Cashier. No. 227. $931,300 84 11 68 900, 000 00 70, 000 00 232, 000 00 164,000 00 195, 427 32 101,756 98 78, 000 00 12, 038 55 28, 851 52 31, 852 55 9*169'00 537 05 6, 500 00 50, 00 J 00 40, 000 00 2,851,445 49 Capital stock paid in. Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U, S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. ! Bills payable Total $1, 000, 000 00 400, 000 00 37, 091 07 770, 530 00 1,141 00 584, 997 67 40, 278 82 8, 718 238, 688 70 2,851,445 49 REPORT OF THE COMPTROLLER OF THE CURRENCY. 2 2 7 CONNECTICUT. Merchants' National Bank, New Haven. NATHAN PECK, President. No. 1128. J. C. BRADLEY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts. U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $527, 482 04 Capital stock paid in. 1,098 47 400, 000 00 Surplus fund Other undivided profits 5o"6o6"66" National bank notes outstanding 6, 682 13 State bank notes outstanding 45, 550 39 53, 270 29, 532 3,598 19, 507 65 74 8L 50 33,001 07 11, 375 467 348 20, 692 00 62 00 00 $500, 000 00 , Dividends unpaid . 321, 870 00 946 50 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable " 18," 000 "65" 139, 416 68 78, £55 43 40 00 30, 000 00 1, 220, 606 42 Total. 1, 220, 606 42 125, 000 00 24,777 81 National New Haven Bank, New Haven. WILBUR F . DAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . Total. No. 1243. AMOS TOWNSEND, Cashier. $602, 302 56 Capital stock paid in. 709 04 368, 400 00 Surplus fund """43,*600"00" Other undivided profits 115, 000 00 National bank notes outstanding 54 566 24 State bank notes outstanding 16, 643 78 Dividends unpaid . 32, 639 67 4, 302 70 Individual deposits United Sfates deposits 14,212 56 Deposits of U. S. disbursing officers 12,261 00 Due to other national banks 249 32 2,233 10 Due to State banks and bankers 54, 000 00 Notes and bills re-discounted . Bills payable 16, 560 00 $464, 800 00 199, 416 90 39,599 13 320,100 00 4,678 00 1,302 00 305, 666 41 1, 433 61 683 92 1, 337, 679 97 1, 337, 679 97 National Tradesmen's Bank, New Haven. M. Gr. ELLIOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1202. $468,300 2L 3, 169 13 280, 000 00 15, 000 00 95, 883 84 82,145 48 3,894 94 23, 942 42 6, 266 00 2L 00 10, 000 00 "12," 600 "66 1,001,223 02 GEO. A. BUTLER, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable Total. $300, 000 00 200,000 00 17,914 51 250,100 00 108 00 118,748 24 59, 987 12 54,365 15 1,001,223 02 228 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. New Haven County National Bank, New Haven. JAS. No. 1245. G . E N G L I S H , President. - L. S. IIOTCHKTSS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on band Other stocks, bonds, and mortgages.. $404,753 51 300 96 300, 000 00 Due from approved reserve agents... Due from other banks and bankers ..j Real estate, furniture, and fixtures...! Current expenses and taxes paid ! Premiums paid j -3, 659 6, 462 25, (J:)L 38 fi,890 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ]5, 425 301 2.829 8, 082 Capital stock paid in . $350, 000 00 Surplus fund Other undivided profits ] 75, 000 00 11,030 75 National bank notes outstanding ,.. 06 ! State bank notes outstanding 60 Dividends unpaid . 22 55 Individual deposits 62 United States deposits 1-1,367 13 Deposits of U. S. disbursing officers. 255, 950 00 5, 000 00 :l, 708 00 j ..'.. I- 00 Due to other national banks 36 ' Due to State banks and bankers . 84 ! 00 Notes and bills re-discounted. 13ills payable 13,500 00 Total . 932, 669 85 Total. 19,531 18 120,459 83 698 09 932, 669 85 Yale National Bank, New Haven. No. 796. J. A. BTSHOP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks ...... Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $750, 000 00 $334,688 93 :| Capital stojk paid in 2,851 21 444,5U0 00 > |j Surplus fund . 1 Other undivided profits 1 92, 897 57, 253 103, 000 1 3, 000 55 78 00 50 00 National bank notes outstanding State bank notes outstanding 3. 068 00 1 19 63 625 00 000 00 128,000 00 6,434 23 396,500 00 26, 800 00 Dividends unpaid . ; Individual deposits United States deposits 19, 328 75 Deposits oi' U. S. disbursing officers.. Due to o^her national banks Due to State banks and bankers 366, 153 6i 6,915 62 526 34 ! Notes and bills re-discounted . j': Bills payable 21, 995 42 Total. 1,682,329 80 Total. J. A. RICHARDSON, Cashier. 1, 682, 329 80 First National Bank, New London. F. B. LOOMIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and baukers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. No. 196. $155,328 34 50, 0J0 00 "i8, 657 16* 37, 592 88 4,6J 3 60 4,221 80 6, 937 98 ""338*00" 44 79 75 00 7,100 00 G . D. W H I T T L E S E Y , Cashier. - Capital stock paid in. $100, 000 00 Surplus fund Other undivided profits 75, 000 00 36, 738 46 National bank notes outstanding State bank notes outstanding 41, 900 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks , Due to State banks and bankers . 93, 313 27 207 82 Notes and bills re-discounted.. Bills payable 2, 250 00 347,159 55 Total. 347, 159 55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 229 CONNECTICUT. National Bank of Commerce, New London. WM. H. BARNS, President. T-, BUTLER, Cashier. No. 666. li Resources. Total Liabilities. \\ Loans and discounts ! Overdrafts j IT. 8. bonds to secure circulation | U. S. bonds to secure deposits • U. S. bonds on hand j Other stocks, bonds, and mortgages.-! Due from approved reserve agents.. J Due from other banks and bankers ..j Real estate, furniture, and fixtures... i Current expenses and taxes paid..... \ Premiums paid : Checks aud other cash items | Exchanges for clearing house ' Bills of other banks j Fractional currency. -• ! Specie ! Legal tender notes j U. S. certificates of deposit ' Due from U. S. Treasurer \ ! $323, 571 73 Capital stock paid in 4,526 00 130, 000 0J Surplus fund Other undivided profits 30, 000 0) 20, 000 00 National bank notes outstanding . . . 35, 372 46 State bank notes outstanding 9, 225 20 13, 900 00 Dividends unpaid 1, 249 54 6, 08 L 25j Individual deposits United States deposits 21, SOS 78 ; Deposits of U. S. disbursing officers $300,000 00 43,821 85 6,256 31 116,000 00 1,460 00 456 00 184,862 90 22, 353 00 j Due to other national banks 817 46 Due to State banks and bankers . . . 344 39 31,120 00 ! Notes and bills re-discounted | Bills payable 5, 850 00 7,794 19 1, 568 56 062, 219 81 662,219 81 National Union Bank, New London. W. IT. CHAPMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation II. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers.. Heal estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency , Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer No. 1175. $343, 670 65 5, 159 34 132, 000 00 25, 000 00 24, 707 53 21,377 35 7, 545 80 5, 0 0 00 2, 849 23 4,468 75 L. C. LEARNED, Cashier. $300,000 00 Capital stock paid in.. 31,182 98 8, 738 20 117,600 00 2, 697 00 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding . Dividends unpaid . 268 00 Individual deposits United States deposits 31, 365 08 Deposits of U. S. disbursing officers. 186, 705 42 21, 000 00 Due to other national banks ],090 00 Due to State banks and bankers . 300 00 13,000 00 Notes and bills re-discounted " 5,940 00" Bills payable Total. Total. 2,283 13 .j 649,474 73 National Whaling Bank, New London. S. D. LAWRENCE, President. Loans and discounts O verdrafts X S. bonds to secure circulation L IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due fromU. S. Treasurer Total No. 978. $113,325 65 J. C. DOUGLASS, Cashier. Capital stock paid in " 150, 000 00 Surplus fund Otner undivided profits 87, 420 58 National bank notes outstanding 56,329 09 State bank notes outstanding 22, 027 60 7, 000 00 750 00 Individual deposits United States deposits 451 99 Deposits of U. S. disbursing officers. 4, 497 127 264 3, 000 00 Due to other national banks 00 Due to State banks and bankers . . . 00 00 Notes and bills re-discounted. Bills payable 6, 750 00 451,942 9L Total $150, 000 00 35, 000 00 35,159 25 127, 950 00 2, 666 00 1, 511 00 99,431 99 121 67 103 00 451,942 91 230 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. New London City National Bank, New London. J. N. HARRIS, President. No. 1037. R. N. BKLDEN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items. Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $82, 872 00 "*55,"6o6 00 18, 047 00 3, 315 07 9, 340 47 4, 100 00 99 L 03 2,805 00 Capital stock paid in . Dividends unpaid 2, 622 74 4, 899 26 49, 500 00 57 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 5, 5-28 00 Due to other national banks 831 83 Due to State banks and bankers 2, 000 00 Notes and bills re-discounted Bills payable ],575 00 186, 405 40 Total. $100,000 00 Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding Total. 26,399 03 2,712 15 214 72 186,405 40 First National Bank, New Milford. No. 1193. DANIEL MARSH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $114,4)4 53 5)9 68 123, 000 00 21, 700 00 63,334 5,568 6,000 1,226 88 31 00 3d 539 51 1, 18d 03 04 252 05 7, 962 00 $125, 000 00 Capital stock paid in . 28, 000 00 7, 455 70 Surplus fund Other undivided profits National bank notes outstanding State b a n k n o t e s outstanding Dividends unpaid. 109,700 00 235 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . 82, 519 69 359 97 Notes and bills re-discounted. Bills payable 7, 535 00 353, 270 36 Total. HENRY IVES, Cashier. Total 353, 270 36 Central National Bank, Norwalk. A. S. H U R L B U T T , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2342. $7,662 3L WM. A. CURTIS, Cashier. Capital stock paid in . "40,"000 66' Surplus fund Other undivided profits National bank notes outstanding . 22, 594 36 State bank notes outstanding 902 10 1, 000 00 Dividends unpaid . 744 36 6, 968 74 Individual deposits United States deposits 14 00 Deposits of U. S. disbursing officers . $60, 000 00 89 26 23,56L 82 1, 330 00 Due to other national banks 118 71 Due to State banks and bankers . 671 50 1, 645 00 Notes and bills re-discounted . Bills payable 83,651 08 Total 83,651 08 REPORT OF THE COMPTROLLER OF THE CURRENCY. 231 CONNECTICUT. Fairfield County National Bank, Norwalk. P. S T . J O H N LOCKWOOD, President. No. 754. CHAS. H. STREET, Cashier. Liabilities. $387,849 01 973 70 221,500 00 Loans and discounts _ Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes .U. S. certificates of deposit Due from U. S. Treasurer Capital stock paid in. $300, 000 00 Surplus fund Other undivided profits 65, 000 00 21,270 93 National bank notes outstanding State bank notes outstanding 71 41 Dividends unpaid . 00 45 Individual deposits United States deposits 6, 616 • Deposits of U. S. disbursing officers. 9, 023 2,563 19, 000 3,316 10,774 00 139 81 7, 538 00 " Due to other national banks Due to State banks and bankers . 1,120 00 103, 241 43 2, 332 21 Notes and bills re-discounted.. Bills payable 9,950 00 679,244 57 Total. 166,280 00 Total. 679,244 57 National Bank, Norwalk. No. 942. STILES CURTIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer R. B. CRAUFURD, Cashier. $268, 531 23 Capital stock paid in. 316 56 300, 000 00 Surplus fund Other undivided profits $300, 000 00 36, 500 00 14, 744 28 National banknotes outstanding State bank notes outstanding 28, 733 93 18,831 37 Dividends unpaid . 16,750 00 3, 252 51 Individual deposits 4, 500 00 United States deposits 5,415 98 Deposits of U. S. disbursing officers. 8,884 00 106 57 10, 915 00 Due to other national banks Due to State banks and bankers 243, 000 00 430 00 28, 241 83 51,949 53 3,521 51 Notes and bills re-discounted. Bills payable 12,150 00 678,387 15 Total . 678,387 15 Total., First National Bank, Norwich. L. W. CARROLL, No. 458. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $646, 865 41 '""250," 666" 66' 13,410 00 L E W I S A. H Y D E , Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 5, 982 29 State bank notes outstanding 3, 097 63 19, 035 43 Dividends unpaid . 6,857 18 Individual deposits Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 25, 958 45 Total. 10, 562 1,739 2, 600 15, 000 00 67 00 00 $600, 000 00 55, 000 00 22, 935 14 222,700 00 360 00 104,371 15 United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. 6,991 77 Notes and bills re-discounted. Bills payable 11,250 00 1, 012, 358 06 Total 1,012,358 06 232 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Second National Bank, Norwich. A. F . SMITH, President. C. P . COGSWELL, Cashier. No. 224. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $385, 053 61 Capital stock paid in . 3, 160 16 200, 000 00 Surplus fund Other undivided profits 25, 000 00 $300, 000 00 60, 000 00 23, 247 32 National bank notes outstanding State bank, notes outstanding "l2," 7*19 98* Dividends unpaid . 8, 185 00 4,748 76 Individual deposits United States dnposits. 1,729 10 Deposits of U. S. disbursing officers. 4,893 609 1,200 20, 000 00 25 00 00 Due to other national banks Due to State banks and bankers. 177, 970 00 140 00 112,218 23 2,728 31 Notes and bills re-discounted.. Bills payable 9, 000 0.) 676, 303 86 Total., Total . 676, 303 86 Merchants' National Bank, Norwich. JOHN BREWSTER, President. J. M. MEECH, Cashier. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . $383,261 97 2, 735 70 112,000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures - . Current expenses and taxes paid. Premiums paid 101,531 3, 726 10, 633 656 732 84 74 41 92 76 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes Due from U. S. Treasurer Suspense account 14, 102 00 1, 992 47 927 00 29, 000 00 5, 000 00 9,468 79 14,185 85 Capital stock paid in . $300, 000 00 Surplus fund Other undivided profits 17, 000 00 3, 114 89 National bank notes outstanding State bank notes outstanding 99, 905 00 Dividends unpaid . Due to other national banks Due to State banks and bankers 252,080 35 15,831 81 Notes and bills re-discounted. Bills payable 689, 955 45 Total. 2, 023 40 Individual deposits United States deposits Deposits of U. S. disbursing officers. Total. 689, 955 45 Norwich National Bank, Norwich. CHARLES JOHNSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. No. 1358. $248, 830 54 | Capital stock paid in . 200, 000 00 9, 200 00 Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid 4, 132 93 4,597 28 7,768 17 3, 922 73 8, 495 75 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 4,499 29 Total. FRANK JOHNSON, Cashier. Surplus fund Other undivided profits. . National bank notes outstanding State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 4,895 00 Due to other national banks 521 01 i Due to State banks and bankers $220, 000 00 22, 375 48 8, 974 52 150,050 00 654 00 312 00 91,539 16 17, 735 97 1,221 57 10, 000 00 I Notes and bills re-discounted. Bills payable. 9,"00000" 515,862 70 , Total. 515, 862 70 REPORT OF THE COMPTROLLER OF THE CURRENCY. 233 C O N N E C T I C U T . Shetucket National Bank, Norwich. C. J. FILLMORE, Cashier. No. 1379. CHARLES OSGOOD, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. Liabilities. $117,204 78 80, 000 00 Surplus fund Other undivided profits National hank notes outstanding State bank notes outstanding 3, 5 0 00 9,915 05 6, 656 05 8, 201) 00 Dividends unpaid . 1,620 73 Individual deposits United States deposits 798 25 Deposits of U. S. disbursing officers. 20, 000 00 15, 667 88 68, 500 00 12 00 37, 047 10 699 00 Due to other national banks 349 97 Due to State banks and bankers . 799 15 5, 384 00 Notes and bills re-discounted. Bills payable """6,'ioo*oo" Total.. 241,226 98 Total $ 100, 000 00 Capital stock paid in . 241,226 98 Thames National Bank, Norwich. E D W . N. GlBBS, Cashier. FRANKLIN NICHOLS, President. Loans and discounts .-,.. . . . . Overdrafts ,n, « . . . U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearinghouse. Bills of other banks Fractional currency Specie > Legal tender not )9 , U. S. certificates of deposit . . . Due from U. S. Treasurer $1,123,301 64 889, 500 00 50, 000 00 5, 000 00 264, 986 01 55, 045 36 20, 000 00 2,325 73 3, 000 00 5, 696 37 57,574 00 3, 807 24 45, 000 00 Capital stock paid in . Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding Dividends unpaid . 300, 000 00 17, 585 75 Individual deposits United States deposits Deposits of U. S. disbursing officers 384,125 23 21,845 22 3, 023 87 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 2, 565, 236 35 Total . $1, 000,000 00 Total 791,700 00 4, 850 00 37, 106 28 5, 000 00 2, 565, 236 35 Uncas National Dank, Norwich. No. 1187. JESSE S. ELY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks F ractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. Total $312,385 04 "" 197,000 00 6, 14, 5, 2, 669 295 165 879 43 58 63 00 9, 638 24 E. H. LEARNED, Cashier. Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding Dividends unpaid United States deposits Deposits of U. S. disbursing officers. 6, 500 00 Due to other national banks 1, 150 00 Due to State banks and bankers 1,096 50 7, 200 00 Notes and bills re-discounted Bills payable 9 " 240 "66" , 573,219 42 Total $300, 000 00 25,813 17 9,624 83 172, 500 00 2, 516 75 57,184 84 5,346 10 233 73 573,219 42 234 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Pawcatuck National Bank, Pawcatuck. No. 919. P E L EG CLARKE, Jr., President. J . A. MORGAN, Cashien Resources. Liabilities. Capital stock paid in . Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid $85, 000 00 Surplus fund Other undivided profits 18,760 75 3, 325 29 National bank notes outstanding State bank notes outstanding 57,275 00 Dividends unpaid . 535 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 2, 829 69 2, 469 78 Notes and bills re-discounted . Bills payable Total. 170, 196 01 Total. First National Bank, Portland. S. GlLDERSLEEVE, President. No. 1013. Loans and discounts Overdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits j U. S. bonds on hand | Other stocks, bonds, a n d m o r t g a g e s . . j D u e from approved reserve a g e n t s . . . D u e from other b a n k s a n d b a n k e r s . . Real estate, furniture, and fixtures... Current expenses and taxes paid j Premiums paid | Checks and other cash items I Exchanges for clearing house I Bills of other banks j Fractional currency I Specie \ Legal tender notes j U. S. certificates of deposit Due from U. S. Treasurer WM. W. COE, Cashier. 59, 612 47 jj Capital stock paid in . $150, 000 00 Surplus fund ! Other undivided profits !j 1 National bank notes outstanding 1 20 1 State bank notes outstanding 1 35 j 00 | Dividends unpaid . 80 i Individual deposits j United States deposits 89 i Deposits of U. S. disbursing officers. 150, 000 00 12, 646 3, 650 13, 900 1,701 423 1,261 00 j Due to other national banks 337 41 Due to State banks and bankers . ! 11,000 00 j Notes and bills re-discounted. Bills payable. 6, 750 00 361,283 12 Total. 30, 000 00 2,183 45 135, 000 00 130 00 42,901 19 1,068 48 361,283 12 First National Bank, Putnam. G. W. P H I L L I P S , President. Loans and discounts. Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 448. J. A. CARPENTER, Cashier. $193,212 13 Capital stock paid in . $150, 000 00 150,000 66' Surplus fund Other undivided profits 35, 000 00 5, 784 23 National bank notes outstanding . . . 19, 460 52 State bank notes outstanding 3, 168 02 10, 000 00 Dividends unpaid . 879 80 Individual deposits j! United States deposits 10, 146 54 |! Deposits of U. S. disbursing officers. 6,7-21 378 379 16, 0u0 00 Due to other national banks 66 ; Due to State banks and bankers . 00 00 Notes and bills re-discounted Bills payable 8, 550 00 125, 000 00 25 00 94,157 81 8, 928 63 418, 895 67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 235 CONNECTICUT. First National Bank, Rockville. JOHNT H. KITE, Cashier. GEORGE TALCOTT, President. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $349, 724 85 Capital stock paid in 376 25 200,000 00 Surplus fund Other undivided profits 2,000 00 National bank notes outstanding 4,712 16 State bank notes outstanding 3, 579 84 7,327 13 Dividends unpaid 1, 099 33 Individual deposits 2, 216 20 United States deposits 187 64 Deposits of U. S. disbursing officers 1, 930 00 25 43 9, 695 00 """9"665"65 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 591,873 83 Total. j $200, 000 00 | i ! j 40, 000 00 6,52162 180, 000 00 ! 115 00 j ; J 152,349 12 { ! , Total. 7, 696 0L 5,192 08 591,873 83 Rockville National Bank, Rockville. CHAUKCEY WlNCHEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 509. $355,401 54 Capital stock paid in , 632 24 312,000 00 Surplus fund j Other undivided profits i 4, 400 00 National bank notes outstanding | 17, 327 34 State bank notes outstanding 11, 234 04 Dividends unpaid 10, 000 00 3, 033 54 Individual deposits United States deposits 887 32 Deposits of U. S. disbursing officers. 1,192 00 787 28 7, 300 00 "" ii" ooo "66" Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 738, 195 30 Total.- E. C. CHAPMAN, Cashier. Total. $300, 000 00 15,000 00 11,051 31 279, 918 00 616 00 130,971 13 638 86 ' ! 738,195 30 First National Bank, South Norwalk. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... | Due from other banks and bankers -. Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house... Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit j Due from U. S. Treasurer $203, 936 14 Capital stock paid in . 9 69 200, 000 00 Surplus fund Other undivided profits 1, 000 00 6, 000 00 National bank notes outstanding 38, 532 87 State bank notes outstanding 6,186 34 21, 000 00 Dividends unpaid . 3, 680 64 Individual deposits United States deposits 4, 037 31 Deposits of U. S. disbursing officers. 3 161 00 172 57 409 16 7, 400 00 9 "665 6" 6 504, 525 Total. H. Ex. 3 J. J. MlLLARD, Cashier. No. 502, DUDLEY P. ELY, President. 12 Due to other national banks Due to State banka and bankers Notes and bills re-discounted Bills payable Total , $200, 000 00 30, 000 00 35, 006 34 178, 200 00 88 00 55, 977 98 5, 238 75 14 65 504, 525 72 236 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Southport National Bank, Southport. Xo. 660. FRANCIS D. PERRY, President. E. C. SHERWOOD, Cashier. Resources. Liabilities. Loans and discounts i Overdrafts i U. S. bonds to secure circulation j U. S. bonds to secure deposits U. S. bonds on hand I Other stocks, bonds, and mortgages.. j Due from approved reserve agents . . . i Due from other banks and bankers... j Real estate, furniture, and fixtures... j Current expenses and taxes paid Premiums paid Checks and other cash items | Exchanges for clearing house Bills of other banks | Fractional currency Specie | Legal tender notes ! IT. S. certificates of deposit ! Due from U. S. Treasurer i Total I $56,079 91 I Capital stock paid in j $100,000 00 643 91 100, 000 U0 ! Surplus fund I 27, 000 00 i Other undivided profits j 6,743 65 130, 000 00 | National bank notes outstanding 90, 000 00 16, 970 48 State bank notes outstanding 155 94 ! 840 00 12, 400 00 Dividends unpaid , Individual deposits j 96,624 32 , ! United States deposits . j , 125 00 Deposits of U. S. disbursing officers.. j 226 00 Due to other national banks Due to State banks and bankers 125 98 6, 540 00 Notes and bills re-discounted. Bills payable 4, 500 00 327,767 22 6, 559 25 j Total. 327, 767 22 Stafford National Bank, Stafford Springs. JULIUS CONVERSE, President. No. 686. R. S. HICKS, Cashie?. Loans and discounts ! $209, 083 14 Capital stock paid in., Overdrafts ; 4, 587 20 U. S. bonds to secure circulation : 150, 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits.. U. S. bonds on hand Other stocks, bonds, and mortgages.. 27,485 29 National bank notes outstanding Due from approved reserve agents... i 1, 455 23 State bank notes outstanding Due from other banks and bankers ..; 3, 354 88 Real estate, furniture, and fixtures...! 11, 300 00 Dividends unpaid . Current expenses and taxes paid i 2, 264 88 Individual deposits Premiums paid | 11, 750 00 United States deposits Checks and other cash items ; 1, 644 92 Deposits of U. S. disbursing officers. Exchanges for clearing house ; Bills of other banks I 660 00 Due to other national banks Fractional currency ! 111 88 Due to State banks and bankers Specie ' Legal tender notes i 4, 500 00 Notes and bills re-discounted. Bills payable , U. S. certificates of deposit Due from U. S. Treasurer ' 6, 750 00 Total 434,947 42 $200, 000 00 27,000 00 5,519 92 135, 000 00 63 00 48,354 95 809 55 18, 200 00 Total. First National Bank, Stamford. CHA?. W, BROWN. President. A. R. TURKINTOX, Cashier. No. 4. i $258, 796 73 Capital stock paid in. Loans and discounts ' $200, 000 00 125 00 Overdrafts 180, 000 00 Surplus fund U. S. bonds to secure circulation , 100, 000 00 U. S. bonds to secure deposits Other undivided profits 21, 876 64 U. S. bonds on hand i """so'ooo'oo" 159,763 00 Other stocks, bonds, and mortgages.. j 46, 000 00 National bank notes outstanding State bank notes outstanding 22,424 86 Due from approved reserve agents... j 6, 594 66 Due from other banks and bankers .. j Dividends unpaid . 475 00 49, 000 00 Real estate, furniture, and fixtures ..j 4, 942 20 Current expenses and taxes paid i Individual deposits 170, 680 28 Premiums paid |. United States deposits Checks and other cash items j 3,118 04 Deposits of U. S. disbursing officers. Exchanges for clearing house j. 3,884 00 926 07 Bills of other banks j Due to other national banks 377 23 Due to State banks and bankers 1,340 Id Fractional currency | Specie |. Legal tender notes j 21,699 00 Notes and bills re-discounted .. U. S. certificates of deposit j. *.j "s'icb'oo" j Bills payable Due fromU. S. Treasurer | Total. 655,061 72 Total. 655, 061 72 REPORT OF THE COMPTROLLER OF THE CURRENCY. 2 3 7 CONNECTICUT. Stamford National Bank, Stamford. No. 1038. JOHN W. LEEDS, President. Gr. W. GLENDINING, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... j Current expenses and taxes paid j Premiums paid | Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $202, 020 00 $353,871 9L Capital stock paidin "265" boo' 66" 20, 000 00 Surplus fund Other undivided profits National bank notes outstanding , 29,714 44 State bank notes outstanding 1,240 69 2, 500 00 Dividends unpaid 1 280 55 Individual deposits 2, 449 78 United States deposits 20, 938 00 Deposits of U. S. disbursing officers . 296 54 Due to other national banks 274 00 Due to State banks and bankers . . . . 20, 466 00 Notes and bills re-discounted 9, 090 00 Bills payable Total 666,121 91 100, 000 00 29, 395 99 167, 900 00 1,241 00 3, 083 50 160, 775 22 1, 706 20 666, 121 9L First National Bank, Stonington. W. J. H. POLLARD, Cashier. No. 735. STILES STANTOX, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer Total . $151,077 65 Capital stock paid in. $200, 000 00 4, 892 65 202, 000 00 Surplus fund Other undivided profits "*54," 666" 65' 43, 455 00 National bank notes outstanding 28,183 82 State bank notes outstanding 29, 797 48 Dividends unpaid . 2, 000 00 1, 218 57 Individual deposits United States deposits 1,446 99 Deposits of U. S. disbursing officers . 8, 654 00 200 00 456 00 16, 909 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 78,706 93. 4,223 87 175,100 00 770 00 93,714 78 775 58 9, 000 00 Total. 553,291 16 553,291 16 First National Bank, Sufiield. BYRON LOOMIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer Total. No. 497. C. A. CHAPMAN, Cashier. $337, 932 06 "206," 500* 66 1, 072 63 1,379 19 23, 500 00 3, 389 06 1,058 21 $300, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 12, 389 00 299 02 Due to other national banks Due to State banks and bankers 14,491 00 Notes and bills re-discounted. Bills payable "14"666*66' 610,010 17 Total 66, 000 00 20,123 28 180, 000 00 230 00 38, 411 65 317 92 4, 927 32 610,010 17 238 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Thompson National Bank, Thompson. No. 1477. JEREMIAH OLNEY, President. HIRAM ARNOLD, Cashi, Resources. liabilities. Loans and discounts Overdrafts ; 17. S. bonds to secure circulation i tJ. S. bonds to secure deposits i U. S. bonds on hand i Other stocks, bonds, and mortgages.. j Due from approved reserve agents... | Due from other banks and bankers....' Real estate, furniture, and fixtures...; ! Current expenses and taxes paid Premiumspaid : Checks and other cash items ; Exchanges for clearing house Billsof other banks .....i Fractional currency Specie j Legal tender notes i U. S. certificates of deposit j Due from U. S. Treasurer Total ! $90,354 00 Capital stock paid in 230 60 77, 000 00 Surplus fund Other undivided profits National bank notes outstanding 9, 070 99 State bank notes outstanding 416 31 13, 600 00 Dividends unpaid i $100, G O 00 O j j J ! i Individual deposits I 2,400 00 United States deposits [ 72 00 Deposits of U. S. disbursing officers.. [ 1,090 00 Due to other national banks 4 78 Due to State banks and bankers 63 75 2,065 00 Notes and bills re-discounted Bills payable 3.465 00 199,832 43 Total 20,000 00 900 77 68, 373 C O j ! i | i ! 223 00 10, 006 96 318 70 , 199, 832 43 Tolland County National Bank, Tolland. CHAS. UNDERWOOD, President. No. 1385. CHAS. A. HAWKINS, Cashier. $97,131 31 Capital stock paid in . 1, 492 89 125, 000 00 i Surplus fund | Other undivided profits ! National bank notes outstanding | 3, 521 91 I State bank notes outstanding 2,495 52 Dividends unpaid . 3, 100 00 1,205 71 17, 137 02 Individual deposits United States deposits 859 15 Deposits of U. S. disbursing officers. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items j Exchanges for clearing house i Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 105 00 Due to other national banks 77 13 499 00 Due to State banks and bankers . 1, 42 L 00 Notes and bills re-discounted. Bills payable 5, 625 00 Total. 259, 670 64 Total. $125, 000 00 6, 322 84 1,490 01 111,498 00 372 00 9, 987 79 5, 000 00 259, 670 64 Citizens' National Bank, Waterbury. F. J. KINGSBURY, President. No. 791. F. L. CURTISS, Cashier. Loans and discounts $405,380 60 Capital stock paid in Overdrafts I 4,796 54 U. S. bonds to secure circulation 300, 000 00 Surplus fund .... U. S. bonds to secure deposits U. S.bonds on hand National bank notes outstanding.... Other stocks, bonds, and mortgages Due from approved reserve agents. ..J 2, 383 37 State bank notes outstanding Due from other banks and bankers... I 12, 063 73 Dividends unpaid Real estate, furniture, and fixtures...j 13, 000 00 Current expenses and taxes paid j 4, 231 71 Individual deposits Premiums paid United States deposits 2, 770 61 I Deposits of U. S. disbursing officers . Checks and other cash items Exchanges for clearing house Bills of other banks 7,669 00 : Due to other national banks Fractional currency | 97 35 j Due to State banks and bankers Specie ! 3,629 98 Legal tender notes ! 10, O O 00 Notes and bills re-discounted u U. S. certificates of deposit ! Bills payable Due from U. S. Treasurer j 13,500 00 Total | 779,527 89 Total $300, 000 00 90,000 00 7, 044 73 268, 000 00 1,891 00 690 00 110, 538 87 676 06 667 23 779, 527 89 REPORT OF THE COMPTROLLER OF THE CURRENCY. 239 CONNECTICUT. Waterbury National Bank, Waterbury. AUG. No. 730. S. CHASE. President. A. M. BLAKESLEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts II. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes 17. S. certificates of deposit Due from U. S. Treasurer Total $769, 602 59 | Capital stock paid in 6, 485 38 400,000 00 ! Surplus fund ; Other undivided profits 300 00 2, 000 00 ! National bank notes outstanding : 45,950 21 State bank notes outstanding 83, 814 33 | Dividends unpaid 10, 000 00 5, 724 35 Individual deposits United Slates deposits 11,804 89 Deposits of U. S. disbursing officers . 46, 953 2,262 2, 500 58,130 00 06 00 00 Due to other national banks Due to State banks and bankers ! $500,000 00 ! j j ! I 250, 000 00 45, 248 37 363, 000 00 4, 298 0Q 1, 617 00 304,591 j 7, 776 29 ^96 06 Notes and bills re-discounted. Bills payable 28, 400 00 Total . . | 1,473,926 81 i 1, 473, 926 81 First National Bank of Killingly, West Killingly. HENRY HAMMOND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer H. N. CLEMONS, Cashier, No. 450. $126, 518 11 112, 000 00 ""is,"boo 66' 2,000 00 8, 405 85 10, 002 48 2, 500 00 4,928 00 249 25 16, 000 00 ""5,666 65 Capital stock paid in $110, 000 00 Surplus fund Other undivided profits i National bank notes outstanding State bank notes outstanding Dividends unpaid , Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable I j I j I j i 25,000 00 4, 737 85 96,600 00 25 00 44, 437 26 974 85 20, 828 73 302, 603 69 Total. First National Bank, West Meriden. JOEL H. GUY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 250. C. L. ROCKWELL, Cashier. ! $494, 863 42 Capital stock paid in ""466"666"65"i ion, 666 66 Surplus fund Other undivided profits I 8,250 00 I National bank notes outstanding 11,169 75 I State bank notes outstanding 5, 689 44, 000 3,920 39, 462 860 51 00 72 50 89 : : Dividends unpaid ! Individual deposits United States deposits 8, 792 00 Deposits of U. S. disbursing officers Due to other national banks 421 15 Due to State banks and bankers 7, 255 00 Notes and bills re-discounted 18, 000 00 Billspayable 1,142. 684 94 Total $500, 000 00 * 83, 010 00 19, 608 70 i 353, 875 00 i 570 00 • ! 85, 516 13 j I • ! 17 50 97 61 « 100,000 00 ] 1,142.684 94 240 REPOKT OF THE COMPTROLLEK OF THE CURRENCY. CONNECTICUT, Home National Bank of Meriden, "West Meriden. E L I BUTLER, President. No. 720. . A. CHAMBERLAIN, Jr., Cashier. Resources. Liabilities. Loans and discounts ! Overdrafts ! U. S. bonds to secure circulation I U. S. bonds to secure deposits I U. S. bonds on hand I Other stocks, bonds, and mortgages..| Due from approved reserve agents...! Due from other banks and bankers .. j Real estate, furniture, and fixtures. ..j Current expenses and taxes paid ! ! Premiums paid Checks and other cash items ! Exchanges for clearing house j ! Bills of other banks Fractional currency ! Specie Legal tender notes ' U. S. certificates of deposit | ! Due from U. S. Treasurer Total $760,106 75 Capital stock paid in . $600, 000 00 224, 000 00 Surplus fund Other undivided profits 2, 500 00 National bank notes outstanding 95, 293 11 State bank notes outstanding 6, 251 20 j 41,176 25 Dividends unpaid 5,020 45 Individual deposits j United States deposits 17, 332 74 Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers 6, 928 00 Notes and bills re-discounted. Bills payable 6, 379 00 14,868 00 1,235 94 ! 1,181,096 44 Total I 105, 000 00 20,126 40 201, 600 00 665 00 191,184 OS 51, 284 92 11, 236 04 1,181,096 44 Hurlbut National Bank of Winsted, West Winsted. W M . L. GILBERT, President. No. 1494. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. 8. Treasurer Total.. HENRY GAY, Cashier. $393, 456 44 Capital stock paid in . 9,950 83 205, 000 00 Surplus fund Other undivided profits lf"l56"6o" National bank notes outstanding 14, 162 28 State bank notes outstanding 14, 939 94 Dividends unpaid . 1, 542 93 3, 639 78 2,313 00 365 00 453 45 25, 300 00 Individual deposits United States deposits Deposits of U. S. disbursing officersDue to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable $205, 000 00 82, 000 00 13,851 24 177, 333 00 284 00 180,241 00 889 94 21, 899 52 9, 225 00 Total. 631,498 70 631,496 70 First National Bank, Westport. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits I U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie i Legal tender notes I U. S. certificates of deposit ! Due from U. S. Treasurer i Total . B, L. WOODWORTH, Cashier. No. 394. HORACE STAPLES, President. j Capital stock paid in. Surplus fund ! Other undivided profits National bank notes outstanding ! State bank notes outstanding Dividends unpaid . $300, 000 00 32,019 10 10, 734 83 243,137 00 308 00 Individual deposits United States deposits |i Deposits of U. S. disbursing officers. 1, 8, 1 825 00 636, 983 38 41, 820 02 !! Due to other national banks I! Due to State banks and bankers . . . 8,964 43 Notes and bills re-discounted. Bills payable Total. 636, 983 38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 2 4 1 CONNECTICUT. Windham National Bank, Windhani. THOMAS RAMSDP:LL, President. No. 1614. SAMUEL BINGHAM, Cashier. Liabilities. Resources. Loans and discounts = , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. $100, 000 00 $115,000 00 i Capital stock paid in. ; "I66"66o*6o"|| 6, 636 80 11, 353 878 1,500 30 3, 335 ],112 86 50 00 00 00 06 233 00 140 43 600 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid , j | I, 450 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers No'tes and bills re-discounted. Bills payable 20,000 00 13, 936 70 85,100 00 24, 756 70 i 81 25 4, 500 00 { 245,324 65 : Total 245, 324 65 242 REPORT OF THE COMPTROLLER OF THE CURRENCY. IS E W YORK. Hungerford National Bank, Adams. S. D. HUNGERFORD, President. No. 1531. GF.O. Resources. W. BOND, Liabilities. £156.996 57 Capital stock paid la 2.994 21 :i 97, O I 00 : Surplus fund L O Other undivided profits ! ] j j $100,000 00 21,571 00 National bank notes outstanding....! • State bank notes outstanding \ Loans and discounts Overdrafts U. S. bonds to .secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..; Due from approved reserve agents .. Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items. Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 87,300 00 22,105 34 340 73 8. 300 00 Dividends unpaid , 4,859 75 ' Individual deposits United States deposits 2. 639 30 Deposits of U. S. disbursing officers. 4,500 00 Due to other national banks 79 00 3, 200 00 i Due to State banks and bankers . 6. 800 00 Notes and bills re-discounted. Bills payable 4, 365 00 Total . 14,100 00 2,815 93 335, 750 90 \ Total. 126, 213 SO 5,321 17 335, 750 90 First National Bank, Albany. M. H. READ, President. No. 267. ADAM VAN ALLEN, Cashier. Loans and discounts $838,967 35 Capital stock paid in . Overdrafts ,.\ 12 78 U. S. bonds to secure circulation • 250, 000 00 Surplus fund U. S. bonds to secure deposits j Other undivided profits U. S. bonds on hand ; 100, 000 00 Other stocks, bonds, and mortgages...: 74,638 16 | National bank notes outstanding Due from approved reserve agents... 246, 549 48 I State bank notes outstanding Due from other banks and bankers...! 65, 395 79 Real estate, furniture, and fixtures...) 65, 000 00 Dividends unpaid . : Current expenses and taxes paid ; Premiumspaid 17, 437 50 Individual deposits United States deposits Checks and other cash items \ 18, 931 80 : Deposits of U. S. disbursing officers.. Exchanges for clearing house 27,132 46 Bills of other banks 3, 636 00 Due to other national banks Fractional currency 760 00 Due to State banks and bankers ( Specie 17,540 00 Legal tender notes 40, 000 00 ; Notes and bills re-discounted. ' U. S. certificates of deposit 50, 000 00 Bills payable Due from U. S. Treasurer 11, 250 00 : Total ; 1, 628, 251 32 Total $300, 000 00 200, 000 00 34, 995 28 225, 000 00 150 00 724, 673 01 335, 611 03 7, 822 00 1,828,251 32 Albany City National Bank, Albany. No. 1291. ERASTUS CORNING, President. Loans and discounts ; $1, Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits ! U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... I Due from other banks and bankers ..: Real estate, furniture, and fixtures...'. Current expenses and taxes paid Premiums paid Checks and other cash items j Exchanges for clearing house . .v • Bills of other banks Fractional currency. Specie Legal tender notes U. S. certificates of deposit : Due from U. S. Treasurer Total , A. P. PALMER, Cashier. 897, 434 41 Capital stock paid in . 92 64 213, 000 00 Surplus fund Other undivided profits 00 National bank notes outstanding 93 State bank notes outstanding 80 Dividends unpaid 00 Individual deposits United States deposits 28, 835 91 Deposits of U. S. disbursing officers. 14, 701 87 9,634 00 Due to other national bank3 1, 306 25 Due to State banks and bankers 3, 732 96 159, 079 00 Notes and bills re-discounted 70, 000 00 Bills payable 9, 522 00 52,750 475, 452 94, 932 94, 000 3, 124, 474 77 Total . $300, 000 00 150, 000 00 35,841 9L 190,430 00 7, 785 00 6,303 00 1,522,741 49 664,179 45 197,193 92 50, 030 00 3, 124, 474 77 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 243 YORK. Merchants' National Bank, Albany. No. 1045. R. VAN RENSSELAER, President. N. D. WENDELL, Cashier. Resources. Liabilities. Loans and discounts ( Overdrafts ; U. S. bonds to secure circulation ; U. S. bonds to secure deposits I U.S. bonds on hand | Other stocks, bonds, and mortgages.. j Due from approved reserve agents... ; Due from other banks and bankers .. I Real estate, furniture, and fixtures. . J Current expenses and taxes paid I Premiums paid ! Checks and other cash items j Exchanges for clearing house i Bills of other banks i Fractional currency ; Specie j Legal tender notes j U. S. certificates of deposit ( Due from U. S. Treasurer j Total ! $200,000 00 $836, 520 31 Capital stock paid in . 3, 254 42 198, 000 00 I Surplus fund 200, 000 00 j Other undivided profits. 100, 000 00 j National bank notes outstanding 218, 563 95 I State bank notes outstanding 104, 837 87 Dividends unpaid . 40, 000 00 200, 000 26, 943 178,200 00 5,029 50 973, 795 40 30, 67 L 68 107, 323 62 43, 730 54 i Individual deposits United States deposits 8,107 58 I Deposits of U. S. disbursing officers.. 27,585 10 7, 075 00 I Due to other national banks 6,044 17 I Due to State banks and bankers 1,700 00 30,000 00 j Notes and bills re-discounted. , 70, 000 00 | Bills payable 10, 910 00 I 1,906,328 94 00 55 164, 387 85 19, 977 34 1,906,328 91- Total. National Albany Exchange Bank, Albany. No. 739. C. P. WILLIAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal te-nder notes U. S. certificates of deposit Due from U. S. Treasurer $487, 506 76 10 14 Capital stock paid in j 69, 000 00 i Surplusfund 3i,"6oo oo* Other undivided profits 17, 243 94 National bank notes outstanding 505, 691 47 l State bank notes outstanding 178, 449 82 | 35, 086 34 Dividends unpaid 20, 322 02 19,037 11 12, 958 00 731 24 3, 459 00 80,000 00 20, 000 00 3, 105 00 1, 483, 600 84 Total. THEO. L. SCOTT, Cashier. $300,000 00 ' j j 120,000 00 53, 052 00 62,100 00 ! j Individual deposits j United States deposits ! Deposits of U. S. disbursing officers.. j Due to other national banks ; Due to State banks and bankers j Notes and bills re-discounted Bills payable j Total 495, 457 79 388,557 86 64, 433 17 | 1,483,600 84 National Commercial Bank, Albany. E. A. GROESBECK, Cashier. ROBT. II. PRUYN. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. 1,515,376 94 Capital stock paid in 1,871 95 * | 500,000 00 300, 0U0 00 | Surplusfund Other undivided profits 112,719 12 ""904," 660" 65" I 264, 300 00 136, 927 36 ; National bank notes outstanding 9,240 00 594, 723 77 ! State bank notes outstanding 277,852 06 ' Dividends unpaid. .j 716 C O 50, 395 70 Individual deposits .j 2,871,991 84 154,368 17 United States deposits , 79, 781 96 Deposits of U. S. disbursing officers 24, 567 13 40, 364 00 Due to other national banks ; 11, 420 09 748 51 Due to State banks and bankers i 2~>6, 086 50 2, 000 00 Notes and bills re-discounted. 230, 000 00 Bills payable 13, 496 00 4, 326, 473 55 Total ; 4, 326, 473 55 244 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. New York State National Bank, Albany. No. 1262. FRANKLIN TOWNSEND, President. J. H. VAN ANTWERP, Cashier. Resources. Liabilities. j Loans and discounts ! $1,175, 020 8P i Capital stock paid in Overdrafts ! 832 37 i U. S. bonds to secure circulation j 350, 000 00 i Surplus fund j U. S. bonds to secure deposits i ! Other undivided profits | U. S. bonds on hand j 200, 000 00 ; Other stocks, bonds, and mortgages.. 41,342 50 i National bank notes outstanding . . . . Due from approved reserve agents...: 319, 911 80 ; State bank notes outstanding Due from other banks and bankers... j 114, 835 03 ! Dividends unpaid. Real estate, furniture, and fixtures... j 28, 000 00 j Current expenses and taxes paid ! 3,824 97 Premiums paid i 56, 500 00 j Individual deposits United States deposits Checks and other cash items i 5, 947 38 ' Deposits of U. S. disbursing officers. Exchanges for clearing house ! 33,120 4L ! Bills of other banks i 774 00 | Due to other national banks Fractional currency ! 543 00 : Due to State banks and bankers J Specie I 2,876 00 ' Legal tender notes 24, 450 00 ! Notes and bills re-discounted U. S. certificates of deposit 140, 000 00 : Bills payable Due from U. S. Treasurer .. 15, 750 00 j Total I Total 2, 518, 723 35 : $350,000 00 200,000 00 43, 830 69 315,000 00 12 00 935, 794 71 433,164 77 240,876 18 2,513,723 35 Union National Bank, Albany. No. 1123. B. P. LEARNED, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds,on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid | Checks and other cash items j E xchanges for clearing house | Bills of other banks ! Fractional currency ! Specie \ Le^al tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. JAS. C. COOK, Cashier. $419, 516 57 ! Capital stock paid in.. 218 36 ; 250, 000 00 Surplus fund Other undivided profits 1, 300 00 National bank notes outstanding 53, 241 47 State bank notes outstanding 52,041 71 Dividends unpaid . 15, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 14, 584 42 3, 922 00 Due to other national banks 150 00 Due to State banks and bankers 492 41 30, 000 00 ! Notes and bills re-discounted. Bills payable 14, 150 00 Total. 854, 616 94 : $250,000 00 100, 000 00 76, 938 45 170, 600 00 7,104 00 233, 705 57 16,190 39 23 53 854, 616 94 First National Bank, Albion. IX. S. BURROWS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand. Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. ALBERT S. WARNER, Cashier. No. 166. $91,399 01 ! Capital stock paid in . 1, 787 26 100, 000 00 | Surplus fund 26,666 60" Other undivided profits 21,650 00 National bank notes outstanding 25,967 55 State bank notes outstanding 31,387 39 Dividends unpaid . 1,294 93 1,802 55 Individual deposits United States deposits Deposits of U. S."disbursing officers. 3, 367 00 Due to other national banks 191 28 Due to State banks and bankers 1,529 50 20, 762 00 Notes and bills re-discounted. Bills payable 6, 000 00 327,133 47 Total . $100,000 00 20, 000 00 1,913 07 90,000 00 112,291 76 2, 747 47 181 17 327, 138 47 REPORT OF THE COMPTROLLER OF THE CURRENCY. 245 NEW YOR K. Orleans County National Bank, Albion. E. K. HART, Cashier. No. 1509. J. M. CORSFLL, President. Resources. Liabilities. Loans and discounts ! Overdrafts I U. S. bonds to secure circulation i U. S. bonds to secure deposits ! U.S. bonds on hand i Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers -..! Real estate, furniture, and fixtures. -J Current expenses and taxes paid i Premiums paid j Checks and other cash items ' Exchanges for clearing house ; Bills of other banks Fractional currency Specie ; Legal tender notes \ U. S. certificates of deposit j Due from U. S. Treasurer Total ! $219,5'29 32 Capital stock paid in ],267 69 100, 000 G Surplus fund O Other undivided profits 9,550 00 14, 33L 24 National bank notes outstanding 29, 557 92 State bank notes outstanding 636 26 7, 490 00 Dividends unpaid 2,011 31 Individual deposits . United States deposits 1,371 14 Deposits of U. S. disbursing officers j 53,559 53 7,183 82 86, 274 00 i j j J j 167, 979 80 ! 3,765 00 Due to other national banks 792 00 Due to State banks and bankers 5,807 00 16, 450 00 Notes and bills re-discounted . . . . Bills payable 4, 500 00 2, 061 73 j | j Total 417,058 88 $100, 000 00 j j 417,058 88 First National Bank, Amenia. No. 706. A. W. PALMER, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid.... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $157, 199 65 1, 687 92 100, 000 00 $100,000 00 Surplus fund , Other undivided profits j National bank notes outstanding State bank notes outstanding 540 00 11,109 11 i 10,000 00 : Dividends unpaid. 1, 484 40 | Individual deposits United States deposits ... 1,058 10 Deposits of U. S. disbursing officers . 3,542 436 1, 400 5, 000 00 jj Due to other national banks 67 ]i 00 i: Due to State banks and bankers . 00 jj Notes and bills re-discounted 1 Bills payable ""i'soo'oo"! j; Total. NEWTON HEBARD, Cashier. Capital stock paid in 88, 000 00 404 00 71, 458 23 1,985 94 j 297, 957 85 Total. 297,957 85 | 22, 000 00 14, 109 68 First National Bank, Amsterdam. JOHN MCDONNELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents...! Due from other banks and bankers . . Real estate, furniture, and fixtures-.. Current expenses and taxes paid Premiums paid Checks and other cash items E xchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer I Total. No. 1307. DAVID CADY, Cashier. $196,259 74 Capital stock paid in $125,000 00 1, 723 44 95, 000 00 Surplus fund Other undivided profits. 10, 222 95 | National bank notes outstanding J 15, 656 47 I State bank notes outstanding Dividends unpaid. 25,100 00 Individual deposits United States deposits 2, 596 50 Deposits of U. S. disbursing officers . 1, 449 00 211 00 85 00 9, 205 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 23;500 00 4,557 62 85, 500 00 7-23 00 118,549 10 3,854 38 4, 275 00 : 361, 684 10 Total. 361,684 10 246 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Farmers' National Bank, Amsterdam. ISAAC JACKSOV, President. No. 1335. D . D. CASSTDY, Cashier, Resources. Liabilities. Loans and discounts $420, 500 66 Overdrafts '•• 927 77 U- S. bonds to secure circulation i 136, 500 00 U. S. bonds to secure deposits IT. S. bonds on h a n d . . . 17. 500 00 Other stocks, bonds, and mortgages..; 15,081 93 Due from approved reserve agents... 11,192 94 Due from other banks and bankers .. 767 04 Real estate, furniture, and fixtures...; 30, 767 36 Current expenses and taxes p a i d . . . . . : 5, SOS 19 Premiums paid Cheeks and other cash items : 11, 508 04 Exchanges for clearing house Bills of other banks i 6, 975 00 Fractional currency 284 29 Specie ; 2,720 00 Legal tender notes • 17, 4t<8 00 ' U. S. certificates of deposit Due from U. S. Treasurer 6, 142 50 Total ; Capital stock paid in . $200, 000 00 Surplus fund OTher undivided profits National bank notes outstanding State bank notes outstanding 40, 000 00 135,832 91 121,147 00 Dividends unpaid . 6, 500 00 Individual deposits United States deposits Deposits of U. 8. disbursing officers . 176, 002 85 Dae to other national banks Due to State banks and bankers Nores and bills re-discounted Bills payable. 683, Sti3 72 4,344 07 36 89 683, 863 72 Total Manufacturers' National Bank, Amsterdam. ADAM W. KLTNE, President. No. 2239. Loans and discounts Overdrafts U. S. bonds to secure circulation 17. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from appi'oved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes 17. S. certificates of deposit Due from U. S. Treasurer Total. H. P. KLINE, Cashier. ,469 63 Capital stock paid in '"ooo'oo" Surplusfund Other undivided profits J $80, 000 00 ....! ! 16,000 00 12, 018 53 j I, 51, 000 00 Individual deposits ! United States deposits j •,401 73 ! Deposits of U. S. disbursing officers.. I 13, 403 86 613 04 j National bank notes outstanding State back notes outstanding Dividends unpaid , ',559 35 ' 473 79 , i 420 00 , ,659 43 ; !, 820 So , O'i7 00 12 60 72 72 Due to other national banks Due to State banks and bankers . N-->t?f? and "bills re-discounted Bills payable ,623 UJ 9,160 86 ! j '.250 00 Total. ,5S3 25 184, 583 25 First National Bank, Andes. DUNCAN BALLANTINE. Loans and discounts , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits V. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid . . . Premiums paid , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 302. President. 3AS. F . SCOTT, Cashier. : $55,539 15 Capital stock paid in 84 GO, 000 00 Surplus fund Other undivided profits 12, 903 03 G, 738 24 $60, 000 00 12,901 25 3, 03 L 3L 53,290 00 National bank notes outstanding State bank notes outstanding " 5," 462* 77* Dividends unpaid 598 03 I ndividual deposits United States deposits 329 32 Deposits of U. S. disbursing officers.. 237 00 136 41 50 00 4,f.;5 00 0 23, 293 70 D-.i-i to other national banks Dn j to State? banks and bankers nes and bills re-discounted 699 50 149, 516 >'•£,] „ | 149,516 26 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 247 YOU First National Bank, Angelica. J. E. ROBINSON. Cashier. No. 564. SMITH DAVIS, President. Resources. Loans and discounts i Overdrafts i U. S. bonds to secure circulation j U. S. bonds to secure deposits...« | U. S. bonds on hand j Other stocks, bonds, and moi tgages.. j Due from approved reserve agents...! Due from other banks and bankers ..i Real estate, furniture, and fixtures...I Current expenses and taxes paid \ Premiums paid Checks and other cash items i Exchanges for clearing house ; Bills of other banks j Fractional currency -| Specie i Legal tender notes i U. S. certificates of deposit j Du« from U. S. Treasurer j Total | i $110,974 93 Capital stock paid in. 257 00 j 100, 000 00 Surplus fund Other undivided profits ! National bank notes outstanding { 31, 031 47 State bank notes outstanding j 2, 959 62 2, 400 00 Dividends unpaid j 510 20 Individual deposits 879 67 United States deposits 735 00 Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . . 1, 743 00 Notes and bills re-discounted. Bills payable 4,500 00 255,990 89 Total. $l§0, 000 00 12, 900 00 1, 433 04 88, 400 00 52, 271 44 986 41 255, 990 89 First National Bank, Auburn. CHAS. N. ROSS, President. i Loans and discounts Overdrafts jI i U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 231. CHARLES O'BRIEN, Cashier. ; ! $759,141 91 Capital stock paid in 10,840 47 i| 257, 000 00 | Surplus fund !| Other undivided profits 11,164 05 jl National bank notes outstanding 30 741 74 I State bank notes outstanding . 21,146 33 28,131 34 Dividends unpaid . 1, 707 80 Individual deposits United States deposits 4,727 10 Deposits of U. 8. disbursing officers. 1, 349 00 Due to other national banks 512 68 Due to State banks and bankers 1,190 00 30, 000 00 Notes and bills re-discounted. Bills payable 11, 565 00 1,169,217 42 Total $300, 000 00 13,009 30 27,847 60 231,300 00 912 00 498, 871 50 2,277 02 45, 000 00 50,000 00 I 1,169,217 42 Cayuga County National Bank, Auburn. N. BEARDSLET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits TT. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1345. A. L. PALMER, Cashier. $528, 472 04 ! Capital stock paid in. 2, 392 56 j 200, 000 00 Surplus fund Otht r undivided profits . National bank notes outstanding State bank notes outstanding 9, 009 37 Dividends unpaid . 23, 500 00 1,831 35 Individual deposits ;| United States deposits 2, 852 62 |j Deposits of U. S. disbursing officers 8, 800 00 $200,000 00 2, 300 00 17,027 60 180, 000 00 29, 604 79 2, 288 00 ! Due to other national banks 178 44 ! Due to State banks and bankers 220 85 20, 650 00 Notes and bills re-discounted. Bills payable 9, 000 00 j 838,800 02 1 1 Total. 346, 100 90 33, 643 94 1,727 58 58, 000 00 838, 800 02 248 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Bank, Auburn. C. H. MERRIMAN, President. No. 1350. JAMES SEYMOUR, Jr., Cashier, Resources. Liabilities. Loans and discounts , Overdrafts ; U. 8. bonds to secure circulation ; U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..: Due from approved reserve agents... Due from other banks and bankers . . \ Real estate, furniture, and fixtures - . . j Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks r Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $510,723 89 1,924 00 172. i'0'J 00 Capital stock paid in. 2,370 05 29, 718 06 5. 285 13 3, 308 15 Total i 40, 000 00 60,019 05 National bank notes outstanding State bank notes outstanding 153, 300 00 Dividends unpaid . 122 75 Individual deposits United States deposits Deposit* of U. S. disbursing officers. 12, 370 92 ! i • i ; \ ; $200, 000 00 Surplus fund Other undivided profits . 1,480 00 510 67 4,936 88 21, 900 00 300,474 49 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 7, 740 00 8, 286 65 65 (JO !. ! Total. 774,267 94 12, 000 00 774, 267 94 National Exchange Bank, Auburn. No. 1351. W. T. GRAVES, President. LoaDS and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $293,017 04 5,122 38 137, 000 00 Capital stock paid in I Surplus fund Other undivided profits ; 5, 472 88 1, 845 341 625 3, 350 00 94 00 00 6,"66o"66": $200, 000 00 1, 000 00 5, S70 79 11, 787 56 ;| National bank notes outstanding 6,118 26 ; State bank notes outstanding 7, 220 49 ! Dividends unpaid. Individual deposits ' United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 121,200 00 145, 785 98 4,040 16 63 62 Notes and bills re-discounted Bills payable Total. 477, 960 55 Total. E. S. NEWTON, Cashier. 477, 960 55 First National Bank, Aurora. Loans and discounts i ; Overdrafts U. S. bonds to secure circulation ! U. S. bonds to secure deposits i U. S. bonds on hand | Other stocks, bonds, and mortgages..j $67, 608 42 170 62 95, 000 00 Due from approved reserve agents... j Due from other banks and bankers . . i Real estate, furniture, and fixtures.. .J Current expenses and taxes paid j Premiums paid 4, 525 04 5, 145 79 3,300 oa Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie '. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. ALLEN MOSHER, Cashier. No. 412. E D W I N B. MORGAN, President. 50, 900 00 Capital stock paid in .- 12, 000 00 11,561 8L National bank notes outstanding State bank notes outstanding 85, 500 00 Dividends unpaid. Individual deposits 3, 250 00 1 United States deposits 500 00 j Deposits of U. S. disbursing officers. 00 I Due to other national banks 31 Due to State banks and bankers . 00 00 Notes and bills re-discounted. Bills payable 4,275 00 1, 922 16 60 4, 000 240,673 18 $100,000 00 Surplus fund Other undivided profits Total. 31,473 25 138 Ti 240,673 18 REPORT OF THE COMPTROLLER OF THE CURRENCY. WE W 249 YORK. First National Bank, Baldwinsville. JAMES FRAZEE, President. No. 292. W. F. MORRIS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer .. $133,375 85 ""i4o,"66o"65" 30,000 00 20,052 81 Surplus fund Other undivided profits National bank notes outstanding 3, 252 84 922 73 5, 000 00 2,540 01 4, 590 88 2S0 00 4 87 69 512 00 500 00 ""6,"9LL"66" 126, 000 G O State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 348,373 00 Total. $140,000 00 Capital stock paid in Total 26, 096 73 223 48 6, 000 00 348,373 00 First National Bank, Ballston Spa. HIRO JONES, President. S. C. MEDBERY, Cashier, No. 954. Loans and discounts $215, 200 26 Capital stock paid in. 952 20 Overdrafts 100, 000 00 Surplus fund U. S. bonds to secure circulation j U. S. bonds to secure deposits I... Other undivided profits IT. S. bonds on hand j. - National bank notes outstanding Other stocks, bonds, and mortgages.. 35, 013 28 State bank notes outstanding Due from approved reserve agents. ..I 1, 809 64 Due from other banks and bankers , . 36,064 29 Dividends unpaid . Real estate, furniture, and fixtures... Current expenses and taxes paid. Individual deposits Premiums paid ljn ; ted States deposits. Checks and other cash items 237 14 Dut osits of U. S. disbursing officers . Exchanges for clearing house 2,143 00 Bills of other banks Due to other national banks 273 90 Due to State banks and bankers Fractional currency 270 00 Specie 13,200 00 Notes and bills re-discounted. Legal tender notes Bills payable , U. S. certificates of deposit 4,500 00 Due from U. S. Treasurer Total 409,713 71 Total. $1GO, 000 00 20,000 00 27, 613 i>3 90, 000 00 171, 420 23 62 L 25 59 00 409,713 7L Ballston Spa National Bank, Ballston Spa. .1. W. THOMPSON, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1253. JOHN J. L E E , Cashier. $190, 763 46 1 Capital stock paid in . 1 100, 000 00 30, 000 00 58, 852 80 372 24 3, 000 00 ]5,000 00 42, 954 65 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid . Individual deposits United States deposits 3, 229 49 I Deposits of U. S. disbursing officers. Due to other national banks 410 00 Due to State banks and bankers 119 15 8, 347 00 Notes and bills re-discounted. Bills payable , 399,594 14 j $100, 000 00 Surplus fund Other undivided profits Total. 139, 346 52 J1, 650 53 642 44 250 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Batavia. No. 340. TRACY PARDEE, President. L. C. MdNTYRE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits j. ! U. S. bonds on hand . Other stocks, bonds, and mortgages..' Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid ; Premiums paid !. Checks and other cash items i Exchanges for clearing house Bills of other banks Fractional currency ; Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $308, 390 66 I Capital stock paid in ; 2,250 00 I l 75,000 00 Surplusfund. Other undivided profits j " 9,"6oo 65" t National bank notes outstanding i i 17,303 06 State bank notes outstanding i 5,285 50 i Dividends unpaid 13,938 03 I1 ; 2,692 06 I Individual deposits j United States deposits, j Deposits of U. S. disbursing officers.. j """457" 66" I: 40 25 !' 435 00 j 9, 000 00 3, 977 00 Due to other national banks Due to State banks and bankers ; ' | j 54,789 91 15,231 41 67,500 00 237, 939 97 i j Notes and bills re-discounted Bills payable $75, 000 00 450,461 29 Total 450,461 29 National Bank of Genesee, Batavia. No. 1074. H. U. HOWARD, President. Loans and discounts Overdrafts '. U. S. bonds to secure circulation ; U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... I Due from approved reserve agents... i Due from other banks and bankers... Real estate, furniture, and fixtures . . . ! : Current expenses and taxes paid Premiums paid i Checks and other cash items • Exchanges for clearing house 1 Bills of other banks | Fractional currency • Specie • Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer j Total j A. N. COWDIN, Cashier. $394,117 40 Capital stock paid in 2,396 37 I 110, 000 00 , Surplusfund Other undivided profits \ i! 102, 148 30 j i National bank notes outstanding 31, 426 59 |! State bank notes outstanding 10,430 21 | Dividends unpaid 19, 087 84 !; 2,873 91 |; \\ I n d i v i d u a l d e p o s i t s United States deposits 65 96 || j 1Deposits of U.S. disbursing officers. 430 00 j Due to other national banks 101 00 |jDue to State banks and bankers 318 94 |; 24, 368 00 j INotes and bills re-di3counted ij Bills pavable 4, 950 00 | j 702,714 52 || Total. $114,400 00 51,343 92 3,115 73 99, 000 00 431,153 90 3,695 97 702,714 52 First National Bank, Bath. H. H. COOK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 165. $335,272 54 1,681 80 W. W. ALLEN, Cashier. Capital stock paid in . , Surplus fund I,"5o6"6o" j Other undivided profits National bank notes outstanding 13,522 40 State bank notes outstanding 34,155 46 Dividends unpaid. 10, 000 00 100, 000 00 4,757 I 1,619 00 167 17 1,360 00 11, 856 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bill3 re-discounted. |j Bills payable 4, 500 00 520, 392 05 Total. $100, 000 00 20, 000 00 9,152 29 90,000 00 193,851 66 4,176 56 3,211 54 100, 000 00 520, 392 05 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 251 YORK. First National Bank, Binghamton. ABEL BENNETT, President. No. 202. GEORGE PRATT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand . . . Other stocks, bonds, and mortgages.. Due from approved reserve agents..-! Due from other banks and bankers. ..j Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house B ills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $456, 179 49 Capital stock paid in. 15.251 20 177,200 00 Surplus fund 50,0.0 00 Other undivided profits . National bank notes outstanding 13,087 49 State bank notes outstanding 16,549 05 Dividends unpaid . 43. 000 00 5, 290 40 Individual deposits United States deposits 3, 902 32 Deposits of U. S. disbursing officers.. 267 303 347 30, 879 d0 Due to other national banks 88 00 Due to State banks and bankers . 00 Notes and bills re-discounted. Bills payable 7, 574 00 Total. 819, 830 83 Total . $200, 000 00 100, 000 00 15, 026 19 159, 450 00 298, 694 84 31,3:55 95 277 20 46 65 15, 000 00 819,830 83 City National Bank, Binghamton. C. W. SANFORD, President. W. R. OSBORN, Cashier. No. 1189. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $335,412 79 Capital stock paid in . 462 66 180, 000 00 Surplus fund Other undivided profits ""20"ooo 65' National bank notes outstanding 6, 680 85 State bank notes outstanding 14, 087 25 22, 000 00 1,743 92 2,537 43 Dividends unpaid . 50, 000 00 19,136 27 162, 000 00 202 96 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 983 00 200 00 400 00 Due to other national banks Due to State banks and bankers 11, 500 00 Notes and bills re-discounted. Bills payable 8,100 00 606,107 90 $200, 000 00 Total . 148 186 54 6, 28(? 83 295 30 20,000 00 606,107 90 Merchants' National Bank, Binghamton. ERASTUS ROSS, President. No. 2136. Loans and discounts Overdrafts IT S. bonds to secure circulation U. & bonds to secure deposits U. S bonds on hand Other stocks, bonds, and mortgages.. Due ft om approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges fcr clearing house. Bills of other banks Fractional currency Specie Legal tender notes U.S. certificates of *"' Due fromU. S. Trea. irer. $198, 008 50 Capital stock paid in. 432 19 100, 000 00 Surplus fund Other undivided profits. National bank notes outstanding 10,915 94 State bank notes outstanding 5,15L 81 Dividends unpaid , 2, 160 00 1,166 42 Individual deposits 14, 000 00 United States deposits 1,771 93 Deposits of U. S. disbursing officers. 394 00 ' Due to other national banks 31 51 Due to State banks and bankers . 2, 877 00 2, 584 00 Notes and bills re-discounted ! Bills payable-. 4, 500 00 '• Total. Total H. Ex. 3- GEO. M. BURR, Cashier. 13 $100, 000 00 2,123,13 4, 573 73 90, 000 00 138, 837 84 8, 458 60 343,993 30 252 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YO RK. National Broome County Bank, Binghamton. CYRU8 STRONG, President. No. 1513. T. R. MORGAN, Cashier, Resources. Liabilities. Loans and discounts $169,314 61 Capital stock paid in. Overdrafts i 2,531 63 U. S. bonds to secure circulation 100, 200 00 Surplus fund U. S. bonds to secure deposits Other undivided profits U. S. bonds on hand Other stocks, bonds, and mortgages.. 9, 000 00 National bank notes outstanding . . . Due from approved reserve agents... 30 53 State bank notes outstanding Due from other banks and bankers . . 5. 671 14 Dividends unpaid Real estate, furniture, and fixtures... 2, 099 95 Current expenses and taxes paid 833 2 Individual deposits . U . ... Premiums paid United States deposits Checks and other cash items | 1, 449 85 Deposits of U. S. disbursing officers. Exchanges for clearing house Bills of other banks , 842 00 Due to other national banks Fractional currency i 61 29 Due to State banks and bankers Specie I 4,000 00 Legal tender notes | 6, 300 00 Notas and bills re-discounted U. S. certificates of deposit i Bills payable Due from U. S. Treasurer ! 10, 519 75 Total j 312,853 95 Total $100, 000 00 20, 000 00 10, 578 97 89, 795 00 2, 837 00 1, 955 00 85, 945 27 363 96 1, 378 75 312,853 95 First National Bank, Boonville. J. R. THARRATT, President. No. 2320. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $129,021 65 3, 509 97 50, 000 00 9, 2, 7, 2, 8, CLARK DODGE, Cashier. Capital stock paid in., 75, 000 00 Surplus fund , Other undivided profits., National bank notes outstanding State bank notes outstanding Dividends unpaid . 45, 000 00 055 30 725 95 849 71 737 58 Individual deposits 689 00 United States deposits 235 01 Deposits of U. S. disbursing officers. 6, 337 91 99, 385 96 5,528 00 Due to other national banks 121 70 Due to State banks and bankers . 4, 000 00 Notes and bills re-discounted Bills payable 2,"256"6o" 225, 723 87 Total 225,723 87 First National Bank, Brewsters. J. G-. BORDEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds,and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks , Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2225. $56,120 05 6 27 50, 000 00 519 62 32, 739 78 2, 563 92 2, 900 00 255 15 7,500 00 1, 360 23 9, 400 00 199 76 580 00 3, 900 00 FRANK WELLS, Cashier. Capital stock paid in. Surplus fund , Other undivided profits. National bank notes outstanding State bank notes outstanding $50, 000 00 600 00 1,829 46 45,000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 72, 865 32 Due to other national banks Due to State banks and bankers . Notes and bills re-dlscounted . Bills payable 2, 250 00 170, 294 78 Total. 170,294 78 EEPOET OF THE COMPTROLLER OP THE CURRENCY. NEW 253 YORK. First National Bank, Brockport. No. 382. LUTHER GORDON, President. F . J. CONANT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts . U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. $127, 567 03 3, 061 15 50, 000 00 Due from approved reserve a g e n t s . . . Due from other banks and bankers-.Real estate, furniture, and fixtures... Current expenses and taxes paid .. Premiums paid ,031 272 ,000 , 133 300 00 41 51 00 70 62 00 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Sp* ecie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer ,287 00 165 73 200 00 250 65" Total. Capital stock paid in . $50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 1, 500 00 5,114 70 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 210,330 58 78,215 88 14,000 00 16, 500 00 210, 330 58 Total. First National Bank, Brooklyn. No. 923. NICHOLAS WYCKOFF, President. Loan3 and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due irom U. S. Treasurer Total.. JNO. il, 424, 402 56 "166," 066" 66" "766," 606'66" Surplus fund Other undivided profits 395, 326 96, 207 30,391 30, 000 13 71 52 00 117, 936 25 203,140 14 57,331 3, 425 27, 652 141,000 ' G. JENKINS, Cashier. Capital stock paid in. 00 66 25 00 $"300, 000 00 525, 000 00 7, 356 94 National bank notes outstanding State bank notes outstanding Dividends unpaid 89, 750 00 427 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 2, 098,101 09 42, 979 71 67, 685 98 Notes and bills re-discounted Bills payable 4," 487" 50* 3, 331, 300'72 Total. 3,331,300 72 Manufacturers' National Bank of New York, Brooklyn. T. C. DiSBROW, Cashier. C. H. FELLOWS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $503, 328 56 198 98 200, 000 00 "*i66,"666'66" 25,318 174, 746 2,332 43,153 4,844 44, 312 75 54 61 06 40 50 6,707 19 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 27, 717 00 2, 056 51 4,135 00 Notes and bills re-discounted. Bills payable 20, 000 00 14,196 16 135,000 00 3, 619 09 732, 535 85 Due to other national banks Due to State banks and bankers . 59, 500 00 $252, 000 00 50, 000 00 9,000 00 1,207,351 10 Total 1,207,351 10 254 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Nassau National Bank, Brooklyn. No. 658. C. C. SMITH, President. E. T. JONES, Cashier. Resources. Liabilities. 1,015,457 3,314 167, 000 150, 000 Loans and discounts Overdrafts U. S. bonds to secure circulation XT. S. bonds to secure deposits V. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 29 ; Capital stock paid in. 72 ' 00 Surplus fund 00 Other undivided profits . 352, 430 90 5,317 50 ""5,"799*85" 140, 609 03 25, 000 0 5, 976 00 67, 000 00 $300, 000 00 200,000 00 27, 642 09 National bank notes outstanding... State bank notes outstanding Dividends unpaid . 348,250 00 3, 409 00 675 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national b a n k s . . . . Due to State banks and bankers. 1,153,321 39 28,136 13 40, 753 04 43,233 69 Notes and bills re-discounted., Bills payable , 7, 515 00 Total . Total. 1, 945, 420 34 1, 945, 420 34 National City Bank, Brooklyn. J. No. 1543. J. STUD WELL, President. A. A. R O W E , Cashier. Loans and discounts I $1,425,561 42 -, Capital stock paid in. Overdrafts I 3,942 89 U. S. bonds to secure circulation ! 111,000 00 I Surplus fund *.. U. S. bonds to secure deposits j : Other undivided profits U. S. bonds on hand National bank notes outstanding Other stocks, bonds, and mortgages.. \ Due from approved reserve agents... 137, 613 06 j State bank notes outstanding Due from other banks and bankers ..i 100, 000 00 Dividends unpaid . Seal estate, furniture, and fixtures...' 34, 092 70 Current expenses and taxes paid [ 3,747 39 Individual deposits Premiums paid i Uuited States deposits Checks and other cash items j 8 4, 208 47 Deposits of U. S. disbursing officers. Exchanges for clearing house | Bills of other banks i 23, 300 00 Due to other national banks Fractional currency i Due to State banks and bankers Specie I 1,700 00 Notes and bills re-discounted Legal tender notes | 80,000 0D U. S. certificates of deposit j Bills payable Due from U. S. Treasurer | 4, 995 00 Total I 2,010,160 93 ' Total. $300, 000 00 400, 000 00 49.554 00 99, 750 00 390 00 1,146,253 54 9,231 79 4,981 60 2, 010,160 93 First National Bank, Buffalo. JAS. No. 2351 H. METCALFE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . . I Current expenses and taxes paid ! Premiums paid Checks and other cash items j Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Du<e from U. S. Treasure. Total $354, 197 95 202 59 111,000 00 36, 000 00 18, 742 56 134, 404 16, 017 25, 309 3, 078 5, 390 36 73 77 42 38 CHAS. T. COIT, Cashier, Capital stock paid in- 50, 000 00 11, 070 92 National bank notes outstanding . . State bank notes outstanding . . . . . 97, 900 00 Dividends unpaid. Individual deposits i j United States deposits 13, 796 95 ! Deposits of U. S. disbursing officers 9,864 250 5, 625 60, 000 00 i Due to other national banks 00 ! Dae to State banks and bankers 00 00 Notes and bills re-discounted. Bills payable 4,416 00 | 798,295 71 jj $100, 000 00 Surplus fund Other undivided profits . Total. 464,939 15 1,313 16 73, 072 48 798, 295 71 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 255 YORK. Third National Bank, Buffalo. ABRAHAM ALTMAN, President. No. 850. S. A. PROVOOST, Jr., Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks . . . . . . Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $821,314 61 i Capital stock paid i n . 738 43 I 100, 000 00 j Surplus fund Other undivided profits "i2,"850"65"i I 20, 453 07 : National bank notes outstanding 125,146 94 I State bank notes outstanding . 22,274 58 1,700 00 I 50, 000 00 21,773 10 j 3,400 9 7,195 45, 400 90, 000 00 Dividends unpaid 1,465 87 i | Individual deposits '< j United States deposits 2, 542 29 ;i Deposits of U. S. disbursing officers. 00 j Due to other national banks 81 ! Due to State banks and bankers 96 : 00 Notes and bills re-discounted Bills p a y a b l e 4"ooo*6o" 1, 168, 991 56 Total. $250, 000 00 Total 514,678 70 7, 936 10 234, 603 66 : i I 1,168, 991 5(5 Farmers and Mechanics' National Bank, Buffalo. E. G. SPAULDING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits Ur S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae fromU. S. Treasurer Total. No. 453. $733, 827 32 2 64 56, 500 00 150, 000 00 750 00 64, 948 24 122, 583 67 17,080 13 FRANKLIN SID WAY, Cashier. $200, 000 00 Capital stock paid in. Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding 50, 000 00 Dividends unpaid Individual deposits 2,120 67 United States deposits 62 03 Deposits of U. S. disbursing officers.. 103, 368 00 896 39 24, 081 87 165, 000 00 150, 000 00 3J.737 86 Due to other national banks Due to State banks and bankers Notes and bills re-discounted., Bills payable 760,251 32 58, 505 59 112,562 85 39, 520 20 43,643 14 5, 000 00 1, 446, 220 96 Total. 1, 446, 220 96 Cambridge Valley National Bank, Cambridge. M. D. HUBBARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furnitui e, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1275. JAMES THOMPSON, Cashier. $249, 599 24 Capital stock paid in . 526 71 75, 000 00 Surplus fund Other undivided profits 25,247 50 National bank notes outstanding 23, 322 34 State bank notes outstanding 17,035 10 39,977 00 Dividends unpaid. Individual deposits United States deposits 400 11 Deposits of U. S. disbursing officers . . Due to other national banks 'l," 405'56" Due to State banks and bankers 13, 029 00 $130, 000 00 26, 000 00 5,835 16 67, 500 0Q 420 50 218, 846 22 315 68 Notes and bills re-discounted. Bills payable "'3*375"o6' 448,917 56 Total . 448, 917 56 256 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Canajoharie National Bank, Canajoharie. JNO. C. SMITH, President. A. G-. RICHMOND, Cashier. No. 1122. Resources. Liabilities. $180, 259 25 1,310 58 52, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 10, 12, 17, 2, 17, Capital stock paid in $125, 000 00 Surplus fund Other undivided profits National bank notes outstanding 000 00 000 00 558 25 ! State bank notes outstanding 417 62 255 00 Dividends unpaid 483 28 Individual deposits 4,680 79 United States deposits "I"345"66" Deposits of U. S. disbursing officers.. Due to other national banks 910 IS Due te Slate banks and bankers 12, 340 00 Notes and bills re-discounted 2, 360 00 Bills payable Total . 314, 919 95 Total . 25, 000 00 22, 013 26 46, 800 00 90, 053 74 517 82 5,535 13 314,919 95 National Spraker Bank, Canajoharie. No. 1257. JAMES SPRAKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation | ! U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. I Real estate, furniture, and fixtures .. I Current expenses and taxes paid j Premiums paid I Checks and other cash items ' Exchanges for clearing house Bills of other banks \ Fractional currency ' Specie i Legal tender notes j U. S. certificates of deposit I Due from U. S. Treasurer \ Total ! JAMES FROST, Cashier. $126, 723 64 Capital stock paid in 1,071 24 100, 000 00 Surplus fund Other undivided profits 20,000 00 4,000 00 National bank notes outstanding 33, 316 33 State bank notes outstanding 10, 258 15 Dividends unpaid. 4, 500 00 980 86 5, 049 08 Individual deposits United States deposits 8, 682 02 Deposits of U. S. disbursing officers. $100, 000 00 2,891 00 Due to other national banks 41 99 Due to State banks and bankers . . . 6,000 00 Notes and bills re-discounted Bills payable 4, 500 00 957 69 25 00 Total. 328,<-14 31 13, 595 48 4, 406 44 86,691 00 121, 413 65 925 05 328,014 31 First National Bank, Canandaigua. E. G. TYLER, President. Loans and discounts Overdrafts V. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. M. D. MUNGER, Cashier. No. 259. $123,075 41 7, 633 54 75, 000 00 55, 869 58 17, 475 48 15,216 56 16,201 79 4, 832 46 659 01 Capital stock paid in. $75, 000 00 Surplus fund Other undivided profit3 25, 000 00 28, 467 77 National bank notes outstanding State bank notes outstanding 67, 500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. 114,917 38 20, 000 00 330, 885 15 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 257 Y O K K. Canastota National Bank, Canastota. DANTEL CRODSE, President. No. 1525. D. H. RASBACH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . . Due from other banks and bankers.. Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $122, 048 55 Capital stock paid in. $110, 0C0 00 ""Ii6,"666 66* Surplus fund Other undivided profits National bank notes outstanding . . . 5, 022 94 State bank notes outstanding 1, 154 89 Dividends unpaid., 5, 000 00 1, 589 53 Individual deposits 675 22 United States deposits 377 75 Deposits of U. S. disbursing officers. 13, 500 00 4,972 33 91,545 00 955 00 Due to other national banks 44 36 Due to State banks and bankers . . . 71 25 Notes and bills re-discounted 1,063 00 Bills payable """4,"950"66" Total. 252, 952 49 3, 032 94 21, 586 36 290 81 8, 025 00 252, 952 49 First National Bank, Candor. No. 353. E. A. BOOTH, President Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency..._ Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $103, 546 60 1, 333 45 47, 700 00 11,721 13 958 29 5, 560 35 579 17 1,537 32 460 00 503 00 329 90 1,500 00 5 000 00 2,106 50 JEROME THOMPSON, Cashier. $50,000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 4,250 00 2, 502 80 41, 630 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks . Due to State banks and bankers Notes and bills re-discounted. Bills payable 182, 835 71 Total. 50,714 69 1,152 38 624 43 31,961 41 182, 835 71 Putnam County National Bank, Carmel. SYLVESTER MABTE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, a ad mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates,of deposit Due from U. S. Treasurer Total No. 976. AMBROSE RYDER, Cashier. $152, 098 50 Capital stock paid in 97 61 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding . . . 8, 995 43 State bank notes outstanding 8, 039 22 Dividends unpaid. 2, 500 00 525 14 Individual deposits ! United States deposits 327 00 Deposits of U. S. disbursing officers. 560 00 Due to other national banks 125 00 Due to State banks and bankers 64 40 3,259 00 Notes and bills re-discounted Bills payable 282,091 30 ! Total $100, 000 00 20, 000 00 10,314 55 90, 000 00 229 00 10,574 34 973 41 282,091 30 258 REPORT OF THE COMPTROLLER OF THE CURRENCY. EW YORK. National Bank, Castleton. No. 842. J O E L D. SMITH. President. JAS. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $151,345 G 4 Capital stock paid in. 100, 000 00 $100, 000 00 Surplus fund Other undivided profits 1, 000 00 2, 8U2 4 1 5, 000 Oi) National bank notes; outstanding 23, 922 75 ' State bank notes outstanding 121 00 j 4, 309 42 j Individual deposits United States deposits.. Deposits of U. S. disbursing officers. 5.95 09 827 53 250 5, 400 90, 000 00 Dividends unoaid . 00 43 00 00 ! Due to other national banks I Due to State banks and bankers . ! I Notes and bills re-discounted. Bills payable 5, 400 00 | 297,224 33 ! Total. R. D O W N E R , Cashier. Liabilities. Total. 100,886 57 :, 535 35 297,224 33 Catskill National Bank, Catskill. No. 1294. ISAAC PRUYN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit D ue from U. S. Treasurer $200, 836 92 213 11 135,900 00 58, 959 24 11,233 48 4,315 19 13,500 00 1,788 10 2, 090 89 2, 876 29 393 00 272 75 282 36 3, 105 00 $149,991 00 Surplus fund Other undivided profits 20,000 00 12,932 09 National bank notes outstanding State bank notes outstanding 122,300 00 1,217 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 125, 466 51 10,065 70 9 03 Notes and bills re-discounted . Bills payable 6, ] 15 00 441,981 33 Total . HENRY B. H I L L , Cashier. Capital stock paid in. Total . 441,981 33 Tanners' National Bank, Catskill. S. S H E R W O O D DAY, Tresident. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid — Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U- S. Treasurer Total No. 1198. $340, 979 99 548 43 150, 000 00 11,534 18 74,901 58 4, 053 78 5, 500 00 457 74 3, 288 21 1,378 00 301 00 F R E D E R I C K H I L L , Cashier' Capital stock paid in . $150, 000 00 Surplus fund Other undivided profits 30, 000 C O 105,919 92 National bank notes outstanding State bank notes outstanding 135, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . 193,641 77 1, 958 22 9U0 00 15, 927 00 616,519 91 Notes and bills re-discounted Bills payable Total . 616,5 9 91 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 259 YORK. Firs. National Bank, Champlain. No. 316. TIMOTHY HOYLE, President. M. V. B. STETSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $247, 389 29 Capital stock paid in., 1,371 70 150, 000 00 Surplus fund Other undivided profits National bank notes outstanding 7,172 17 State bank notes outstanding 145 40 5, 000 00 Dividends unpaid. 699 55 11,000 00 Individual deposits United States deposits 1, 003 84 Deposits of U. S. disbursing officers. 54 00 55 29 3G5 00 5, 065 00 "6*750 00" Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 25, 000 00 7, 745 62 133, 365 00 119,957 37 3 25 Total. 436,071 24 Total. $150, 000 00 National Central Bank, Cherry Valley. H. J. OLCOTT, President. No. 1136. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency..-Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $228, 077 04 500 29 200,000 00 75,623 19 8, 079 60 W . H. B A L D W I N , Cashier. $200, 000 00 Capital stock paid in . Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding . . . . . . 28, 525 00 4, 270 78 Dividends unpaid . 45 00 146 55 290 00 13, 675 00 Due to other national banks . . . . Due to State banks and bankers Notes and bills re-discounted. Bills payable 20, 000 00 13, 548 04 180, 000 00 63 G O Individual deposits United States deposits 441 47 Deposits of U. S. disbursing officers. 141, 649 42 1,013 46 12, 600 00 9, 200 00 Total. Total. 568, &73 92 Chester National Bank, Chester. JAMES B U R T , President. Loans and discounts Overdrafts. U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1319. J. T. JOHNSON, Cashier. $215, 971 47 Capital stock paid in . 425 56 127, 000 00 Surplus fund Other undivided profits *"*22"665"00' 4,400 00 National bank notes outstanding . . . 19, 585 96 State bank notes outstanding 6,148 09 Dividends unpaid. 4,000 00 1, 857 98 Individual deposits United States deposits 368 43 Deposits of U. S. disbursing officers. ],461 00 Due to other national banks 36 50 Due to State banks and bankers. 1,405 60 13, 030 00 Notes and bills re-discounted. 10, 000 00 Bills payable 5, 647 50 433, 338 09 Total. $125, 500 00 30, 000 00 84,201 70 111,555 00 4,360 00 L, 386 00 76,191 36 144 03 433, 338 09 260 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Chittenango. No. 179. P E T E R W A L R A T H , President. B E N J . J E N K I N S , Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bond's to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U . S . certificates of deposit Due from U. S. Treasurer Total. $200, 049 22 978 92 150,000 00 6, 905 79 706 76 1,578 08 761 49 435 00 418 64 110 00 12, 418 00 "*6"7o6*66' Capital stock paid in., $150,000 00 Surplus fund Other undivided profits 40, 000 00 L7, 947 52 National bank notes outstanding State bank notes outstanding 133, 300 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 38,659 25 526 08 679 05 Notes and bills re-discounted. Bills payable 381,111 90 Total . 381,111 90 First National Bank, Cobleskill. CHAS. COURTER, President. No. 461. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie 1 egal tender notes TT. S. certificates of deposit Due from U. S. Treasurer .. $160,799 76 6,925 5L 100, 000 00 8, 257 81 7,123 51 Capital stock paid in., $100, 000 00 Surplus fund Other undivided profits 20, 000 00 4, 914 61 National bank notes outstanding State bank notes outstanding 90, 000 00 " 14,600 66 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 137 05 121 50 5, 000 00 4,500 66" Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 307, 466 26 Total. DEWITT C D O W , Cashier. Total . 64, 797 89 18 10 27,735 66 307, 466 26 National Bank, Cohoes. No. 1347. C. H. ADAMS, President. $533, 509 13 2,504 03 223, 400 00 Overdrafts U. S. bonds to secure circulation Other stocks, bonds, and mortgages... Due from approved reserve a g e n t s . . . Due from other banks and bankers . . Current expenses and taxes paid Checks and other cash items Exchanges for clearing h o u s e . . . . Bills of other banks Fractional currency _ Legal tender notes .... 21 00000 41, 500 00 M U R R A Y H U B B A R D , Cashier. Capital stock paid in Surplus fund $250, 000 00 28, 500 00 25, 552 98 National bank notes outstanding State bank notes outstanding 193, 583 00 1,893 00 127 09 8,736 66 10,016 42 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 303, 510 12 10,654 00 1, 524 34 Due to State banks and bankers 62, 477 90 1,803 95 17,127 00 35,916 68 105, 424 74 Notes and bills re-discounted Bills payable • . 10, 000 00 Total 944, 380 52 Total 944, 380 52 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 261 YORK. First National Bank, Cooperstown. No. 280. CALVIN GRAVES, President. F R E D . L. PALMER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U, S. Treasurer Total. Liabilitie: $356, 810 08 Capital stock paid in. 6, 559 69 100, 000 00 Surplus fund 50,000 00 Other undivided profits. 2, 975 00 National bank notes outstanding 11,433 72 State bank notes outstanding 2,031 04 Dividends unpaid . 29,572 16 3, 154 29 Individual deposits United States deposits 167 09 Deposits of U. S. disbursing officers. m\ b'o Due to other national banks Due to State banks and bankers . j Notes and bills re-discounted 21, 595 00 I Bills payable "" 4 "731 75" Total. 590, 607 25 263 34 453 09 $200, 000 00 40, 000 00 16, 734 38 90, 000 00 612 00 213, 823 47 22, 605 21 1,832 19 5, 000 00 590, 607 25 Second National Bank, Cooperstown. G. POMEROY KEESE, President. No. 223. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks . ... Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $660, 909 77 3, 052 54 225, 000 00 8, O O 00 H 17, 800 00 22, 092 26, 745 17, 857 4,610 3,185 27 88 33 61 34 1,154 26 27 440 935 28, 000 00 00 00 00 B. M. CADY, Cashier. Capital stock paid in., $300, 000 00 Surplus fund Other undivided profits. 60, 000 00 29, 878 64 National bank notes outstanding State bank notes outstanding Dividends unpaid . 160 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable Total Total . 200, 000 00 389, 807 69 4, 033 93 3, 357 99 42, 696 75 1,029,935 00 First National Bank, Cortland. THOMAS KEATOR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expen esand taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S Decie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 226. $343, 532 55 724 73 125, 000 00 FlTZ BOYNTON, Cashier. Capital stock paid in. $125,000 00 Surplus fund Other undivided profits 62, 500 00 18,901 14 8, 400 00 National bank notes outstanding 12,299 38 State bank notes outstanding 1, 939 75 9, 033 24 I Dividends unpaid . 993 04 | Individual deposits 1 j; United States deposits 5,314 55 | Deposits of U. S. disbursing officers. 112, 479 00 5, 712 00 Due to other national banks 17 L 13 Due to State banks and bankers 123 77 25, 000 00 Notes and bills re-discounted. Bills payable 544,369 14 Total 490 00 218,987 74 551 43 5, 459 83 544,369 14 262 REPORT OF THE COMPTROLLER OF THE CURRENCY. E W YORK. National Bank, Cortland. No. 2-272. JAMES S. SQUIRES, President. B. B. WOODWORTH, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation I U. S. bonds to secure deposits \ U. S. bonds on hand j Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. 5180,758 44 Capital stock paid in., 1, 085 26 35, 000 00 Surplus fund Other undivided profits. National bank notes outstanding 7, 871 12 | State bank notes outstanding 12, 850 67 21,087 00 Dividends unpaid . 3, 568 44 Individual deposits 5, 878 50 United States deposits 2, 523 16 Deposits of U. S. disbursing officers $100,000 00 560 00 9, 266 31 31,500 00 2,722 03 154, 292 72 1, 898 00 j Due to other national banks K>8 22 I Due to State banks and bankers 793 00 Notes and bills re-discounted 26, 800 00 Bills payable 1,575 66" Total. 301,856 81 640 06 2, 875 69 301, 856 81 National Bank, Coxsackie. No. 1398. ALEXANDER REED, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . SIDNEY A. DWIGHT, Cashier. $138,892 84 Capital stock paid in. 775 78 83, 350 00 Surplus fund Other undivided profits 13, 495 69 1, 304 22 1,274 94 8, 200 00 22 01 $112, 000 00 8,000 00 4, 694 86 National bank notes outstanding State bank notes outstanding 75, 000 00 Dividends unpaid . 120 40 Individual deposits , United States deposits , 630 51 Deposits of U. S. disbursing officers 45, 224 06 2, 450 87 8, 019 95 1,913 00 Due to other national banks 84 05 Due to State banks and bankers 17 10 3, 500 00 Notes and bills re-discounted Bills payable Total. Total. 255,510 14 Cuba National Bank, Cuba. E. D. LOVERIDGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid-.. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1143. GABRIEL BISHOP, Cashier. $190,177 82 Capital stock paid in 2,265 31 100, 000 00 Surplus fund Other undivided profits 825 00 15, 259 49 588 06 10, 864 20 2, 275 15 5,413 15 88 00 59 88 668 50 5,192 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable j $150,000 00 5, 747 41 7, 651 46 89,100 00 92 00 78, 001 25 494 48 93 73 4,996 18 2, 500 00 336, 176 56 Total. 336, 176 56 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 263 YORK. First National Bank, Dansville. JAMES FAULKNER, Jr., Cashier. JAMES FAULKNER, President. Liabilities. Resources. Loans and discounts Overdrafts . U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.S. Treasurer $72,321 03 Capital stock paid in . 1, 269 32 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding.... 13, 648 49 State bank notes outstanding 5,219 16 10, 000 00 Dividends unpaid. 2,355 11 Individual deposits United States deposits 5, 600 35 Deposits of U. S. disbursing officers. 700 67 216 09 5, 002 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 21, 584 34 9, 699 01 45, 000 00 40, 070 39 732 96 754 48 Total. 167, 086 70 Total. $50, 000 00 167, 086 70 Delaware National Bank, Delhi. No. 1323. G. E. MARVINE, President. Loans and discounts „. Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgagesDue from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. W. H. GRISWOLD, Cashier. $120, 535 58 Capital stock paid in 232 30 145, 000 00 Surplus fund 5"666"66" Other undivided profits 54, 400 00 National bank notes outstanding 12, 796 01 State bank notes outstanding 123 53 5,524 76 Dividends unpaid. 1,643 11 Individual deposits 862 50 United States deposits 1,402 34 Deposits of U. S. disbursing officers. $150,000 00 20, 068 16 8, 476 21 124.218 00 6, 082 00 252 00 53, 758 71 1, 151 00 Due to other national banks 78 95 2, 020 00 Due to State banks and bankers . 10, 560 00 Notes and bills re-discounted. Bills payable 6, 525 00 Total . 367, 855 08 367, 855 08 Deposit National Bnak, Deposit. CHARLES KNAPP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 472. CHAS. J. KNAPP, Cashier. $235, 580 64 Capital stock paid in . ""261," 666" 66' 18,600 00 36,818 14 2,187 93 2, 000 00 1, 065 27 59 86 Surplus fund O ther undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,032 00 Due to other national banks 31 00 200 00 Due to State banks and bankers . 10, 845 00 Notes and bills re-discounted. Bills payable , 9, 000 00 518, 419 84 Total. $200, 000 00 50, 000 00 28, 353 96 177, 840 00 3, 595 00 108 72 58,119 67 402 49 518, 419 84 264 REPORT OF THE COMPTROLLER OF THE CURRENCY. ] E W * YORK. Dover Plains National Bank, Dover. No. 822. G. W. KETCHAM. President. A. J. KETCHAM, Cashier. Resources. Loans and discounts Overdrafts -. U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . Liabilities. $133, 803 50 Capital stock paid in 148 11 100, 000 00 Surplus fund Other undivided profits $100, 000 00 19,464 76 4,914 24 National bank notes outstanding 12, 264 25 State bank notes outstanding 12,072 02 11,950 67 Dividends unpaid 2,313 03 Individual deposits 2, 547 00 United States deposits 350 00 Deposits of U. S. disbursing officers.. Due to other national banks 124 07 335 45 Due to State banks and bankers 5, 000 00 Notes and bills re-discounted , "5*200*66 Bills payable Total... 286,108 10 90, 000 00 1, 388 00 63, 952 36 6, 388 74 286,108 10 First National Bank, Ellenville. No. 45. GILBERT D U BOIS, President. Loans and discounts Overdrafts . U. S. bonds to secure circulation ; U. S. bonds to secure deposits ;. U. S. bonds on hand Other stocks, bonds, and mortgages .. | Due from approved reserve agents...' Due from other banks and bankers ..; Real estate, furniture, and fixtures.. Current expenses and taxes paid • Premiums paid :. Checks and other cash items j Exchanges for clearing house '. Bills of other banks Fractional currency : Specie i Legal tender notes ; U. S. certificates of deposit Due from U. S. Treasurer Total. J. BlNG CHILDS, Cashier. $201, 690 37 Capital stock paid in $150, 000 00 150, 000 00 Surplus fund Other undivided profits.. 18,675 00 15, 646 57 4, 108 57 7. 474 24 3, 995 42 32, 269 13 17, 073 59 National bank notes outstanding State bank notes outstanding Dividends unpaid. 205 20 Individual deposits United States deposits 2,120 62 I Deposits of U. S. disbursing officers- 843 317 303 3, 199 00 65 60 00 132, 055 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 82, 749 30 771 82 6, 750 00 415, 124 04 Total. 415, 124 04 Home National Bank, Ellenville. JOHN MCELHONE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2117. GEO. H. SMITH, Cashier. $135,481 02 Capital stock paid in. 279 60 85, 000 00 Surplus fund Other undivided profits 400 00 National bank notes outstanding 16, 035 05 State bank notes outstanding 9,256 49 5,302 30 Dividends unpaid. 3, 408 64 Individual deposits United States deposits 3,134 07 Deposits of U. S. disbursing officers. 966 00 Due to other national banks 518 91 Due to State banks and bankers . 174 70 3,467 00 Notes and bills re-discounted. Bills payable 3, 825 00 267, 248 78 Total. $100, 000 00 1, 450 00 9,158 91 75, 475 00 1, 720 50 73, 772 52 5, 671 85 267,248 78 REPORT OF THE COMPTROLLER OF THE CURRENCY. I E W V 265 YORK. First National Bank, Elmira. No. 119. S. T. ARNOT, President. M. H. ARNOT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $84, 787 26 "i 66," 666* 65" Capital stock paid in. $100, 000 00 2, 680 18 Surplus fund Other undivided profits National bank notes outstanding... State bank notes outstanding 2, 000 00 1,911 84 13,214 55 2, 036 68 Individual deposits United States deposits Deposits of U. S. disbursing officers. 387 00 1 26 6, 500 00 "4 "566" 65" 14, 860 78 90, 000 00 Dividends unpaid . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 218, 018 77 Total. 157 99 13, 000 00 218, 018 77 Second National Bank, Elmira. No. 149. D. R. PRATT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.Due from approved reserve agents... Due from other banks and bankers .. Read estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $316, 504 2,106 220, 000 50, 000 70 70 00 00 27,523 17 48,134 77 33, 358 80 37, C 1 42 2,185 908 470 12, 398 00 44 00 00 WM. F. COREY, Cashier. Capital stock paid in , Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding $200, 000 00 4 0, 000 00 6,121 85 189, 500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 197, 888 24 28, 395 44 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable 93, 746 90 4, 657 57 9, 640 00 Total. 760, 310 00 760,310 00- National Bank, Fayetteville. HIRAM EATON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. No. 1110. R. W. EATON, Cashier. $199, 745 99 Capital stock paid in . 2,938 78 in, ooo oo Surplus fund Other undivided profits 1,000 00 1,709 12 1,599 57 6, 974 25 5, 753 81 3, 000 00 1, 448 90 National bank notes outstanding State bank notes outstanding 9, 607 82 9, 256 4598, 900 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 507 00 Due to other national banks 1 59 Due to State banks and bankers . 460 10 6,160 00 Notes and bills re-discounted. Bills payable 4, 995 00 349 294 11 $140, 000 00 Total. 91,396 50 133 34 349,294 11 266 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Bank, Fishkill. No. 971. L E W I S H. W H I T E , President. ALEXANDER BARTOW, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $279,298 78 999 14 200, 000 00 5, 000 00 13,619 10 2, 046 01 9, 800 00 2, 576 61 553 53 Surplus fund . Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. . 30, 000 00 7, 650 40 180, 000 00 861 00 Individual deposits United States deposits Deposits .of U. S. disbursing officers. 1,171 00 Due to other national banks 310,00 Due to State banks and bankers . 1,242 00 8,000 00 Notes and bills re-discounted. Bills payable 9, 000 00 533,616 17 Total. $200, 000 00 Capital stock paid in. Total. 93, 266 31 11, 838 46 10, 000 00 533, 616 17 First National Bank, Fishkill Landing. JAMES MACKIN, President. No. 35. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. M. E. CURTISS, Cashier. $204, 228 22 Capital stock paid in . 293 63 50, 000 00 Surplus fund Other undivided profits 750 00 National bank notes outstanding 84,164 40 State bank notes outstanding 2, 027 97 2, 502 96 Dividends unpaid . 4,120 48 Individual deposits United States deposits 3,120 38 Deposits of U. S. disbursing officers. 1, 425 00 Due to other national banks 446 29 Due to State banks and bankers . 579 75 5, 000 00 Notes and bills re-discounted. Bills payable 2,250 00 360, 909 I Total. $100, 000 00 32,000 00 17, 255 56 45, 000 00 117,867 50 48, 786 02 360, 909 08 National Mohawk River Bank, Fonda. DANIEL SPRAKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1212. $139, 650 70 "i66"666 66" 31, 839 1,621 5, 000 523 00 48 00 25 874 96 3,800 00 136 28 7, 000 00 "4,"566"66' 294, 945 67 E. S. GlLLETT, Cashier. Capital stock paid in. $100, 000 00 Surplus fund Other undivided profits . . 18, 450 73 5, 355 86 National bank notes outstanding State bank notes outstanding 88: 800 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. 81,110 84 1, 228 24 294, 945 67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 267 NBW Y O IIK . National Bank, Fort Edward. No. 1218. E. B. NASH, President. P. C. HITCHCOCK, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie ' Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer loo," ooo 66 35, 000 00 31,514 07 Surplus fund Other undivided profits . 9, 000 00 2, 244 06 National bank notes outstanding 20,717 63 State bank notes outstanding 59,521 04 Dividends unpaid. 4, 400 00 Individual deposits United States deposits 1, 060 00 Deposits of U. S. disbursing officers. 2, 602 00 Due to other national banks 167 95 Due to State banks and bankers . 10, 000 00 Notes and bills re-discounted. 10, 000 00 Bills payable 4,500 00 566, 677 38 Total. 1100, 000 00 $342, 464 70 Capital stock paid in . 90, 000 00 299, 326 36 10,836 95 566, 677 38 Total. National Fort Plain Bank, Fort Plain. E. W. WOOD, President. No. 467. Loans and discounts Overdrafts U. S, bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items .. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . . . Due fromU. S. Treasurer Total. J. S. SHEARER, Cashier. $200, 000 00 $350,401 96 Capital stock paid in . " "206,666 65 Surplus fund Other undivided profits 50, 000 00 National bank notes outstanding . 35, 582 42 State bank notes outstanding 1,986 19 50, 000 00 Dividends unpaid . 826 80 1, 500 00 Individual deposits United States deposits 5, 658 57 Deposits of U. S. disbursing officers. 14, 285 00 267 36 3,493 05 15, 404 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted., Bills payable 9,000 00 Total. 738-, 405 35 40,000 00 137, 890 79 180, 000 00 177, 536 52 1,161 32 46 72 1, 770 00 738, 405 35 First National Bank, Franklin. AMOS DOUGLAS, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3- -14 No. 282. $102,115 27 45 70 100, 000 00 CHARLES NOBLE, Cashier. Capital stock paid in. Surplus fund Other undivided profits 11, 200 00 560 00 National bank notes outstanding 11,920 16 State bank notes outstanding Dividends unpaid . 3,972 13 786 16 Individual deposits United States deposits 192 38 Deposits of U. S. disbursing officers. 135 00 Due to other national banks 57 54 Due to State banks and bankers . 169 80 Notes and bills re-discounted 6, 900 00 Bills payable "" 4,500 66 Total., 242,554 14 3100, 000 00 25, 000 00 5, 633 31 89, 200 00 120 00 22, 337 35 222 43 41 05 242,554 14 268 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W Y O RK. Fredonia National Bank, Fredonia. S. M. CLEMENT, President. No. 841. R. P. CLEMENT, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $221, 048 61 359 19 50, 000 00 11,766 65" Capital stock paid in., $50, 000 00 Surplus fund Other undivided profits 10, 000 00 14,550 67 National bank notes outstanding 24, 708 22 State bank notes outstanding 3,874 19 Dividends unpaid. 3,387 33 630 00 184 06 145 00 15,395 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 44, 400 00 215, 090 06 167 85 661 61 Notes and bills re-discounted Bills payable "2,"256" 65* Total , 334,870 19 334,870 19 First National Bank, Friendship. A. " V MINER, President. V. No. 265. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $112, 118 06 741 63 75, 000 00 A. J. WELLMAN, Cashier. Capital stock paid in. $75, 000 00 Surplus fund Other undivided profits National bank notes outstanding 13,074 57 State bank notes outstanding 173 00 10, 548 40 Dividends unpaid 1,492 11 Individual deposits , United States deposits .. 80 92 Deposits of U. S. disbursing officers. 285 00 Due to other national banks 17 38 Due to State banks and bankers 620 00 6,034 00 Notes and bills re-discounted. Bills payable 2, 675 00 222, 860 07 Total. 18,000 00 3, 632 06 67, 500 00 58, 600 63 104 40 22 98 222, t60 07 First National Bank, Fulton. M. LINDLEY L E E President. Loans and discounts Overdrafts • U. S. bonds to secure circulation j U. S. bonds to secure deposits | U. S. bonds on hand I Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid j Premiums paid j Checks and other cash items j Exchanges for clearing house !. Bills of other banks I Fractional currency | Specie Legal tender notes I U. S. certificates of deposit Due from U. S. Treasurer I Total. No. 968. $85, 889 20 926 67 85, 500 00 54, 564 31 3, 492 83 1,587 72 1,961 82 D. W. GARDNER, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding Dividends unpaid . $115,000 00 2, 500 00 5, 576 97 76, 300 00 20 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 39, 601 27 Due to other national banks Due to State banks and bankers . . . 2,338 00 Notes and bills re-discounted Bills payable " 4, 445 66 4, 925 85 267 07 2, 364 73 984 00 136 88 244,191 16 Total. 244,19L 16 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W 269 YORK, Citizens' National Bank, Fulton. GEO. M. CASE, Cashier. T. W. CHESEBRO, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $231, 736 79 1,191 76 166, 100 00 8, 694 83 3, 398 95 3, 003 48 1,638 10 789 83 2, 643 496 555 4, 000 00 07 00 00 "*7,"474"6o' Capital stock paid in. . 6,100 00 Surplus fund Other undivided profits 45, 000 00 15,671 27 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 431,721 81 Total. 149,450 00 Total 52, 237 92 3,154 57 108 05 431,721 81 Genesee Valley National Bank, Geneseo. D, II. FITZHUGH, President. No. 886. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid „ Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes, TT. S. certificates of deposit Dae from U. S. Treasurer $205, 784 00 2, 577 53 147, 650 00 8,050 66 26, 472 60 10, 686 66 8, 500 00 758 53 460 00 3, 046 05 JAS. S. ORTON, Cashier. Capital stock paid in . $150, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 50, 000 00 7, 888 74 131,136 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 911 00 Due to other national banks 100 13 Due to State banks and bankers . 398 00 7, 300 00 Notes and bills re-discounted Bills payable Total. Total. 89, 819 82 484 94 429, 329 50 First National Bank, Geneva. No. 167. A. L. CHEW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Dae rorn U. S. Treasurer , Total - $109, 700 90 548 40 56, 000 00 W. T. SCOTT, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 100 00 15, 340 71 934 30 14, 000 00 Dividends unpaid . 3, 602 81 Individual deposits United States deposits 434 78 Deposits of U. S. disbursing officers. 983 286 245 23, 484 00 37 36 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $50, 000 00 10, 000 00 13, 054 04 50, 000 00 104, 591 49 515 10 2, 500 00 228,160 63 Total., 228,160 63 270 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW ¥OM K. Geneva National Bank, Geneva. S. H. VER PLANCK, President. No. 949. M. S. SANDFORD, Cashier. Resources. ' Liabilities. $310,384 41 1,295 27 186, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer """27,"250"66" 45, 276 28 26, 382 81 10,951 U 24, 850 6fi 5, 464 76 6, 592 24 155 60 3,515 00 1, 076 58 419 32 25, 800 00 $200, 000 00 Capital stock paid in Surplus fund Other undivided profits 40,000 00 60, 000 95 National banknotes outstanding... State bank notes outstanding 164,584 00 5,024 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 212, 683 26 1,251 03 152 80 Notes and bills re-discounted Bills payable 8,280 00 Total. Total 683, 696 04 683, 696 04 First National Bank, Glen's Falls. No. 980. A. SHERMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $361,212 43 1, 500 00 136, 000 00 51), 000 00 165, 615 83 3,299 79 12, 000 00 1,648 43 1,969 48 2, 507 00 400 81 300 00 3, 000 00 20, 000 00 6, 107 50 $136, 400 00 Capital stock paid in., Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding 60, 000 00 22, 375 42 120, 800 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 765,561 27 Total . E. T. JOHNSON, Cashier. Total. 401,254 78 19,930 22 1,779 00 3,021 85 765,561 27 Glen's Falls National Bank, Glen's Falls. J. W. FINCH, President. No. 1293. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits ! U. S. bonds on hand j Other stocks, bonds, and mortgages..! Due from approved reserve agents...! Due from other banks and bankers... Real estate, furniture, and fixtures . . Current expenses and taxes paid \ Premiums paid ! Checks and other cash items | Exchanges for clearing house i Bills of other banks | Fractional currency j Specie j Legal tender notes j 17. S. certificates of deposit ! Due from U. S. Tieaaurtr | Total i WM. A. WAIT, Cashier. $217, 370 83 Capital stock paid in. 4,591 22 76, 000 00 Surplus fund Other undivided profits 72,000 00 8, 000 00 National bank notes outstanding... 44,824 67 State bank notes outstanding 50, 649 48 Dividends unpaid . 14, 000 00 1, 059 05 Individual deposits United States deposits 1,422 78 Deposits of U. S. disbursing officers. 7,126 00 Due to other national banks 206 96 Due to State banks and bankers 262 00 Notes and bills re-discounted 20, 000 00 Bills payable 5,040 00 522,552 99 Total. $112, 000 00 25, 000 00 26, 345 96 63, 200 00 4,856 00 286, 335 92 4,014 00 801 11 522, 552 99 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 271 YORK. National Bank, Gloversville. No. 1933. JAMES H. BURR, President. JAMES M. WOOD, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $372, 994 95 1,390 90 72, 530 00 34,351 88 4, 173 45 23, 688 67 2, 669 17 7,494 21 1, 099 95 $150, 000 00 Capital stock paid in. Surplus fund Other undivided profits 19, 000 00 3,011 78 National bank notes outstanding . . . State bank notes outstanding 65, 250 00 Dividends unpaid . 296 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 045 00 Due to other national banks 17 81 120 00 Due to State banks and bankers 8, 500 00 Notes and bills re-diseounted. Bills payable 3, 262 50 534, 308 49 74, 219 SS 4, 972 87 215 00 204, 342 96 13, 000 00 534, 308 49 Total. National Fulton County Bank, Gloversville. \V. D. WEST, Cashier. No. 1474. JOHN MCNAB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae from U. S. Treasurer $517, 965 02 Capital stock paid in. 543 21 150, 000 U0 Surplus fund Other undivided profits 4,700 00 National bank notes outstanding State bank notes outstanding 9, 656 48 2, 389 85 12, 000 00 1, 055 27 741 430 464 14, 400 00 53 25 00 '"h'ihb'co Dividends unpaid . 100, 000 00 23, 693 55 135, 000 00 174 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 721, 095 6L Total. $150,000 00 Total. 202, 042 06 2,129 75 97, 056 25 11, 0U0 00 721,095 61 Goshen National Bank, Goshen. W. T. RUSSELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1408. W. M. MURRAY, Cashier. $204, 540 26 Capital stock paid in. 192 28 110,000 00 Surplus fund Other undivided profits National bank notes outstanding 17, 094 54 State bank notes outstanding 34,561 81 10, 000 00 Dividends unpaid . 3,120 80 Individual deposits United States deposits 4,067 19 Deposits of U. S. disbursing officers. 660 00 336 28 490 00 11, 475 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable $110,000 00 2*\ 000 00 26,481 04 98, 000 00 4, 967 00 25 00 139,733 22 281 90 4,950 00 401,488 16 Total. 401,488 16 272 REPORT OF THE COMPTROLLER OP THE CURRENCY. NEW YOK R. National Bank of Orange County, Goslien. No. 1399. A. S. MURRAY, President. C. J. EVERETT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents .. Due from other banks and bankers .. Real estate, furniture, aud fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $259, 170 58 Capital stock paid in. 412 74 111, 000 00 Surplus fund Other undivided profits 2,500 00 National bank notes outstanding . . . 52, 733 76 State bank notes outstanding 4,930 09 Dividends unpaid. 3, 000 00 2, 661 69 Individual deposits United States deposits ],155 85 Deposits of U. S. disbursing officers. 664 00 538 14 9, 000 00 $110, 000 00 22, 000 00 49, 478 74 99, 000 00 1, 815 00 285 25 164,078 04 2,896 54 3,163 28 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 452, 716 85 I 452,716 85 Total. National Bank, Granville. DANIEL WOODARD, Jr., President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes XT. S. certificates of deposit Due from U. S. Treasurer No. 2294. $114,288 14 1,660 84 60, 000 00 5, 666 00 12, 396 98 1,289 72 4,967 81 1, 228 92 10, 085 43 1, 435 02 532 00 3 22 73 75 2, 320 00 R. THOMPSON, Cashier. $100, 000 00 Capital stock paid in . 600 00 3,142 74 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. 54,000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 59,4 ! 92 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 752 17 2, 700 00 217,981 83 Total. GEO. Total. 217, 981 83 First National Bank, Greenport. Loans and discounts O verdraf ts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. G-. C. ADAMS, Asst. No. 334. Gr. S. ADAMS, President. $30, 449 36 50, 000 00 ~2O,"oo6"oi>' 56, 000 00 25, 264 07 3, 332 41 7, 808 42 2,149 31 2,129 08 1,354 32 370 84 367 7, 263 00 41 00 00 Capital stock paid in. Surplus fund O ther undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted., Bills payable Cashier. $75, 000 00 15, 000 00 8, 854 71 43, 075 00 70 00 65, 536 97 1, 189 07 95 63 2, 250 00 203,821 38 Total. 208,821 38 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 273 YORK. Washington County National Bank, Greenwich. L E ROY MO WRY, President. EDWIN ANDREWS, Cashier. No. 1266. Liabilities. Loans and discounts Overdraft* U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $310,350 74 Capital stock paid in . 3,375 00 127,800 00 Surplus fund Other undivided profits 6, 000 00 13, 172 00 National bank notes outstanding 11,485 95 State bank notes outstanding 13,235 60 12,130 98 Dividends unpaid., 5, 155 13 Individual deposits United States deposits 3, 295 31 Deposits of U. S. disbursing officers. 70 00 Due to other national banks 72 14 Due to State banks and bankers 1,441 00 15, 448 00 Notes and bills re-discounted. . Bills payable 24, 000 00 4,178 70 115, 020 00 1, 582 51 209, 948 00 1, 653 14 556, 382 35 Total. 556, 382 35 Total. $200, 000 00 First National Bank, Grot on. No. 1083 CHAS. PERRIGO, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures -. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IL S. certificates of deposit Due from U. S. Treasurer Total. D. H. MARSH, Cashier. $172, 290 46 Capital stock paid in . 620 00 100, 000 00 Surplus fund Other undivided profits 1, 500 00 National bank notes outstanding 7, 747 54 State bank notes outstanding 248 28 14,141 96 Dividends unpaid. 1,905 81 Individual deposits 414 03 United States deposits 107 60 Deposits of U. S. disbursing officers. 400 00 128 83 Due to other national banks Due to State banks and bankers . 5, 300 00 Notes and bills re-discounted. Bills payable 4, 350 00 20, 000 00 7,263 70 89,954 00 10, 834 70 1,102 11 309,154 51 Total. 309,154 51 $100, 000 00 National Hamilton Bank, Hamilton. ALVAH PIERCE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes ., U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1334. D. B. WEST, Cashier. $180,104 46 Capital stock paid in. 67 29 85, 000 00 Surplus fund Other undivided profits 2,"566"6o" 1, 200 00 National bank notes outstanding 26, 776 88 State bank notes outstanding 10, 247 82 8, 5)0 00 Dividends unpaid. 276 06 Individual deposits United States deposits 2,535 29 Deposits of U. S. disbursing officers. 6,839 00 154 23 2, 990 00 18,015 00 10,000 00 3, 825 00 359, 031 03 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable Total. $110, 000 00 22, 000 00 28,146 81 75, 514 00 1, 400 00 121, 209 00 759 52 1 70 359,031 03 274 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Havana National Bank, Havana. HULL FANTONT, No. 343. President. II. H. HUNTINGTON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $76, 359 48 269 48 50, 000 00 8, 000 00 6, 984 79 63 25 564 00 2,431 96 1,136 81 323 00 82 58 4, 688 00 ~"2*250"66' Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 12, 000 00 2, 435 00 44, 500 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 153,153 35 Total. $50, 000 00 Capital stock paid in. Total. 44,133 22 85 13 153,153 35 National Bank, Haverstraw. No. 2229. IRA M. HEDGES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . GEO. H. SMITH, Cashier. $144, 526 77 Capital stock paid in. 136 62 100, 000 00 Surplus fund Other undivided profits """2o,"66o"oo" National bank notes outstanding 978 25 State bank notes outstanding 25,115 67 7, 290 26 Dividends unpaid . 12, 500 00 2, 248 70 18, 675 00 4, 056 48 1,216 00 210 82 10, 607 00 ""4"560"66' Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable Total. 352, 061 57 $100,000 00 1,600 00 5, 463 45 90, 000 00 1,171 00 124,741 94 4,085 18 "'25,00b" 6a "352,061 57 First National Bank, Hobart. J . M. OLMSTID, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from appi'oved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 193. $100,692 28 727 22 100, 000 00 8, 000 00 10,434 50 302 40 4, 000 00 1,571 15 ROBT. McNAUGHT, Cashier^ $100, 000 00 Capital stock paid in Surplus fund Other undivided profits 20, 000 00 6, 392 09 National bank notes outstanding State bank notes outstanding 88, 455 00 Dividends unpaid. Individual deposits United States deposits 4,236 46 || Deposits of U. S. disbursing officers. 115 00 Due to other national banks 187 6L Due to State banks and bankers. 1, 505 20 8,044 00 'Notes and bills re-discounted. Bills payable 29, 151 27 317 46 , 4, 500 00 244,315 82 | Total. 244, 315 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 275 YORK. First National Bank, Hornellsville. No. 262. MARTIN ADSIT, President. CHARLES ADSIT, Cashier, Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits s: U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $276, 870 83 Capital stock paid in . 3, 781 32 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding 20, 825 65 State bank notes outstanding Dividends unpaid . ""i," 662*76' Individual deposits United States deposits 615 79 Deposits of U. S. disbursing officers 1, 730 00 237 11 849 93 18, 089 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. 428, 562 38 $LOO, ooo oa 53,943 16 9, 375 80 89, 500 00 114, 043 93 1, 699 49 60, 000 00 428, 562 38 First National Bank, Hudson. J. W. FAIRFIELD, President. No. 396. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand .. Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency , Specie Legal tender notes , U. S. certificates of deposit Due from U. S. Treasurer Total. ROBT. B. SHEPARD, Cashier. $301, 234 98 Capital stock paid in. 2,029 81 200,000 00 Surplus fund Other undivided profits 25," 666* 65' National bank notes outstanding 2, 400 00 State bank notes outstanding 23, 376 49 13, 807 30 15, 500 00 2, 709 33 796 72 3, 342 527 550 12, 493 00 92 00 00 $200, 000 00 29, 500 00 21,891 71 177, 600 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 175,001 78 8, 313 61 460 45 9, 000 00 612,767 55 612,767 55 Total. Farmers' National Bank, Hudson. J. W. HOYSRADT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 990. CHAS. C MACY, Cashier. $483, 959 43 Capital stock paid in . 39L 81 263, 000 00 Surplus fund Other undivided profits National bank notes outstanding . 27, 470 87 State bank notes outstanding 32, 220 60 Dividends unpaid . 57, 000 00 2, 217 32 4, 032 00 95 64 295 99 23, 324 00 ""11,835 66 905, 842 66 $300, 000 00 60, 000 00 26,238 96 232, 300 00 112 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 283,123 93 Due to other national banks Due to State banks and bankers . . . 3, 459 94 607 83 Notes and bills re-discounted Bills payable Total. 905, 842 66 276 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Hudson River Bank, Hudson. H. A. Du Bois, President. No. 1091. AARON B. SCOTT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $350,] 72 36 980 00 250, 000 00 900 00 20, 854 45 15, 121 53 20, 000 00 5, 727 20 11,373 00 804 00 790 00 3,183 00 Capital stock paid in. $250, 000 00 Surplus fund j Other undivided profits 50, 000 00 44, 534 44 National bank notes outstanding State bank notes outstanding 220, 900 00 Dividends unpaid . Individual deposits i United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 127, 502 59 28,172 59 45 97 11,250 00 721, 155 59 Total. 721,155 59 Ilion National Bank, Ilion. No. 1670. P H I L O REMINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . Real estate, furniture, and fixtures... j Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Leg;al tender notes IT. S. certificates of deposit Due fromU. S. Treasurer $199, 436 65 Capital stock paid in 1,591 61 102, 000 00 Surplus fund Other undivided profits 9,941 96 25, 938 33 1, 086 84 "2," 150 52" $100,000 00 20, 000 00 10,073 16 National bank notes outstanding 89, 385 00 State bank notes outstanding . . Dividends unpaid Individual deposits United States deposits 45 00 Deposits of U. S. disbursing officers. 72 52 Due to other national banks Due to State banks and bankers . . . 3, 030 00 Notes and bills re-discounted 4, 500 00 Bills payable 53, 956 55 14, 262 48 22, 732 10 51 35 67, 857 75 Total 364, 055 91 Total . DAVID LEWIS, Cashier. 364,055 91 First National Bank, Ithaca. JOHN MCGRAW. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 222. HRNRY B. LORD, Cashier. $352,665 60 Capital stock paid in 2, 797 25 250, 000 00 Surplus fund Other undivided profits 5o,"i6o*66" 3,000 00 40,321 10 3, 541 48 5, 000 00 1,367 34 7, 029 38 895 84 National bank notes outstanding . State bank notes outstanding 50, 000 00 18, 689 32 215,600 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 8, 236 00 Due to other national banks 156 25 Due to State banks and bankers . 647 00 27, 644 00 Notes and bills re-discounted. Bills payable 11,250 00 764, 651 24 $250, 000 00 Total. 230, 272 42 89 50 764, 651 24 BEPORT OF THE COMPTROLLER OF THE CURRENCY. 277 NEW YOK K. Tompkins County National Bank, Ithaca. !L. L. TREMAN, President. P. J. PARTENHEIMER, Cashier. No. 1561. Liabilities. Resources. Loans and discounts ... Overdrafts U. S. bonds to secure circulation. . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. $292,051 93 Capital stock paid in 3,016 06 213, 000 00 """26"800 66' 6, 827 57 3,094 3, 789 24,339 1, 790 17, 880 01 72 02 22 18 3,154 17 3, 348 690 340 18, 615 00 90 39 00 ""9,"585'6o" $250, 000 00 Surplus fund Other undivided profits National bank notes outstanding 16,800 00 16, 863 39 191, 700 00 State bank notes outstanding Dividends unpaid 1,156 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total 622,372 17 143, 847 12 1, 691 41 314 25 622,372 17 First National Bank, Jamestown. No. 548. ALONZO KENT. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand -__ Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. J. E. MAYHEVV, Cashier. $323, 354 07 Capital stock paid in5,801 08 155, 000 00 Surplus fund ... Other undivided profits National bank notes outstanding 24, 352 79 State bank notes outstanding 2,981 25 Dividends unpaid . 4,400 00 Individual deposits United States deposits 5,912 13 Deposits of U. S. disbursing officers. L, 990 00 Due to other national banks 170 60 2,471 00 Due to State banks and bankers 10, 3u'O 00 Notes and bills re-discounted. Bills payable 7, 000 00 ! 30, 660 00 20,531 55 137, 970 00 60 00 199, 403 77 1, 684 46 123 14 543, 732 92 Total. 543, 732 92 $153, 300 00 Chautauqua County National Bank, Jamestown. ROBERT NEWLAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer , Total. No. 1563. $358, 731 78 8, 726 80 100, 000 00 8, 508 93 47, 674 5, 643 12,697 3,910 46 73 91 81 4,614 87 500 00 53 27 25, 732 00 5," 266" 65" 581,994 56 FRANK B. FARNHAM, Cashier. Capital stock paid in., $100, 000 00 Surplus fund Other undivided profits 20, 000 00 44,923 27 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 323, 447 59 3, 455 03 168 67 Notes and bills re-discounted Bills payable Total. 581, 994 56 278 REPORT OF TPIE COMPTROLLER OF THE CURRENCY. NEW YORK. City National Bank, Jamestown. No. 938. WM. H. T E W , President. E. W. STEPHENS, Cashie Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $139, 536 54 9,654 01 94,500 00 2, 406 38 2, 563 83 3, 487 78 1, 696 33 1, 230 62 1, 680 00 405 11 6,178 00 Capital stock paid in. $100, 000 00 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid . 18, 000 00 8,681 10 Individual deposits United States deposits Deposits of U. S. disbursing officers. 55, 832 27 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable...... ....... 85,000 00 75 23 "4,"256*6o' Total. 267, 588 60 267, 568 60 Keeseville National Bank, Keeseville. E. KINGSLAND, President. No. 1753. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.., Exchanges for clearing house. Bills of other banks Fractional currency , Specie Legal tender notes U. S. certificates of deposit . . . Due from U. S. Treasurer $172, 427 94 2, 537 79 89, 000 00 GEO. H. CLEAVES, Cashier. Capital stock paid in . Surplus fund Other undivided profits 15," 500*66' National bank notes outstanding. 3, 500 00 State bank notes outstanding 3, 302 77 50 00 6, 870 41 78 3, 642 13 696 53 1, 045 268 100 6, 790 00 18 20 00 4, 650 00 3,661 09 79, 850 00 3, 500 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 4,700 00 Total. 5100, 000 00 Total . 105, 026 07 1, 265 51 12, 479 i 310, 431 73 National Bank, Kinderhook. WM. R. MESICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from C. S. Treasurer Total J. J. VAN SCHAACK, Cashier. No. 1026. $313,169 77 Capital stock paid in . 487 88 254, 000 00 Surplus fund Other undivided profits 5, 427 27 21,206 28 2, 293 18 9, 700 00 1,121 62 National bank notes outstanding State bank notes outstanding Dividends unpaid., Individual deposits United States deposits 4, 991 58 Deposits of U. S. disbursing officers. 1, 056 431 497 4, 895 00 Due to other national banks 01 Dae to State banks and bankers . . . 75 00 Not^s and bills re-discounted I Bills payable Total . $250, 000 00 50, 000 00 11, 741 01 216,640 00 5, 760 00 2, 692 00 93, 028 89 523 02140 42 630, 530 34 REPORT OF THE COMPTROLLER OF THE CURRENCY. I E W V 279 YORK. National Union Bank, Kinderhook. WM. H. TOBEY, President No. 929. W M . H. RAINEY, Cashier Liabilities. Loans and discounts . Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve a g e n t s . . . Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills o£ other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $293,461 79 28 30 200,000 00 Surplus fund Other undivided profits. 1 National bank notes outstanding . . . State bank notes outstanding 24, 272 29 65, 170 88 Dividends unpaid. 7,500 00 1, 302 22 ; Individual deposits United States deposits 4,421 85 Deposits of U. S. disbursing officers. 3, 563 373 550 5,168 00 43 00 00 9,66600 Due to other national banks I Due to State banks and bankers ! Notes and bills re-discounted Bills payable 614,811 76 Total . $200, 000 00 i Capital stock paid in . Total. 40, 000 00 56, 950 36 17S, 623 00 4,899 00 1, 430 00 133,348 66 1, 350 20 210 54 614,811 76 Kingston National Bank, Kingston. C. H. VAN GAASBEEK, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1149. N. E. BRODHEAD, Cashier. $273, 043 37 Capital stock paid in. 1, 199 15 150, 000 00 Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding 4,078 94 12,000 00 Dividends unpaid., 2, 121 74 Individual deposits United States deposits 5, 442 48 Deposits of U. S. disbursing officers 10, 612 00 1,507 09 417 00 3, 940 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable $150,000 00 46, 858 61 3,232 94 135, 000 00 6, 475 00 123 00 123,813 62 5, 364 49 244 11 "*6,"756"66" 471,111 77 Total. 471,111 77 National Ulster County Bank, Kingston. C. D. BRUYN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid.,. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . WM. H. FINCH, Cashier. $240, 428 92 Capital stock paid in . 64 45 150, 000 00 Surplus fund Other undivided profits 18, 500 00 National bank notes outstanding . . . State bank notes outstanding 18, 094 78 7, 500 00 3, 942 19 Dividends unpaid. 5, 684 Individual deposits United States deposits Deposits of U. S. disbursing officers. 504 00 Due to other national banks 757 91 Due to State banks and bankers . 4, 983 90 2, 079 00 Notes and bills re-discounted. Bills payable 6, 750 00 459, 289 75 Total . $150, 000 00 44, 400 00 9, 964 89 133, 200 00 192 00 119,567 66 1,965 20 459,289 75 280 REPORT OF THE COMPTROLLER OF THE CURRENCY NEW YORK. State of New York National Bank, Kingston. ELIJAH BV BOIS, President. No "955. F . A. WATERS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid — Premiums paid Checks and other cash items... Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $269,901 51 Capital stock paid in 695 79 223, 000 00 Surplus fund 2, 700 00 5, 638 89 4.215 6L 23, 000 00 2, 750 04 4,595 41 I i j Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid 44, 200 09 8,289 2L 198, 900 00 3, 740 00 >. Individual deposits United States deposits Deposits of U. S. disbursing officers. 735 00 i Due to other national banks 646 68 Due to State banks and bankers 470 00 10, 500 00 Notes and bills re-discounted . Bills payable 9, 585 00 Total. $225,000 00 558,433 93 154 27 76, 098 71 1, 656 37 395 37 558, 433 93 First National Bank, Le Roy. No. 937. WILLIAM LAMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie „ Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $308, 167 70 Capital stock paid in. 6, 148 32 150, 000 00 Surplus fund Other undivided profits 29, 037 52 14,570 01 2, 979 89 3, 000 00 2, 489 93 2, 278 05 96 63 75 12, 646 00 18 00 00 4. 850 00 $150, 000 00 33. 717 63 38,367 65 National bank notes outstanding State bank notes outstanding 134, 810 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted Bills payable 536, 401 60 Total. BUTLER W A R D , Cashier. 151,759 74 7, 500 00 446 58 19, 800 00 Total. 536,401 60 Herkimer County National Bank, Little Palls. A. G. STORY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency* Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1344. $418,854 25 9,363 91 201,200 00 31,554 84 65, 21, 5, 2, 378 631 500 477 04 82 00 82 1,303 25 8, 489 00 803 46 200 00 8, 000 00 10, 000 00 9, 040 00 795, 796 39 W. Gr. MlLLiGAN, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding Dividends unpaid . Individual deposits United States deposits ; Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . . $200, 000 00 40, 000 00 34,912 08 179,800 00 318 25 339, 279 68 941 78 544 60 Notes and bills re-discounted. Bills payable Total. 795, 796 39- REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 281 YORK. First National Bank, Lockport. G. W. BOWEN, No. 211. President. H. W. HELMER, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Cheeks and other cash items Exchanges for clearing Rouse Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $349, 329 42 910 93 50, 000 00 ""'25,'150*56" 18, 432 54 3, dO5 75 16, 544 01 3,512 06 1,130 49 1,436 190 822 12, 538 00 33 50 00 Surplus fund Other undivided profits 33, 700 00 7,940 01 National bank notes outstanding State bank notes outstanding 45, 000 00- Dividends unpaid. 488 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 149,816 69 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable , 343 60 48, 763 73 2, 250 00 486, G52 03 Total. $200, 000 00' Capital stock paid in 486, 052 03 Total. National Exchange Bank, Lockport. L. F. Bo WEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1039. $251, 482 26 495 88 150,000 00 14, 828 15, 624 27 13, 000 2, 697 50 04 13 00 55 648 94 1, 216 629 1,136 7, 419 00 61 27 00 Capital stock paid in. $150,000 00 30, 000 00 29, 74U 96 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 133, 950 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks . Due to State banks and bankers . Notes and bills re-discounted Bills payable 165,955 18 jj Total. M. A. NICHOLLS, Cashier. 10, 020 00 Total. 465,955 18 Niagara County National Bank, Lockport. T. T. FLAGLER, President. Loans and discounts Overdrafts U. S« bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 639. $333, 309 27 1, 456 26 50, 000 00 4, 900 9, 031 4,611 2, 823 1,556 00 87 13 50 04 4, 718 77 3, 333 274 850 7,120 00 26 00 00 J. R. COMPTON, Cashier. Capital stock paid in $150,000 00 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding 34, 000 00 15, 564 02 j j 44,100 00 Dividends unpaid Individual deposits . United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 132, 496 66 1, 038 22 49, 035 20 2, 250 00 426,234 10 Total. 426,234 10 282 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Lowville. No. 348. CHAS. D. BOSHART, President. WM. MCCULLOCK, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits X S. bonds on hand L Other stocks, bonds, and mortgages . Due from approved reserve agents.. Dae from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes XJ. S. certificates of deposit Due from U. S. Treasurer 1169, 653 05 1,459 07 50, 000 00 2, 500 00 45, 265 93 3, 422 83 394*88" 1,393 93 365 00 201 20 263 70 12,200 00 Capital stock paid in. 3, 900 00 4, 760 42 National bank notes outstanding State bank notes outstanding 44,795 00 Dividends unpaid . 162,473 23 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 116 24 324 20 . Notes and bills re-discounted Bills payable 290,369 09 Total. $50, 000, 00 Surplus fund Other undivided profits Total. 24, 000 00 290,369 09 Lyons National Bank, Lyons. D. No. 1027. W. PARSHALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation XJ. S. bonds to secure deposits XJ. S. boDds on hand Other stocks, bonds, and mortgages . . $151,213 13 1, 1!6 11 114,000 00 Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures-.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes XJ. S. certificates of deposit Due from U. S. Treasurer 17, 919 29 2, 450 00 40, 000 00 14 78 10, 177 95 3, 471 45 239 737 80 6, 750 20, 000 6, 200 00 33 00 00 00 00 Capital stock paid in. $100,000 00 Surplus fund Other undivided profits 13, 063 39 7, 225 08 National bank notes outstanding State bank notes outstanding 94, 300 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 146, 487 14 688 36 36 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 374,369 24 Total. M. C. TUCKER, Cashier. 12, 569 27 374, 369 24 Total. Farmers' National Bank, Malone. G. W. LAWRENCE, President. No. 595. Loans and discounts Overdrafts U. S. bonds to secure circulation XJ. S. bonds to secure deposits XJ. S. bonds on hand Other stocks, bonds, and mortgages . . $195, 826 89 968 61 100, 000 00 Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 39,308 33 ], 566 65 Total. 1,041 49 626 06 2, 261 29 1,351 78 1,039 7, 689 00 93 88 00 B . S. W . C L A R K , Capital stock paid in . Cashier. $150, 000 00 Surplus fund Other undivided profits 16,100 00 6, 343 82 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks , Due to State banks and bankers. 170 00 91,885 5L 358 80 Notes and bills re-discounted. Bills payable , 3,100 00 354,858 13 Total. 354,858 13 283 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW Y O K K . National Bank, Malone. GEO. HAWKINS, No. 914. S. LAWRENCE, President. Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $341, 699 83 5L2 94 112,500 00 7, 4, 8, 3, 592 550, 000 225 37 89 00 91 9,206 17 12, O.~>5 30 2.941 12, 000 00 00 50 00 Capital stock paid in. $200, 000 00 Surplus fund Other undivided profits 30,000 00 15,617 52 National bank notes outstanding State b a n k notes outstanding 93,250 00 Dividends unpaid . 50 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 179,592 74 Due to other national banks Due to State banks and bankers . 176 85 Notes and bills re-discounted . Bills payable 1, 690 00 6,062 50 Total. 520, 377 11 Total. 520,377 11 First National Bank, Middletown. B. ROYCE, President. No. 523. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. D u e from approved reserve a g e n t s . . D u e from other banks and b a n k e r s . . Real estate, furniture, and fixtures . Current expenses and taxes paid. Premiums paid $205, 380 66 582 84 100, 000 00 """io"666 66' ' 25,617 11,789 7,681 1, 382 2,887 1, 900 14 45 73 59 05 00 7, 693 46 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit D u e from U. S. Treasurer 1,281 405 572 9,650 00 50 00 00 W . L. G R A H A M , Capital stock paid in. Cashier. $100, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. 20, 000 00 4, 384 32 90, 000 00 72 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 168, 256 97 7,110 13 3, 000 00 Total. 389, 823 42 Total. 389,823 42 Middletown National Bank, Middletown. JAS. B. HULSE, President. No. 1276. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer J5 35 97 00 00 35, 225 00 558 4,340 36, 479 814 12, 640 70 55 42 93 00 Capital stock paid in. Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 081 00 442 02 Due to other national banks Due to State banks and bankers. 21,000 00 "9," 666 66 $200, 000 00 31,144 09 45, 050 97 178, 000 00 Dividends unpaid. 1,223 00 738, 582 Total. H. Ex. $358,173 7, 604 200, 000 50, 000 DANIEL CORWIN, Cashier. 252,013 16 30, 494 39 423 54 1, 456 79 Notes and bills re-discounted Bills payable Total. 738, 582 94 284 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Mohawk Valley Bank, Mohawk. No. 1130. DEAN BURGESS, President. H. D. ALEXANDER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S.Treasurer $266, 635 84 Capital stock paid in. 1,144 99 110, 000 00 Surplus fund Other undivided profits 728 14, 905 8, 932 2, 106 20 48 49 40 1, 335 75 30, 000 00 21,519 60 National bank notes outstanding State bank notes outstanding Dividends unpaid. 97, 200 00 65 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 390 00 512 05 528 00 9, 000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted " *4* 95b" 66' Bills payable 421,169 20 Total. $150, 000 00 Total. 107,246 93 5, 603 74 9, 533 93 4-21,169 20 National Union Bank, Monticello. A. C. NlVEN, President. No. 1503. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house..... Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $165,911 03 Capital stock paid in. $150, 000 00 Surplus fund Other undivided profits 15, 342 00 7, 454 80 National bank notes outstanding 13,957 12 State bank notes outstanding 4 53 4, 449 85 Dividends unpaid. 2, 241 37 Individual deposits United States deposits 240 90 Deposits of U. S. disbursing officers. 110,535 00 125, 000 00 2, 086 36 1,100 16, 560 00 48 00 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 50, 390 30 590 18 2, 725 00 334, 312 28 Total. I. P. TREMAIN, Cashter. Total. 334, 312 28 First National Bank, Moravia. No. 99. H. H. TUTHILL, President. Loans and discounts Overdrafts „ U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiumspaid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. LEANDER FITTS, Cashier. $213, 762 56 Capital stock paid in. 818 53 80, 000 00 Surplus fund Other undivided profits 10, 400 00 11,843 6L 1,234 94 194 62 727 63 1,346 91 National bank notes outstanding State bank notes outstanding $80, 000 00 20, 800 00 9, 042 2t> 69, 800 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 154, 928 37 215 168 280 9, 958 00 Due to other national banks , 83 Due to State banks and bankers. 00 00 Notes and bills re-discounted. Bills payable 3, 600 00 334, 570 63 Total. 334, 570 03 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 285 Y O K K. First National Bank, Morrisville. No. 245. A. M. HOLMES, President. L. D. DANA. Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $125, 830 29 Capital stock paid in. 153 84 100, 000 00 Surplus fund Other undivided profits 1,500 00 742 14 1,736 63 ll,03L 82 1,863 64 880 60 1,602 00 72 36 100 00 10,810 00 13, 696 83 4, 717 54 National bank notes outstanding State bank notes outstanding 87, 850 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers., Due to other national banks Due to State banks and bankers 53, 999 84 559 11 Notes and bills re-discounted. Bills payable 4, 500 00 260, 823 32 Total. $100, 000 00 Total., 260, 823 32 Genesee River National Bank, Mount Morris. H. P. MILLS, President. No. 1416. Loans and discounts Overdrafts U. S. bonds to secure circulation IL S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $135, 515 88 Capital stock paid in. 525 36 100, 000 00 Surplus fund Other undivided profits 3,400 00 National bank notes outstanding State bank notes outstanding 14,215 76 1,929 45 Dividends unpaid . 22, 236 35 1, 963 16 3,238 63 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 472 00 Due to other national banks 285 54 Due to State banks and bankers 11,170 00 Notes,and bills re-discounted. Bills payable 300,452 13 Total. H. E. BROWN, Cashier. Total. $100, 000 00 13, 500 00 10, 789 70 89, 300 00 86, 425 30 276 81. 160 32 300,452 13 First National Bank, Newark. FLETCHER WILLIAMS, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 349. BYRON THOMAS, Cashier, $68,161 13 Capital stock paid in. 1,701 84 56, 500 00 Surplus fund Other undivided profits National bank notes outstanding 1,472 39 State bank notes outstanding 797 85 Dividends unpaid. 4, 000 00 Individual deposits United States deposits 475 19 Deposits of U. S. disbursing officers. 1,96600" Due to other national banks Due to State banks and bankers 313 28 6, 000 00 Notes and bills re-discounted. Bills payable. ..o , 2, 500 00 143, 887 68 Total. $50, 000 00 10,000 00 2,282 13 50, 000 00 300 00 31, 250 05 55 50 143,887 63 286 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Highland National Bank, Newburgh. No. 1106. ALFRED POST, President. M. C. BELKXAP, Cashier Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $626, 465 37 3 44 450, 000 00 41, 295 00 37,319 14 60, 033 62 32,000 00 3,709 18 1,239 32 1, 885 00 333 34 1,475 00 ] 0,105 00 *20"250'66' Surplus fund Other undivided profits 90, 000 00 65, 280 04 National bank notes outstanding State bank notes outstanding Dividends unpaid . 401, 000 00 892 00 Individual deposits United Suites deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. 1,266,113 41 Total. $450, 000 00 Capital stock paid in. 244, 042 83 14,461 91 436 63 1,266,113 41 National Bank, Newburgh. No. 468. GEO. W. KERR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency. Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $706, 856 26 249 09 712, 000 00 "25O"666"66' 4, 500 00 178, 431 94 20,142 31 28, 000 00 9,219 92 43,125 00 10,509 42 5, 877 00 3, 441 68 750 IS 16, 875 00 Capital stock paid in. $800, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 115,104 19 140, 775 39 614, 620 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 356,024 41 4,135 20 903 40 41, 584 79 Total 2, 031, 5d2 59 Total. J. J. S. McCROSKERY, Cashier. 2,031,562 59 Quassaick National Bank, Newburgh. I. K. OAKLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Fremiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie.. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1213. J. N. W E E D , Cashier. $377, 532 74 Capital stock paid in. 115 73 300, 000 00 Surplus fund Other undivided profits ,.., """4 5 "666" 66' 1, 800 00 National bank notes outstanding 32, 745 69 State bank notes outstanding 44, 102 76 Dividends unpaid. 26, 900 24 2, 800 22 Individual deposits 8,911 17 United States deposits 760 40 Deposits of U. S. disbursing officers 1, 325 1,652 20, 725 39, 970 00 55 25 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable $300,000 00 60, 000 00 22, 684 25 267, 000 00 1,563 20 244,108 88 22, 422 90 62 52 13, 500 00 917,841 75 Total. 917,841 75 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 287 YORK, National Bank, Newport. No. 1655. GrEO, H. THOMAS, President. J. T. WOOSTER, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents . . Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit D ue from U. S. Treasurer Liabilities. $86, 798 33 103 14 52, 500 00 "" 13,665 oo 900 00 12, 397 07 1, 374 07 12, 974 96 677 79 1, 887 50 219 50 305 00 27 44 195 00 5,100 00 3, 950 00 Capital stock paid in . $50,000 00 Surplus fund , Other undivided profits 10,000 00 12,081 58 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 192, 409 80 Total. 75,170 i 158 14 192, 409 80 Total. First National Bank, New Berlin. S. L. MORGAN, President. No. 151. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $90, 272 85 "166,666" 65 19, 020 34, 776 2, 896 2, 800 2,113 4, 000 00 48 79 00 05 00 2, 260 07 300 00 48 61 296 00 9, 720 00 JOHN T. W H I T E , Cashier. $100, 000 00 Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 18, 000 00 6, 658 89 88, 503 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers 59, 814 42 30 54 Notes and bills re-discounted. Bills payable 4, 500 00 273, 003 85 Total 273, 003 85 Huguenot National Bank, New Paltz. JACOB LEFEVER, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house . Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. M. Du Bois, Cashier. No. 1186. $110, 084 20 832 22 100, 000 00 9, 500 00 Capital stock paid in . Surplus fund , Other undivided profits. National bank notes outstanding State bank notes outstanding 1,154 55 10,000 00 Dividends unpaid . 2, 039 55 Individual deposits United States deposits , 510 99 Deposits of U. S. disbursing officers 479 00 371 96 408 00 1, 260 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $100, 000 00 333 33 3,221 53 89, 000 00 364 80 44, 334 38 3, 886 43 4, 500 00 241,140 47 Total. 241,140 47 288 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, New York. No. 29. S. C. THOMPSON, President. GEO. F. BAKER, Cashier. Resources. Liabilities. $3,431,276 59 Loans and discounts 4, 308 73 Overdrafts 100, 000 00 U. S. bonds to secure circulation U. S. bonds to secure deposits " 1*494"450*06" U. S.bonds on hand 1, 500, 636 57 Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures-.. Current expenses and taxes paid 269 j 7459 Premiums paid Checks and other cash items 15, 018 90 696,469 68 Exchanges for clearing house 43, 032 00 Bills of other banks 258 30 Fractional currency 1,266 880 37 Specie 392,764 00 Legal tender notes 495, 000 00 U. S. certificates of deposit 2, 250 00 Due from U. S. Treasurer Total Capital stock paid in. $500, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid., 300, 000 00 124, 030 50 45, 000 00 1, 935 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 562, 783 52 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 7,002,224 42 912,594 16 10,448,567 60 Total 10,448,507 60 Second National Bank, New York. A. H. TROWBRIDGE, President. Loans and discounts Overdrafts U. S. bonds' to seeure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes 17. S. certificates of deposit Due from U. S. Treasurer Total O. D. ROBERTS, Cashier. No. 62. $1,188, 659 29 Capital stock paid in., 936 76 50, 000 00 Surplus fund , 50, 000 00 Other undivided profits.. 430, 224 45 National bank notes outstanding State bank notes outstanding 62, 597 07 Dividends unpaid. ""4*568"36" Individual deposits United States deposits 29, 412 13 Deposits of U. S. disbursing officers. 204, 350 53 23, 795 00 Due to other national banks Due to State banks and bankers. 125 00 83, 560 00 Notes and bills re-discounted. 390, 000 00 Bills payable 2, 250 00 2,520,478 59 Total. $300, 000 00 60, 000 00 15,721 10 45, 000 00 175 00 2, 055, 442 47 42, 957 22 1,182 80 2, 520, 478 59 Third National Bank, New York. J. F. D. LAMER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes II. S. certificates of deposit Due from U. S. Treasurer Total. No. 87. C. N. JORDAN, Cashier. ;, 597, 374 94 Capital stock paid in . 3, 757 42 56, 000 00 Surplus fund Other undivided profits . 25, 000 00 425,173 75 National bank notes outstanding 592,175 93 State bank notes outstanding ! Dividends unpaid., 38,536 12 7, 842 61 889, 365 50 20, 000 00 6, 286 25 375, 786 34 1,535,332 00 2, 310, 000 00 2, 929 50 10, 886, 560 36 | $1, 000, 000 00 250, 000 00 15, 452 47 49, 350 00 1, 520 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 2, 284, 817 65 Due to other national banks Due to State banks and bankers 6,801,297 S2 484, 122 42 Notes and bills re-discounted. Bills payable Total 10,886,560 36 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 289 YORK. Fourth National Bank, New York. P. C. CALHOUN, President. No. 290. ANTHONY LANE, Cashier. Resources. Liabilities. $14,171,167 89 Loans and discounts Overdrafts 5,541 01 U. S. bonds to secure circulation 1,175, 000 00 U. S. bonds to secure deposits 150,000 00 U. S. bonds on hand 120,000 00 Other stocks, bonds, and mortgages.. 217,859 25 Due from approved reserve agents... Due from other banks and bankers . . 1, 135, 305 08 Real estate, furniture, and fixtures... 653, 640 00 Current expenses and taxes paid 83, 227 57 Premiums paid Checks and other cash items 91,135 92 Exchanges for clearing house 4,248,126 14 Bills of other banks 17, 472 00 Fractional currency 7, 984 22 Specie 341.939 60 Legal tender notes 1,134,765 00 U. S. certificates of deposit 1, 085, 000 00 Due from U. S. Treasurer 52, 875 00 Total $5, 000, 000 00 Capital stock paid in. Surplus fund Other undivided profits . National bank notes outstanding . State bank notes outstanding 702, 500 00 374, 259 65 1, 057, 500 00 11, 586 50 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 7, 537, 335 84 53, 111 85 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 9, 558, 520 35 396, 224 49 24,691,038 68 24,691,038 68 Total. Fifth National Bank, New York. RICHARD KELLY, President. A. THOMPSON", Cashier. No. 34 K Loans and discounts Overdrafts U. S. bonds to secure circulation XL S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency « Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $501, 433 16 Capital stock paid in. 681 54 117, 500 00 Surplu? fund Other undivided profits ""50"ooo 65' 6, 500 00 National bank notes outstanding. State bank notes outstanding 29, 120 27 Dividends unpaid. 103, 810 94 Individual deposits 7, 037 50 United States deposits 5, 756 37 Deposits of U. S. disbursing officers. 49, 403 59 17, 242 00 Due to other national banks 929 29 19, 895 00 Due to State banks and bankers 150, 757 00 Notes and bills re-discounted. Bills payable 5, 275 00 Total 1,065,341 66 $150, 000 00 75, 000 00 4, 631, 57 105, 500 00 4, 357 50 624,122 20 101, 730 39 1,065,341 66 Sixth National Bank, New York. FRANCIS LELAND, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 254. A. E. COLSON, Cashier. $294, 096 78 Capital stock paid in . 423 87 214,500 00 Surplus fund Other undivided profits . 25, 000 00 232, 445 64 National bank notes outstanding State bank notes outstanding 177, 935 66 Dividends unpaid. 7, 882 93 3,718 75 3, 942 64 42,188 83 10, 629 00 1, 700 00 18, 229 95 171, 666 00 9,"656"bo" 1,214,010 05 Individual deposits United States deposits Deposits of U. S. disbursing officers. $200, 000 00 40, 000 00 26,247 29 190,000 00 757, 762 76 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable Total 1,214,010 05 290 REPORT OF THE COMPTROLLER OP THE CURRENCY. E W YORK. Ninth National Bank, New York. No. 387. JOHN T. HILL, President. H. H. NAZRO, Cashier. Resources. Liabilities. Loans and discounts j $4,147,157 56 Capital stock paid in Overdrafts i 1, 783 66 U. S. bonds to secure circulation ! 50, 000 00 Surplus fund | U. S. bonds to secure deposits ; Other undivided profits U. S. bonds on hand I 350 00 Other stocks, bonds, and mortgages..) 490,443 19 | National bank notes outstanding State bank notes outstanding Due from approved reserve agents. Due from other banks and bankers -.1 1, 074, 427 24 Dividends unpaid. Real estate, furniture, and fixtures... 500, 000 00 Current expenses and taxes paid 15, 000 00 | Individual deposits Premiums paid 140 11 j United States deposits Checks and other cash items 3, 860 69 | Deposits of U. S. disbursing officers.. Exchanges for clearing house 803, 239 20 Bills of other banks | 10,500 00 j Due to other national banks Fractional currency j 830 76 | Due to State banks and bankers Specie ! 53,158 00 II Legal tender notes 1, 245, 947 00 |; Notes and bills re-discounted U. S. certificates of deposit 210, 000 00 Due from U. S. Treasurer 8, 250 00 Bills payable Total . 8, 615, 087 41 $1, 500, 00C 00 105, 000 00 16, 591 09 45, 000 00 459 00 2, 623, 262 17 2,461,112 86 1, 863, 662 29 8, 6L5, 087 41 Total-. Tenth National Bank, N e w York. W. B. PALMER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 307. $274, 424 71 377 88 500, 000 00 475, 000 00 20, 458 74 GEO. ACKERMAN, Cashier. Capital stock paid in . $500, 000 00 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding 31, 773 70 Dividends unpaid . 13,310 00 23, 093 63 214, 452 85 Individual deposits United States deposits 18, 057 00 Deposits of U. S. disbursing officers. 100, 575 73 11,177 00 Due to other national banks Due to State banks and bankers 148, 132 07 175, 676 00 Notes and bills re-discounted. Bills payable , 22, 500 00 Total 2, 029, 009 31 29, 838 71 8, 331 23 450, 000 00 2, 240 00 517, 811 85 372, 327 32 148, 460 20 2,029,009 31 American Exchange National Bank, New York. GEO. S. COE, President. No. 1394. $10, 517, 922 29 Loans and discounts 824 20 Overdrafts 500, 000 00 U. S. bonds to secure circulation U. S. bonds to secure deposits 1 65,'66o"66' U. S. bonds on hand Other stocks, bonds, and mortgages . . 662, 2U5 17 Due from approved reserve agents... 908, 602 10 Due from other banks and bankers . . Real estate, furniture, and fixtures . . . 338, 052 19 96,121 11 Current expenses and taxes paid 1, 556 06 Premiums paid Checks and other cash items 238, 205 21 Exchanges for clearing house 3, 164,512 52 125, 938 00 Bills of other banks Fractional currency 302 33 701, 982 70 Specie 975, 000 00 Legal tender notes 620,000 00 U. S. certificates of deposit 48, 200 00 Due from U. S. Treasurer Total 18,964,423 EDMOND WlLLSON, Cashier. Capital stock paid in Surplus fun d Other undivided profits National banknotes outstanding State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total $5, 000, 000 00 1, 400,909 30 268,128 80 291, 500 00 i 00 6, 892 00 8, 912, 272 65 1,976,224 37 1,100,197 76 18,964,423 89 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 291 YOU K• Bank of New York National Banking Association, New York. CHAS. M. F R Y , President. No. 1393. R. B. F E R R I S , Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures Current expenses and taxes paid... , . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer >9, 778, 292 99 1,777 49 50, 000 00 " " 9 4 " 060" 66" 9, 000 00 422, 847 83 250, 000 00 Capital stock paid in National bank notes outstanding State bank notes outstanding Dividends unpaid. 615, 000 00 108,288 75 28,000 00 3, 759 00 8,728 60 Individual deposits 19, 035, 300 19 United States deposits Deposits of U. S. disbursing officers.. 11, 476, 409 72 56, 788 00 11, 867 40 1,228,040 22 1, 020, 497 00 2,"25o"6o" Due to other national banks Due to State banks and bankers , 060, 773 56 541,920 55 Notes and bills re-discounted Bills payable Total 24, 401, 770 65 Total $3, 000, 000 00 Surplus fund Other undivided profits | 24,401,770 65 Bowery National Bank, New York. PI. P. D E GRAAF, President. No. 1297. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $893, 776 10 1, 235 78 250, 000 00 18, 060 65 * 146," 806 52 21,069 12 69,019 61 17, 365 00 3, 829 177, 381 80, 000 19, 250 00 00 00 00 Capital stock paid in. $250, 000 00 Surplus fund Other undivided profits 200, 000 00 54, 674 72 National bank notes outstanding State bank notes outstanding 225, 000 00 390 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 967, 728 06 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1, 697, 792 78 Total. R I C H D . HAMILTON, Cashier, Total 1,697,792 78 Central National Bank, New York. WM. A. WHEELOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., No. 376. $5, 938, 545 2, 372 1, 670, 000 200, 000 205, 000 233, 935 34 91 00 00 00 51 355,117 55 322, 815 30 47, 842 82 149,199 78 11,411 08 661, 516 61 5, 000 00 23, 797 28 86, 099 71 727, 621 00 580, 000 00 75, 000 00 11,295,274 89 E D W A R D SKILLIN, Cashier. Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding Dividends unpaid $2, 009, 000 00 140,000 00 294, 340 75 1,281,800 00 6, 086 91 Individual deposits United States deposits Deposits of U. S. disbursing officers. 3, 950, 797 95 75,197 32 30, 844 38 Due to other national banks Due to State banks and bankers 3, 019, 761 96 496, 445 62 Notes and bills re-discounted Bills payable Total.... 11,295,274 89 292 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Chatham National Bank, New York. Jos, M. COOPER, President. No. 1375. GEO. M. HARD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. 2, 452, 779 78 379 22 306, 000 00 101, 250 00 284, 594 54 68,631 13 27, 462 85 45, 250 00 11,960 40 297,008 69 13,792 00 73, 476, 210, 13, 745 125 000 770 75 00 00 00 Capiial stock paid in . $450, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid - 265, 600 00 1,213 75 Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total 4, 382, 749 36 180, 000 00 42, 747 55 2,914,859 13 263, 918 88 264, 4L0 05 4,382,749 36 Chemical National Bank, New York. No. 1499. J. Q. JONES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation — U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers -. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total 7, 544, 824 03 810 84 100, 000 00 "966," 666" 66" 182, 592 31 G. G. WILLIAMS, Cashier. $300, 000 00 Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 223, 985 70 4, 684 94 11, 053 00 610 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable j 15,165,701 78 1, 000, 000 00 2, 203 739 27 10, 522, 756 72 709, 644 19 417, 898 60 15, 165, 701 78 Total Continental National Bank, N e w York. CHARLES BARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to. secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.S. Treasurer Total. No. 1389. !2, 697,104 55 3, 333 69 667, 000 00 3*566" 66" 50, 573 23 234, 786 76 580,000 00 12,114 24 100, 000 00 5, 388 47 2,231,570 81 14, 530 00 10 21 27, 098 00 346, 000 00 315, 000 00 49,515 00 7, 337, 524 96 W. J. HARRIS, Cashier. Capital stock paid in., $1, 500, 000 00 Surplus fund Other undivided profits. 172,000 00 80,827 62 National bank notes outstanding State bank notes outstanding 588, 800 00 Dividends unpaid . 5, 910 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 3, 405, 580 35 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 1, 082, 319 14 502, 087 85 Total. 7, 337, 524 96 REPORT OP THE COMPTROLLER OF THE CURRENCY. NEW 293 YORK. East River National Bank, New York. CHARLES JENKINS, Z. E . NEWELL, Cashier. No. 1105. President. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $667, 252 54 161 89 70, 000 00 50,666 66 21, 511 89 """60," 353* 73' 145, 688 25 3,515 00 8,729 16 8, 847 63, 068 9,019 961 22, 697 95, 028 40, 000 3, 150 51 35 00 62 00 00 00 00 $350, 000 00 Capital stock paid in Surplus fund Other undivided profits 70, 000 00 37, 850 50 National bank notes outstanding 62,900 00 5,004 00 State bank notes outstanding 2,162 37 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 740, 628 92 5 94 1, 432 21 Notes and bills re-discounted Bills payable Total 1,269, 983 94 1, 269, 983 94 Fulton National Bank, New York. T H O S . MONAHAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from oth«r banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes 71. S. certificates of deposit D ue from U. S. Treasurer No. 1497. $1, 478, 850 26 511 84 50, 000 00 56," 666 oo Capital stock paid in $600, 000 00 300, 000 00 260, 849 63 Surplus fund Other undivided profits National lank notes outstanding . State bank notes outstanding 81, 579 38 45, 000 00 18, 837 07 11, 802 72, 508 5,148 1, 265 87, 467 240, 368 445, 000 08 31 00 50 00 00 00 8, 530 00 Dividends unpaid , 1,568 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 1, 397, 022 93 20, 366 38 Notes and bills re-discounted. Bills payable 2, 588, 337 44 Total . R. M. BUCHANAN, Cashier. Total 2,588,337 44 Gallatin National Bank, New York. F . D. TAPPEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1324. $3, 029, 250 88 257 31 591, 000 00 443, 645 00 68.901 67 90, 000 00 70 90 1, 582, 907 66 3, 014 00 117 80 175, 552 50 382, 083 00 50, 000 00 25, 000 00 6, 441, 800 72 A. H. STEVENS, Cashier. Capital stock paid in. $1, 500, 000 00 Surplus fund , Other undivided profits. 300, 000 00 357,278 75 National bank notes outstanding State bank notes outstanding 476, 700 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 53, 895 00 3,401,274 15 335,186 20 17, 466 62 Notes and bills re-discounted. Bills payable Total 6,441,800 72 294 REPORT OF THE COMPTROLLER OF THE CURRENCY. W E W Y OK K. Hanover National Bank, New York. JAS. T. WOODWARD, President. No. 1353. GEO. W. PERKINS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $3, 046, 096 49 \ Capital stock paid in . 4,869 51 335, 000 00 Surplus fund Other undivided profits 10, 000 00 National bank notes outstanding State bank notes outstanding "236,"630"67" Dividends unpaid. 69, 034 58 54,097 10 296,350 C O 45 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 3,944 91 404,419 18 5, 000 00 Due to other national banks 469 50 Due to State banks and bankers 82,314 89 378, 895 00 Notes and bills re-discounted. 100, 000 00 ! Bills payable 26, 325 00 i 4,659,411 75 i Total. $1, 000, 000 00 Total. 1, 642, 423 63 1, 035, 779 52 561, 681 87 4,659,411 75 Importers and Traders' National Bank, N e w York. JAMES BUELL, President. No. 1231. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer !12, 959, 213 33 Capital stock paid in . 827 65 566, 0U0 00 Surplus fund Other undivided profits "2,"360," 665 65" 4, 500 00 National bank notes outstanding State bank notes outstanding ""683,"288"07" 200, 000 00 95, 784 16 280, 343 75 35, 924 90 1,801,618 33 48, 634 00 480, 835 79 573, 898 00 3, 710, 000 00 38, 900 00 Dividends unpaid . $1,500,000 00 1, 578, 666 64 169, 632 14 473,130 00 6,169 00 3,443 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , 23, 839, 767 98 Total. E. H. PERKINS, Jr., Cashier. Total 5, 438, 404 83 9,566,534 07 5,103, 783 30 23,839,767 98 Irving National Bank, N e w York. ISAAC ODELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 1357. J. L. JEWETT, Cashier. $1, 623, 222 88 Capital stock paid in . J04 72 100, 000 00 Surplus fund 404,566 65" Other undivided profits 20, 000 00 National bank notes outstanding State bank notes outstanding 273, 687 61 Dividends unpaid. 100, 000 00 11,041 93 68, 000 00 Individual deposits United States deposits 6, 763 59 Deposits of U. S. disbursing officers 229, 010 05 13, 500 00 Due to other national banks 107 02 Due to State banks and bankers 12, 618 44 459, 205 00 Notes and bills re-discounted. 10, 000 00 Bills payable 26, 500 00 3, 363, 261 24 Total. $500, 000 00 100, 000 00 30, 968 95 90, 000 00 1, 420 50 2, 063, 527 95 292, 582 30 284, 761 54 3, 363, 261 24 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 295 YORK. Leather Manufacturers' National Bank, New York. N. F. PALMER, President. No. 1196. D. L. HOLDEN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $2,216,854 72 1,316 74 300, 000 00 45o,"666"bo" 166,300 00 I]5"368 84* 100, 000 00 19, 486 16 25, 022 95 19,156 47 739,931 17 8, 847 00 33 50 241,195 42 434, 935 00 330,000 00 22, 400 00 Capital stock paid in $600, 000 00 Surplus fund O ther undivided profits 400, 000 00 61,769 99 National bank notes outstanding State bank notes outstanding 250, 800 00 Dividends unpaid 2, 016 00 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable , 5, 210, 847 97 Total.. 2, 845, 042 55 773,208 73 278, 010 70 5,210,847 97 Marine National Bank, N e w York. No. 1215. JAS. D. FISH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankersReal estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.., Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Capital stock paid in . "256,666 66 Surplus fund Other undivided profits $4.00, 000 00 55, 000 00 24,651 77 175,865 00 National bank notes outstanding State bank notes outstanding 211,151 35 200, 000 00 11,437 96 10, 000 00 42, 249 32 503, 933 68 45,084 00 1,183 07 149, 953 20 233, 900 00 20, 000 00 16, 020 00 Dividends unpaid . 216, 450 00 515 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 3, 220,104 69 Total., J. D E LAMATER, Cashier. , 328, 327 1L Total 2, 280, 906 36 229, 917 08 12,664 48 3,220,104 69 Market National Bank, N e w York. R O B E R T BAYLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid. — Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit .... Due from U. S. Treasurer Total No. 964. $2, 205, 934 46 1,620 03 250, 000 00 210,000 66 101, 716 67 178, 370 66 111,838 1L 20,187 69 35,586 12 40, 417 98 327, 933 56 20, 533 00 119,859 60 575, 678 00 85, 000 00 11, 250 00 4, 295, 925 88 A. GILBERT, Cashier. Capital stock paid in . $1, 000, 000 00 Surplus fund Other undivided profits 350, 000 00 70,406 92 National bank notes outstanding . . . State bank notes outstanding 163, 400 00 Dividends unpaid. 3, 287 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2,155, 866 88 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable 518, 890 06 34, 075 02 Total 4,295,925 88 296 REPORT OF THE COMPTROLLER OF THE CURRENCY NEW YORK. Mechanics' National Bank, New York. B. B. SHERMAN, President. No. 1250. W M . H. COX, Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $6,738,426 66 675 06 200, 000 00 65,"666"6o" 7, U00 00 568, 322 86 175, 000 00 12, 709 18 43, 091 74 2, 038, 395 99 15,320 00 I, 800 00 252, 126 22 999, 255 00 285, 000 00 9, 000 00 Capital stock paid in $2, 000, 000 00 Surplusfund Other undivided profits j j 400,000 00 652,143 02 National bank notes outstanding \ 180, 000 00 State bank notes outstanding ; Dividends unpaid | Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total 11,411,122 71 4,752 00 I 6, 272, 586 60 j .j j 1, 745,147 81 | 156, 493 23 j j | 11,411,122 71 Mechanics and Traders' National Bank, New York. E. D. BROWN, President. No. 1624. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $1, 586, 648 32 4, 505 73 220, 000 00 104, 650 48 30, 003 83 62,517 54 20, 575 54 8,266 16 7, 200 69 81,609 42 8, 987 00 4, 752 30 22,424 41 265, 038 00 5, 000 00 15, 586 00 $600, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 300, 000 00 46, 877 28 195, 715 00 831 25 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. 2, 454, 965 42 Total. GEO. W. YOULE, Cashier. Capital stock paid in . 1,134,868 44 16,605 60 160, 067 65 ! 2,454,965 42 Mercantile National Bank, New York. NORMAN WHITE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1067. $2, 886, 775 22 32 40 50, 000 00 750, 000 00 6, 000 00 115, 199 35 153, 000 00 27, 622 57 95, 437 50 24, 530 83 349, 020 18 14,122 00 21 35 149, 694 00 15, 250 00 600, 000 00 2, 250 00 5, 238, 955 40 N. AMFRMAN, Cashier. Capital stock paid in . Surplus fund Other undivided profits . National bank notes outstanding... State bank notes outstanding Dividends unpaid . $1, 000, 000 00 140, 080 67 136, 523 45 45, 000 00 332 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,622,000 46 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted.. Bills payable 1, 597, 285 09 697, 733 73 Total ! 5,238,955 40 REPORT OF THE COMPTROLLER OF THE CURRENCY. WE W 297 YORK. Merchants' National Bank, New York. J. D. VERMILYE, President. No. 1370. C. V. BANTA, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. 8. certificates of deposit Due from U. S. Treasurer Total Liabilities. $6, 202, 559 23 ] Capital stock paid in 2,724 11 I 650, 000 00 | Surplus fund Other undivided profits 800'OOO 65" 1, 009, 000 00 National bank notes outstanding """253," 566 "15* 206, 000 00 18,212 03 150,125 00 202, 269 35 3, 167, 593 49 19, 742 00 3, 742 36 442, 893 62 1,391,000 00 290, 000 00 17, 403 00 State bank notes outstanding 340, 492 72 645,764 34 238,160 00 2, 289 50 4, 708 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers .. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total 14, 831, 830 32 $3, 000, 000 00 7, 812, 986 34 2,554,356 25 233,073 17 14,831,830 32 Merchants' Exchange National Bank, New York. WM. A. THOMSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash itemg Exchanges for clearing house . Bills of other banks Fractional currency .. . Specie Legal tender notes .. U. S. certificates of deposit Due from U. S. Treasurer No. 1080. $3,116,464 89 829 78 500, 000 00 """260* ooo "56' 3, 000 00 239,790 46 243, 700 00 23,444 50 78, 500 00 40,375 92 338, 629 19 24, 346 00 7,552 68 43, 688 92 607, 954 00 A. S. APGAR, Cashiers. Capital stock paid in. $3,000,000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. 200, 000 00 68, 273 70 443, 900 00 5, 357 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 719, 065 55 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 1,960,918 47 93,24i 62 Total. Total. 5,490,776 34 Metropolitan National Bank, New York. JNO. E. WILLIAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1121. $14, 094, 891 71 8, 071 35 50, 000 00 207,178 72 2, 297, 922 51 489,950 14 31, 039 35 35, 876 21 3, 321, 533 46 7,388 00 1,071,246 49 1, 287,170 00 G-EO. I. SENEY, Cashier. Capital stock paid in . $4, 000, 000 00 Surplus fund Other undivided profits 1, 800, 000 00 270, 266 55 National bank notes outstanding State bank notes outstanding Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 17, 800 00 19,187 00 10, 530 00 10, 250, 797 11 4, 055, 894 93 2, 480, 042 35 2,250 00 22, 904, 517 94 Total., 22, 904, 517 94 298 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Bank of Commerce, New York. No. 733. ROBT. L. KENNEDY, President. HENRY F. VAIL, Cashier Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits XL S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $1.4, 250, 953 17 3, 700, 250, 1, 725, 347, 000 000 000 000 00 00 00 00 1, 423,146 68 530, 000 00 28, 253 71 348, 678 91 96,119 63 3, 982,258 78 72, 000 00 6, 000 00 608, 365 50 1, 775,137 00 Capital stock paid in . $10, 000, 000 00 Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding Dividends unpaid . 2, 735; 535 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 9, 476, 632 73 108,425 13 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 1, 729, 470 06 1, 945, 036 28 29, 310, 313 38 Total., 3, 000, 000 00 296,766 18 18, 448 00 29,310,313 38 National Bank of the Republic, N e w York. R. H. LOWRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation II. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1000. 6,153,158 27 Total . . H. W. FORD, Cashier. $3,179, 640 20 Capital stock paid in . 71 35 500, 000 00 Surplus fund Other undivided profits National bank notes outstanding 40,000 00 State bank notes outstanding 277,111 48 Dividends unpaid . 312,371 65 8,806 95 Individual deposits United States deposits 16, 500 11 Deposits of U. S. disbursing officers. 1,318,144 18 39,046 00 Due to other national banks 613 60 Due to State banks and bankers 77,196 75 311,156 00 Notes and bills re-discounted. 50,000 00 Bills payable 22, 500 00 Total. $2, 000, 000 00 100, 000 00 80, 369 54 438, 900 00 6,296 50 2, 646, 944 25 275,910 39 604,737 59 6,153, 158 27 National Bank of the State of N e w York, New|York. W . H. HAYS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1476. G. R. A. RICKETTS, Cashier. $1,316,520 78 Capital stock paid in 43 61 50, 000 00 Surplus fund Other undivided profits 33, 748 26 National bank notes outstanding $800,000 00 175, 980 67 45, 000 00 State bank notes outstanding 136, 530 63 4,238 00 219,331 07 Dividends unpaid 18,184 20 2, 247, 745 27 Individual deposits 17, 240 30 United States deposits 1,106, 071 48 Deposits of U. S. disbursing officers.. 15, 000 00 | 11, 628 69 209 08 Due to other national banks 29,152 65 Due to State banks and bankers j 58, 3U 43 233, 622 00 Notes and bills re-discounted. 160, 000 00 Bills payable 2, 250 00 3,342,904 06 Total 3,342,904 06 REPORT OF THE COMPTROLLER OF THE CURRENCY. N E W 299 Y O U K. National Broadway Bank, New York. F. A. PALMER, President. No. 687. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from IT. S. Treasurer Total- J. L. EVERITT, Cashier. $2,189, 985 43 Capital stock paid in . 2, 185 65 1, 000, 000 00 Surplus fund Other undivided profits 1, 500.7,00 00 284, 000 00 National bank notes outstanding State bank notes outstanding 270, 786 60 Dividends unpaid . 175, 000 00 ]3. 102 04 88, 375 00 Individual deposits United States deposits 95,833 11 Deposits of U. S. disbursing officers. 538, 782 38 28, 55) 00 Due to other national banks 12 76 Due to State banks and bankers 71,155 16 305, 049 00 Notes and bills re-discounted. Bills payable 57, 800 00 6, 620, 6L7 13 Total. $1,000,000 00 1, 000, 000 00 174, 486 36 900, 000 00 7, 040 00 654 00 3,343,221 72 117,401 35 77,813 70 6,620,617 13 National Butchers and Drovers' Bank, New York. D. PEARSALL, Prest., pro tern. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items , Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer N«. 1261. 073 347 10 704 98 197 000 00 303, 000 00 9, 00J 00 81, 488 09 136, 700 00 9, 925 36 G. G. BRINCKERHOFF, Cashier. Capital stock paid in . $500, 000 00 Surplus fund Other undivided profits 130, 000 00 37, 768 08 National bank notes outstanding State bank notes outstanding 113,614 00 Dividends unpaid . 1, 963 75 Individual deposits United States deposits. Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted.. Bills payable Total. Total . 1, 421, 362 48 10.012 88 107, 134 22 2,322,355 4L National Citizens' Bank, New York. S. R. COMSTOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, 'rind fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S.Treasurer Total. H. Ex. 3- -16 W. H. OAKLEY, Cashier. $1, 333,172 31 154 57 150, 000 00 Io3,"oo6"o6' 38, 800 00 241,303 11 250, 000 00 10.431 04 8, 968 75 53, 534 48 214,258 96 8, 000 00 5,883 14 55, 403 00 68, 376 00 185, 000 00 6, 750 00 2, 733. 035 36 Capital stock paid in. $600, 000 00 Surplus fund Other undivided profits 64,810 75 133, 276 15 National bank notes outstanding... State bank notes outstanding 129. 800 00 5, 188 00 Dividends unpaid . 957 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,631,786 03 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted . Bills payable 135,158 36 32, 059 07 Total . 2, 733, 035 36 300 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National City Bank, New York. No. 1461. MOSES TAYLOR, President. BENJ. CARTVVRIGHT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits ... U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer .'. Total. Liabilities. $G, 214, 090 91 Capital stock paid in 537 18 50, 000 0J Surplus fund Other undivided profits $1, 000, 000 00 1, 00r\ 000 00 499, 992 63 ! National bank notes outstanding \ State bank notes outstanding , 5:38, 545 55 , 5, 670 00 •203, 000 00 : Dividends unpaid 9, 793 47 Individual deposits 9, 909, 777 98 United States deposits 261,014 94 Deposits of U. S. disbursing officers.. 3, 227, 664 62 104,247 00 Due to other national banks. 712,599 67 45,001 10 Due to State banks and bankers 191, 147 7L 2, 340, 01)0 00 Notes and bills re-discounted Bills payable 13, 173,041 38 I 13, 173,011 38 Total. National Mechanics' Banking Association, New "York. F. CHANDLER, President. No. 1075. J. II. B. EDGAR, Cashier. Loans and discounts $1,063,699 58 j! Capital stock paid in Overdrafts 888 00 1 1 U. S. bonds to secure circulation 344,000 U0 I; Surplus fund U. S. bonds to secure deposits ! Other undivided profits U. S. bonds on hand Other stocks, bonds, and mortgages... iD, 092 75 |; National bank notes outstanding State bank notes outstanding. Due from approved reserve agents... (54, 877 54 Due from other banks and bankers. .. Dividends unpaid. 19 1H9 66 Real estate, furniture, and fixtures . . . 14, 95J 96 Individual deposits Current expenses and taxes paid Premiums paid j; United States deposits Checks and other cash items 5,782 70 li Deposits of U. S. disbursing officers Exchanges for clearing house 1,809,238 17 || Bills of other banks J 9, 666 00 ;' Due to other national banks Fractional currency j 44 58 I Due to State banks and bankers 9, 2«6 50 Specie • 147, 114 00 Notes and bills re-discounted Legal tender notes » ! U. S. certificates of deposit |. 22, 975 00 Bills payable Due from U. S. Treasurer 3,612,805 44 Total. Total. $500, 000 00 79, 995 65 45,174 93 303,783 C O 1, 282 00 2, 955 49 2, 597, 392 35 81.983 27 '238 75 3, 612, 805 44 National Park Bank, New York. J. L. WORTH, President. Loans and discounts Overdrafts • U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 891. $6, 642, 829 81 2, 050 0 i 100,000 00 I 125, 000 00 i 3, 175, 000 00 424, 893 75 1, 294, 075 69 605, 033 63 38, 605 77 562, 451 61 10, 856 95 2, 197, 805 44 4, 395 00 2,988 41 3, 861,369 00 1,785,014 00 880, 000 00 3, 000 00 ! 21,715,369 07 E. K. WRIGHT, Cashier. Capital stock paid in [ $2,000,000 00 Surplus fund Other undivided profits - 400, 000 00 21,702 98 National bank notes outstanding State bank notes outstanding Dividends unpaid. 60, 000 00 3, 205 00 Individual deposits 10, 120, 677 99 United States deposits Deposits of U. S. disbursing officers.. '"""ll4*227~55 Due to other national banks . Due to Stats banks and bankers Notes and bills re-discounted Bills payable Total. 7, 532, 450 35 j 1, 463, 105 20 , , 21,715,369 07 REPORT OP THE COMPTROLLER OF THE CURRENCY. NEW 301 YORK. National Shoe and Leather Bank, New York. A. V. STOUT, President. No. 917. J. M. CRANE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency. Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $3,102, 538 27 6, 706 83 930, 500 00 $1,000,000 00 Capital stock paid in. 315,000 00 55, 802 93 Surplus fund Other undivided profits 16, 300 00 National banknotes outstanding State bank notes outstanding 292, 156 46 50, 000 00 Dividends unpaid . 44, 300 74 Individual deposits United States deposits 41,305 76 Deposits of U. S. disbursing officers. 335,315 79 81,000 00 Due to other national banks 2, 0C0 00 Due to State banks and bankers 127,052 5L 55, 000 00 Notes and bills re-discounted. 540, 000 00 Bills payable 59, 500 00 Total . 5, 683, 076 36 630, 596 00 fi,030 00 1,685,750 02 823,614 80 1, 166,882 61 Total. 5, 683, 676 36 New York County National Bank, New York. FRANCIS LELAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand „ • Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae from U. S. Treasurer No. 1116. I $569,218 71 Capital stock paid in • P.. ""2OO,7JCO"OO' Surplus fund Other undivided profits 50, 000 00 386, 6J5 29 National bank notes outstanding State bank notes outstanding 20, 740 o9 20, 273 04 Dividends unpaid . j j ! $200, 000 00 40,000 00 66, 083 16 180, 000 00 1, 500 00 Individual deposits j 1, 093, 236 24 8, 875 00 United States deposits j 4, 962 20 Deposits of U. S. disbursing officers.. j 57, 368 43 40, 007 00 Due to other national banks !4, 949 69 2,824 03 Dae to State banks and bankers . 79, 395 00 Notes and bills re-discounted. 210,000 00 Bills payable 15, 500 00 1, 665, 769 09 Total . GEO. H. WYCKOFF, Cashier. Total. 1, 665, 769 09 New York National Exchange Bank, New York. D. B. HALSTEAD, President. No. 345. C. B. OUTCALT, Cashier. Loans and discounts ] $1,096,517 91 Capital stock paid in I Overdrafts | 489 97 U. S. bonds to secure circulation | 100, 000 00 j Surplus fund U S. bonds to secure deposits j ! Other undivided profits U. S. bonds on hand -.j. Other stocks, bonds, and mortgages... | 22,500 00 'I National bank notes outstanding . . . | State bank, notes outstanding Due from approved reserve agents.. J ' Due from other banks and bankers ..} 181, 706 59 Real estate, furniture, and fixtures \ 8 ', 000 Oil Dividends unpaid . Current expenses and taxes paid j 11, 540 63 Individual deposits Premiums paid ! 10,000 0J United States deposits Checks and other cash items 2 2,744 98 Deposits of IT. S. disbursing officers. Exchanges for clearing house 111. 316 04 Bills of other banks. 957 00 Due to other national banks Fractional currency , j 142 93 Due to State banks and bankers . . . Specie ] 2.", 732 00 Legal tender notes 113 709 00 i Notes and bills re-discounted. U. S. certificates of deposit 65, 000 00 j Bills payable Due from U. S. Treasurer 14, 500 00 Total. 1, 856, 927 05 j Total. $500, 000 00 30, 000 00 28,166 87 90, 000 00 157 50 905, 524 28 144,422 08 108, 656 32 50, 000 00 1,856,927 05 302 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW O U K. Fhenix National Bank, New York. P . M. BRYSON, President. No. 1374. JOHN PARKER, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks aud b a n k e r s . . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency 1 Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Cashier. Liabilities. $3, 194, 056 32 1,925 78 Capital stock paid in . $1,800,000 00 183,519 15 85,120 36 301), 000 00 Surplus fund Other undivided profits 302, 203 50 National bank notes outstanding State bank notes outstanding 528,183 17 280, 673 93 11,4!)6 46 6, 751 29 5fi 618 59 2, 533. 471 23 88, 493 00 96 14 848, 863 99 61)0,000 00 195, 000 00 8, 500 00 39, 000 U0 Dividends unpaid . 5, 631 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 6, 240, 743 27 Due to other national banks Due to State banks and bankers 419,983 08 182,331 04 Notes and bills re-discounted . Bills payable Total 8, 956, 333 40 8, 956, 333 40 Saint Nicholas National Bank, New York. J . LEE S M I T H , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 972. il,465,014 57 88 58 782, 000 00 192, 485 00 A. P A R K H U R S T , Capital stock paid in . 11,00), 030 00 Surplus fund Other undivided profits 168, 000 00 17, 686 04 National bank notes outstanding State bank notes outstanding 699, 550 00 "iob~ i76'liY \ Dividends unpaid. 117, 334 67 | 2, 540 00 8, 846 86 J Individual deposits United States deposits 30, 483 20 Deposits of U. S. disbursing officers. 358,988 11 700 00 Due to other national banks 20 00 Due to State banks and bankers 54,7L0 71 106, 690 00 Notes and bills re-discounted. 35, 000 00 Bills payable r 56, 890 00 1, 347, 506 23 16,513 05 57, 633 05 3, 309, 428 37 Total. Cashier. 3, 309, 428 37 Seventh Ward National Bank, New York. GEO. MONTAGUE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. No. 998. $582, 679 92 "i65,"6o6"66" 5o,"oo6"6o" 90,431 25 Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid Checks and other ca sh items Exchanges for clearing house Bills of other banks Fractional currency S pecie L^gal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. J. D. W. G R A D Y , Cashier. Capital stock paid in $300, 000 00 Surplus fund Other undivided profits National bank notes outstanding 41,300 00 9, 876 00 j 79, 982 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers 72 00 1, 080, 225 50 155 18 385 32 Notes and bills re-discounted Bills payable 1,511,996 00 Total. 1,511,996 00 REPORT OF THE COMPTROLLER OF THE CURRENCY. 303 NE W YORK. * Tradesmen's National Bank, New York. RICHARD BERRY, President. No. 905. ANTHONY HALSEY, Cashier* Resources. Liabilities. $1, 864, 383 34 Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Checks and other cash items Exchanges for clearing house Bills of other banks . Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . 690, 000 00 200*000 "oil" 391, 055 37 277,177 85 254,951 62 13, 799 22 72 176 61 34, 447 72 183, 849 07 6,582 00 90, 742 360, 450 5,000 33, 050 Total 70 00 00 00 $1, 000, 000 CO Capital stock paid in Surplus fund Other undivided profits 400 000 00 98, 634 71 National bank notes outstanding State bank notes outstanding 568, 669 00 Dividends unpaid . . . . . . . . . . . . . . . . 3,378 40 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 1, 875, 784 64 265, 883 87 265, 314 88 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 4, 477, 665 50 4, 477, 665 50 Total Union National Bank, New York. D. C. HAYS, President. Loans and discounts*. Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid « Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasure r Total. No. 1278. $3, 459, 942 13 50," 000* 65' 210, 000 00 500, 000 00 114, 193 35 104, 500 00 37,223 17 6, 545 34 5,061,987 67 5, 325 00 405 70 284, 279 50 334,113 00 670, 000 00 JAS. M. L E W I S , Cashier. $1, 500, 000 00 Capita] stock paid in. 300, 000 00 514, 953 69 Surplus fund Other undivided profits National bank notes outstanding. State bank notes outstanding 1,615 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 7, 988, 549 34 461,031 11 45, 365 72 Notes and bills re-discounted. Bills payable Total. 10,841,514 86 10,841.514 North Granville National Bank, North Granville. ISAAC V. BAKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stock?, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1318. G E O . B. CULVER, Cashier $60,938 61 Capital stock paid in . 126 13 85, 000 00 Surplus fund Other undivided profits 1,100 00 2, 782 25 15,060 12 7, 479 93 1,348 44 474 20 1, 2L2 113 218 3, 190 00 16 05 00 National bank notes outstanding S tate bank notes outstanding $85, 000 00 3, 057 94 75, 900 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks , Due to State banks and bankers 18, 627 88 228 74 53 33 Notes and bills re-discounted. Bills payable 3, 825 00 182 867 89 Total. 182,867 89 304 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Bank, Norwich. N. B. HALE, President. No. 1354. WARREN NEWTON, Cashier Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer Total. $162,110 60 2, 377 53 125, 000 00 Capital stock paid in. $125,000 00 46,000 00 3,153 34 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 5," 000 66 29, 700 00 8, 402 30 108, 500 00 Dividends unpaid. 6, 600 00 1,199 46 50 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 476 98 7,643 00 160 34 900 00 12,000 00 85, 491 87 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted.. Bills payable 5, 625 00 368, 195 21 Total. 368,195 2L First National Bank, Nunda. JNO. F. BARBER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U.- S. certificates of deposit Due from U. S. Treasurer No. 2224. Capital stock paid in $50, 000 00 Surplus fund Other undivided profits ! National bank notes outstanding i State bank notes outstanding \ Dividends unpaid 1,664 94 7, 477 50 I Individual deposits 3, 692 06 I United States deposits Deposits of U. S. disbursing officers. 120 00 Due to other national banks 124 41 Due to State banks and bankers. 300 00 5,900 00 Notes and bills re-discounted Bills payable i,"89o 65" 178, 571 55 Total J. S. MCMASTER, Cashier. 2,505 32 1,936 19 37, 800 00 71, 330 04 15, 000 10 178,571 55 Total Rockland County National Bank, Nyack. D. J. BLAUVELT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer .... Total. A. D. MORFORD, Cashier. No. 1286. $226, 287 49 Capital stock paid in. 1, 635 49 100, 000 00 Surplus fund Other undivided profits . ioo oo : National bank notes outstanding . . . 17, 680 00 :State bank notes outstanding 12, 207 59 10,691 52 Dividends unpaid 4, 665 24 2, 268 45 Individual deposits United States deposits 1,431 52 Deposits of U. S. disbursing officers. 3,215 275 665 25, 115 00 i| Due to other national banks 00 ! Due to State banks and bankers . . . 02 00 Notes and bills re-discounted Bills payable $100,000 00 50,000 00 9, 696 81 90, 000 00 2, 037 00 660 00 141, 241 89 12, 429 28 5, 672 34 5," 500 66' 411,737 32 : Total. 411,737 32 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 305 YORK. First National Bank, Olean. No. 1887. W. F. WHEELER, President. L. F. LAVVTOV, Cashier Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. 8. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $243, 592 46 Capital stock paid in . $100,000 00 2, 505 77 20 000 00 100, 000 00 Surplus fund 6,263 78 Other undivided profits. 200 00 90, 000 00 4, 077 03 National bank notes outstanding I j. 4, 880 17 State bank notes outstanding 1, 245 02 1, 735 00 14,8fiO 34 Dividends unpaid 2,185 79 Individual deposits 112, 119 42 10, 534 45 United States deposits 611 85 Deposits of U. S. disbursing officers. 8 00 210 93 202 18 7, 222 00 4, 600 00 396, 935 99 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 4,000 00 42,267 79 20,500 00 Total.. Oneida Valley National Bank, Oneida. NTLES HIGINBOTHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. THEO. F. HAND, Cashier. $105, 000 00 $165,293 24 Capital stock paid in . 78 44 80, 000 00 Surplus fund Other undivided profits 200 00 36, 522 95 2,764 78 4, 000 00 1,571 00 2,175 94 20, 000 00 5,613 10 National bank notes outstanding State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. 109,240 15 482 27 2L4 49 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 311,850 01 311,850 01 Total . First National Bank, Oneonta. W. W. SNOW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. MARQUIS L. KEYES, Cashier. $30,168 67 Capital stock paid in . 569 83 50, 000 00 Surplus fund Other undivided profits 400 03 863 77 943 86 5, 200 00 947 88 6,162 23 2,177 62 810 00 29 91 49 18 2, 853 00 National bank notes outstanding State bank notes outstanding $50, 000 00 | 17,278 66 2,112 94 45, 000 00 . Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 37, 397 85 912 25 729 30 Notes and bills re-discounted. Bills payable 2, 250 00 153,431 00 Total. 153,431 00 306 REPORT OF TPIE COMPTROLLER OF THE CURRENCY. NEW YORK. Wilber National Bank, Oneonta. No. 2151. D A V I D WILBER, President. GEO. I. WILDER, Cashier. Resources. Liabilities. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TT. S. certificates of deposit Due from U. S. Treasurer Total. 5182,139 20 855 68 74, 000 00 "27666 "66 25,940 52 4,501 65 1,569 82 7, 188 70 12, 901 22 $100, 000 00 Capital stock paid in Surplus fund Other undivided profits 10, 000 00 19,899 87 National bank notes outstanding State bank notes outstanding ! 50, 400 00 Dividends unpaid ! Individual deposits United States deposits 526 25 Deposits of U. S. disbursing officers. 5, 069 00 138,140 53 Due to other national banks i ! "809 16' Due to State banks and bankers 11, 425 00 10, 3f8 84 2, 666 90 Notes and bills re-discounted. Bills payable 2, 520 00 Total. 331,506 14 331,506 14 First National Bank, Oswego. THOS. S. MOTT, President. No. 255. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes , XL S. certificates of deposit Due from U. S. Treasurer $200, 000 00 5,200 81 200, 000 00 J Surplus fund 50, 000 00 1 Other undivided profits. 1 52, 298 00 ij National bank notes outstanding 31, 609 83 j State bank notes outstanding 42,709 99 18, 000 00 Dividends unpaid . 3,344 52 Individual deposits United States deposits 6, 557 50 Deposits of U. S. disbursing officers.. 1, 352 00 301 75 400 00 13, 000 00 10,000 00 4, 451 76 40,000 00 21, 302 40 178, 300 00 252,579 02 22, 483 40 4,510 11 1,122 21 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 723,297 14 Total . J. D. W. CASE, Cashier. $284, 070 98 Capital stock paid in. 723,297 14 Total. Second National Bank, Oswego. LEONARD AMES, President. Loans and discounts ' O verdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TT. S. certificates of deposit Due from U. S. Treasurer Total. No. 2B6. HENRY R. CARRIER, Cashier. $207, 467 43 Capital stock paid in 1,792 29 120, 010 00 Surplus fund Other undivided profits 8,037 33 19,294 20 5, 583 07 1, 000 00 3, 033 86 169 85 1, 797 46 ; ; | National bank notes outstanding State i>ank notes outstanding Dividends unpaid $120,000 00 14,879 08 106, 773 00 . i Individual deposits United States deposits Deposits of U. S. disbursing officers 950 00 i Due to other national banks 57 59 Due to State banks and bankers 2, 536 60 3, 650 00 j Notes and bills re-discounted Bills payable j j 139, 735 70 501 32 780 58 "" 7,366 00 j 382, 669 68 ! Total. 382, 669 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 307 YORK. Lake Ontario National Bank, Oswego. LUTHER W R I G H T , President. DANL. G. FORT, Cashier. No. 1355. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $359, 356 60 Capital stock paid in. 4, 872 32 51, 950 00 Surplus fund Other undivided profits , 20, 000 00 10, 048 07 National bank notes outstanding 25, 000 00 State bank notes outstanding 6,501 72 30, 170 60 Dividends unpaid. 2, 233 73 Individual deposits 3, 000 00 United States deposits 45, 958 44 Deposits of U. S. disbursing officers.. 800 00 Due to other national banks Due to State banks and bankers $275, 000 00 21,800 00 13,43L 29 46,755 00 216, 366 49 3, 326 14 10, 150 3L Notes and bills re-discounted. Bills payable Total. Total. 586, 829 23 National Marine Bank, Oswego. No. 821. ELIAS ROOT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secui'e deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer J. R. NOYES, Cashier. $145,776 95 Capital stock paid in. 3,788 16 50, L00 00 Surplus fund Other undivided profits National bank notes outstanding 25,783 10 State bank notes outstanding . . . . 2, 753 04 28, 882 49 Dividends unpaid . 2, 338 58 2, 701 25 Individual deposits United States deposits 3, 866 23 Deposits of U. S. disbursing officers. 2, 144 00 Due to other national banks 395 00 Due to State banks and bankers . 130 00 10, 500 00 Notes and bills re-discounted. Bills payable Total. Total. $120,000 00 4,741 08 5, 723 29 45, 000 03 104,690 61 1,153 82 281,308 80 First National Bank, Owego. LYMAN TRUMAN, President. Loan s and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . Due from other banks and bankers. Real estate, furniture, and fixtures.., Current expenses and taxes paid Premiums paid , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit , Due from U. S. Treasurer , Total. No. 1019. ivo. B. BRUSH, Cashier. $308,939 18 Capital stock paid in. 2, 046 12 50, 000 00 Surplus fund Other undivided profits 3, 900 00 23, 257 58 3, 959 59 9, 500 00 | 2,800 15 National bank notes outstanding State bank notes outstanding 20, 000 00 70,141 94 45, 000 00 Dividends unpaid Individual deposits United States deposits 1, 947 96 Deposits of U. S. disbursing officers. 993 00 Due to other national banks 206 15 Due to State banks and bankers . 300 00 5,184 00 Notes and bills re-discounted. Bills payable , 2, 250 00 415,283 73 $100, 000 00 Total. 179, 900 26 241 53 415,283 73 308 EEPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Tioga National Bank, Owego. FREDK. E. PLATT, Cashier. THOS. C. PLATT, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Billsof other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $149,741 41 Capital stock paid in . 2 741 39 80, 000 00 Surplus fund Other undivided profits . 750 00 National bank notes outstanding 12,051 75 State bank notes outstanding 1,358 22 14,070 99 Dividends unpaid . 1,781 46 Individual deposits United States deposits , 2, 195 17 Deposits of U. S. disbursing officers. 1, 676 00 Due to other national banks 399 41 Due to State banks and bankers. 7, 522 00 Notes and bills re-discounted Bills payable ""3,"600 66 Total. 277, 887 80 5100,000 00 20, 000 00 8,435 16 72, 000 00 153 50 77, 177 62 121 52 277, 887 80 First National Bank, Oxford. No. 273. JAS. W. CLARKE, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents Due from other banks and bankers Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer J. R. VAN WAGENEN, Cashier. $220, 347 35 Capital stock paid in . 72 37 150, 000 00 Surplus fund Other undivided profits 16,440 00 National bank notes outstanding 5, 886 60 State bank notes outstanding 34 34 8, 545 24 Dividends unpaid . 1, 171 26 Individual deposits I United States deposits. Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total Total. $150,000 00 50, 000 00 25, 068 10 134, 925 00 53, 312 74 3, 903 25 417,209 09 First National Bank, Palmyra. PLINY SEXTON, Vice Prest. Loans and discounts Overdrafts U. S. bonds to secure circulation j IJ. S. bonds to secure deposits j U. S. bonds on hand j Other stocks, bonds, and mortgages... J Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house j Bills of other banks .| Fractional currency 1 j Specie Legal tender notes \ U. S. certificates of deposit I Due from U. S. Treasurer j Total. No. 295. PLINY T. SEXTON, Cashier. $194,544 01 Capital stock paid in . 437 85 200, 000 00 Surplus fund Other undivided profits • ! National bank notes outstanding 30, 371 57 State bank notes outstanding 19 00 147,285 72 i|Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. 3,521 00 ! Due to other national banks 345 19 Due to State banks and bankers . 1,739 00 16, 955 00 Notes and bills re-discounted. Bills payable 9, 000 00 604,218 34 Total .. $200, 000 00 18, 000 00 4, 942 74 174, 330 00 89, 945 60 117,000 00 604,218 34 REPORT OF THE COMPTROLLER OP THE CURRENCY. NE W 309 YORK. National Bank, Pawling. A. J. AKIN, President. No. 1269. GEO. W. CHASE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts . ......... .. . U. S. bonds to secure circulation U. S. bonds to secure deposits U S bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents.. Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid 112,976 25 21,04L 74 5, 850 00 531 02 1,012 36 Checks and other cash items Exchanges for clearing house Bills of other banks . Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $165,978 19 2J5 165,000 00 1,035 00 30 413 40 3,873 00 Capital stock paid in 76, 000 00 7,601 28 148, 500 00 3,798 00 National bank notes outstanding State bank notes outstanding ... 750 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 69,132 39 Dividends unpaid . . .... ... Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 481,651 54 .. . $175, 000 00 Surplus fund Other undivided profits 869 87 ... Total 481,651 54 Westchester County National Bank, Peekskill. C. A. G. D E P E W , President. No. 1422. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $269, 439 02 490 12 200, 000 00 Capital stock paid in., $200, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 34,381 19 1,575 15 13, 000 00 Dividends unpaid . 5, 024 35 Individual deposits United States deposits Deposits of U. S. disbursing officers 3,700 00 Due to other national banks 158 89 Due to State banks and bankers 800 00 20, 000 00 Notes and bills re-discounted . Bills payable 8, 630 00 Total. 557,198 72 Total.. D. F. CLAPP, Cashier. 50, 000 00 42,846 58 162, 400 00 ?, 670 00 728 00 94, 553 48 3, 000 66 557, 198 72 First National Bank, Penn Yan. JOHN C. SCHEETZ, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie . Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 358. $120, 478 92 479 86 50, 000 00 4,400 1,141 7, 885 2, 046 75 26 15 90 1, 000 32 GEO. H. LAPHAM, Cashier. Capital stock paid in. 13, 000 00 6, 869 97 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 85 L 00 Due to other national banks 166 56 Due to State banks and bankers . 955 00 7, 500 00 Notes and bills re-discounted. Bills payable 2, 250 00 199,155 72 $50, 000 00 Surplus fund Other undivided profits Total. 70, 985 75 13, 300 00 199,155 72 310 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Stissing National Bank, Fine Plains. W. S. ENO, President. No. 981. F R E D . BOSTVVICK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes XL S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $139,004 30 722 80 90, 000 00 700 00 30, 568 25 2,000 00 1, 177 34 975 75 697 00 6 48 45 00 2,405 00 Capital stock paid in. $90,000 00 Surplus fund Other undivided profits 25, 000 00 32, 361 31 '< National bank notes outstanding State bank notes outstanding j ! 80, 250 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 44,740 61 Due to other national banks Due to State banks aud bankers. Notes and bills re-discounted. Bills payable 4,050 00 Total. 272,351 92 272,351 92 First National Bank, Plattsburgh. No. 266. M. SOWLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits XL S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash i t e m s — . Exchanges for cleaving house Bills of other banks Fractional currency . Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $557, 774 09 "I6o,"6oo 66' 41,535 84 3, 42d 02 3, 000 00 4,209 81 2, 777 40 835 00 97 82 28, 000 00 10, 000 00 4,500 00 A. G U I B O R D , Cashier. Capital stock paid in. $100,000 00 Surplus fund Other undivided profits 20, 000 00 109, 607 67 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid . 436,536 91 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national barks Due to State banks and bankers j j. Notes and bills re-discounted. Bills payable 756, 155 93 Total. 756, 155 98 Vilas National Bank, Plattsburgh. SAML. F . V I L A S , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits. U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit... Due from U. S. Treasurer Total. No. 321. $691,243 43 ""'50*000 60 24,171 54 7, 536 38 1, 700 00 1, 450 00 J. M. WEVER, Cashier. Capital stock paid in j $100, 000 00 Surplus fund Other undivided profits. 35, 000 00 19, 355 56 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . 727 56 Individual deposits United States deposits Deposits of U. S. disbursing officers. 485 00 285 92 Due to other national banks Due to State banks and bankers 602, 283 27 1,966 06 244 94 Notes and bills re-discounted. Bills payable 803,849 83 Total. 803, 849 83 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 311 YORK. First National Bank, Port Chester. EL WOOD BURDSALL, J. N. WlLCOX Cashier. President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Liabilities. $198,121 93 185 90 100, 000 00 $100, 000 00 Capital stock paid in . 20, ono oo Surplus fund Other undivided profits """25,'uOO 00 3, 200 00 32, 255 96 National bank notes outstanding State bank notes outstanding 48, 707 41 5, 434 89 ],6;)0 00 3,554 03 1, 070 00 Dividends unpaid . 1,151 66 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 062 00 89 21 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit D ue from U. S. Treasurer 89, 200 00 Due to other national banks Due to State banks and bankers 176,274 17 680 25 187 70 26,061 00 | Notes and bills re-discounted. Bills payable "" 4,500 66"|j Total. Total . 419,668 08 I j 419, 668 08 First National Bank, Port Henry. No. 1697. G. R. SHERMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency. Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $162, 708 86 ""ioo'ooo'oo" Capital stock paid in. $100, 000 00 Surplus fund Other undivided profits 20,000 00 3, 156 89 National bank notes outstanding State bank notes outstanding 90, 000 00 """25,"000 00 11,101 86 20, 596 76 1,623 60 12,744 66 2,182 44 1, 538 54 575 9,000 00 69 30 00 """i'soo'oo" Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 138, 469 28 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total. 351,626 17 Total. J. D. ATWELL, Cashier. 351,626 17 First National Bank, Port Jervis. M. C. EVERLTT, President. No. 94. Loans and discounts Overdrafts U. S. bonds to secure circulation .... U. S. bonds to secure deposits U. S. bonds on hand Other stock8, bonds, and mortgages. $174,821 48 535 53 100,000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 5,150 50 5,837 18 3, 483 73 2,170 33 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. 2, 000 00 292 80 904 00 203 10 1,598 80 15,891 00 C. F . VAN INWEGEN, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding . Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks aad bankers $100, 000 00 4, 459 55 90, 000 00 576 00 121,715 89 497 56 139 45 Notes and bills re-discounted., Bills payable 4,500 00 317,388 45 Total . 317,388 45 312 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Bank, Port Jervis. No. 1363. H. H. FARNUM, President. A. P. THOMPSOxV, Cashier. Resources. Liabilities. Loans and discounts ! $252, 776 26 Capital stock paid in. Overdrafts. J 2,877 53 j: U. S. bonds to secure circulation i 331, 500 00 rj Surplus fund U. S. bond^ to secure deposits ! j; Other undivided profits U. S. bond on hand ij Other stocks, bonds, and mortgages.. 4,635 00 ijNational bank notes outstanding Due from approved reserve agents.. J 5,186 53 jj State bank notes outstanding Due from other banks and bankers... j 5, 699 14 ji Real estate, furniture, and fixtures...! 10, 526 11 I jDividends unpaid. Current expenses and taxes paid j 1,206 31 I Individual deposits Premiums paid ! |j! United States deposits j ' Checks and other cash items 3,897 8L j! Deposits of U. S. disbursing officers. Exchanges for clearing house '. Bills of other banks 4,294 00 Due to other national banks Fractional currency 3, 645 68 Due to State banks and bankers Specie ! 186 58 Legal tender notes ! 12, 575 00 Notes and bills re-discounted U. S. certificates of deposit j 5,000 00 Bills payable Due from U. S. Treasurer j 5, 850 00 Total. 449,855 95 \\ $130, 000 00 28, 838 70 6,333 81 115,800 00 828 00 166, 072 81 1, 596 13 386 50 Total. 449,855 95 National Bank, Potsdam. BLOOMFIELD USHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 868. LUKE USHER, Cashier. $282, 691 58 Capital stock paid in j 2, 544 37 100, 000 00 1 Surplus fund Other undivided profits j 300 00 78, 366 09 ( National bank notes outstanding I 33,571 14 j|I State bank notes outstanding 4,014 84 20, 396 22 Dividends unpaid . 5^ 388 81 Individual deposits |j United States deposits 875 31 jj Deposits of U. S. disbursing officers. 1,344 00 j Due to other national banks 1, 783 17 !i Due to State banks and bankers . 5, 830 00 Notes and bills re-discounted Bills payable $200, 000 00 40, 000 00 32, 594 72 90, 000 00 184,010 8L j I 546, 605 5 :] j 546, 605 53 First National Bank, Poughkeepsie. CORNEL. D U BOIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand." Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 465. $267,019 24 i 550 00 160, 000 00 177 00 43, 832 4,081 5, 800 2,724 64 43 00 35 ZEP.ULON RUDD, Cashier. Capital stock paid in Surplus fund Other undivided profits $160,000 00 { J National bank notes outstanding State bank notes outstanding . . . 142,300 00 Dividends unpaid Iudividtifil deposits United States deposits 391 61 Deposits of U. S. disbursing officers.. 727 O-1) 591 95 5, 555 00 "viocToT 49J, 653 22 19,883 80 23,938 04 143,921 00 Due to other national b a n k s . Due to State banks and b a n k e r s . Notes and bills re-discoun+ed Bills payable Total. !, 610 33 I 498, 653 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. 313 NEW YORK, City National Bank, Poughkeepsie. A. H. CHAxMPLiN, Cashier. J. F. BARNARD, President. Resources. Loans and discounts O verdraf tfi U. S. bonds to secure circulation U. S. bonds to secure deposits U. 8. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Eeal estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearinghouse Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from (J. S. Treasurer Liabilities. $244, 978 58 Capital stock paid in . 858 20 130,000 00 Surplus fund Other undivided profits 1,650 00 National banknotes outstanding 40, 205 29 State bank notes outstanding 69,981 77 3-1, 040 74 Dividends unpaid . 3, 023 35 Individual deposits United States deposits 3,617 93 Deposits of U. S. disbursing officers.. 3, 588 00 710 84 1,031 00 12, 149 00 5," 850 "56" Due to other national banks Due to State banks and bankers 27, 070 45 5, 915 60 117,000 00 ],275 00 185, 755 02 27,303 60 56, 365 03 Notes and bills re-discounted. Bills payable 550, 684 70 Total . $130, 000 00 Total. . 550, 684 70 Fallkill National Bank, Poughkeepsie. GEORGE INNIS, President. Loans and discounts ,.„ Overdrafts - - • ., U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender not > s U. S. certificates of deposit Due from U. S. Treasurer Total. No. 659. JOHN F. HULL, Cashier. $545, 397 03 Capital stock paid in . 1,551 53 400, 000 00 Surplus fund 60, 000 00 Other undivided profits. 22, 900 00 National bank notes outstanding 64,487 51 State bank notes outstanding . . . ; . . . 54, 076 85 28,275 00 Dividends unpaid 276 93 Individual deposits 880 88 United States deposits 28, 603 07 Deposits of U. S. disbursing officers 5,018 00 4, 090 50 3,053 46 15, 000 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $400, 000 00 100, 000 00 45, 080 53 338,250 00 4,958 00 223, 005 84 30, 025 58 891 90 109, 398 91 18,000 00 1,251,610 76 1,251,610 76 Total. Farmers and Manufacturers' National Bank, Poughkeepsie. WM. A. DAVIES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation TI. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes. TT. S. certificates of deposit Due from U. S. Treasurer Total . No. 1312. F. W. DAVIS, Cashier. $548,124 80 Capital stock paid in. 1,240 81 250, 000 00 Surplus fund Other undivided profits """15*500*00 18, 275 27 National bank notes outstanding 33, 028 03 State bank notes outstanding 68, 390 28 49,514 48 Dividends unpaid . 4,069 88 Individual deposits United States deposits 10, 880 26 Deposits of U. S. disbursing officers.. 7, 000 00 827 12 33,271 00 Due to other national banks Due to State banks and bankers $250, 000 00 90, 000 00 168, 104 67 220, 855 00 2,121 00 341,224 71 77,076 45 2,020 10 Notes and bills re-discounted. Bills payable 11, 250 00 1, 151,401 93 Total. 1, 151, 401 93 314 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Merchants' National Bank, Poughkeepsie. JAMES ExMOTT, President. No. 1380. W. C. FONDA, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other ca*h items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Tieasurer Liabilities. $495, 460 76 340 22 110, 000 00 119, 348 62 143,572 17 20, 000 00 3, 553 00 5, 395 99 5,974 00 1, 538 78 1, 838 5 J 23,175 09 Capital stock paid in . $175, 000 00 Surplus fund Other undivided profits 180,000 00 17, 282 43 National bank notes outstanding State bank notes outstanding 98,100 00 Dividends unpaid . Individual deposits United States d^po-iit.s Deposits of U. S. disbursing officers.. 223, 537 17 Due to other national banks Due to State banks and bankers 215,819 06 30, 408 38 j Notes and bills re-discounted. Bills payable 4, 950 00 Total., 940, 147 04 Total. 940, 147 04 Poughkeepsie National Bank, Poughkeepsie. THOS. L. DAVIES, President. No. 1306. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes p a i d . . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks :. Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $320, 269 64 875 94 223, 500 00 1, 025 00 REUBEN N O R T H , Cashier. $250, 000 00 Capital stock paid in 68, 000 00 9, 803 00 Surplus fund Other undivided profits National bank notes outstanding 47, 592 m 88,959 01 28. 762 00 3, U8 77 2)1, 150 03 996 03 Individual deposits .. I United States deposits ... 2,954 83 •) Deposits of U. S. disbursing officers. 699 00 | Due to other national banks 1, 6fi5 30 1 Due to State banks and bankers 1 725 00 Notes and bills re-discounted 4, 865 00 Bills payable 139, 747 40 63, 865 18 1,528 3J "l6,*657' 50* 735, 089 t 8 Total 735, 089 88 Pulaski National Bank, Pulaski. CHAS. A. CLARK, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expanses and taxes paid Premiums paid Checks and other cash iterrs Exchanges for clearirg house Bills of other banks Fractional currency Speci i Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1496. J A S . A. C L A R K , $49,629 78 I Capital stock paid in . 343 71 50, 000 00 ! Surplus fund Other undivided profits 1,900 00 22, 166 596 10, 000 1, 139 71 34 00 64 2, 290 55 100 2, 535 00 48 00 00 National bank notes outstanding State bank notes outstanding Cashier. $50, 000 00 6, 225 00 2, 126 97 43, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 40, 562 73 1,091 91 Notes and bills re-discounted. Bills payable "2*250'6b* 143, 006 66 Total. 143,006 66 REPORT OF THE COMPTROLLER OP THE CURRENCY. NEW 315 YORK. First National Bank, Red Hook. J. S. CROUSE, Cashier. No. 752. R. L. MASSONNEAU, President. Liabilities. Resources. Loang and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer Total. $118,558 96 102 19 150, 000 00 70, 000 00 55,771 1,367 8,000 3 07 64 00 98 1,317 02 $150, 000 00 Capital stock paid in. 27, 000 00 14,223 61 Surplus fund Other undivided profits 132, 846 00 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers . 1,011 00 Due to other national banks 113 72 Due to State banks and bankers . 548 15 8, 700 00 Notes and bills re-discounted. Bills payable 6, 750 00 6, 744 04 Total. 422, 243 73 91, 430 ( 422, 243 73 First National Bank, Rhinebeck. No. 1157. WM. B. PLATT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankersReal estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S.Treasurer $292,120 59 Capital stock paid in. $175,000 00 Surplus fund Other undivided profits National bank notes outstanding 30, 070 93 State bank notes outstanding 1, 322 44 Dividends unpaid . 36,000 00 10,535 18 125, 000 00 112, 499 00 644 00 3, 623 08 Individual deposits United States deposits 43 23 I Deposits of U. S. disbursing officers. 132, 730 97 1, 462 00 Due to other national banks .. 28 74 650 00 Due to State banks and bankers . 8, 000 00 Notes and bills re-discounted. Bills payable 5,635 00 546 88 Total. 467, 956 03 Total. J. H. THORN, Cashier. 467, 956 03 Flour City National Bank, Rochester. FRANCIS GORTON, President. Loans and discounts O verdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit D ue from U. S. Treasurer Total. H. Ex. 3- -17 No. 1362. $822,992 60 547 36 250, 000 00 50, 000 00 W M . AUG. WATERS, Cashier. Capital stock paid in., $300, 000 00 Surplus fund Other undivided profits . 100, 000 00 60, 285 62 1, 500 00 National bank notes outstanding 40, 858 43 State bank notes outstanding 29, 898 57 Dividends unpaid . 5,282 67 Individual deposits United States deposits 13, 022 12 Deposit* of U. S. disbursing officers.. 225, 000 00 3, 585 00 1, 165 85 2, 255 00 13, 000 00 20, 000 00 11, 250 00 1, 265, 357 60 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total ! . 345, 677 68 27, 583 52 9, 806 18 83, 949 64 34,237 53 10, 760 00 68, 057 43 1,265,357 60 316 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW VOIHi. Traders' National Bank, Rochester. No. 1104. S. L. BREWSTER, President. H. C. BREWSTER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $576,871 12 Capital stock paid in . 873 06 191,000 00 Surplus fund Other undivided profits . 2,015 00 2,412 64 38, 728 09 2, 583 07 11, 607 03 8, 205 00 3, 046 25 2, 312 69 45, 000 00 50, 000 00 160,165 27 National bank notes outstanding . . State bank notes outstanding 171, 900 00 Dividends unpaid. Individual deposits United States deposits , Deposits of U. S. disbursing officers 10, 453 59 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills pay able 10,262 91 692 18 72,180 00 11, 000 00 995, 653 95 I Total. $250, 000 00 Total. 995, 653 95 First National Bank, Rome. No. 1414. EDW. HUNTINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $137, 939 05 6,414 19 100, 000 00 Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes p a i d . . . . Premiums paid 10, 208 855 16, 592 937 1, 800 00 57 64 92 26 2, 010 77 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 808 38 500 5, 497 00 65 00 00 F . H. THOMAS, Cashier. $100, 000 00 Capital stock paid in . Surplus fund Other undivided profits 16, 500 00 12,486 89 National bank notes outstanding State bank notes outstanding 80, 000 00 Dividends unpaid . 225 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 75, 721 55 2, 422 15 746 45 Notes and bills re-discounted Bills payable *4," 500 '00 288,102 05 Total. Total. 288,102 05 Central National Bank, Rome. S. B, STEVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1376. $210, 003 28 3, 366 40 98, 000 00 8, 934 00 6, 296 5,785 7, 357 1, 737 62 19 70 46 4,874 17 776 00 370 45 9,762 00 "i" 500* 66" 361, 763 27 C. S. G R I F F I N , Cashier, Capital stock paid in. $97, 560 00 Surplus fund Other undivided profits 20, 000 00 20,849 67 National bank notes outstanding . State bank notes outstanding 86, 900 0G Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. 144 00 133, 896 59 1, 277 40 1,135 61 361, 763 27 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W 317 YORK. Fort Stanwix National Bank, Rome. No. 1410. DAVID UTLEY, President. GEO. BARNARD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $378,030 11 Capital stock paid in. 1, 948 91 140, 000 00 Surplus fund Other undivided profits . 2,738 54 National bank notes outstanding 39, 804 03 State bank notes outstanding 11, 029 96 Dividends unpaid . 5, 500 00 Individual deposits United States deposits 13, 883 65 Deposits of U. S. disbursing officers. 1, 230 65 840 22,015 00 Due to other national banks 00 Due to State banks and bankers 00 00 Note3 and bills re-discounted. Bills payable 6, 300 00 623,385 25 II $150, 000 00 30, 000 00 69, 630 78 126, 000 00 244,625 81 962 88 2,165 78 623, 385 25 Total. First National Bank, Rondout. THOMAS CORNELL, President. No. 34. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie . U. S. certificates of deposit Due from U. S. Treasurer Total CHARLES BRAY, Cashier. $644,663 14 2,074 81 307, 000 00 Surplus fund Other undivided profita 4, 500 00 National bank notes outstanding 41,053 49 State bank notes outstanding 30,179 84 6, 178 54 90 06 Individual deposits $300,000 00 100,000 00 56,225 62 276, 300 00 7, 509 00 260, 837 47 5, 319 30 Deposits of U. S. disbursing officers.. 3,168 00 Due to other national banks 2, 206 57 Due to State banks and bankers 1, 503 50 35, 000 00 Notes and bills re-discounted Bills payable .. . . . . . 14, 000 00 1, 096, 937 25 95, 696 58 368 58 1,096,937 25 Total National Bank, Rondout. JANSEN HASBROUCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Bue from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1120. E. B. NEWKIRK, Cashier. $208,481 13 Capital stock paid in. 2, 798 99 200, 000 00 Surplus fund Other undivided profits . 10, 000 00 National bank notes outstanding 91, 890 27 State bank notes outstanding 7,163 62 6, 000 00 Dividends unpaid . 1, 217 98 Individual deposits United States deposits 10, 048 78 Deposits of U. S. disbursing officers 9,4H1 00 Due to other national banks.... 565 43 Due to State banks and bankers. 1, 400 00 13, 000 00 Notes and bills re-discounted. Bills payable 9, 000 00 571, 047 20 Total. $200, 000 00 54,700 00 16,898 01 180, 000 00 5,000 00 960 00 112, 425 42 1, 063 77 571, 047 20 318 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Bank, Salem. C. L. ALLEN, President. No. 1127. B. F. BANCROFT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid.... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks L .. Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. , 30, 000 00 46, 433 83 18,417 97 National bank notes outstanding 16,345 67 State bank notes outstanding *3 877 00 !' dividends unpaid ,. 1,665 39 1 i n d i v i d u a i d e p 0 S i t s 1 || United States deposits 4, 970 17 1 Deposits of U. S. disbursing officers 1 455 00 D ue to other national banks 69 73 Due to State banks and bankers 775 00 9,108 00 Notes and bills re-discounted., , 10, 000 00 Bills payable 2,700 00 54, 000 00 440, 792 40 Total. $100, 000 00 $298,403 13 !; Capital stock paid in 3, 629 74 I! 60,000 00 i! Surplus fund !' Other undivided profits Total. 309 00 207, 316 74 2, 510 83 63 77 158 18 440, 792 40 First National Bank, Sandy Hill. No. 184. N. W. WATT, President. Loansand discounts O ve rdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $122, 201 54 230 17 75, 000 00 54, 856 36,159 5, 8U5 6, 000 3,416 00 03 77 00 12 1, 663 73 Capital stock paid in., $75, 000 00 Surplus fund Other undivided profits . 15, 000 00 3, 683 28 National bank notes outstanding State bank notes outstanding 64, 400 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 351 00 Due to other national banks 61 49 1 Due to State banks and bankers . 1 375 25 i 5, 3~r2 uO |l Notes and bills re-discounted 5,000 00 ! Bills payable 3,375 00 |j 319,847 10 i! Total. W. M. COLLrN, Cashier. Total. 161,299 66 464 16 319,847 10 First National Bank, Saratoga Springs. JAS. M. MARVIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers ,. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. JNO. S. LEAKE, Cashier. No. 893. $254, 215 73 Capital stock paid in. 3, 426 40 100, 500 00 j Surplus fund Other undivided profits., 200 00 74,894 71 1, 165 32 National bank notes outstanding State bank notes outstanding Dividends unpaid . " " "263*20" Individual deposits United States deposits 2, 770 10 Deposits of U. S. disbursing officers. 982 00 431 42 2,786 00 15, 524 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable $100,000 00 20, 000 00 19, 950 49 90, 000 00 225, 713 87 7, 486 92 407 60 6, 400 00 463, 558 88 Total. 463,558 88 REPORT OF THE COMPTROLLER OF THE CURRENCY. 319 NEW YORK. Commercial National Bank, Saratoga Springs. JOHN T. CARR, President. No. 1227. S. H. RICHARDS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . Liabilities. $317,157 55 1,411 30 100, 000 00 56, 778 60 49,071 65 11, 946 98 29, 576 00 3, 019 12 Capital stock paid in. $100, 000 00 Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding 74, 000 00 4, 098 84 89,100 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 020 00 Due to other national banks 1, 331 93 Due to State banks and bankers 1, 602 20 18,151 00 Notes and bills re-discounted . Bills payable 6, 500 00 Total. 597, 566 33 276,085 64 20, 047 47 4,234 38 30,000 00 597,566 33 First National Bank, Saugerties. No. 1040. JNO. KIERSTED, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer B. M. FREIJGH, Cashier. $364, 562 63 Capital stock paid in. 7,153 64 169,000 00 Surplus fund Other undivided profits. 17, 504 12 National bank notes outstanding State bank notes outstanding Dividends unpaid. 25,421 96 3,941 02 148, 700 00 809 00 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable , Total. $300, 000 00 Total. 9,273 36 27,104 36 15, 000 00 610,249 70 Saugerties National Bank, Saugerties. W M . F. RUSSELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . . . . Due from U. S. Treasurer Total. No. 1208. $128, 415 60 4, 462 90 120, 850 00 2,300 00 13, 018 11,693 13, 629 1.09L 51 60 51 14 808 04 4,478 00 117 77 686 39 3, 030 00 JOHN HOPKINS, Cashier. Capital stock paid in. Surplus fund , Other undivided profits. National bank notes outstanding State bank notes outstanding Dividends unpaid. $125, 000 00 7, 852 22 4, 260 44 108, 600 00 438 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 47, 066 93 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 16, 798 87 5, 435 00 310, 016 46 Total. 310,016 46 320 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Mohawk National Bank, Schenectady. GKO. G. MAXON, President. No. 1226. CHAS. THOMPSON, Cashier. Resources. liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $663, 930 25 Capital stock paid in , 1,596 51 100, 000 00 Surplus fund O ther undivided profits 20. 000 00 62,171 00 8, 400 00 National bank notes outstanding 124, 983 54 State bank notes outstanding 4,528 93 Dividends unpaid . 14,000 00 ; Individual deposits United States deposits Deposits of U. S. disbursing officers. 4,414 04 8,14b 00 108 18 720 00 41,500 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 86, 500 00 797 76 695, 767 80 10, 230 92 2,143 97 5,285 00 977, 611 45 Total. $100, 000 00 977, 611 45 Total. Schoharie County National Bank, Schoharie. FRANKLIN KRUM, President. No. 1510. Loans and discounts...-, Overdrafts U. S. bonds to secure circulation U.S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers * Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $133, 500 92 655 75 50, 000 00 28, 625 00 18, 464 85 8, 500 00 43 15 6, 830 00 1, 070 00 4 25 850 00 5, 000 00 JAS. O. WILLIAMS, Cashier. Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits. 19, 000 00 608 00 National bank notes outstanding State bank notes outstanding Dividends unpaid. 45, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 73,988 14 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Billu payable 5,197 78 12, 000 00 !, 250 00 255, 793 92 Total. 255, 793 92 National Bank, Schuylerville. C. W. MAY HEW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S.Treasurer Total. No. 1298. G. F . WATSON, Cashier. $206, 85L 43 Capital stock paid in . 5,445 81 10U, 000 00 Surplus fund. j Other undivided profits 7, 449 43 166 38 4, 000 00 936 01 837 94 National bank notes outstanding... State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers 6() 00 ij Due to other national banks 784 40 I Due to State banks and bankers 1,000 00 Notes and bills re-discounted., 5.000 00 I Bills payable... 4,500 00 I 337, 037 40 Total. $100, 000 00 14,500 00 5, 380 11 90, 000 00 17 50 111,075 49 3, 397 97 666 33 7,000 00 5, 000 00 337, 037 40 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 321 YORK. First National Bank, Seneca Falls. No. 102. ALBERT COOK, President. D. ERASTUS P A R T R I D G E , Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $74,253 50 1, 804 73 60, 000 00 50,500 00 52, 000 00 29, 217 01 10, 353 55 11,465 00 1, 755 85 2,272 00 10 55 113 50 13, 000 00 Capital stock paid in. 44,410 26 11, 664 75 National bank notes outstanding... State bank notes outstanding 14,533 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 143, 644 82 32,945 75 611 40 Due to other national banks Due to State banks and bankers . . . 615 7L 1,025 00 Notes and bills re-discounted. Bills payable 2, 700 00 Total. 309, 450 69 Total. $60, 000 00 Surplus fund Other undivided profits. 309, 450 69 National Exchange Bank, Seneca Falls, J . B. JOHNSON, President. No. 1240. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers , . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other baaks Fractional currency ......... Specie Legal tender notes TT. S. certificates of deposit Due fromU. S. Treasurer $249,351 16 1, 979 24 100, 000 00 2, 700 00 44, 765 60 3, 920 03 5, 000 00 89S 68 1, 240 00 120 05 12, 050 00 Capital stock paid in., $100, 000 00 Surplus fund Other undivided profits. 25, 000 00 19, 380 96 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid . 35 00 Individual deposits , Un ted States deposits De t osits of U. S. disbursing officers Due to other national banks Due to State banks and bankers , 189, 240 17 2, 800 58 293 10 Notes and bills re-discounted. Bills payable , """4,"725"6o" Total. 426, 749 81 Total. NORMAN H. BECKER, Cashier. 426,749 81 Sherburne National Bank, Sherburne. JOSHUA PRATT, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits O. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S p ecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1166. H. T. DUNHAM, Cashier. $108, 036 88 Capital stock paid in . "i66 f "666"6o Surplus fund Other undivided profits 50, 000 00 9,167 76 National bank notes outstanding... State bank notes outstanding 86, 500 00 46,244 92 38,185 1,188 3, 749 1,028 86 22 48 55 425 54 220 21 1.000 13| 000 00 06 00 00 $100, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 71,301 84 Due to other national banks Due to State banks and bankers . . . 412 07 218 84 Notes and bills re-discounted., Bills payable , 4, 500 "00 317,600 51 Total. 317, 600 51 322 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Sing Sing. No. 471. C. F. MAURICE, President. ISAAC B . NOXON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $265, 854 87 Capital stock paid in. 2, 850 93 100, 000 00 Surplus fund Other undivided profits 46,559 19 National bank notes outstanding 17, 808 95 State bank notes outstanding 19, 271 28 11, 648 73 Dividends unpaid., 1, 259 88 Individual deposits „.. United States deposits 5, 534 50 Deposits of U. S. disbursing officers. 563 00 143 50 1,308 00 21, 842 00 36, 000 00 17,407 33 90, 000 00 284 00 231, 557 30 9, 347 49 2,278 71 Due to other national banks . . . . Due to State banks and bankers Notes and bills re-discounted.. Bills payable , 12,270 00 4, 500 00 Tot&l. 499,144 83 Total. $100, 000 00 499,144 83 Farmers and Drovers' National Bank, Somers. WILLIAM BAILEY, President. No. 1304. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing h o u s e . . . . . . . . Bills of other banks Fractional currency Specie Legal tender notes ~. TJ. S. certificates of deposit Due from U. S. Treasurer Total. A. B. THACKER, Cashier. $244, 294 14 Capital stock paid in. 1,427 16 85, 000 00 Surplus fund Other undivided profits. $166, 700 00 16, 000 00 10,187 47 National bank notes outstanding 8,849 34 State bank notes outstanding 726 54 6, 830 50 Dividends unpaid. 1,096 80 Individual deposits United States deposits 955 55 Deposits of U. S. disbursing officers 1,145 00 Due to other national banks 206 85 Due to State banks and bankers 40 00 5,000 00 Notes and bills re-discounted. Bills payable , 3, 925 00 359, 496 88 76, 500 00 89, 903 49- . 132 72 73 20 359, 496 88 Total. First National Bank, St. Johnsville. J. W. CRONKHITE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid.... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. N. G. DODGE, Cashier. No. 375. $78,679 10 "75," 666" 66" 10, 300 00 4, 387 36 91 00 19, 330 61 992 86 51 02 3, 380 00 99 35 3, 017 00 Capital stock paid in . $75, 000 00 Surplus fund Other undivided profits. 11,000 00 5,879 15 National bank-notes outstanding State bank notes outstanding 67,500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 34, 261 61 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,062 54 4, 000 00 3,375 00 198,703 30 Total . 198, 703 30 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 323 YORK. First National Bank, Syracuse. No. 6. E. B. JUDSON, President. G. B. LEONARD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $520, 411 16 451 79 278, 000 00 32, 853 99 36, 815 00 7, 260 07 7,190 91 4, 882 516 8, 670 10, 000 00 50 97 00 Capital stock paid in., $250, 000 00 Surplus fund Other undivided profits 50, 000 00 146,448 18 National bank notes outstanding State bank notes outstanding 250, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 222, 724 53 2, 379 68 14,500 00 Total. 921, 552 39 921, 552 39 Third National Bank, Syracuse. Lucius GLEASON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures. - Current expenses and taxes paid . . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 159. $307,704 59 275, 000 00 100, 000 00 11, 000 00 121, 991 24 4,789 18 2, 002 03 4,348 109 10,926 15, 000 00 21 00 00 Capital stock paid in., $300, 000 00 Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding . . . . . . . 60, 000 00 21, 841 35 247, 500 0G Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 192, 900 89 41, 659 53 1, 343 48 12, 375 00 865, 245 25 Total . G. S. LEONARD, Cashier. 865, 245 25 Total. Merchants' National Bank, Syracuse. R. N. GERE, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid .'. Checks and other cash itema Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. E. R. PLUMB, Cashier. No. 1342. $412,096 33 2,912 11 143, 500 00 101,869 64, 076 2, 250 4,153 Capital stock paid in., Surplus fund , Other undivided profits., National bank notes outstanding State bank notes outstanding 88 78 Dividends unpaid . 49 i 56 Individual deposits United States deposits 5, 849 27 Deposits of U. S. disbursing officers. 8, 060 00 13 61 4,585 00 20, 000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable $180, 000 00 50, 000 00 78, 736 01 129,150 00 334,944 06 2, 61.2 31 382 15 6, 457 50 775, 824 53 Total. 775,824 53 324 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Salt Springs National Bank, Syracuse. A. A. HOWLETT, President. No. 1287. Resources. 0 verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid THOS. J. LEACH, Cashier. ! ! Liabilities. $418, 772 87 ! Capital stock paid in 519 04 ..... ........ 150, 000 00 Surplus fund $200, 000 00 ... Other undivided profits 2,*8"6i" 66" National bank notes outstanding 33, 512 98 ! 21,782 68 l Dividends unpaid 12, 336 57 | .. 40, 000 00 18,104 69 135, 000 00 ... 285, 514 67 United States deposits 7, 252 77 ; Deposits of U. S. disbursing officers Checks and other cash items 2, 232 70 420 10, 200 10, 000 8,750 Specie Total 81 40 00 76 00 oo ! 00 i 00 Total 678, 700 76 678, 700 76 Syracuse National Bank, Syracuse. ANDREW D. WHITE, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S.bonds to secure deposits..' U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1341. $261,241 89 441 45 100, 000 00 "iio'ooo'oo" 3,000 159, 934 19, 382 13, 000 3, 066 12, 000 00 37 07 00 39 00 5,918 70 3,154 00 1,033 85 510 00 11, 000 00 "I'500 00 $200, 000 00 Capital stock paid in . Surplus fund Other undivided profits 40, 000 00 14, 601 34 National bank notes outstanding State bank notes outstanding Dividends unpaid., 90, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. 708,182 72 Total., ORRIN BALLARD, Cashier. 355, 500 26 5, 225 36 2, 855 76 708, 182 72 First National Bank, Tarrytown. No. 364. LUTHER REDFIELD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash i t e m s . . . . . . . . Exchanges for clearing Bouse Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $208, 575 17 200 00 100, 000 00 i6,"5o6"66" 26, 000 24, 976 846 1,933 2,968 2,793 00 14 84 49 56 75 4,496 00 1, 695 00 1,346 66 17, 892 00 '"i'ibo'bo 414,723 61 JACOB ODELL, Cashier. Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits 25, 000 00 7, 017 99 National bank notes outstanding . . . . State bank notes outstanding 90, 000 00 Dividends unpaid.. 100 00 Individual deposits ., United States deposits Deposits of U. S. disbursing officers. 184,986 99 Due to other national b a n k s . . . . Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable 5, 220 54 2, 398 09 Total. 414,723 61 REPORT OF THE COMPTROLLER OF THE CURRENCY. WE W 325 YORK. First National Bank, Troy. No. 163. THOMAS COLEMAN, President. R. H. THUEMAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures -. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $375, 022 81 1, 672 00 225, 000 00 125, 000 00 33, 800 00 43, 000 00 112, 847 47 5,581 93 15,147 1L 4,028 64 4,175 72 27,050 11 Capital stock paid in $300, 000 00 Surplus fund Other undivided profits . National bank notes outstanding . . . State bank notes outstanding Dividends unpaid Due to other national banks 85 Due to State banks and bankers 00 00 Notes and bills re-discounted., 00 Bills payable 00 1, 032, 264 64 195,120 00 313 71 Individual deposits United States deposits Deposits of U. S. disbursing officers .1 9, 807 00 3, 778 2, 228 2, 000 30, 000 12, 125 60, 000 00 78, 630 38 268, 007 46 53, 295 12 9, 815 91 36, 151 93 430 13 30, 500 i 1, 032, 264 64 Total. Central National Bank, Troy. Gr. C. BURDETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid... Premiums paid Checks and other cash items , Exchanges for clearing house Bills of other banks , Fractional currency Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer... Total., A. W. WlCKES, Cashier. No. 1012. $616,200 28 Capital stock paid in . 1, 589 56 125, 000 00 Surplus fund Other undivided profits 29, 982 81 National bank notes outstanding 36,327 87 State bank notes outstanding 18, 456 36 35,067 41 Dividends unpaid . 5, 227 96 Individual deposits United States deposits 17, 810 88 Deposits of U. S. disbursing officers. 7, 860 24 999 29,250 00 Due to other national banks 02 Due to State banks and bankers 75 00 Notes and bills re-discounted. Bills payable 5, 625 00 929, 421 90 $300, 000 00 30, 0.00 00 23, 893 97 106, 100 00 66 50 449, 492 17 2,532 56 12,220 44 5,116 26 929,421 90 Total. Manufacturers' National Bank, Troy. THOMAS SYMONDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures... Current expenses and taxes paid. Premiums paid Checks and other cash items . Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . C. M. WELLINGTON, Cashier. No. 721. $1, 392, 777 99 Capital stock paid in . 1, 554 00 150, 000 00 Surplus fund. Other undivided profits 62, 572 93 National bank notes outstanding 69,531 52 State bank notes outstanding 47, 494 50 Dividends unpaid . 33,492 14 Individual deposits United States deposits Deposits of U. S. disbursing officers. 13,396 00 2, 300 00 2, 865 48 78, 269 00 100, 000 00 6, 750 00 1, 991, 607 86 | Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , Total . $150, 000 00 150, 000 00 22, 272 14 118, 000 00 250 00 1, 490, 808 69 60, 277 03 1,991,607 86 326 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Mutual National Bank, Troy. C. HATNES, President. No. 992. G. H. SAGENDORF, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $538,147 38 Capital stock paid in. 1, 402 76 188, 500 00 Surplus fund """27"450'66' Other undivided profits 2, 500 00 National bank notes outstanding 119, 897 69 State bank notes outstanding 15,143 45 Dividends unpaid . 23, 375 00 2, 452 28 Individual deposits United States deposits 2, 336 26 Deposits of U. S. disbursing officers. 7,787 00 Due to other national banks 1,168 14 Due to State banks and bankers 600 00 22, 000 00 Notes and bills re-discounted. Bills payable 8, 482 50 961,242 46 Total. $250, 000 00 50, 000 00 49, 042 36 159, 579 00 84 00 438, 789 69 13, 747 41 961,242 46 Total. National Exchange Bank, Troy. No. 621. HIRAM MILLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures..Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes XL S. certificates of deposit Due from U. S. Treasurer $197, 589 42 5, 838 16 100, 000 00 5, 000 00 44, 745 66 22, 993 02 12, 000 00 1,787 55 7,596 72 1, 418 00 89L 18 578 00 2, 057 00 5, 000 00 4, 500 00 $100, 000 00 Capital stock paid in.. Surplus fund Other undivided profits.. National bank notes outstanding State bank notes outstanding Dividends unpaid . 20, 000 00 18,174 90 Individual deposits United States deposits Deposits of U. S. disbursing officers. 134, 330 29 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable 411,994 71 Total. SHEPARD TAPPEN, Cashier. 89, 200 00 34,127 36 16,162 16 411,994 71 Total. National State Bank, Troy. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid.. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tendernotes TJ. S. certificates of deposit Due from U. S. Treasurer Total. WlLLARD GAT, Cashier. No. 991. HENRY INGRAM, President. $1, 426, 502 74 687 00 206, 000 00 Capital stock paid in. Surplus fund Other undivided profits " 69," 665 "66" National bank notes outstanding., , 125, 449 54 State bank notes outstanding 8, 839 60 Dividends unpaid . 24,000 00 4, 289 25 Individual deposits 2, 585 61 United States deposits 13, 559 49 Deposits of U. S. disbursing officers. 10, 430 00 5, 480 41 2.900 00 119, 000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted., Bills payable $250, 000 00 80,000 00 25, 621 83 135, 800 00 1, 512, 807 76 8,171 57 15, 632 48 9, 310 00 2, 028, 033 64 Total 2,028,033 64 REPORT-OF THE COMPTROLLER OF THE CURRENCY. NEW 327 YORK. Troy City National Bank, Troy. No. 640. JOHN B. PIERSON, President. GEO. A. STONE, Cashier. Liabilities. Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes XL S. certificates of deposit Due from U. S. Treasurer 58, 422 32 i Capital stock paid in . 1,281 64 II 492, 000 00 - Surplus fund I ! Other undivided profits 5, 750 00 National bank notes outstanding . 131,190 39 State bank notes outstanding 46, 104 19 Dividends unpaid . 20, 000 00 7, 347 37 Individual deposits United States deposits -. 11,636 16 Deposits of U. S. disbursing officers . 12,417 10, 485 1, 870 50,641 30, 000 35, 040 00 00 50 00 00 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 514,185 57 Total. Total , $500, 000 00 9, 000 00 38, 307 02 384, 850 00 342 50 557,121 83 24, 564 22 1,514,185 57 Union National Bank, Troy. No. 963. HIRAM SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates o f deposit Due from U. S. Treasurer $642, 382 39 Capital stock paid in. 2 00 225, 000 00 Surplus fund Other undivided profits 5, 050 00 National bank notes outstanding.... 46, 917 25 State bank notes outstanding 43, 788 29 10,325 99 Dividends unpaid. 2, 953 35 Individual deposits United States deposits 7, 692 75 Deposits of U. S. disbursing officers. 20, 232 00 59 47 484 80 1% 750 00 20, 000 00 10, 100 00 $300, 000 00 60, 000 00 32,354 92 202, 000 00 369,137 27 83,496 10 750 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 1, 047, 733 29 Total. A. R. SMITH, Cashier. Total 1,047,738 29 United National Bank, Troy. No. 940. E. THOMPSON GALE, President. Loans and discounts Overdrafts U. S. boDds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $684,494 32 1, 355 70 120, 000 00 "i2o"666"6o" 7,101 65, 696 33, 821 20, COO 2, 846 10,531 39 70 91 00 64 25 25, 069 18 5, 608 00 349 75 2,100 00 5, 000 00 40, 000 00 5, 800 00 1,149, 774 84 GEO. H. PERRY, Cashier. Capital stock paid in Surplus fund Other undivided profits $300, 000 00 .. 60, 000 00 25, 426 93 National bank notes outstanding . State bank notes outstanding 108, 000 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. 551,828 11 14,686 49 89, 833 31 1,149, 774 84 328 REPORT OF THE COMPTROLLER OF THE CURRENCY. IS E W YORK. First National Bank, Union Springs. No. 342. C T. BACKUS, President. M. F. BACKUS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $119,912 65 Capital stock paid in . 1,913 91 100, 000 00 Surplus fund Other undivided profits 15, 901 73 National bank notes outstanding 4,201 90 State bank notes outstanding 4, 940 34 Dividends unpaid. 1, 633 38 Individual deposits United States deposits 1,185 64 Deposits of U. S. disbursing officers. 2, 159 108 140 5, 000 00 Due to other national banks 09 00 Due to State banks and bankers 00 Notes and bills re-discounted. Bills payable 20, 000 00 9,681 25 90, 000 00 33, 996 39- 844 00 75 00 2, 500 00 Total . 259, 596 64 Total. $100, 000 00 259,596 64 First National Bank, Utica. No. 1395. P. V. ROGERS, President. Loans and discounts , Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits , U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks , Fractional currency Specie , Legal tender notes , U. S. certificates of deposit Due from U. S. Treasurer $1, 231, 258 69 Capital stock paid in 4, 053 51 400, 000 00 Surplus fund 6,"666"6o" Other undivided profits National bank notes outstanding 16, 638 68 84, 924 24, 283 28,015 10, 077 36 07 15 50 13,215 31 4, 200 117 1, 000 46, 404 00 88 00 00 18, 000 00 State bank notes outstanding $600,000 00 82, 000 00 155, 368 21 360, 000 00 6,160 00 4,960 50 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 1, 888, 188 15 Total JNO. A. GOODALE, Cashier. Total 676, 000 29 2, 389 01 1,310 14 1,888,188 15 Second National Bank, Utica. T. S. FAXTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for cl earing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 185. $351, 707 458 274, 000 60, 000 G-. R. THOMAS, Cashier. 60 Capital stock paid in . 96 00 Surplus fund 00 Other undivided profits . National bank notes outstanding . . . 9,263 10 State bank notes outstanding 8,752 82 Dividends unpaid. 5, 294 75 3, 462 75 Individual deposits United States deposits .... 3, 669 08 Deposits of U. S. disbursing officers. 2, 807 348 133 6, 801 00 Due to other national banks 69 Due to State banks and bankers . . . 85 00 Notes and bills re-discounted. Bills payable 12,330 00 739, 029 60 Total. $300,000 00 32,100 00 18, 064 33 246, 600 00 140 00 93, 468 40 39, 955 19 604 34 2, 489 10 608 24 739,029 60 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 329 YORK. Oneida National Bank, Utica. No. 1392. JAMES SAYRE, President. R. S. WILLIAMS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $606, 417 44 Capital stock paid in . 6, 172 55 340, 000 00 Surplus fund Other undivided profits 75,4o 11,889 09 National bank notes outstanding . 110,918 37 State bank notes outstanding 14,871 51 23, 246 27 Dividends unpaid . 8, 660 74 Individual deposits United States deposits !, 381 21 Deposits of U. S. disbursing officers. $400, 000 00 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted., Bills payable , 18,507 65 349 97 3, 969 00 428 00 61, 500 00 5, 000 00 306, 000 00 2,270 00 426, 675 38 15, 300 00 1,286,154 18 Total 1,286,154 18 Total. 80, 000 00 52,351 18 Utica City National Bank, Utica. J. E. WARNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes p a i d . . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer C. S. STMONDS, Cashier. No. 1308. $463, 347 18 Capital stock paid in. 5, 259 81 97, 000 00 Surplus fund Other undivided profits 5, 810 00 National bank notes outstanding 117, 084 45 State bank notes outstanding 19, 030 29 20, 959 86 Dividends unpaid., 2, 542 27 Individual deposits United States deposits 1, 941 77 Deposits of U. S. disbursing officers. 2,451 105 686 19. 600 00 20 40 00 Due to other national banks Due to State banks and bankers Notes aiul bills re-discounted. Bills payable Total. Total. . $200, 000 00 11, 300 00 8,215 72 82, 300 00 1,454 00 443, 999 54 14, 403 97 1,010 0J 762,683 23 National Bank, Vernon. JOSIAH CASE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1264. $125, 002 06 1, 969 75 100, 000 00 i "665"65" 1, 300 10, 502 7, 360 2, 700 1,597 00 59 59 00 42 719 07 EVERETT CASE, Cashier. Capital stock paid in 16, 000 00 4, 024 31 National bank notes outstanding State bank notes outstanding 89,200 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 8, 709 00 Due to other national banks 350 17 Due to State banks and bankers . 6, 650 00 Notes and bills re-discounted. Bills payable 272, 360 65 $100, 000 00 Surplus fund Other undivided profits Total. 53, 036 34 10,100 00 272, 360 65 330 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Wyoming County National Bank, Warsaw. "W. J. HUMPHREY, President. No. 737. H. A. METCALF, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $162,184 45 Capital stock paid in 291 20 100, 000 00 Surplus fund Other undivided profits $100,000 00 - 3, 966 15 National bank notes outstanding.. State bank notes outstanding 9, 599 21 Dividends unpaid . 16,185 23 1, 413 55 Individual deposits • United States deposits 2, 716 38 Deposits of U. S. disbursing officers. 644 00 393 32 3, 704 00 "5*366"66' 22, 642 20 11,021 84 90, 000 00 82, 733 45 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable , 306, 397 49 Total. 306,397 49 First National Bank, Warwick. No. 314. J. L. WELLING, President. Loans and discounts , Overdrafts , U. S. bonds to secure circulation — U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid. , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $157, 665 60 Capital stock paid in . 455 17 111, 000 00 Surplus fund .., Other undivided profits National bank notes outstanding., , 34, 654 32 State bank notes outstanding 112 63 Dividends unpaid . 10, 000 00 2, 963 75 Individual deposits Uuited States deposits , 663 00 Deposits of U. S. disbursing officers. 1,761 00 424 33 8, 000 00 "'V, 875'bb' $100, 000 00 26, 550 00 4, 699 62 97, 500 00 185 00 103, 645 18 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 332, 579 80 Total. C. A. CRISSET, Cashier. Total. 332,579 80 First National Bank, Waterloo. THOS. FATZINGER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificate* of deposit Due from U. S. Treasurer Total. No. 368. M. D. MERCER, Cashier. $132, 203 21 Capital stock paid in . 258 60 Surplus fund 100,000 00 Other undivided profits. 2, 250 00 National bank notes outstanding . . . 5, 996 41 State bank notes outstanding 5, 959 13 18, 300 00 Dividends unpaid. 4, 113 49 Individual deposits 7, 459 75 United States deposits 2, 453 55 Deposits of U. S. disbursing officers. 1,21L 00 Due to other national banks 364 48 Due to State banks and bankers 580 00 15, 000 00 Notes and bills re-discounted . Bills payable 4,500 00 300, 649 62 Total. $100, 000 00 12, 500 00 6,117 19 90,000 00 70, 792 74 1, 044 69 195 00 20, 000 00 300, 649 62 REPORT OF THE COMPTROLLER OF THE CURRENCY. 331 NEW YOUR. First National Bank, Watertown. E. L. PADDOCK, President. No. 73. G. L. W O O D R U F F , Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . Liabilities. $106,904 57 10, 500 00 144, 000 00 57, 650 00 44, 660 87 14,015 88 21,179 76 2, 128 00 36 62 1,000 00 15, 000 00 Capital stock paid in . $200,000 00 Surplus fund Other undivided profits 40, 000 00 16, 824 91 National bank notes outstanding State bank notes outstanding 120, 785 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 44, 704 32 2,261 47 Notes and bills re-discounted. Bills payable 7, 500 00 Total. 424,575 70 ! 424, 575 70 Jefferson County National Bank, "Watertown. T. H. CAMP, President. No. 1490. Loans and discounts O verdraf ts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved rtserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures. - Current expenses and taxes paid Premiums paid $454, 363 48 2, 500 00 96, 000 00 9, 287 31, 758 3, 556 4, 000 97 69 97 00 i, 679 44 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 3,876 00 309 43 700 00 20, 000 00 S. T. WOOLWORTH, Cashier. Capital stock paid in . Surplus fund Other undivided profi ts 37, 200 00 22, 473 60 National bank notes outstanding State bank notes outstanding 86, 350 00 Dividends unpaid . 660 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 314,920 61 Due to other national banks Due to State banks and bankers . . . 11,720 71 15, 226 56 Notes and bills re-discounted. Bills payable 4,319 50 637,351 48 Total . Total,, National Bank and Loan Company, Watertown. G. H. SHERMAN, President. N. P. W A R D WELL, Cashier. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. $L58, 052 25 7,315 35 63, 000 0J Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid. Premiums paid 7, 862 15 4,758 9L 22, 130 50 2, 340 77 Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer H. Ex. 3- -18 $75, 000 00 Surplus fund Other undivided profits 15, 000 00 5, 335 50 National bank notes outstanding State bank notes outstanding 56, 700 C O Dividends unpaid . 115,342 98 1, 254 53 Individual deposits United States deposits Deposits of U. S. disbursing officers. 445 00 22J 52 Due to other national banks Due to State banks and bankers . . . 6,711 52 1,434 86 Notes and bills re-discounted. Bills payable 5,391 12 12, 000 00 1, 535 00 280,915 98 Total. Capital stock paid in. Total 280, 915 98 332 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Union Bank, Watertown. No. 1507. ALANSON SKINNER, President. S. B. UrHAM, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits !.. U. S. bonds on hand ' Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $386,383 97 j ;Capital stock paid in . 5, 320 69 i 105, 000 00 ; Surplus fund Other undivided profits 36,860 00 9, 370 67 National bank notes outstanding . . . State bank notes outstanding 10, 127 00 3,036 16 Dividends unpaid . 31,641 83 94, 500 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 285,443 16 12, 223 55 I $147, 440 00 1.397 '125 500 14, 048 00 30 00 00 ""6,"325"66" Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 25 00 2,354 67 576, 128 50 Total. 135 00 576, 128 50 National Bank, Waterville. D. No. 1361. B. GOODWIN, President. Loans and discounts Overdrafts U. S. bonds to aecure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures-.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $264, 289 28 96t"6o6"66" 1,400 00 37, 033 62 "io"oo6"66" W. B. G O O D W I N , Cashier. Capital stock paid in. >150, 0G0 00 Surplus fund Other undivided profits 30, 000 00 27, 225 49 National bank notes outstanding . . State bank notes outstanding 80, 750 00 Dividends unpaid. Individual deposits , United States deposits , Deposits of U. S. disbursing officers 136,824 30 2,201 25 14,916 00 713 53 Due to other national banks Due to State banks and bankers . . 997 48 44 43 8, 750 00 First National Bank, Waverly. H O W A R D ELMER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items j Exchanges for clearing house Bills of other banks Frai tional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 297. $133, 806 99 ],369 54 54, 500 00 """is'oocfoo" 1, 900 00 23, 962 09 2,013 36 8, 328 51 1,411 09 3,843 75 1,289 71 1,163 155 434 5, 245 00 43 19 00 R. A. ELMER, Cashier. Capital stock paid in $50,000 00 Surplus fund Other undivided profits 10,000 00 9, 528 44 National bank notes outstanding State bank notes outstanding 49, 000 C O Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 138, 125 56 218 66 Notes and bills re-discounted. Bills payable 2, 450 00 256, 872 66 I Total. 256,872 66 REPORT OP THE COMPTROLLER OP THE CURRENCY. NEW 333 YOKK. First National Bank, Westfield. No. 504. E. A. SKINNER, Vice Prest. C. P. SKINNER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. . Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $171,294 89 Capital stock paid in . 4, 944 25 50, 000 00 Surplus fund 10, 0H0 00 11,779 85 Other undivided profits.; 6, 296 81 National bank notes outstanding 25,656 31 5.3L8 47 20,255 48 1.034 15 1, 860 75 44, 500 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 3C0, 897 Total. $50, 000 00 Total. 180, 743 64 1, 052 65 2, 252 19 569 35 3)0, 897 68 National Bank, West Troy. T. A. KNICKERBACKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1265. 1354, 369 85 Capital stock paid in . 46 95 j 85, 000 00 i Surplus fund Other undivided profits 64, 407 48 3,249 14 1,482 32 3, 586 1,991 2, 0L0 23, 393 00 77 00 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . $150,000 03 26, 000 00 6, 936 13 74, 700 00 48 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 281,669 75 Due to other national banks Due to State banks and bankers 2,507 63 Notes and bills re-discounted Bills payable 1,560 66 543,361 5L Total. G. B. WILSON, Cashier. Total 543,361 5L First National Bank, West Winfield. D. R. C A R R I E R , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearinghouse Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 801. J N O . O. W H E E L E R , Cashier. $154,794 60 | Capital stock paid in 57 47 I 100, 000 00 | Surplus fund Other undivided profits ]00 00 17, 333 35 541 35 5, 000 00 684 30 825 24 322 78 950 00 11,416 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. $100, 000 00 25, 000 00 6,145 96 88, 400 00 152 00 76,827 13 Due to other national banks Due to State banks and bankersNotes and bills re-discounted. Bills payable 4, 500 00 296, 525 09 296, 525 09 334 REPORT OF THE COMPTROLLER OF THE CURRENCY. 'NEW YORK. First National Bank, Whitehall. A. H. GRISWOLD, No. 285. President. WM. Resources. M. KEITH, Cashier. Liabilities. Loans and discounts $226, 712 32 j Capital stock paid in. Overdrafts 1,040 22 50, 000 00 j Surplus fund U. S. bonds to secure circulation U. S. bonds to secure deposits j... , j Other undivided profits IT. S. bonds on hand National bank notes outstanding Other stocks, bonds, and mortgages Due from approved reserve agents... 21,056 80 State bank notes outstanding Due from other banks and bankers .. 594 27 Dividends unpaid . Real estate, furniture, and fixtures... 1,500 00 Current expenses and taxes paid Individual deposits Premiums paid I United States deposits Checks and other cash items 1,245 91 j Deposits of U. S. disbursing officers. Exchanges for clearing house 247 00 | Due to other national banks Bills of other banks 115 31 I Due to State bauks and bankers Fractional currency Specie Legal tender notes 10, 600 00 Notes and bills re-discounted U. S. certificates of deposit Bills payable Due from U. S. Treasurer 3L5, 361 83 Total. $100,000 00 16,460 00 8, 537 84 45, 000 00 143, 735 42 9 06 1,619 51 315,361 83 Total. Merchants' National Bank, Whitehall, L. J. N. STARK, President. No. 2233. ISAAC M. GUY, Cashier. $228,967 14 Loans and discounts Capital stock paid in. 4,371 25 Overdrafts , 100, 000 00 U. S. bonds to secure circulation Surplus fund U. S. bonds to secure deposits Other undivided profits U. S. bonds on hand j.., Other stocks, bonds, and mortgages.. .. National bank notes outstanding 23,001 19 State bank notes outstanding Due from approved reserve agents.. 7, 264 65 Due from other banks and bankers .. | Dividends unpaid . 2,800 00 Real estate, furniture, and fixtures ..[ Current expenses and taxes paid |... Individual deposits 14, 500 00 Premiums paid j United States deposits Checks and other cash items |.. Deposits of U. S. disbursing officers.. Exchanges for clearing house .. ; 7, 956 00 Bills of other banks | Due to other national banks 200 94 Due to State banks and bankers . Fractional currency ! Specie j.. 10, 000 00 | Notes and bills re-discounted. Legal tender notes i Bills payable , U. S. certificates of deposit \.. ""4,5oo"6o" Due from U. S. Treasurer 403,581 17 Total Total. $150, 000 00 800 00 8, 645 81 90, 000 00 154,135 36 403,581 17 Old National Bank, Whitehall. H. G. BURLKIGH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. No. 1160. A. C. SAWYER, Cashier. $180,816 42 Capital stock paid in. 746 44 60, 000 00 Surplus fund 1 Other undivided profits 1 21,440 00 16, 432 53 2,226 61 5, 000 00 National bank notes outstanding... State bank notes outstanding 20,000 00 12,796 41 54,000 00 9,094 00 ! Dividends unpaid Ij Individual deposits '; United States deposits 10, 187 02 ! Deposits of U. S. disbursing officers. 600*00 Due to other national banks Due to State banks and bankers . 51 55 7, 373 00 Notes and bills re-discounted Bills payable 2,700 06' 307, 573 57 5100, 003 00 Total. 110,644 66 1, 038 50 307, 573 57 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 335 YORK. First National Bank, Yonkers. No. 633. JOHN OLMSTED, Preside'; W. D. OLMSTKD, Cashier. Resources. Loans and discounts O verdraf ts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $313,991 97 Capital stock paid in . 4, 485 42 110,000 00 Surplus fund 50, 000 00 Other undivided profits.. 11,000 00 National bank notes outstanding 127 50 State bank notes outstanding 11,665 31 Dividends unpaid . 50, 000 00 3,179 78 Individual deposits United States deposits 2, 855 34 Deposits of U. S. disbursing officers . 2, 634 00 1,342 57 6, 050 00 14, 000 00 20, 000 00 4,950 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 606,281 89 Total . $150, 000 00 50, 000 00 7,323 01 97, 150 00 299 25 235, 599 47 32, 134 91 2, 745 28 31,029 97 606,281 89 Citizens' National Bank, Yonkers. JONATHAN VAIL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. Total. No. 2074. JNO. H. KEELER, Cashier. $178,971 09 Capital stock paid in . "" 106," ooo' 65" 31, 344 14, 053 1, 638 15,403 1, 972 Surplus fund Other undivided profits National bank notes outstanding . . . 90 State bank notes outstanding 45 Dividends unpaid . 00 00 Individual deposits United States deposits 22 Deposits of U. S. disbursing officers. 2,811 00 Due to other national banks 132 92 Due to State banks and bankers . . . 10, 025 00 Notes and bills re-discounted. Bills payable $100,000 00 10, 000 00 6,179 03 90, 000 00 80 50 125, 634 65 20, 693 26 6,664 13 " 2 , 9 0 0 65 359,251 58 Total. 359,251 £8 336 REPORT OF THE COMPTROLLER OF THE CURRENCY. IVEW JERSEY. Belvidere National Bank, Belvidere. JOHN I. BLATR, President. No. 1096. ISRAEL HARRIS, Cashier. Liabilities. Resources. $415,347 96 | Capital stock paid in. Loans and discounts | 979 19 Overdrafts j 128, 000 00 ! Surplus fund U. S. bonds to secure circulation J U. S. bonds to secure deposits j... Other undivided profits U. S. bonds on hand , 7, 000 00 I National bank notes outstanding — Other stocks, bonds, and mortgages..! 59,771 05 | State bank notes outstanding Due from approved reserve agents. . J 7, 437 43 Due from other banks and bankers . . 9, (J00 00 S Dividends unpaid . Real estate, furniture, and fixtures...j Current expenses and taxes paid j Individual deposits Premiums paid \.. I United States deposits 1,032 24 ! Deposits of U. S. disbursing officers. Checks and other cash items , Exchanges for clearing hous6 15,491 00 Due to othiir national banks Bills of other banks 896 73 Due to State banks and bankers. Fractional currency 8,500 00 Specie 10, 000 00 Notes and bills re-discounted . Legal tender notes Bills payable U. S. certificates of deposit ..'... Due from U. S. Treasurer 5, 760 00 669, 2 L5 60 i Total . Total $300, 000 00 100,000 00 26, 468 07 110, 200 00 8, 557 00 8,887 50 114, 441 29 661 74 669, 2L5 60 Bloomsbury National Bank, Bloomsbury. H. R. KENNEDY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Biils of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . JNO. F. WOODRUFF, Cashier. No. 2271. $L09, 528 61 Capital stock paid in 98 50 65, 000 00 Surplus fund. Other undivided profits National bank notes outstanding 4, 189 38 State bank notes outstanding 1,203 02 1, 5L6 96 Dividends unpaid 1,047 06 9,U00 00 Individual deposits 588 88 United States deposits 1, 009 00 Deposits of U. S. disbursing officers.. 17 0b' Due to other national banks 253 35 Due to State banks and bankers 1,040 00 Notes and bills re-discounted 2, 925 00 Bills payable 197,416 82 $100, 000 00 7,"l85"l4 57, 855 00 25, 646 45 834 57 895 66 5, 000 00 197,416 82 Total Cumberland National Bank, Bridgeton. C. E. ELMER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits j U. S. bonds on hand ! Other stocks, bonds, and mortgages..! Due from approved reserve agents... j Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Pi'emiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1346. WM. G-. NIXON, Cashier. $357,523 16 Capital stock paid in 69 22 150, 000 00 Surplus fund Other undivided profits 15, 000 36, 765 1, 386 5, 000 1,830 00 15 21 00 44 1, 303 37 National bank notes outstanding . . . State bank notes outstanding $1.50,000 00 50, 000 00 46, 102 10 132, 300 00 4, 069 00 Dividends unpaid Individual deposits . . .... United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 227, 538 32 2,339 04 Notes and bills re-discounted Bills payable Total.. 612,348 46 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 33 7 JERSEY. Mechanics' National Bank, Burlington. NATHAN HAINTES, No. 1222. J. HOWARD PUGH, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits XJ. S. bonds on hand . ...... Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures. - Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency. Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $275, 012 03 80, 300 00 $100, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 500 00 32,087 17 4,995 09 Dividends unpaid 9, 500 00 1,275 14 Individual deposits United States deposits 317 79 Deposits of U. S. disbursing officers . 2,166 00 6 97 490 25 12, 479 00 i,*623"50" Due to other national banks Due to State banks and bankers 22, 000 00 15, 651 80 72, 280 00 680 00 553 80 174,710 34 25, 108 99 9,768 01 Bills payable Total 420, 752 94 420, 752 94 First National Bank, Camden. No. 431. JOHN P. STARR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. .bonds to secure deposits « U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures..Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. CHAS. C. REEVES, Cashier. $385,476 18 I Capital stock paid in. 621 55 160, 000 00 [ Surplus fund O fher undivided profits 3,000 00 jj National bank notes outstanding 1 134, 484 35 1 State bank notes outstanding 6, 350 05 25, 778 00 Dividends unpaid . 4, 405 23 Individual deposits United States deposits 3, 593 95 Deposits of U. S. disbursing officers.. 9, 599 00 Due to other national banks 3, 0C6 9 7 Due to State banks and bankers 3, 530 00 85,300 00 Notes and bills re-discounted.. Bills payable 7,200 00 Total. 832, 365 23 i $200, 000 00 27,000 00 10, 188 20 144, 000 00 671 28 444,263 79 6,242 01 832, 365 28 National State Bank, Camden. JOHN GILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1209. $1,347,992 52 I. C. MARTINDALE, Cashier. Capital stock paid in . 376 01 260, 000 00 Surplus fund Other undivided profits. 5,827 31 National bank notes outstanding 86, 452 87 State bank notes outstanding 96, 732 54 Dividends unpaid . 48, 000 00 24, 463 53 Individual deposits United States deposits 40,279 37 ! Deposits of U. S. disbursing officers . 60, 796 00 2, 068 29 2,539 77 121, 812 00 100,000 00 11,700 00 2,209,040 21 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. $260, 000 00 260, 000 00 104,345 41 232, 200 00 367 50 1, 175, 263 46 130,489 22 46, 374 62 2, 209, 040 21 338 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. First National Bank, Clinton No. 2246. ROBERT FOSTER, President. N. W. VOORHEES, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... | Due from other banks and bankers . . j Real estate, furniture, and fixtures •-.' Current expenses and taxes paid..... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $130, 591 78 Capital stock paid in . 572 49 100, 000 00 Surplus fund Other undivided profits 400 00 3, 491 4,979 2, 300 239 13,275 93 92 00 98 00 1, 506 59 890 00 378 17 3, 660 00 """4," 500* 66' 1, 500 00 867 59 National bank notes outstanding State bank notes outstanding Dividends unpaid. 90, 000 00 3,578 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 266, 785 86 Total. $100, 000 00 52,174 01 932 39 33 87 12,700 00 5, 000 00 266, 785 86 Total. Clinton National Bank, Clinton. Jos. VAN SYCKEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1114. $210, 947 47 119 34 102, 000 00 B. V. LEIGH, Cashier. $100, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 11,257 94 4,755 62 6, 695 84 Dividends unpaid. 1,017 42 Individual deposits United States deposits 459 47 Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. Total. 40, 000 00 14,003 01 90. 000 00 403 50 83, 487 70 3,697 58253 43 3, 000 00 10,000 00 344, 845 22 Farmers' National Bank, Deckertown. J. A. WHITAKER, President. No. 1221. T. F . MARGARUM, Cashier. $140, 006 70 Capital stock paid in. Loans and discounts Overdrafts j.. U. S. bonds to secure circulation | 100,000 00 I Surplus fund I U. S. bonds to secure deposits I.. I Other undivided profits U. S. bonds on hand Other stocks, bonds, and mortgages.. 1,000 00 | National bank notes outstanding 23 83^9" State bank notes outstanding Due from approved reserve agents... Due from other banks and bankers .. Dividends unpaid. Real estate, furniture, and fixtures... Current expenses and taxes paid Individual deposits Premiums paid | United States deposits Checks and other cash items I Deposits of U. S. disbursing officers. Exchanges for clearing house Bills of other banks Due to other national banks Fractional currency ... Due to State banks and bankers. Specie Notes and bills re-discounted. Legal tender notes Bills payable U. S. certificates of deposit Due from U. S. Treasurer Total , Total. $100, 000 00 38, 332 12 5, 469 10 89, 500 00 276 00 54,321 97 1,522 67 289,421 86 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 339 JERSEY. National Union Bank, Dover. No. 2076. COLUMBUS BEACH, President. JAY S. TREAT, Cashier* Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $203, 744 83 Capital stock paid in. 269 62 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding 26, 208 52 State bank notes outstanding 5, 894 02 46, 989 31 Dividends unpaid . 3,924 53 Individual deposits 7,500 00 United States deposits 1,537 07 Deposits of U. S. disbursing officers.. 1, 765 00 Due to other national banks 573 33 Due to State banks and bankers 402 28 9,232 00 Notes and bills re-discounted Bills payable 4,050 65 362, 090 51 Total. 5200, 000 00 12, 800 00 13,318 94 43, 690 00 427 00 87 961 63 3, 892 94 362, 090 51 First National Bank, Elizabeth. No. 487. AMOS CLARK, Jr., President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. W. P. THOMPSON, Cashier. $322, 345 30 Capital stock paid in. 552 00 200, 000 00 Surplus fund O ther undivided profits 10, 400 00 National bank notes outstanding 12,259 17 State bank notes outstanding 34,567 17 Dividends unpaid . 57,103 63 11,228 35 Individual deposits United States deposits 4, 045 48 Deposits of U. S. disbursing officers. 14, 670 00 Due to other national banks 1, 499 56 Due to State banks and bankers 40, 000 00 Notes and bills re-discounted Bills payable $200, 000 00 40, 000 00 28, 956 18 174, 800 00 285 00 220, 039 54 54,516 21 973 73 " 10," 900 66' 719,570 66 Total. 719,570 66 National State Bank, Elizabeth. JOHN KEAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U- S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1436. A. C. KELLOGG, Cashier. $387,120 07 Capital stock paid in . 1, 283 45 200, 000 00 Surplus fund Other undivided profits 112,120 04 National bank notes outstanding 98, 808 34 State bank notes outstanding 11,157 21 Dividends unpaid. 139, 969 63 Individual deposits United States deposits 15, 237 73 Deposits of U. S. disbursing officers. 5, 818 00 Due to dther national banks 364 46 Due to State banks and bankers. 1,196 00 41,486 00 Notes and bills re-discounted. Bills payable 12, 000 00 1,026,560 93 Total $350, 000 00 9,518 91 180, 000 00 193 46 396,846 65 9, 001 91 31,000 00 50,000 00 1,026,560 93 340 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Flemington National Bank, Flemington. P E T E R E. EMERY, President. No. 2331. C. C. DUNHAM, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . XJ. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit D ue from U. S. Treasurer Total. $106,855 10 Capital stock paid in . 80 80 50,000 00 Surplus fund O ther undivided profits 25, 000 00 National bank notes outstanding 10,729 15 State bank notes outstanding 18,463 86 Dividends unpaid., 2, 407 76 1, 329 89 Individual deposits 12, 800 00 United States deposits 375 00 Deposits of U. S. disbursing officers. 969 00 26 96 158 00 5, 463 00 $100, 000 00 3, 638 31 45, 000 00 64, 827 18 3,110 92 332 11 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 20, 000 00 " 2,250 66 Total . 236, 908 52 236,908 52 Hmiterdon County National Bank, Flemington. No. 892. CHARLES BARTLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $261,895 97 Capital stock paid in . 984 56 200, 000 00 Surplus fund Other undivided profits . ,]| National bank notes outstanding . . . 23, 033 23 |j State bank notes outstanding 5,800 13 Dividends unpaid.. 3, 137 55 Individual deposits United States deposits 496 48 Deposits of U. S. disbursing officers. 3, 175 00 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted "io'soo'oo" Bills payable 4~>6 8 6 1,088 00 18, 840 00 529, 707 78 I Total. JOHN B. HOPEWELL, Cashier. Total . $200, 000 00 27,201 81 22, 067 30 180, 000 00 1, 420 00 95, 309 23 3, 195 90 513 54 529, 707 78 First National Bank, Freehold. JACOB B. RUE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 452. Jos. T. LAIRD, Cashier. $174, 596 59 Capital stock paid in . $125, 000 00 " I25,666 66 Surplus fund Other undivided profits 35, 000 00 29,424 99 2o,"666"66" 6, 400 00 40, 985 43 4,219 70 34,518 26 2, 060 91 3,756 25 2,105 26 1,876 00 367 00 5, 500 00 National bank notes outstanding State bank notes outstanding 109,742 00 „ Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 103,504 10 3,317 15 917 16 5, 520 00 406, 905 40 Total . 406, 905 40 REPORT OF THE COMPTROLLER OF THE CURRENCY. 341 MEW J E RSEY . Freehold National Banking Company, Freehold. W I L L I A M STATESIR, No. President. O.iI. J. L. T E K H U N E . Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation (J. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid $222,689 70 200, 000 00 61,518 77 17,247 8L 17, 539 73 4, 426 95 11,993 13 8, 539 00 2, 078 95 330 00 8, 500 00 9," 666" c6"i National bank notes outstanding State bank notes outstanding 178, 000 00 340 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 180,780 21 12, 053 69 Notes and bills re-discounted Bills payable 637, 876 86 1 Total 50, 000 00 16,702 96 Surplus fund Other undivided profits 70, 000 00 3, 982 82 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie * Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $200, 000 00 Capital stock paid in 637, 876 86 Total Union National Bank, French town. W. S. STOVER, Cashier. P. Gr. R E A D I N G , President. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U S bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie L(?gal tender notes U. S. certificates of deposit Due from U. S. Treasurer $130,946 47 681 88 113,350 00 5~666'o6" 5, 400 00 18, 470 1,965 3, 510 302 55 68 20 41 1, 232 68 9, 594 00 232 00 419 50 16,935 00 5*100"66* Surplus fund . ......... Other undivided profits ...... National bank notes outstanding State bank notes outstanding Dividends unpaid . . . . . . . . . . . . . . . . . . Individual deposits United States deposits Deposits of U S disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 313,140 37 Total $113 350 00 Capital stock paid in 22 670 00 8 371 89 101 400 00 1 227 47 64, 014 33 2 106 68 ... 313, 140 37 Total First National Bank, Hackensack. CHAS. H. VOORHIS, President. No. 1905. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. $153,524 81 497 82 100,000 .00 Due from approved reserve agents.. Due from other banks and baikers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid 11,562 95 657 63 2, 000 00 737 30 11, 000 00 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . 872 71 1.10 00 48 55 365 87 8,908 00 ABRAM D. BROWER, Cashier. Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits 16, 200 00 4, 127 53 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. 100 00 81,000 96 3,357 15 Notes and bills re-discounted. Bills payable 4,500 00 294, 785 64 Total. 294,785 64 342 REPORT OP THE COMPTROLLER OF THE CURRENCY. ]VE W JERSEY. Hackettstown National Bank, Hackettstown. P E T E R SMITH, President. No. 1259. ROBT. A. COLE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $222, 604 39 ""iio'ooo'oo* Surplus fund Other undivided profits. 50, 000 00 4, 305 61 11,000 00 t National bank notes outstanding State bank notes outstanding 42 33 Dividends unpaid . 00 82 i Individual deposits | United States deposits Deposits of U. S. disbursing officers - 108, 000 03 3, 213 00 10,745 4,332 9,350 1,344 1 911 00 , 36 98 300 00 7,115 00 6"4*66' , 6 6 66, 046 93 13, 574 40 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 395, 139 94 Total. 395. 139 94 Total.. $150,000 00 Capital stock paid in . First National Bank, Hightstown. N A T H L . S. R U E , President. No. 1737. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents..Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid 15,769 24 5, 347 38 5, 187 89 1,329 18 10, 000 0:J 1,261 95 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 3, 185 3L9 330 7,610 00 04 00 00 4, 500 00 Cashier. 8,319 38 4,437 79 National bank notes o u t s t a n d i n g . . . S tate bank notes outstauding 90, 000 00 52 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks . . Due to State banks and bankers 83,318 68 3,121 42 806 38 Notes and bills re-discotxnted Bills payable Total. 290, 055 65 Total. W M . H. H O W E L L , $135, 181 67 ! Capital stock paid in . 34 30 ; 100, 000 00 j Surplus fund Other undivided profits 290, 055 65 Central National Bank, Hightstown. A. F . J O B , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $110, 115 62 472 68 38, 500 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 16, 868 11, 819 8, Hi3 195 4, 970 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . Total. W M . C. NORTON, Cashier. No. 1759. 63 55 83 10 00 363 13 5, 636 8 335 7, 500 00 96 67 00 205,919 22 Capital stock paid in . $100,000 00 Surplus fund Other undivided profits., 5,378 94 18, 124 67 National bank notes outstanding State bank notes outstanding 27, 100 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks .. Due to State banks and bankers 54, 301 85 280 60 733 16 Notes and bills re-discounted Bills payable Total 205, 919 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 343 JERSEY. First National Bank, Hoboken. F. T. LlLLIENDAHL, Cashier. SAML. K. SYMS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand.. Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $293,319 66 I Capital stock paid in 375 70 j! 110,000 00 Surplus fund , Other undivided profits. 24, 400 00 National bank notes outstanding 83,112 21 State bank notes outstanding 11,364 11 Dividends unpaid. 65, 925 00 3,238 67 Individual deposits j United States deposits I 15, 454 87 Deposits of U. S. disbursing officers.. 14, 205 00 6f>2 02 1,021 58 38, 763 00 Due to other national banks. Due to State banks and bankers $110,000 00 22, 000 00 38, 653 07 97, 000 00 347 50 396, 333 93 2, 457 92 Notes and bills re-discounted. Bills payable, 4, 950 00 Total . Total. First National Bank, Jamesburg. No. 288. I. S. BUCKELEW, President. T. WILTON HILL, Cashier. $95,961 09 Capital stock paid in. 1,263 90 75, 000 00 Surplus fund „ Other undivided profits 24, 850 00 National bank notes outstanding 9, 078 99 State bank notes outstanding 2, 650 60 Dividends unpaid . 5J1 76 Individual deposits United States deposits 950 94 Deposits of U. S. disbursing officers. Loans and discounts O yerdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stock, bonds, and mortgages. Due from approved reserve agentsDue from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. D ae from U. S. Treasurer 1, 494 00 183 3L 156 20 5, 650 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable $75, 000 00 19,519 54 3, 837 20 67, 500 00 62,051 73 3, 207 32 3, 375 00 Total. 231,115 79 Total. 231,115 79 First National Bank, Jersey City. E. F. C. YOUNG, Cashier. A. H. WALLIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers . Real estate, furniture, aud fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fro n U. S. Treasurer Total. $1, 372, 5, 383, 50, 696 597 000 000 28 Capital stock paid in. 4L 00 Surplus fund 00 Other undivided profits . National bank notes outstanding 376, 433 53 State bank notes outstanding 108,495 14 Dividends unpaid. 94,878 70 8, 42 L 79 Individual deposits United States deposits 56, 008 69 Deposits of U. S. disbursing officers. 15, 720 00 6L8 12 26, 7 U 42 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted 103, 302 00 | Bills payable $400, 000 00 200,000 00 184, 866 76 327, 790 00 590 00 1,226,927 20 45, 843 84 197, 203 98 25, 889 30 17," 225 "65 2, €19, HI 08 Total. 2,619,111 08 344 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Second National Bank, Jersey City. WM. No. 695. HOG ENCAMP, President. E. N. WILSON, Cashier. Resources. Liabilities. Loans and discounts ' Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid \ Premiums paid ; Checks and other cash items ; Exchanges for cleai'ing house Bills of other banks i Fractional currency ; Specie i Legal tender notes i U. S. certificates of deposit Due from U. S. Treasurer j Total | $970,725 61 | Capital stock paid in 347 17 445, 000 00 | Surplus fund Other undivided profits 55, 000 00 National bank notes outstanding 400, 584 74 State bank notes outbtanding 73, 8:52 5L Dividends unpaid. 89, 443 69 4, 772 91 Individual deposits 9, 350 00 ' Uuited States deposits 46, 909 67 Deposits of U. S. disbursing officers. 9, 983 00 115 63 6,072 85 84, 314 00 | : 20, 025 00 Due to other national banks Due to State bank's and bankers Notes and bills re-discounted. Bills payable 2,216,476 78 $500, 000 00 200, 000 00 102, 073 93 396, 600 00 1, 944 00 954,528 73 48,449 10 12,881 02 2, 216, 476 78 Total. Hudson County National Bank, Jersey City. No. 1182. JOB MALE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. — Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. A. A. HARDENBERGH, Cashier. $743, 542 52 Capital stock paid in. 891 51 250, 000 00 Surplus fund Other undivided profits National bank notes outstanding 380,916 29 State bank notes outstanding 8, 780 28 28, 000 00 Dividends unpaid . 4,930 92 Individual deposits United States deposits. 24, 889 39 Deposits of U. S. disbursing officers.. 13, 321 00 Due to other national banks 645 44 1,682 21 Due to State banks and bankers 28, 704 00 Notes and bills re-discounted. 10,000 (K) Bills payable 19,017 76 Total 1, 515,351 33 $250, 000 00 150, 000 00 75, 730 09 218, 600 00 1, 116 30 788, 787 75 26,863 18 4,254 01 1,515,351 33 Amwell National Bank, Lambertville. SAMUEL LILLY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 2339. $36, 587 84 47 40, 000 00 6,919 40 2, 657 47 1, 263 75 754 03 6, 460 74 184 76 W. V. Coo LEY, Cashier. Capital stock paid in. Surplus fund Other undivided profits . , National bank notes outstanding State bank notes outstanding 693 52 10,000 00 Dividends unpaid . Individual deposits .., Uuited States deposits Deposits of U. S. disbursing officers. 4,558 00 Due to other national banks 62 46 Due to State banks and bankers 3, 735 00 Notes and bills re-discounted. Bills payable 500 00 103,683 92 $50,461 00 Total- 34,604 93 909 93 7,014 54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 345 NEW JERSEY. Lambertville National Bank, Lambertville. ISAIAH P. SMITH, Cashier. No. 1272. JAS. D. STRYKER, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., $193,329 11 loo, ooo 66 I, 600 00 23, 54S 49 12,034 17 10, 18L 15 1,40-1 12 840 52 1, 232 71 758 367 300 12,513 00 82 00 00 Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 29,784 67 3,914 43 89, 200 00 Dividends unpaid.. 385 23 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 136,441 90 I 575 50 2, 357 39 Notes and bills re-discounted. Bills payable 4, 500 00 Total. 362, 659 09 362, 659 09 Burlington County National Bank, Medford. JONA. OLIPHANT, Cashier. JAS. S. HULME, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $124, 676 98 325 28 100, 000 00 $100,000 00 Capital stock paid in . Surplus fund Other undivided profits. 13,500 00 National bank notes outstanding 15, 034 85 State bank notes outstanding .. 266 89 15,815 80 Dividends unpaid 1, 500 62 Individual deposits United States deposits 4,872 72 Deposits of U. S. disbursing officers. 980 610 380 11, 133 00 35 00 00 "5,566 66" Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 90, 000 00 562 00 71,244 33 4, 222 71 294, 596 49 Total. 294, 596 49 20,(100 00 8, 567 40 Millville National Bank, Millville. L E W I S MULFORD, President. Loans and discounts , Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1270. $186, 946 56 134 49 100, 000 00 2" 666 66' 15, 887 86 21,814 02 2, 500 00 1,431 16 590 80 3,114 00 517 78 1, 260 00 26, 320 00 E. H. STOKES, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $100, 000 00 32, 000 00 12,601 59 85, 400 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 131,325 51 5,689 57 4,500 00 367,016 6 Total. 367,016 67 346 KEPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. First National Bank, Morristown. T H E O . L I T T L E , President, J . H. VAN DORENT, Cashier. Resources. Liabilities. Loans and discounts i Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand ; Other stocks, bonds, and mortgages.. j Due from approved reserve agents.. J Due from other banks and bankers . . | Real estate, furniture, and fixtures.. .| •Current expenses and taxes paid Premiums paid , Checks and other cash items | Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $339, 783 91 676 48 50, 000 U0 Capital stock paid in . $250, 000 00 Surplus fund Other undivided profits 50, 000 00 12, 588 75 National bank notes outstanding . . . State bank notes outstanding 45, 000 00 147,000 00 48, 521 70 8, 900 64 2, 210 34 2, 757 27 12, 592 50 7, 075 16 Individual deposits United States deposits Deposits of U. S. disbursing officers 908 00 1, 239 75 Due to other national banks Due to State banks and bankers . . . 26,925 00 259, 576 21 32,216 01 1, 283 38 Notes and bills re-discounted Bills payable ""2*261" 60* Total. 650, 852 35 Total. 188 00 Dividends unpaid . 650, 852 35 National Iron Bank, Morristown. H. O. MARSH, No. 1113. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.S. Treasurer Total. $440, 000 48 2,469 76 50, 000 00 7,"6oo*oo' 18, 338 08 5, 094 44 53, 513 00 4,487 35 8, 836 37 D. D. CRAIG, Cashier. Capital stock paid in. $200. 000 00 Surplus fund Other undivided profits 40, 000 00 19,917 65 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid. 395 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 276,909 07 5, 649 00 Due to other national banks 131 15 Due to State banks and bankers 545 75 Notes and bills re-discounted 19, 4L5 00 Bills payable 12, 587 19 285 47 22, 636 00 """2,~250'66' Total. 617,730 38 617,730 38 Farmers' National Bank of N e w Jersey, Mount Holly. J. L. N. STRATTON, President. No. 1168. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $285, 896 74 628 91 200, 000 00 11,457 84 23, 668 03 7,915 88 15,000 00 300 39 4,353 58 16, 536 16 416 37, 740 , I. P . GOLDSMITH, Cashkr. Capital stock paid in. $200, 000 00 Surplus fund Other undivided profits I \ 40, 000 00 10,806 39 National bank notes outstanding State bank notes outstanding ! 180, 000 00 [ Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 00 I Due to other national banks 68 I Due to State banks and bankers 00 ! 00 Notes and bills re-discounted j Bills payable I 858 92 170, 558 88 10,305 71 400 15 9, 000 01) I 612,930 05 ; Total. 612,930 05 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 3 47 JERSEY. Mount Holly National Bank, Mount Holly. O. H. P. EMLEY, President. No. 1356. FLOYD ARMSTRONG, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers-..j Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items | Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes , , U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $165, 926 71 17, 000 00 21,964 63 1,664 98 15, 000 00 1,170 48 1, 017 63 849 00 45 82 120 00 12, 000 00 Other undivided profits National bank notes outstanding . . . . State bank notes outstanding Dividends unpaid , 60, 000 00 4, 603 96 90, 000 00 302 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 83, 968 82 3,384 47 5, 500 00 342, 259 25 Total . $100, 000 00 Capital stock paid in. ""i66~ooo"oo" Surplus fund 342,259 25 Total. Union National Bank, Mount Holly. BENJ. R I D GWAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 2343. C. M. HARKER, Cashier. $136, 454 32 Capital stock paid in . $110, 000 00 46,660 6o Surplus fund Other undivided profits 2, 005 44 2, 025 52 8, 600 00 3, 882 42 12, 010 37 1, 51)3 03 6, 250 00 2, 403 34 National bank notes outstanding. State bank notes outstanding Dividends unpaid . 523 05 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 698 00 I Due to other national banks 142 78 Dae to State banks and bankers 15 00 1, 837 00 Notes and bills re-discounted. Bills payable 252 27 45,000 00 213,796 26 Tot.il . Total. 53,989 98 National Bank of New Jersey, New Brunswick. MAHLON ItUNYON, President. Loans and discounts Overdrafts. . If S. bonds to secure circulation U. S. bonds to secure deposits U. x bonds on hand S Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer -19 CHAS. S. HILL, Cashier. $514, 307 35 Capital stock paid in. 639 37 250, 000 00 j Surplus fund I Other undivided profits. 21, 500 00 4, 900 00 National bank notes outstanding 117,534 68 State bank notes outstanding 26, 935 64 Dividends unpaid 33, 000 00 5, 926 25 4, 087 94 Individual deposits United States deposits 6, 588 53 Deposits of U. S. disbursing officers. 10, 986 00 Due to other national banks 2, 324 43 Due to State banks and bankers 4,291 95 49, 850 00 Notes and bills re-discounted. Bills payable 18, 250 00 1,071,122 14 Total. H. Ex. 3- No, 587. Total. $250, 000 00 80, 000 00 20, 969 47 221,580 00 1, 185 00 340 00 440, 478 97 52,571 56 3, 997 14 1, 071,122 14 348 REPORT OF THE COMPTROLLER OF THE CURRENCY. MEW JERSEY. First National Bank, Newark. No. 52. JABEZ COOK. President. JAS. A. HEDDEX, Cashier Resources. Loans and discounts Overdrafts ...... | U. S. bonds to secure circulation U. S. bonds to secure depo-'N U. S. bonds on hand. Other stocks, bonds, and mortgages.. Due from approved reserve agents..., Due from other banks and bankers .. j Real estate, furniture, and fixtures...! Current expenses and taxes paid I Premiums paid ; Checks and other cash items j Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $565,334 19 Capital stock paid in. $500,000 00 500, 000 00 100, 000 00 12, 365 80 Surplus fund Other undivided r 'fits . Natio bank notes outstanding 189, 051 26 State bank notes outstanding 51,829 08 Dividends unpaid. 151, 972 26 18, 005 93 30, 744 12 Individual deposits United States deposits , 39, 806 39 Deposits of U. S. disbursing officers..! 450, 000 00 300 00 568,309 63 32, 202 00 Due to other national banks 1, 463 44 Due to State banks and bankers 696 50 40, 000 00 Notes and bills re-discounted Bills payable "32,629*51 Total 1, 653,134 68 20, 331 71 1, 827 54 ! 1,653,134 68 Second National Bank, Newark. JOHN H. KASE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks | Fractional currency j Specie | Legal tender notes j U. S. certificates of deposit Due from U. S. Treasurer Total. No. 362. $399, 827 14 JAS. D. ORTON, Cashier. $300, 000 00 Capital stock paid in. 135, 000 00 20, 105 30 295, 000 00 328, 000 00 50, 000 00 Surplus fund Other undivided profits . National bank notes outstanding 57,944 91 State bank notes outstanding 8,971 01 66,299 46 Dividends unpaid 14, 315 46 Individual deposits United States deposits 15, 740 24 Deposits of U. S. disbursing officers.. 15,144 00 Due to other national banks. Due to State banks and bankers 500 00 30, 000 00 Notes and bills re-discounted. Bills payable 18, 000 00 Total 1,004,74° 22 I 235 00 199, 148 03 31, 765 07 861 73 I 22, 627 04 i 1,004,742 22 Essex County National Bank, Newark. JOSEPH W A R D , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. W. H. CURTIS, Cashier. No. 1217. $432, 809 03 Capital stock paid in. 300, 000 00 185.212 52 55, 299 92 87, 339 35 1, 319 89 Surplus Fund „. Other undivided profits . National bank notes outstanding . . . State bank notes outstanding Dividends unpaid $300, 000 00 100,000 00 24, 373 87 267, 000 00 6,760 00 2, 428 50 Individual deposits (United .States deposits Deposits of U. S. disbursing officers. 382, 438 10 5,981 00 Due to other national banks 691 11 Due to State banks and bankers . . . 46. 825 24 3,812 78 29, 402 67 100 00 22, COO 00 13,500 66" 1,133, 638 49 Notes and bills re-discounted Bills payable Total. 1,133, 638 49 REPORT OP THE COMPTROLLER OP THE CURRENCY. ME IV 349 JERSEY. German National Bank, Newark. ISADOR LEHMAN, President. No. 2045. E. M. DOUGLAS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Liabilities. $258, 001 40 Capital stock paid in . $200, 000 00 <••'. 1 9 4 4 6 i>0, 000 00 11,000 00 1,607 52 I Other undivided profits 1,700 00 8,315 80 1, 194 72 10, 000 00 5, 982 36 5, 000 00 5, 872 97 15, 660 00 900 00 National bank notes outstanding State bank notes outstanding . 45,000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. Total. '6, 650 13 11,900 34 I 25, 363 72 391,491 71 Manufacturers' National Bank, Newark. C. G-. CAMPBELL, President. No. 2040. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes . „ U. S. certificates of deposit Due from U. S. Treasurer Total. J. W- PLUME, Cashier. $304, 755 14 I Capital stock paid in . 511 73 300, 000 00 I Surplus fund Other undivided profits 27, 450 93 9,114 87 65, 600 00 11,812 80 55, 248 00 7,063 05 $300, 000 00 11, 500 00 5, 831 06 National bank notes outstanding... State bank notes outstanding Dividends unpaid. 45 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 3,127 00 Due to other national banks 116 24 Due to State banks and bankers 815 15 9,028 00 Notes and bills re-discounted Bills payubie 808, 142 96 j 265, 000 00 Total . 140, 795 47 21, 043 61 2, 927 32 60, 000 00 808,142 ! Mechanics' National Bank, Newark. J. A. HALSEY, President, No. 1251. O. L. BALDWIN, Cashier. Loans and discounts $1,324,575 19 Capital stock paid in . Overdrafts U. S. bonds to secure circulation """soi'ooo'oo" Surplus fund U. S. bonds to secure deposits O ther undivided profits IT, S. bonds on hand Other stocks, bonds, and mortgages.. National bank notes outstanding 876, 370 26 State bank notes outstanding Due from approved reserve agents... 225, 992 04 Due from other banks and bankers... Real estate, furniture, and fixtures... 25, 000 00 Dividends unpaid . Current expenses and taxes paid. 5,581 70 Individual deposits Premiums paid United States deposits Checks and other cash items 155, 256 32 Deposits of U. S. disbursing officers. Exchanges for clearing house 17, 982 00 Due to other national banks Bills of other banks 6,194 45 Fractional currency 3, 553 67 Due to State banks and bankers . . . Specie 177, 605 00 Notes and bills re-discounted. Legal tender notes U. S. certificates of deposit Bills payable 27, 300 00 Due from U. S. Treasurer Total . 3, 347, 410 63 Total $500, 000 00 400, 000 00 123, 722 45 415, 300 00 3, 745 00 1, 674, 522 78 189,142 46 40, 977 94 3,347,410 63 350 EEPOET OF THE COMPTROLLER OF THE CURRENCY. 3VEW J E 3* § E IT. Merchants' National Bank, Newark. M. DUR.VM), President. No. ISIS. EDWARD KANOUSE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on band Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer - Liabilities. $347, 953 15 Capital stock paid in "iso'ooo 66" 23, 8, 2, 7, 8, 615 565 000 696 750 33 56 00 22 00 20, 473 32 1, 463 00 242 15 950 50 10,886 00 $250, 000 00 Surplus fund » _ Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 9, 000 00 7, 986 96 119, 000 00 809 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 169, 966 87 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable.. 30, 342 40 4, 500 00 587, 105 23 Total. 587, 105 23 National Newark Banking Company, Newark. JAS. B. PlNNEO, President. No. 1316. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie I egal tender notes U. S. certificates of deposit Due from U. S. Treasurer ., $1,018,309 57 Capital stock paid in., 448 16 445, 000 00 j Surplus fund I Other undivided profits 10, 925 75 ! National bank notes outstanding 185,212 52 i State bank notes outstanding 77, 353 40 60, 685 87 Dividends unpaid . 20,234 00 Individual deposits United States deposits 13, 701 98 Deposits of U. S. disbursing officers. $500, 000 00 200, 000 00 37, 358 37 366,915 00 14, 512 00 2, 793 32 585, 046 59 11, S64 320 700 62, 000 00 j Due to other national banks 00 !! Due to State banks and bankers . . . 66 00 •• Notes aud bills re-discounted Bills payable , 20,000 00 1, 926, 855 91 Total-- C. G-. R0CKW00D, Cashiei 183,223 81 37, 006 82 Total . 1, 926, 855 91 National State Bank, Newark. WM. B. MOTT. President. Loans and discounts ' Overdrafts j U. S. bonds to secure circulation ! 17. S. bonds to secure deposits ; IT. S. bonds on hand Other stocks, bonds, and mortgages...[ Due from approved reserve agents.... Due from other banks and bankers .. I Real estate, furniture, and fixtures \ Current expenses and taxes paid ; Premiums paid ; Checks and other cash items ' Exchanges for clearing house Bills of other banks Fractional currency ^ Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total ISAAC GrASTON, Cashier. $640,299 89 j Capital stock paid in 385 22 ! 535, 000 00 ; Surplus fund Other undivided profits $600, 000 00 125, 000 f 0 9,379 37 , j 00 , National bank notes outstanding ] 04 ; State bank notes outstanding 93 ! I 00 Dividends unpaid I 24 \ In dividual deposits | ! United States deposits I 37, 740 05 j Deposits of U. S. disbursing officers..j 4, 700 271, 517 75, 65'J 196,800 7, 006 36, 996 650 2, 000 61,400 00 60 00 00 24, 000 00 476, 000 00 20,176 50 579, 800 49 Due to other national banks Due to State banks and bankers j j 78, 492 34 8, 306 27 Notps and bills re-discounted (Mils payable j j . . . . .| 1,897,154 97 SEPOST OF THE COMPTROLLER OF THE CURRENCY. 851 KEW JERSEY. Newark City National Bank, Newark. S. TT. P E N N I N G T O N , President. No. 1220. ALBERT BALDWIN, Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie ..,.„.... Legal tender notes U, S. certificates of deposit Due from U. S. Treasurer Total. Cashier, Liabilities. Resources. $500, 000 00 $799, 058 1L ' i Capital stock paid in l0" 27 i| , | 350,000 00 Surplus fund. ; Other undivided profits 1, 8J0 00 •; National bank notes outstanding 237,276 4^ State bank notes outstanding.. 74,174 59 Dividends unnaid 28,000 00 \ 15, 004 /7 L j': Individual deposits L j 145,000 00 , 1 4 6 4 99 14,464 99 312, 040 00 ! 1,159 50 ..I !! United States deposits J 70f 7!9 92 j; Deposits of U. S. disbursing officers..! 615,453 37 8, 500 1. 25:2 27, 000 40, 200 00 O) P 00 00 15, 750 00 ;; Due to other national banks I Due to State banks and bankers I• j Notes and bills re-discounted.... Sill paya 31 11 1,6*3 , j i. I !. 62, 273 25 1,670,391 11 Total. North Ward National Bank, Newark. IIlKAM M. R H O D E S , No. 2083 President. Loans and discounts .... Overdrafts U. S. bonds to secure circulation . . . . IT. H. bonds to secure deposits IT. S. bonds on hand Otasr stocks, bonds, and mortgages . Due from approved reserve a g e n t s . . Due from other banks and bankers. . Real estate, furniture, and fixmres-. Current expenses and taxes paid Premiums paid Checks and other cash items E: ;• hou Bills of othsr banks Fractional c u r r e n c y - . . . . . . . $375, 013 42 2, 117 08 250, 000 00 Capital stock paid in I Surplus fund Other undivided profits 3 8,234 17 9, 032 00 Cashier. $250, GOO 00 12, 500 00 4, 935 29 National bank notes outstanding 20,394 81 4,351 0'J 4, 750 00 5,787 12 23, 000 00 988'se;' 15,000 00 Legal tender notes U. So certificates of deposit,. Due from U. S. Treasurer . A. S O M E R V I L L E , j State bank notes outstanding \ Dividends unpaid 225, 000 00 .--J Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks . . . . Due to State banks aad bankers j | • Nates and bills re-dlscoimted Bills p a y a b l e . . . . . . . . I ! 103 50 219,178 13 6, 0S7 27 11 65 | 26, 030 71 15,150 00 Total. Total.. 743, 851 55 Merchants' National Bank. Newton. ROBT. HAMILTON, Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits. IT. S. bonds on hand Other stocks, bonds, a i d mortgages. Due from approved reserve a g e n t s . . Due from other banks and b a n k e r s . . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total... No. 876. President $161,871 01 "Ioo'ooo 66" 4, 000 00 4, 5, 14, 1, 402 397 870 338 28 6:> 59 IL J . L. S W A Y Z E , Cashier, Capital stock paid in j $ 100, 000 00 .Surplus fund Other undivided profits j 33, 839 ] 5 4,921 88 National bank notes outstanding . . . . j State bank notes outstanding j 90, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing office 78,408 10 195 00 : Due to other national banks 2513 70 ! Due to State banks and bankers. 307 58 1, 391 33 8, 531 OH ' 5, 200 00 307,476 71 Note« and bills r e - d i s c o u n t o d . . . . . . . J B'iis payable \ Total. 307, 476 7 L 352 EEPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Sussex National Bank, Newton. No. 925. DAVID THOMPSON, President. THEO. MORFORD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $297, 530 62 I Capital stock paid in . 245 21 200, 000 00 | Surplus fund Other undivided profits 4,825 58 National bank notes outstanding 27, 016 97 State bank notes outstanding 3, 235 97 10, 000 00 Dividends unpaid . 1,468 67 Individual deposits United States deposits 4, 776 i Deposits of U. S. disbursing officers. 7,151 180 448 17, 750 00 55 00 00 9,"000 55" Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. 583, 629 43 $200, 000 00 72, 000 00 7, 610 44 173,928 00 5, 308 00 719 49 122,319 27 1, 744 23 583,629 43 Orange National Bank, Orange. C. A. LlGHTHiPE, President. No. 1317. TKOS. J. SMITH, Cashier. Loans and discounts $422, 748 71 ii Capital stock paid in Overdrafts U. S. bonds to secure circulation "2C0,"000 55" Surplus fund U. S. bonds to secure deposits | Other undivided profits U. S. bonds on hand Other stocks, bonds, and mortgages.. 11, 678 02 I National bank notes outstanding Due from approved reserve agents... 56,538 91 jl State bauk notes outstanding 13, 549 98 j Dividends unpaid . Due from other banks and bankers .. 10, 000 00 Real estate, furniture, and fixtures .. j Current expenses and taxes paid j Individual deposits j Premiums paid . j United States deposits Checks and other cash items !. [ Deposits of U. 8. disbursing officers. Exchanges for clearing house ..|. Bills of other banks :. Dae to other national banks Fractional currency j 1, 703 50 Dae to State banks and bankers Specie j 400 00 j Legal tender notes , 1,725 00 | Notes and bills re-discounted . . . . . . : U. S. certificates of deposit Bilid payable Due from U. S. Treasurer \ 9, 000 00 | 727,311 12 I Total $200,000 00 40,000 00 30,738 87 178,200 00 5,726 00 5,175 00 250,351 12 17,153 13 727,344 12 First ITatlonal Bank, Faterson. JOHNT SwDsHURNE, Cashier. J. BRO\VN, President. Loans an d discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgaged .. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, aad nxtures . . . Current expenses and ia-vss paid , Premiums paid Checks and other cash items Exchange-! for clearing house Bills of other banks . Fractional currency. ! Specie , : Legal tender notes j U. S. certificates of deposit. .-....! Du from U.S. Treasurer ; Tot $777,547 90 I Capital:aid in 312 02 I 400,000 00 i P-rpliwfund ' ULiici" undivided profits 37,080 47 $400,000 00 150,000 00 23,616 23 353, Q00 00 National bank notes outstanding 1 '33 517 73 ! State bank notes outstanding iDo'ooO 00 dividend, unpaid ?pOSIC3. C 33l97 , ' .'lnrlivil«al hites deposits 10,259 12 . of U. S. disbursing Oiliecrs-i 39,562 00 ,• Du? to oth?r national b a n k s . . . . . . . . . '• Due to Stale banks and bankers..... 3, 427 50 j; 6:3, t'Ji 00 !' Not-?and bill.:! re-discounted iiilin payable „ . . . . ....... 20, 000 00 To" ul 635, 556 SI 20,455 63 20, 470 53 ; 1,606,099 00 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 353 JERSEY. Second National Bank, Paterson. BEN'J. BUCKLEY, No. 810. President. JAMES JACKSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $273, 589 95 319 50 100, 000 00 ' $150, 000 00 Capital stock paid in. 20. 000 00 6, 392 69 Surplus fund i Other undivided profits 350"00 3, 145 00 I National bank notes outstanding . . . 32,271 60 I State bank notes outstanding 15 086 92 Dividends unpaid 9, 700 00 2, 983 36 Individual deposits United States deposits 4, 745 ( Deposits of U. S. disbursing officers. 3, 723 537 210 11, 594 00 Due to other national banks 36 Due to State banks and bankers . . . 00 00 j Notes and bills re-discounted Bills payable 87,190 00 4,246 00 330 00 193, 176 08 1,058 98 362 02 """4,506 65" 462, 755 77 Total. Total. 462, 755 77 Phillipsburg National Bank, Phillipsburg. CHAS. SITGREAVES, President. L E W I S C. REESE, Cash Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bond* on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid $288, 426 34 355 01 200, 000 00 8,074 87 6, 286 02 8, 036 39 4, 366 26 7,085 19 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. 10*610 00 226 09 3, 529 23 22, 107 00 Capital stock paid in. $200, 000 00 Surplus fund. 0 ther undivided profits 40, 000 00 62,142 88 National bank notes outstanding . . . State bank notes outstanding Dividends unpaid . 164,670 00 2, 479 00 1,186 10 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks. Due to State banks and bankers. 96, 974 93 649 49 Notes and bills re-discounted Bilis payable ........ Total. Total . 568,102 40 First National Bank, Plainfield. J. R. VAN DEVEXTER, President, Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits... U. S. bonds ort hand. Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expen es and taxes paid Premiums paid Checks and other cash items Exchanges for clearing h o u s e . . . . . . . Bills of other banks .. Fractional currency. Specie. Legal tender note U. S. certified fes of Due from U. S. Treasurer Total. No. 447. CARMON PARSE, Cashier. 472 97 ! j Capital stock paid in 623 97 200, 000 00 1 Surplus fund 1 „ 50, 000 00 II Other undivided profits. 5, 500 00 National bank notes outstanding State bank notes outstanding 294 16 530 03 ; Dividends unpaid . 730 04 002 11 i' Individual deposits 1 "" I United States deposits 8, 356 84 j. Deposits of U. S. disbursing officers.. !, 277 00 i; Due to other national banks !. 130 20 S Due to State banks and bankers . i $200, 000 00 50, 000 00 18, 316 43 180, 000 00 GG6 0 0 309,205 63 31, 308 37 45 00 9, 848 89 799, 390 32 354 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. City National Bank, Plainfield. ELIAS R. POPE, President. Jos. M. MYERS, Cashier, 1164,493 19 ! Capital stock paid in 57 35 ;j 80, 000 00 j Surplus fund Other undivided profits Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits XJ. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie . Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $150, 000 00 5,600 00 1,950 63 10,000 00 j National bank notes outstanding 26,411 49 7-2, 000 .00 255 50 3 700 00 i D I v U o n ^ unpaid. 79, 815 23 320 33 ' Dopcits of U. S. disbursi -'I 406 00 Dae to o?Vr mtior.ci! b>Lnks 2, 3J.3 3b" i Dae to ,SiVe b-uiks nud Dauk-rs . 6, 625 ()',) "Tol.««i ar.,1 I.WA re-rtb.eount- I . . . . I Ui .s ...tycule 2,730 13 3,600 0'J ' Total. Total. 312, SSL 69 Princeton National Bank, Princeton, E D W A R D H O W E , President. S. T. SSGKR, Cashier. Loans and discounts „ j Overdrafts | IT. S. bonds to secure circulation [ U. S. bonds to secure deposits J. IT. S. bonds on hand I. Other stocks, bonds, and mortgages..! Due from approved reserve agents...j Due from other banks and bankers ._! Real estate, furniture, and fixtures... , j Current expenses and taxes paid Premiums paid • Checks and other cash items.. I Exchanges for clearing houso \. Bills of other b a n k s . . . j Fractional currency j Specie ! Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer | Total. $175, 6" 3 0'J 77r 17 100, O«JU UJ $100,000 00 >'-,< r--:i» 1 ; Uii.lj / I l e d pro;) j . S9, 800 00 '"Vi'k notes out 4;v" 6 37 11 07 50 iL 07 s;0 00 ol \J. 6. ,651 v-J 2' L 6 J 121 0') 323,! lional br»nks uks sisi'i ban.c-r j 59 45 Total. 323, 632 04 National Bank, Railway. No. «i)5. A. F. SHOTWELL, President. Loans and discounts Overdrafts U. 8. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie .". Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., W. FULLER, Jr., Cashier. $230, 2-16 60 j j C apitiil stock paid in 47,500 00 j| Surplus fund || Oi-'ior undivided profits $100, 000 00 ....,, ; | National bank notes outstanding ocs Qg7 i)7 || State bunk notes outstanding j. 13, (X) 00 jl dividends unpaid ' deposits 42, 500 00 178, 11,412 75 !| Deports of U.S. disbursing officers. 2,105 615 9"J9 13,100 00 ;! Dne to other national banks . . . . 00 i Due to State banks and bankers 00 ! 00 '! Notes and bills re-discountecl...-... s payable. 059 : 061 , 2, 2:>u 00 364, !)21 08 Total. 364, 921 08 REPORT OF THE COMPTROLLER OF THE CURRENCY. MEW 351 JERSEY. Union National Bank, Railway. JONA. W O O D R U F F , No. 881. President. R. C. B R E W S T E R , Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. >S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers .. Heal estate, furniture, and fixtures-.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie ~ Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. $133,288 46 ] Capital stock paid in •. 100,000 00 i Surplus fund |'•Other undivided profits . §100,000 00 ........; 11,000 00 4, 920 47 90, 000 00 21,950 00 { National bank notes outstanding I 18 041 97 • State bank notea outstanding '478 33 5, 800 C i Dividends unpaid . O ; Individual deposits United States deposits 4, 293 30 ! Deposits of U. S. disbursing officers. 54, 983 56 1, 707 00 I j Due to other national banks I 175 20 !| Due to State banks and bankers . . . J 7,000 00 |j Notes and bills re-discounted j !j Bills payable.„ ...... J 4,500 00 ! | 19, 632 71 297,234 26 | J Total. 6, 691 5? 10, 000 00 297,234 26 First National Bank, Reel Bank. No. 445. A. S. PAKKER, President. Loans and discounts ........ Overdrafts . U. S. bonds to secure circulation..... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..| Due from approved reserve agents.. .1 Due from other banks and bankers ..j Real estate, furniture, and fixtures-.. Current expenses and taxes paid . Premiums paid Checks and other cash items Exchanges for clearing house .. Bills of other banks Fractional currency- Specie Legal tender notes j IT. S. certificates of deposit , j Due from U. S. Treasurer HORATIO E L Y , Jr., Casio $100,000 G O $198,713 2-1 j| Capital stock paid in . 50, 000 JO 15,270 15 14:275 39 i ^ i d e n d s unpaid . . . . . . . . . . . . . . . . . 365 00 '' *~L °" ;j Individual deposits ........... U u i : e d S t a t e l i deposits 3, S09 29 !: Deposits of U. S. disbursing officers . G, 237 00 | Due to other national banks 1, "2-2L 50 | Due to State banks aud bankers . . . 1,300 00 • [ 8,000 00 j Notes and bills re-discounted ! Bills payable 4,320 00 .| 191,906 10 448,363 Si) \\ Total. " 90, 000 00 j Surplus fund . | Other undivided profits 2,700 00 J National bank notes outstanding . . . | State bank notes outstanding.. 448.363 eiJ So, 400 00< 3, 822 P0 5b 9 o3 Total. Second National Bank, Red Bank. J. S. APPLEGATE, Loans and discounts Overdrafts « U. S. bonds to secure circulation XT. S. bonds to secure deposits II. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid „ Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. No. 2257. President. I. B. E D W A R D S , Cashier, $75, 000 00 $119, 806 07 ji Capital stock paid in .-li 2,000 00 5, 097 22 000 00 |] Surplus fund i; Other undivided profits """34, 700 00 |! I! National bank notes outstanding . . . . 895 23 State bank notes outstanding I, 388 43 12, 250 73 ! Dividends unpaid., 1, 5 15, 933 75 Individual deposits United States deposits 0, 898 01 Deposits of U. S. disbursing officers. 75, 67, 500 00 60 00 l\ 1\ 093 00 015 00 819 00 650 00 3, 375 00 315,,139 : 153, 862 88 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable . ,.... TotaL........................I 10,795 07 824 79 !.„ j 315,139 96 356 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Salem National Banking Company, Salem. No. 1346. CHARLES WOOD, President. BENJ. ACTON, Cashier. Resources. Liabilities. $274, 818 37 Capital stock paid in . Loans and discounts Overdrafts U. S. bonds to secure circulation •U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $150, 000 00 152, 000 00 j Surplus fund O ther undivided profits 9,690 oo ;; National bank notes outstanding 22,919 54 || State bank notes outstanding . — 3,011 84 i Dividends unpaid., 7, 125 00 | 3,234 89 I Individual deposits United States deposits 1, 963 41 Deposits of U. S. disbursing officers. 18,217 164 2,390 37, 522 23, 000 00 40,249 68 135, 000 00 1, 010 50 198, 798 48 10, 586 So 00 i Due to other national banks 05 | Due to State banks and bankers . 10 i 00 Notes and bills re-discounted. Bills payable. First National Bank, Somerville. JOHN W. TAYLOR, Cashier. NELSON YOUNG, President. Loans and discounts. | Overdrafts ! U. S. bonds to secure circulation j XT. S. bonds to secure deposits V. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers.. Heal estate, furniture, and fixtures -.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bilis of other banks ; Fractional currency Specie : Legal tender notes U. 8. certificates of deposit . Due from U. S.Treasurer [ Total. $205, 637 94 Capital stock paid in . 1, 531 08 200, 000 00 Surplus fund Other undivided profits 23, 000 00 National bank notes outstanding . . 35, 878 43 State bank notes outstanding 2, 720 37 19, 155 06 Dividends unpaid. 1, 984 28 5, 343 75 Individual deposits United States deposits 2, 070 34 Deposits of U. S. disbursing officers $200, 000 00 25, 733 42 11, 634 39 180, 000 00 1,270 00 93, 746 33 2,508 00 15 37 724 15 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted 5, 580 01) ! Bills payable 9, 000 00 2, 770 63 515, 154 77 515, 154 77 Ocean County National Bank, Tom's River. JOHN AUMACK, President. No. 1400. Loans and discounts I Overdrafts [ W M . A. LOW, Cashier. $100,538 63 | Capital stock paid in .| $150,000 00 150, 000 00 ;| Surplus fund. '' Other undivided profits j 25, -:;0'i 00 13,000 00 ; National bank notes outstanding „ _., [ 12,579 63 ' i State bank notes outstanding 6,888 56 | Dividends unpaid 3,550 00 ;| 619 75 Iii dividual deposits 8, 885 30 |j United States deposits <.„.. 516 i ; Deposits of U. S. disbursing officers.. 9, C35 00 Du^ to other national banks Diw ! 373 26 Due to State banks and bankers .j j 3,7L7 50 ! ; 7, 032 00 Notes and bills re-discounted '< • Bills payable j. ' 6, 750 00 24, 000 00 6, 475 37 '] U. S. bonds to secure circulation j U. S. bonds to secure deposits U.S. bonds on hand ' | Other stocks, bonds, and mortgages..; Due from approved reserve agents. .-I Due from other banks and bankers . . | Real estate, furniture, and fixtures. ..j Current expenses and taxes paid i Premiums paid j Checks and other cash items j Exchanges for clearing house : Bills of other banks ; Fractional currency i ' Specie Legal tender notes!,. U. S. certificates of deposit Due from U. S. Treasurer Total ! 409,091 13 Total i 133,235 00 410 00 93, 727 44 1, 243 37 409,09118 REPORT OF THE COMPTROLLER OF THE CURRENCY. 357 KE W JERSEY. First National Bank, Trenton. No. 281. P, P. DUNN, President, CHAS. W H I T E H E A D , Cashier Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid . Ohecks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $570, 006 39 Capital stock paid in. 500, 000 00 100, 000 00 National bank notes outstanding State bank notes outstanding 35, 000 00 46,840 31 63,288 90 33, 000 00 6, 600 84 100, 000 00 27, 343 82 450, 000 00 735 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers.. 964 73 2,482 00 449 38 200 00 21, 315 00 224,121 57 16, 706 35 34,130 45 44, 026 00 5, 384 36 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 22,500*65' 1, 402, 447 55 Total. $500, 000 00 Surplus fund Other undivided profits. 1, 402, 447 55 Total. Mechanics' National Bank, Trenton. TIMOTHY ABBOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Duo from U. S. Treasurer. No. 1327. $625,534 69 JAMES H. CLARK, Cashier. Capital stock paid in ""362,000 00 $500, 000 00 Surplus fund Other undivided profits 100, 000 00 72,865 41 National bank notes outstanding State bank notes outstanding 50, 000 00 11,000 00 224,155 43 ] 35, 707 52 24, 470 0!) 3.1 30 9, 062 50 2, 074 95 325, 800 00 415 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 5, 295 00 Due to other national banks 131 00 ! Dae to State banks and bankers 1,452 31 26, ooo oo ; Notes and bills re-discounted Billy payable 16,290 00 1,493,204 70 453, 092 83 36, 266 58 4, 764 88 j ], 493, 204 70 Total. First National Bank, Vincentoivn. JiVO. S. IillCK, President. Loans and discounts | Overdrafts | U. S. bonds to secure circulation . . . . . | U. S. bonds to secure deposits | IT. S. bonds on hand Other stocks, bonds, and mortgages _ „ | 1 Due from approved reserve agents... Due from other banks and bankers..' and fixtures... Real estate, furniture, Current expenses and taxes paid . Premiums paid Checks and other cash i t e m s . . . . . . Exchanges for clearing hou,-je........ Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 370. GUY BRYAN, Cashier. $120, 54L 14 !j Capital stock paid In. 401 15 ij 100, 000 00 ; j Snrphia fund - -.! j Other undivided profits j! J j National bank notes outstanding - n i i o i - ' i ! State bank notes outstanding. . . . . b i3,118 1* ' 3, 633i 43 Dividends unpaid 63 1, 445 50 Individual deooaits . , United stares deposit*... Benefits of U. S. disbursing officers.. 532 69 I, 973 171 215 6, 606 00 76 00 00 1 Due to other national banks Due to State banks and bankers $100,000 00 25, 000 00 7,138 84 90, 000 00 34,053 11. 185 52 Notes and bills re-discounted.... '"" 4, 500 00 256, 387 47 rota!. 256, 387 47 358 REPOKT OF THE COMPTROLLER OF THE CUEKENCY, NEW JERSEY. First National Bank, Washington, JAS. K. SWAYZE, President. No. 860. P H I L I P H. HANN\ Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . Due from other banks and bankers... Real estate, furniture, and fixtures. .Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $177,376 01. ; Capital stock paid in 195 00 ! 100, 000 00 i Surplus fund Other undivided profits 7, 055 76 2, 388 67 1,400 00 j National bank notes outstanding State bank notes outstanding Dividends unpaid $ 100, 000 00 | j 32,000 00 14, 316 93 j ; I j 86, 076 00 ..... . 6, 515 00 Individual deposits \ 63, 715 96 United S tales deposits I.......'. Deposits of U. S. disbursing officers.. | 632 00 5'JO 25 6, 31)0 00 i Due to other national banks Due to State banks and bankers. s and bills re-discounted Bilia pa ! fiO5 44 ; I 4," 500 00 301,229 33 Total. Total i 301,229 33 First National Bank, Woodbury. C. P . STOKES, President. No. 1199. Loans and discounts j Overdrafts U S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand ; Other stocks, bonds, and mortgages..! Due from approved reserve agonta...| Due from other banks and bankers . J Real estate, furniture, and fixtures. ..j Gurrent expensea and taxes paid : Premiums paid Checks and other cash items ; Exchanges for clearing house : Bills of other banks j Fractional currency I Specie | Legal tender notes j U. S. certificates of de posit ' Due from U. S. Treasurer Total. JNO. IT. BRADWAY, Cashier. $210,943 84 |! Capital .stock paid in. 417 19 |j 100,001! 00 | .Surplus fund j: Other undivided profits !; | National bank notes outstanding 130, G.;9 35 jl State bask notes outstanding..! 7, G O 00 O $100, 030 00 000 00 , 672 73 85, 600 00 Dividends unoaid . 711 00 551 87 121 12 DcpodiLs oi: U. S. disbursing officers._: 4, 2',3 1, 43') 1, 095 18, 519 00 55 45 00 D lie to other national banks Due to Suit? banks and bankers ! •. Notes and biil-i re-discounted Bills payable.... ! '..... 5, 200 00 Total. 473, 062 50 i First National Bank, Woodstown. E. R. BULLOCK, President. No. 399. Loans and discounts , Overdrafts U. S. bonds to secure circulation X S. bonds to secure deposits L XJ. S. bonds on hand Other stocks, bonds, and mortgages. $139,107 93 149 55 80, 000 00 Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid... Premiums paid 37, 855 33 149 09 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from IT. 3. Treasurer Total. 4, GOO 00 1, 772 86 '803 51 W. Z. FLITCRAFT, Cashier, Capital stock paid in . $75, 000 00 Surplus fund Other undivided profits. 12, 604 76 38, 2 L 12 7 National bank notes outstanding .State bank notes outstanding 60, 175 00 Dividends unnaid Individual deposits 93, 0G7 G7 United States deposits Deposits of U. S. disbursing officers.. '>. Due to other national banks Due to Stxito banks and bankers ^ Note.-! and bills re-discounted ' Total... : 1,01125 2^,075 80 RSPOET OF THE COMPTROLLER OF THE CURRENCY. 359 PENNSYLVANIA. First National Bank, Allegheny. No. 198. T. IL NEVIN, President. J. P. KRAMER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits . U.S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers-.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer Total. "I $89H,078 06 Capital stock paid in . 3,253 00 350,000 00 Surplus fund 50, 000 00 Other undivided profits. 95 810 00 National bank notes outstanding 120, 930 22 State bank notes outstanding . . 8,563 76 90, 720 83 Dividends unpaid 10,459 91 Individual deposits 9,257 04 United States deposits 21, 326 59 Deposits of U. S. disbursing officers. 10,194 00 2, 366 70 3,381 00 113, 952 00 $350, 000 00 110, 000 00 44,114 35 315, 000 00 563 00 942, 798 01 28, 750 57 324 00 173 31 10,358 77 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , 15,788 90 1,802,082 0L 1, 802, 082 01 Total. Second National Bank, Allegheny. J. N. DAVIDSON, Cashier. No. 776. JAMES LOCK HART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes ._..,. U. S. certificates of deposit Due from U. S. Treasurer Total. $394, 037 62 j Capital stock paid in. 1, 513 50 130, 000 00 Surplus fund Other undivided profits National bank notes outstanding 110,996 06 | State bank notes outstanding 31 66 32, 000 00 Dividends unpaid. 5, 319 04 Individual deposits United States deposits 2, 314 34 Deposits of U. S. disbursing officers. 569 00 I Due to other national banks 343 02 ! Due to State banks and bankers. | Notes and bills re-discounted 21, 250 00 I Bills payable '"" 5,*850 00 Total. 705, 260 24 $150, 000 00 30, 000 00 47,216 04 117,000 C O 750 00 360, 294 20 1, 036 00 , 705, 260 24 Third National Bank, Allegheny. JON'A. GALLAGHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IL S. certificates of deposit Due from U. S. Treasurer Total. H. A. SPANGLER, Cashier. No. 2235. $374, 893 97 Capital stock paid in. 1, 365 83 50, 000 00 Surplus fund Other undivided profits 100, 000 00 0,515 90 National bank notes outstanding 54, 572 99 State bank notes outstanding 4, 886 35 24 90 19, 709 m 2, 075 69 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . $200, 000 00 12, ^00 00 2,506 60 45, 000 00 5,190 00 389, 982 21 6,154 00 Due to other national banks 33 20 Due to State banks and bankers . 196 30 32, 000 00 Notes and bills re-discounted. Bills payable 2, 250 00 654,678 81 Total. 654,678 81 360 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. German National Bank, Allegheny. ADAM WlESE, President. No. 2261. J O S E P H STRATMAN. Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U '. .I'mdst ire deposits... . . . L','- *>onds «_•. ad . Other stocks, bonds, ~,nd lnori^ges. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $353,120 48 : Capital stock paid in | $200, 000 00 2, 100 00 67, 000 00 Surplus fund j 4, 700 00 *»^er undivided profits j 5,444 86 50, 000 00 6, 000 00 National bank notes outstanding I 60, 300 00 66, 511 24 State bank notes outstanding i 63,894 18 27, 000 00 Dividends unpaid : 849 81 4,593 76 17,008 69 Individual deposits j 431, 670 5S 1, 050 55 United States deposits i Deposits of U. S. disbursing officers..!..... 4.956 00 Due to other national banks I ; 2, 429 40 Due to State banks and bankers 35 31 8,321 86 j 27, 000 00 i Notes and bills re-discounted ! Bills payable > .. 3, 015* 66"! Total. 703, 001 16 Total | 703, 001 16 First National Bank, Allentown. No. 161. W. H. BLUMER, President. $410, 383 20 7, 242 78 150, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie » Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer J. A. BLUMER, Cashier. Capital stock paid in , Surplus fund Other undivided profits..... $250, 000 00 ! ! 70, 000 00 17,236 £3 i National bank notes outstanding ' State bank notes outstanding \. 366 13 093 49 J Dividends unpaid ' 400 00 979 63 | 000 00 I Individual deposits | United States deposits \. 8, 607 76 Deposits of U. S. disbursing officers..!. 14,194 42 135,000 00 15, 27, 22, 4. 10' 154, 105 56 1, 106 00 3, 455 00 Due to other national banks Due to State banks and bankers 14, 000 00 I Notes and bills re-discounted ! Bills payable...» 70 00 I | 20, 935 05 4, 286 33 : 43,919 66 "" 6, 750 66" Total. 695, 583 46 Total . 695, 533 46 Second National Bank, Allentown. W M . H. AINEY, President. No. 373. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid I Premiums paid | Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total , j $315, 932 87 1, 016 21 300, 000 00 REUBEN STAHLER, Cashier, Capital stock paid in j $300, 000 00 Surplus fund Other undivided profits ! | 43,112 10 15,519 51 1 National bank notes outstanding . . . . State bank notes outstanding 15,204 88 25, 079 51 Dividends unpaid 1,910 34 4,085 94 ! Individual deposits ! 9, 600 00 : United States deposits 5, 607 53 j Deposits of U. S. disbursing officers 10, 632 65 1,344 00 • Due to other national banks 2, 323 83 ! Due to State banks and bankers 657 00 8, 546 00 : Notes and bills re-discounted ; Bills payable 13,500 00 | 715, 440 76 ! Total : 267, 300 00 465 00 G5, 465 49 22, 605 19 973 47 | '•• ! 715,440 76 REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 6 1 PENNSYLVANIA. Allentown National Bank, Allentown. WILLIAM SAEGER, President. CHAS. W. COOPER, Cashier,, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 51,193, 400 58 Capital stock paid in.. 8, 963 83 I 500, 000 00 ! Surplus fund Other undivided profits 15,414 90, 016 98, 032 51,703 8,046 10,519 97 72 06 | 54 ' 19 12 $500, 000 00 i National bank notes outstanding State bank notes outstanding \. J, 000 00 48, 986 87 446,100 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 787, 870 67 j Due to other national banks I Due to State banks and bankers . . . . { I Notes and bills re-discounted. Bills payable 24, 500 00 I Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 155,681 92 51,257 05 41,512 33 315 1,063 4,651 64, 622 Total. 00 65 50 00 Total. 2,112, 761 49 i 22, 864 98 2, 112, 761 49 First National Bank, Altoona. No. 247. HENRY LLOYD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $227, 250 3,172 150, 000 50, 000 2, 500 15, 672 Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid . 10,694 40, 896 12, 022 2, 230 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 58 72 00 00 00 00 J O H N LLOYD, Cashier,, $150, 000 00 Capital stock paid in. Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding 95 14 47 I Dividends unpaid , 21 Individual deposits United States deposits 3, 701 50 1 Deposits of U. S. disbursing officers. 1 7,188 00 862 39 26, 600 00 Due to other national banks Due to State banks and bankers 21, 500 00 8, 933 83 135, 000 00 213, 980 04 22,149 64 7, 300 25 677 10 Notes and bills re-discounted. Bills payable "" 6,749 90 "i 559, 540 86 Total. 55D, 540 1 Total. First National Bank, Ashland. R O B E R T GORRELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures Current expenses and taxes p a i d . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . W I L L I A M T O R R E Y , Cashier, $240,508 11. 8,935 79 40, 000 00 12, 000 0U Capital stock paid in . 56, 000 00 15,835 11 National bank notes outstanding State bank notes outstanding 36, 000 00 12, 678 05 14, 60 L 5L Dividends unpaid . 3,805 65 Individual deposits United States deposits 752 56 Deposits of U. S. disbursing officers. 4,580 562 397 7, 300 00 32 (O J 00 $112, 500 00 Surplus fund Other undivided profits 81, 325 84 Due to other national banks Due to State banks and bankers 24,018 47 1, 240 57 Notes and bills re-discounted. Bills payable 21, 000 00 1,800 00 347, 920 99 Total. 347, 920 99 362 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Citizens' National Bank, Ashland. No. 2280. •J. H. HOOVER, President. GEO. II. RELFRICH, Cashier. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits IJ. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid . . . . . . . . . . . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $38,979 85 '306 00 60, 000 00 Surplus fund Other undivided profits 09 42 53 45 00 54, 000 00 34 00 Dividends unpaid 90,321 19 Individual deposits United States deposits ^ Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable , 797 81 ""l," 675* 66' 602 15 1, 362 00 15, 603 00 3, 200 175 00 2, 137 11 State bank notes outstanding , 00 1, 489 88 2, 296 60 210,453 78 Total 210, 453 78 i Total . „ National bank notes outstanding 9, 500 48 2,416 2, 029 2, 677 904 10, 400 $60, 000 00 Capital stock paid in First National Bank, Athens. No. 1094. N. C. HARRIS, President. Loans and discounts I Overdrafts , ! U. S. bonds to secure circulation j IT. S. bonds to secure deposits j. U. S. bonds on hand |. Other stocks, bonds, and mortgages . . | . Due from approved reserve agents... j Due from other banks and bankers .. j Real estate, furniture, and fixtures-. - j Current expenses and taxes paid j Premiums paid j. Checks and other cash items : Exchanges for cleai'ing house ;. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. CHAS. T. HULL, Cashier. $261,372 01 J Capital stock paid in i 2,754 72 1 1 100,000 00 ;j Surplus fund \\ O ther undivided profits National bank notes outstanding 2, 446 65 State bank notes outstanding 2, 854 61 3, 810 65 Dividends unpaid 2, 045 09 Individual deposits , United States deposits i 91 00 Deposits of U. S. disbursing officers.. 403 7 455 167 Due to other national banks Due to State banks and bankers Notes and bills re-discounted.. Bills payable 00 95 00 00 $100, 000 00 107, 000 00 8,744 45 89, 989 00 60 00 74,240 05 404 18 8, 500 00 4, 500 00 Total. 388, 937 68 | 338,937 i First National Bank, Bellefonte. No. 459. E. C. HUMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers'.. Real estate, furniture, and fixtures... Current expenses and taxes paid I Premiums paid « j Checks and other ca^h items ! ; Exchanges for clearing house Bills of other banks '• Fractional currency ' Specie j Legal tender notes ; IT. S. certificates of deposit ! Due from U. S. Treasurer ; Total. $310, 398 46 Jxo. P. HARRIS, Cashier. Capital stock paid in "Ioo^coo'65"; 8 urplus fun d Other undivided profits 28,125 00 ; National 14, 8, 25, 3, 113 -91 929 578 32 30 ! 28 ! 25 I 39 | 02 bank notes outstanding State bank notes outstanding $100, 000 00 I j ,i 00 96 00 00 90,000 00 Dividends unpaid. Individual deposits United States deposits 6, 223 95 | Deposits of U. S. disbursing officers.. 1,757 ^27 312 23,748 50, 000 00 3, 770 67 ! Dae to other national banks i Dae to Slate banks and bankers : | Nctes and bills re-discounted 259,484 23 26,816 42 3, 270 59 4, 705 30 I 533,341 9L ! Total. 533,311 91 REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 6 3 PENNSYLVANIA, First National Bank, Berwick. No. 568. M. W. JACKSON, President. S. C. JAYNE, Cashier. Liabilities. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation I U. S. bonds to secure deposits j U. S. bonds on hand j Other stocks, bonds, and mortgages., j Due from approved reserve agents .. i Due from other banks and bankers... i Real estate, furniture, and fixtures-..; Current expenses and taxes paid j Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer $105, 509 49 Capital stock paid in . 170 23 75, 000 00 Surplus fund Other undivided profits 10,000 00 National bank notes outstanding 27,017 75 State bank notes outstanding 2, 099 21 Dividends unpaid. 1,631 01 Individual deposits United States deposits 170 88 Deposits of U. S. disbursing officers. 30, 000 00 4,520 18 67, 500 00 53, 812 12 875 00 ! Due to other national banks 66 20 ' Due to State banks and bankers 300 00 i 4, 663 00 j Notes and bills re-discounted 45 47 20 00 | Bills payable " "3," 375*00' I 230, 897 77 Total. $75, 000 00 Total. 230, 897 77 First National Bank, Bethlehem. C. A. LUCKENBACH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer No. 138. $554, 007 74 Capital stock paid in 3, 060 37 300, 000 00 Surplus fund... Other undivided profits 54, 654 86 21,283 55 5. 571 26 38, 098 98 9, 648 62 10, 500 00 1, 201 49 ! $300, 000 00 ! ; 37,750 00 19, 300 06 ; ; ! 270, 000 00 Individual deposits j United States deposits \ Deposits of U. S. disbursing officers.. j 409, 546 81 National bank notes outstanding State bank notes outstanding Dividends unpaid 1, 652 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable i3,"506 00 1, J42 57 2,420 00 23, 342 00 1, 040, 088 44 Total. C. E. BREDER, Cashier. Total j j i 756 00 2, 053 71 681 86 1, 040, 088 44 Lehigh Valley National Bank, Bethlehem. G. B. LlNDERMAN, President. Loans and discounts I O verdrafts j U. S. bonds to secure circulation | U. S. bonds to secure deposits ! U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 5, 073 97 9, 300 60 22, 235 09 4,644 59 26, 000 00 -20 H. Gr. BORHEK, Cashier. National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 6, 540 865 280 13, 475 00 D ue to other national banks 87 Due to State banks and bankers . 70 00 Notes and bills re-discounted. Bills payable 13, 500 00 810,759 80 Total. H. Ex. 3- No. 2050. $397,107 56 Capital stock paid in 1, 737 44 300, 000 00 Surplus fund Other undivided profits Total., $300, 000 00 27, 500 00 27, 528 38 258, 500 00 80 00 172,248 62 4, 902 80 20, 000 00 810, 759 80 364 REPORT OF THE COMPTROLLER OF THE CURRENCY. P TIN KSTLTAJVIA. First National Bank, Blairsville. No. 867. PAUL GRAFF, President. T . D. CUNNINGHAM, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U- S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $16L,5'2(i 39 Capital stock paid in 02 37 80, 000 00 Surplus fund Other undivided profits 16, ooo oo ; National bank notes outstanding 14,312 31 I State bank notes outstanding 6, 478 20 7, 540 50 i ],695 52 j 249 14 720 87 228 3,407 00 05 35 00 $80, 000 00 25,893 00 6, 567 45 j j. 71,960 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 111,486 38 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 3,600 00 Total. 295, 906 83 295, 906 83 First National Bank, Bloomsburg. C. R. PAXTON, President. J. P . TUSTIN, Cashier. No. 293. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand j Other stocks, bonds, and mortgages .. I Due from approved reserve agents...! Due from other banks and bankers... | Real estate, furniture, and fixtures...I... Current expenses and taxes paid j Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer... $172, 997 22 Capital stock paid in. ], 589 78 50, 000 00 Surplus fund Other undivided profits 35, 375 00 National bank notes outstanding 1, 463 58 State bank notes outstanding 6, 842 03 Dividends unpaid . 2, 310 39 Individual deposits United States deposits 892 63 Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. 6, 447 00 Notes and bills re-discounted.. Bills payable 2,*25o'6o' 280,290 38 || Total. Total. $50, 000 00 100, 000 00 8, 782 71 45, 000 00 74,852 78 1,654 280, 290 38 National Bank, Boyertown. T. J. B. RHOADS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ) Total No. 2137. $164, 955 41 ""loo," ooo"6o" 1, 898 00 87 27 540 00 1,060 60 10, 326 56 180 19 600 00 21 93 2,100 00 284, 519 96 MILTON A. MORY, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. $100, 000 00 2, 900 00 3, 853 04 55, 550 00 270 00 121,871 92 75 00 284 519 96 REPORT OF THE COMPTROLLER OF THE CURRENCY. 365 P E N i K S T l V A 3IIA. Farmers' National Bank of Bucks County, Bristol. C. N. TAYLOR, President No. 717. C. T. IREDELL, Cashier. Liabilities. Resources. $227,222 Loans and discounts \ O verdrafts ; - -. 93, L'OO U. S. bonds to secure circulation i U. S. bonds to secure deposits j... U. S. bonds on band | 10,000 Other stocks, bonds, and mortgages..'... 11 641 Due from approved reserve agents... I Due from other banks and bankers ..j a ' 500 Real estate, furniture, and fixtures. ..| 3 341 Current expenses and taxes paid j ' Premiums paid j... Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. 8. certificates of deposit Due from U. S. Treasurer I j... j , , | I 75, 000 00 10, 835 83 00 ;j Surplus fund ! Other undivided profits oo :i j I National bank notes outstanding 31 '' State bank notes outstanding j 81,215 00 ij Individual deposits 'i United States deposits 1,037 31 !| Deposits of U.S. disbursing officers.. | 148,182 64 Q(J '| Dividends unpaid 372 15 96 3,973 00 83 96 630 00 22,617 00 15,000 00 •4,150 00 || Due to other national banks !| Due to State banks and bankers . 1 1 i Notes and bills re-discounted..... i| Bills payable. 415,051 72 Total. $92, 220 00 44 \\ Capital stock paid in. 7, 226 10 415,051 72 Total. First National Bank, Brownsville. J. T. ROGERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits . . . . . . . U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures -. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 135. ELI CRUMRINE, Cashier. 5166, 339 93 I Capital stock paid in 2,537 10 75, 000 00 ; Surplus fund Other undivided profits 1, 000 00 I 2, 689 45 ! National bank notes outstanding State bank notes outstanding "iifsoo'oo'j Dividends unpaid 1,278 97 ! 1,296 00 $75, 000 00 I I 38, 000 00 8, 748 12 67, 500 00 229 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 536 00 | Due to other national banks 150 67 i Due to State banks and bankers 749 00 i 5,000 00 j Notes and bills re-discounted Bills payable • "3*375 66" I 271, 452 12 j Total. 74, 926 86 280 37 6,767 77 271, 452 12 Monongahela National Bank, Brownsville. GrEO. E. HOGG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S, certificates of deposit Due from U. S. Treasurer Total . No. 648. "WILLIAM PARKHILL, Cashier. $342,226 57 ! Capital stock paid in.. 266," 666" 65" | Surplus fund Other undivided profits 13,000 00 | National bank notes outstanding 6,138 22 I State bank notes outstanding 40, 175 82 | Dividends unpaid 983 76 1 1 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 1,410 00 ; Due to other national banks 90 43 i Due to State banks and bankers. 5,415 84 15, 340 00 Notes and bills re-discounted Bills payable $200,000 00 100,000 00 31, 655 03 174,800 00 2, 686 25 124, 255 29 384 07 9,666" 66" | 633,780 64 I Total 633, 780 64 366 REPORT OF THE COMPTROLLER OF THE CURRENCY. FENKSTLYANIA. First National Bank, Butler. CHAP. No. 309. MCCANDLESS, President. A L E X . MITCHELL, Cashier. Resources. Liabilities. $271,263 91 Capital stock paid in 1, 508 by 100, 0U0 00 i Other undivided profits Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits $1CO, 000 00 18 250 00 7,978 09 ..J 49,166 6o" 6,900 00 National bank notes outstanding State bank notes outstanding . . . 51,733 57 1,477 81 i Dividends unpaid 48, 075 00 2, 435 54 ; • Individual deposits 8,494 46 United States deposits 3,208 97 ! Deposits of U. S. disbursing officers Other stocks, bonds, and mortgages.. Due from approved reserve agents.. J Due from other banks and bankers . . Real estate, furniture, and fixtures...i Current expenses and taxes paid Checks and other cash items Exchanges for clearing house Bills of other banks . Fractional currency Specie Legal tender notes ] 16, 042 1, 003 2, 263 46, 265 j j i 00 48 SO 00 90, 000 00 395,139 45 Due to other national banks Due to State banks and bankers 2,904 59 Notes and bills re-discounted 4,500 00 Due from U. S. Treasurer 1i Total 614, 272 13 Total 614,272 13 First National Bank, Carbondale. H. S. P I E R C E , No. 664. President. $175, 163 03 1, 096 61 50, 000 00 JAMES S T O T T , Cashier. Capital stock paid in j ,.$110, 000 00 Surplus fund Other undivided profits • 48,000 00 3, 562 24 National bank notes outstanding State bank notes outstanding \ 26,639 13 10, 633 45 7, GOO 00 Dividends unpaid. 592 83 Individual deposits United States deposits ' Deposits of U. S. disbursing officers..' Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. . Current expenses and tuxes paid Premiums paid . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer 45, 000 00 60, 000 00 66, 756 00 3, 885 360 753 20, 750 00 00 54 00 Due to other national banks Due to State banks and bankers. 219, 877 15 40 20 Notes and bills re-discounted. Bills payable 2,250 00 ' Total. 426, 479 59 ! Total. 426,479 59 National Bank, Catasauqua. ELI J . SAEGER, No. 1411. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents. ..j Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total I $686, 777 82 5,124 72 400, 000 00 29, 959 33 11, 666 7, 785 32, 163 5, 514 20, 000 54 46 42 27 00 2, 637 86 823 00 1 100 00 250 00 25, 585 00 1,252,287 42 M. H. HORN, Cashier. Capital stock paid in . $500, 000 00 Surplus fund Other undivided profits 80, 000 00 25, 084 80 National bank notes outstanding State bank notes outstanding Dividends unpaid. 358,975 00 55 00 1, 467 70 Individual deposits United States deposits Deposits of U. S. disbursing officers. 237,734 69 Due to other national banks Due to State banks and bankers . . . 12,366 64 103 59 Notes and bills re-discounted Bills payable 36, 500 00 Total 1, 252, 287 42 REPORT OF THE COMPTROLLER OP THE CURRENCY. 367 PENNSYLVANIA. National Bank, Chambersburg. No. 593. E. CULBERTSON, President. G. R. MESSERSMITH, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $340, 822 02 Capital stock paid in . 2,102 26 260, 000 00 Surplus fund Other undivided profits 25, 4 0 00 j National bank notes outstanding 43,141 33 !State bank notes outstanding 51, 332 82 ! Dividends unpaid . 20,000 00 3, 088 84 Individual depo«it3 United States deposits 15, 995 35 Deposits of U. S. disbursing officers 8, 664 00 2, 150 99 900 00 40, 000 00 77, 000 00 8, 750 90 234, 000 00 470 00 217, 481 55 23, 770 38 4, 824 83 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted Bills payable "ii'ioo'oo* 825, 297 66 Total. $260, 000 00 : Total. 825, 297 66 First National Bank, Chester. JOHN LARKTN, Jr., President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers -. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie .*.. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 332. WILLIAM TAYLOR, Cashier, $229, 095 78 Capital stock paid in 584 00 100, 000 00 Surplus fund , Other undivided profits. National bank notes outstanding 16,461 68 State bank notes outstanding 6, 355 00 17, 577 31 j Dividends unpaid , 4,118 84 Individual deposits ! United States deposits 6, 043 89 •! Deposits of U. S. disbursing officers. • 2, 433 00 316 04 27, 323 00 j $100, 000 00 | I 17,000 00 8,610 57 90, 000 00 I 284 00 197,680 11 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 233 i "'i'500 00 414,808 54 Total. 414,808 54 Delaware County National Bank, Chester. ROBT. H. CROZER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 355. J. H. ROOP, Cashier. $545,518 36 Capital stock paid in 46 220, 000 00 Surplus fund Other undivided profits 12, 000 00 46, 627 54 1,891 16 12, 000 00 5,759 13 13, 500 00 7, 046 72 15, 426 00 1,080 43 42, 000 00 I National bank notes outstanding ! State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable | j 1 $300, 000 00 43, 500 00 25, 991 25 196, 305 00 j. 350 00 324, 453 67 42,150 38 " "9,"9"66'CM)' 932, 750 30 Trtal 932,750 30 368 REPORT OF THE COMPTROLLER OF THE CURRENCY. P E X N S Y JL V A T I A. V First National Bank, Clarion. No. 774. SAMUEL WILSON. President. G. W. ARNOLD, Cashier. ResourcesLoans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U*. S. bonds on hand , Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house... Bills of other banks , Fractional currencjf Specie , Legal tender notes , U. S. certificates of deposit , Due from U. S. Treasurer Total. Liabilities. $361,547 33 Capital stock paid in 4. 343 43 lilM, 000 00 600 00 11, 000 00 55,684 75 31, 378 5-2 2:>. 871 78 2,817 00 191 49 1,349 26 895 00 15 ', 237 66 •J:H ...! $100,000 00 Surplus fund Other undivided profits j ; 10'.), 000 00 5, 236 13 National bank notes outstanding State bank notes outstanding [ 83, 100 00 Dividends unpaid ... Individual deposits United States deposits Deposits of U. S. disbursing officers. 370, 680 06 Due to other national banks Due to State banks and bankers . Notes and bills re-discoimted Bills payable 7, Uo 45 Total . (J59, 01.6 8'2 659,016 82 First National Bank, Clearfield. WM. H. DILL, Cashier. No. 768. JONA. BOYXTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie „ Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $161,556 76 3,286 14 100, 000 00 Capital stock paid in 20, 356 74 State bank notes outstanding 6,703 12 1,260 60 Dividends unpaid 1,043 68 Individual deposits 700 11 United States deposits 4, 033 00 Deposits of U. S. disbursing officers.. 572 32 Due to other national banks 133 04 Due to State banks and bankers 3,945 00 Notes and bills re-discounted. Bills payable '"I'hh'o'oo 308, 090 51 Total. $100, 000 00 Surplus fund Other undivided profits National bank notes outstanding Total 21, 000 00 5,531 83 90, 000 00 88,870 16 2, 495 14 193 38 308, 090 51 County National Bank, Clearfield. JAS. T. LEONARD. President. Loans and discounts ! Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand. Other stocks, bonds, and mortgages.. Due from approved reserve agents.. J Due from other banks and bankers..; Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 855. W. M. SHAW, Cashier. $138, 903 60 Capital stock paid in . 3, 302 60 75, 000 00 Surplus fund Other undivided profits 4, 000 00 National bank notes outstanding 3, 644 62 State bank notes outstanding 2, 346 10 Dividends unpaid . 1,388 33 1, 677 79 Individual deposits United States deposits 556 24 Deposits of U. S. disbursing officers. . 947 00 Due to other national banks , 566 98 Due to State banks and bankers $100, 000 00 20, 000 00 9,237 56 67, 500 00 55, 649 66 6 58 744 46 430 00 I Notes and bills re-discounted. Bills payable 375 6 6 1 253, 138 26 Total. 253,138 26 REPORT OF THE COMPTROLLER OF THE CURRENCY. 369 PENNSYLVANIA. National Bank of Chester Valley, Coatesville. ABRAHAM GTBBONS, FRANCIS F. DAVIS, President. Loans and discounts .,.I Overdrafts ... j U. S. bonds to secure circulation j i U. 8. bonds to secure deposits U. S. bonds on hand ; Other stocks, bonds, and mortgages..'[ Due from approved reserve a g e n t s . . . ! Due from other banks and bankers . . ; Real estate, furniture, and fixtures.. .i Current expenses and taxes paid , Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie., Legal tender notes U." S. certificates of deposit Due from U. S. Treasurer. Cashier. Liabilities. Resources. j ! ! I i i ! ! Capital stock paid in j $200, 000 00 Surplus funi Other undivided profits $363, 272 21-1 ' "200, 000 0 U : 95. 600 68 5, 832 38 National brvik notf a Outstanding . . . . ; State bank noie? outstanding 3r>, 705 15 15, 5:>5 93 : Dividends unpaid l i , Un{) i<* »_ 2, 231 92 Individual deposits . . . . . . . . . . . . . . . ! United States deposits, Deposits of U. S. disbursing officers 1, 304 29 177, 951 53 15. 983 58 3, 6L4 00 Due to other national banks Due to State banks and bankers 5, 536 00 3, 21.6 (:!0 400 01) 31, 500 00 ' 11, 000 00 Notes and bills re-discounted. • Bilis payable 680,762 17 Total. ! 180r 000 00 1, 780 00 680, 762 17 Total. First National Bank, Columbia. H U G H M. N O R T H , No. 371. President. Loans and discounts | Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..j Due from approved reserve agents.. J Due from other banks and bankers . J Real estate, furniture, and fixtures Current expenses and taxes paid j Premiums paid ,».-,.. I Checks and other cash items j Exchanges for cleai'ing house Bills of other banks | : Fractional cuiTency Specie Legal tender notes j U. S. certificates of deposit Due from U.S. Treasurer.. ! Total I S. S. DETVvlLER, Cashier. $365,193 65 Capital stock paid in ' 197, 000 00 Surplus fund Other undivided profits ~ $200, 000 00 ! ! 53,116 25 National bank notes outstanding . 19, 798 79 | State bank notes outstanding 7, 373 21 Dividends unpaid. 4, 720 85 1 Individual deposits 1 3 011 United States deposits. 1 1,402 48 ! Deposits of U. S. disbursing officers 4, 489 417 1,041 12, 690 175, 800 00 426 00 242,166 88 00 Due to other national banks 02 Due to State banks and bankers 50 00 ! Notes and bills re-discounted Bills payable 8,865 00 676,110 76 32, 000 00 11,651 64 10, 120 20 3, 946 04 | Total. 676,110 76 Columbia National Bank, Columbia. GEORGE BOGLE, President. Loans and discounts I O verdrafts !. U. S. bonds to secure circulation j U. S. bonds to secure deposits |. U. S. bonds on hand \. Other stocks, bonds, and mortgages.. j Due from approved reserve agents...; Due from other banks and bankers ..'< Real estate, furniture, and fixtures ..! Current expenses and taxes paid I Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer Total No. 641. SAMUEL SHOCH, Cashier. $899,721 64 ! Capital .stock paid in . i 300, 000 00 j Surplus fund Other undivided profits 53,037 00 i National bank notes outstanding 43,904 15 I State bank notes outstanding 16, 182 65 i Dividends unpaid . 70,000 00 jj 6.984 41 I 2,500 00 ; Individual deposits Unite.} States deposits 618 74 i| Deposits of U. S. disbursing officers 507 5, 287 i, ooo 75, 600 13, 500 00 76 oo 00 00 1, 488, 843 35 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable $500, 000 00 180, 000 00 31, 698 92 i |, ! 269, 960 00 j j 502,141 00 3,761 00 994 24 288 19 I Total. 1, 488, 843 35 370 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Conneautville. JOHN WORNALD, President. No. 143. J. C. STURTEVANT, Cashier. Resources. Liabilities. $130, 089 96 1,746 60 100, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . . t Capital stock paid in $100, 000 00 Surplus fund j Other undivided profits 912 00 6.2L3 58 i National bank notes outstanding 11,529 17 I State bank notes outstanding 262 00 8, 033 88 Dividends unpaid. 2,411 86 Individual deposits United States deposits 1,009 73 Deposits of U. S. disbursing officers. 90, 000 00 ! 2, 393 00 i Due to other national banks 123 57 I Due to State banks and bankers 7 00 69,271 16 896 85 4, 500 00 j Notes and bills re-discounted. Bills payable 267, 300 59 Total. Total. 267, 300 59 First National Bank, Connellsville. J O H N D. FRISBEE, President. J. S. M'CALEB, Cashier. Loans and discounts j Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits !. U. S. bonds on hand ;. Other stocks, bonds, and mortgages..j. Due from approved reserve agents... \ Due from other banks and bankers . . j Real estate, furniture, and fixtures...; Current expenses and taxes paid '• Premiums paid • Checks and other cash items i Exchanges for clearing house i. Bills of other banks ' Fractional currency j Specie \ Legal tender notes \ U. S. certificates of deposit '•. Due from U. S. Treasurer Total.. $49, $50, 000 00 Capital stock paid in . 50, Surplus fund Other undivided profits 439 147 704 462 278 231 35 1,215 12 200 1,870 3, 384 20 National bank notes outstanding State bank notes outstanding 42, 900 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. 34, 095 77 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2,250 00 Total.. 130, 379 97 130,379 97 First National Bank, Conshohocken. ALAN WOOD, Jr., President. No. 2078. Loans and discounts ; Overdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits | U. S. bonds on hand | Other stocks, bonds, and mortgages.. \ Due from approved reserve agents... j Due from other banks and bankers . . j Real estate, furniture, and fixtures... | Current expenses and taxes paid Premiums paid ; Check s and other cash items \ Exchanges for clearing house Bills of other banks j Fractional currency ._.! Specie i Legal tender notes ! U. S. certificates of deposit ! Due from U. S. Treasurer | Total... i W M . McDERMOTT, Cashier. $170, 858 32 Capital stock paid in. 3 90 150, 000 00 Surplus fund Other undivided profits. 2, 885 00 29, 392 31 20 50 16, 000 00 2. 406 83 23, 500 00 113 23 ; National bank notes outstanding State bank notes outstanding 8, 000 00 7, 401 44 121, 100 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks 3,660 00 161 16 ! Due to State banks and bankers . 1,636 15 19, 770 00 Notes and bills re-discounted Bills payable 6, 750 00 427,157 45 $150,000 00 Total. 138,288 44 2,367 57 427,157 45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 371 PENNSYLVANIA. First National Bank, Corry. No. 605. ADAMS DAVIS, President. A. W. HECKER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand i Other stocks, bonds, and mortgages..| Due from approved reserve agents. .-I Due from other banks and bankers . . Real estate, furniture, and fixtures. _.j Current expenses and taxes paid | Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . ;ioo, ooo oo $163, 806 32 ;! Capital stock paid in 1,300 93 ! 100, 000 00 ; Surplus fund ! Other undivided profits 20, 000 00 4,791 25 90, 000 00 ! I National bank notes outstanding 7 536 31 i' ^ t a t e Dau ^ notes outstanding j 16'460 20 I D i v i dends unpaid 1? 9ol S l! Individual deposits ^ Z6 1 United States deposits 1 332 50 | Deposits of U. S. disbursing offic 97,158 20 l S ! 1, 175 00 ; I Due to other national banks 413 54 |l Due to State banks and bankers . 11,415 00 ; Note * and bills re-discounted : ! Bills payable 4,500 00 I j ! 311,949 311,949 45 j Corry National Bank, Corry. No. 569. THOS. STRATHER3, President. Loans and discounts i Overdrafts U. S. bonds to secure circulation I U. S. bonds to secure deposits • U. S. bonds on hand | Other stocks, bonds, and mortgages..! Due from approved reserve agents. ..j Due from other banks and bankers . . Real estate, furniture, and fixtures. . . | Current expenses and taxes paid j Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks . Fractional currency Specie Legal tender notes U. S. certificates of deposit D ue from U. S. Treasurer C. G. HARMON, Cashiei $100, 000 00 $176,490 99 |j Capital stock paid in 412 52 ' Surplus fund 100, 000 00 Other undivided profits 14, 042 00 7,341 33 10. 582 45 28,194 97 1, 702 68 I 27, 000 00 5, 389 63 National bank notes outstanding . . . State bank notes outstanding 130 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 040 00 Due to other national banks 1,414 52 ! Due to State banks and bankers 13, 296 00 90, 000 00 Notes and bills re-discounted., Bills payable. 132, 783 05 319 89 94 89 5, 000 00 5,200 00 360, 717 46 Total. 360, 717 46 First National Bank, Danville. B. R. GEARHART, Cashier. SAMUEL YORKS, Jr., President. Loans and discounts Overdrafts : U. S. bonds to secure circulation j U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furnitu-e, and fixtures.... Current expenses and taxes paid i Premiums paid ! Checks and other cash items I Exchanges for clearing house j Bills of other banks Fractional currency Specie | Legal tender notes | U. S. certificates of deposit j Due from U. S. Treasurer I Total . $208, 087 23 Capital stock paid in . 156,606 66 Surplus fund Other undivided profits .» 300 00 15, 799 99 9,104 42 2, 836 23 2, 636 85 799 33 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers . 1, 675 00 Due to other national banks . . . . 720 00 Due to State banks and bankers. 592 00 15, 766 00 Notes and bills re-discounted. $150, 000 00 50, 000 00 12,974 17 129,182 00 601 00 70,162 57 2,147 31 Bills payable 6, 750 00 415, 067 05 Total . 415, 067 05- 372 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENKSYLTA1VIA, Danville National Bank, Danville. No. 1078. E. H. BALDY, President. DAVID CLARK. Cashier. Resource!-'. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents!. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash i t e m s . . . . . . . Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates nf depo.sit Due from U. S. Treasurer Total . . £.236, 407 03 200.000 00 22, 030 00 79. 103 *2 4), 134 92 Capital stock paid in. $200, 000 00 Surplus fund. Other undivided profits National bank notes outstanding State bank notes outstanding ! j j I Dividends unpaid 3,341 65 Individual deposits j , United States deposits.. ,.|. 17 01 Deposits of U. S. disbursing officers.. j 1, *sfi 00 Due to other national banks 1, 018 91. Due to State banks and bankers 445 40 10, 000 00 ' Not^s and bills re-discounted Bills payable 10, 800 00 60, 000 Oil 32, 353 27 170, 500 00 1,050 0 U 764 00 138,789 42 1, 303 85 424 83 605,185 37 605, 185 37 Downingtown National Bank, Downingtown. No. 661. JACOB EDGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency. Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $131, 340 86 82 20 100, 000 00 *2MO" 00 5,950 07 979 "l! 154 6, 621 0 221 00 04 29 75 99 286 38 1,820 00 315 08 492 00 7. 000 00 Jos. R. DOWNING, Cashier, $100, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding... State bank notes outstanding 31,000 00 7,107 09 8J, 100 00 65 00 Dividends unpaid . Individual deposits United States deposits ; Deposits of U. S. disbursing officers. 100, 692 90 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 11,998 60 4, 500 00 339,963 59 Total. 339, 963 59 Doylestown National Bank, Doylestown. JNO. J. BROCK, Cashier. G-EORGE LEAR, President. Loans and discounts ...' Overdrafts ^ , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. 8. certificates of deposit Due from U. S. Treasurer Total . $475,137 24 275 00 105, 000 00 12, 000 00 Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding. State bank notes outstanding " 6*324"02"' Dividends unpaid . 5, 000 00 3,781 22 Individual deposits United States deposits 425 28 Deposits of U. S. disbursing officers. 3,135 00 261 27 2,817 00 35, 000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable $105, 000 00 100, 000 00 21, 325 20 93, 700 00 1, 358 00 308,472 88 24, 501 34 323 61 5,525 00 654, 681 03 Total . 654, 681 03 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 373 PENNSYLVANIA. First National Bank, Easton. No. 1171. MCEVERS FORM AN, President. JNO. F . GWINNER, Co shier. Liabilities. Resources. Loans and discounts I $545, 406 63 Overdrafts 4, 015 56 U. 8. bonds to secure circulation ! 400, 000 00 U. 8. bonds to secure deposits. i.. U. S, bonds on hand : Other stocks, bonds, and mortgages .. i 27, 029 93 Due from approved reserve agents... j 28, 852 06 Dae from other banks and bankers . . G2, 37!) 61 Real estate, furniture, and fixtures . . . 20, 000 00 Current expenses and taxes paid 11,179 93 : Premiums paid ; Checks and other cash items 3, $15 40 E Kchanges for clearing house Bills of other banks j 9,830 00 Fractional currency ! 524 17 Specie. 846 00 : Legal tender notes i 51,230 00 U. S. certificates of deposit .... Due from U. 8. Treasurer : 18, 000 00 Total Capital stock paid in $400, 000 00 Surplus fund ...i Other undivided profits | National bank notes outstanding State bank notes outstanding Dividends unpaid ; 80, 000 00 33, 763 87 356, 400 00 885 00 1,912 50 299. 347 13 Individual deposits United States deposits Deposits of U. S. disbursing officers..;.. Due to other national banks Due to State banks and bankers 5,419 SO 381 89 ! Notes and bills re-discounted Bills payable ! 1,183,110 19 Total 1, J 83, 110 19 Easton National Bank, Easton. W M . HACKETT, No. 1233. President. Loans and discounts | Overdrafts | U. S. bonds to secure circulation j TJ. S. bonds to secure deposits | U. S. bonds on hand ! Other stocks, bonds, and mortgages.. Due from approved reserve agents. ..j Due from other banks and bankers . . | Real estate, furniture, and fixtures. ..I Current expenses and taxes paid I Premiums paid j Checks and other cash items j Exchanges for clearing house j Bills of other banks F ractional currency ' Specie j Legal tender notes j U. S. certificates of deposit j Due from U. S. Treasurer I Total. WM. HACKETT, Jr., Cashier. $767, 309 60 ; Capital stock paid in 4,825 80 500, 000 00 Surplus fund Other undivided profits \ i ;. 1,000 00 National bank notes outstanding 89, 144 33 State bank notes outstanding 93, 625 51 Dividends unpaid 16, 200 00 i 13, 228 23 ! Individual deposits United States deposits 1, 550 59 Deposits of U. S. disbursing officers. 11,050 00 Due to other national banks 2, 203 78 Due to State banks and bankers 3, 645 30 i 57,754 00 j Notes and bills re-discounted. Bills payable 22, 500 00 , 1,584,037 14 Total. $500,000 00 100, 000 00 87, 512 57 360,130 00 1, 187 00 945 36 445, 738 41 50, 950 50 37, 523 30 1, 584, 037 14 First National Bank, Erie. J. L. STERNBERG, Cashier. J. C. SPENCER, President. Loans and discounts Overdrafts U.S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. 70 ! Capital stock paid in. 68 00 Surplus fund 00 Other undivided profits . " " 14," 427" 00* National bank notes outstanding 23, 416 66 State bank notes outstanding 42, 967 27 Dividends unpaid . 2, 085 83 5,035 31 3, 400 00 Individual deposits United States deposits 988 59 Deposits of U. S. disbursing officers. $150, 000 00 1, 290 00 ; Due to other national banks 290 30 ! Due to State banks and bankers . . . 2, 571 74 i 15, 517 00 | Notes and bills re-discounted Bills payable "" "8*275 65"j 696 73 903 68 $230, 257 6, 084 ] 62, 000 50, 000 568,607 08 l Total 30,000 00 19,154 39 145, 500 00 52 00 198,121 02 24, 002 46 176 80 56S, 607 08 374 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVAMA. Second National Bank, Erie. No. 606. W M . L. SCOTT, President. C. F. ALLIS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.'.. $321, 841 60 Capital stock paid in. •2,759 06 289, 000 00 Surplus fund Other undivided profits 6, 513 46 National bank notes outstanding 72,029 19 State bank notes outstanding 45, 560 97 Dividends unpaid. 1,985 11 2,883 63 Individual deposits United States deposits 3, 639 74 | Deposits of U. S. disbursing officers. 49, 000 00 14,337 64 257, 000 00 270 00 170, 005 22 I; 12, 564 00 | Due to other national banks 165 56 Due to State banks and bankers 1,767 62 19, 000 00 Notes and bills re-discounted. Bills payable 13, uOO 00 792,734 94 i | Total. 1,426 04 696 04 792,734 94 Keystone National Bank, Erie. No. 535. ORANGE NOBLE, President, Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid.... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie . . Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total JOSEPH I. T O W N , Cashier. $250,000 00 $443,878 51 !Capital stock paid in . 6, 060 29 38,711 44 172, 900 00 : Surplus fund 50, (»00 00 Other undivided profits . 38, 278 47 1, 050 00 : 42, 335 24 National banknotes outstanding 155, 600 G O ; I. 37, 547 48 State bank notes outstanding 74, 003 23 42,733 81 Dividends unpaid 4,393 72 Individual deposits | 396,063 95 189 50 United States deposits I 24,122 88 990 26 Deposits of U. S. disbursing officers.. 3, 745 99 6, 983 00 993 64 1, 61)5 00 34, 500 00 7, 780 00 927, 943 68 Due to o+her national banks Due to State banks and bankers Notes and bills re-discountedBills payable | I 516 81 20, 904 14 927, 943 63 Total. Marine National Bank, Erie. F. P. BAILEY, Cashier. JAS. C. MARSHALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $306,691 09 Capital stock paid in. 1,155 56 105, 000 00 Surplus fund Other undivided profits . iso'oo" 562 8i) National bank notes outstanding 30,153 80 State bank notes outstanding 51.943 92 2. 859 83 Dividends unpaid . 5, 549 55 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,774 290 368 793 12,210 00 71 89 00 4, 725 00 524,228 80 Due to other national banks Due to State banks and bankers $150, 000 00 48,000 00 24,492 59 93, 500 00 190, 730 91 17,002 98 502 32 Notes and bills re-discounted Bills payable Total. 524, 228 80 REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 7 5 PENNSYLVANIA. First National Bank, Franklin. No. 189. SAMUEL PLUMER, President. A. D. COTTON, Cashier. Resources. Liabilities. $243,941 12 !'Capital stock paid in 04 100.000 00 1Surnlusfund 1 so, ooo oo ;!Other undivided profits... 1,000 00 1 1 75,000 00 I;;National bank notes outstanding 37,793 85 | State bank notes outstanding 34,351 41 |:Dividends unpaid , 12,000 00 j 2, 276 19 j1 Individual deposits ' I United States deposits 2, 443 46 j: Deposits of U. S.'diabursing officers. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 3,746 9i 332 30,000 ! $100,000 00 j j ; I 100,000 00 16,797 93 89,100 00 265, 023 84 «5, 622 08 174 20 190 96 66 87 00 I. Due to other national banks 3i i; Due to State banks and bankers 50 i! 00 \> Notes and bills re-discounted 4f"5o6"oo"|; Bills payable 596,975 88 |[ Total . Total. 596, 975 88 First National Bank, Freeport. EM. WERTHEIMER, President. No. 2286. Loans and discounts Overdrafts ! U. S. bonds to secure circulation i U. S. bonds to secure deposits : U. S. bonds on hand \ Other stocks, bonds, and mortgages.. j Due from approved reserve agents -.. Due from other banks and bankers ..: Real estate, furniture, and fixtures. - J Current expenses and taxes paid Premiums paid | Checks and other cash items | ! Exchanges for clearing house Bills of other banks ! Fractional currency | Specie i Legal tender notes i U. S. certificates of deposit j Due from U. S. Treasurer j Total | J. R. MAGILL, Cashier ! $95, 237 46 j ICapital stock paid in 896 44 I 30, 000 00 j I Surplus fund | j Other undivided profits 'j ! i j National bank notes outstanding i j State bank notes outstanding 55 00 j j 15. 020 83 ijDividends unpaid 796 30 !;Individual deposits 4, 650 00 jjUnited States deposits 1,261 80 ||Deposits of U. S. disbursing officers..; |; 63 00 ! i Due to o+her national banks 64 86 iDue to State banks and bankers. 305 00 \\ 11,785 00 | Notes and bills re-discounted . 1 Bills payable 1 1,350 00 ij 161,485 69 || Total. $50, 000 936 4?. 1, 766 08 27, 000 00 450 00 81,132 53 200 60 161,485 69 First National Bank, Gettysburg. GEORGE T H R O N E , Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . ROBERT BELL, Cashier. President. $202, Oil 89 j Capital stock paid in . $100, 000 00 "ioo,"6oo"66" Surplus fund.... 26, 695 11 2, 240 92 352 95 18, 800 00 1, 306 50 784 20 4,750 00 180 00 14, 070 00 Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid.. Individual deposits , United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable ] j j. 12,000 00 15, 097 06 89, 098 00 24 00 154, 392 79 4,327 09 752 63 4,500 00 375,691 57 Total. 375,691 57 376 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Gettysburg National Bank, Gettysburg. G-EORGE SwoPE, President. No. 611. J. EMORY BAIR, Cashier. Liabilities Loans and discounts i O verdr aft s i U. 8. bonds to secure circulation j U. 8. bonds to secure deposits j U. S. bonds on hand Other stocks, bonds, and mortgages..! Due from approved reserve agents...' Due from other banks and bankers .. j Real estate, furniture, and fixtures... | Current expenses and raxes paid : Premiums paid i Checks and other cash items j Exchanges for clearing house I Bills of other banks J Fractional currency I Specie ! Legal tender notes .. ! | U. S. certificates of deposit Due from U. S. Treasurer j Total ! $372,049 '25 Capital stock paid in. $145,150 00 145, 000 00 Surplus fund Other undivided profits . , 60,947 20 National bank notes outstanding . . 30, 962 74 State bank notes outstanding 4, 407 19 Dividends unpaid 5, 000 00 3,924 17 Individual deposits United .States deposits , 2,351 27 Deposits of U. S. disbursing officers 1,204 00 Due to other national banks 280 30 Due to State banks and bankers . . 16, 000 00 Notes and bills re-discounted Bills payable 6, 525 00 648,651 12 30, 000 00 53, 789 92 130, 496 00 791 00 901 00286,014 76 163 99 1,344 45 648,651 12 Total First National Bank, Girard. No. 54. JAMES WEBSTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agent3-. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer R. S. BATTLES, Cashier. $58, 886 31 Capital stock paid in. 6,111 69 100, 000 00 Surplus fund "21,660 66 Other undivided profits National bank notes outstanding 11,119 53 State bank notes outstanding 11,339 26 Dividends unpaid . 2, 400 00 223 37 Individual deposits United States deposits 708 49 Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. Total. $100, 000 00 14, 050 00 2, 672 28 89, 300 00 8, 234 27 21, 566 98 235, 823 53 First National Bank, Glen Rock. Loans and discounts | Overdrafts U. S. bonds to secure circulation I U. S. bonds to secure deposits ! U. S. bonds on hand ! Other stocks, bonds, and mortgages..j Due from approved reserve agents. ..i Due from other banks and bankers .. j Real estate, furniture, and fixtures... • CurrenPexpenses and taxes paid | Premiums paid j Checks and other cash items ! Exchanges for clearing house Bills of other banks Fractional currency Specie j Ligal tender notes | U. S. certificates of deposit Due from U. S. Treasurer Total HENRY SEITZ, Cashier. No. 435. J. V. HOSHOUR, President. i $100, 867 96 I Capital stock paid in. 75, 000 00 Surplus fund Other undivided profits j 1,100 00 National bank notes outstanding 7, 613 52 I State bank notes outstanding 1, 525 46 I 800 00 ; Dividends unpaid . 1,117 37 j 3, 266 00 • Individual deposits United States deposits 73 82! j Deposits of U. S. disbursing officers. 1,322 00 | 4 19 345 00 8, 569 00 j 5, 065 00 ! 206, 669 32 j Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. $75, 000 00 8, 722 60 3,464 05 65, 880 00 95 00 52, 188 74 874 91 444 02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 7 7 PENNSYLVANIA. First National Bank, Green Castle. J. C. MCLANAHAN, No. 1081. President. L. H. FLETCHER, Cashier. Liabilities. Resources. Loans and discounts j Overdrafts | U. S. bonds to secure circulation j U. S. bonds to secure deposits. j U. S. bonds on hand j Other stocks, bonds, and mortgages..; Due from approved reserve agents... j Due from othei banks and bankers...j Real estate, furniture, and fixtures-..! Current expenses aud taxes paid ' Premiums paid I Checks and other cash items ....j Exchanges for clearing house ! Bills of other banks ! Fractional currency ; Specie Legal-tender notes | U. S. certificates of deposit i Due from U. S. Treasurer j Total I $72, 438 48 $100, 000 00 Capital stock paid in 100, 000 00 ! Surplus fund i Other undivided profits 25, 000 00 200 00 I National bank notes outstanding 4. 089 34 \ State bank notes outstanding 4, 876 88 Dividends iinpaid . 10, 764 49 1, 383 72 I Individual deposits 4, 949 37 I United States deposits 170 00 \ Deposits, of U. S. disbursing officers. 1 750 00 Due to other national banks 300 55 I Due to State banks and bankers 364 50 2,558 00 i Notes and bills re-discounted. Bills payable 4, 500 00 Total. 232, 351 33 18, 450 00 2,703 15 88, 800 00 316 00 18,416 14 2, 808 50 857 54 232,351 33 First National Bank of West Greenville, Greenville. W I L L I A M W A U G H , President. No. 249. C. R. BEATTY, Cashier. $258, 912 70 Capital stock paid in. 4, 427 05 105, 000 00 ii Surplus fund I Other undivided profits ji I National bank notes outstanding 19, 208 03 j State bank notes outstanding 8,019 04 6, 229 00 j | Dividends unpaid Loans and discounts Overdrafts U. S. bonds to secure ( circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 1,911 37 781 25i I Individual deposits 1 United States deposits 1 1.067 34 Deposits of U. S. disbursing officers. 1,211 291 597 24,105 00 i Due to other national banks 63 I Due to State banks and bankers . | 50 00 1Notes and bills re-discounted. Bills payable , 3^41308*; Total. 435,173 99 Total- $125, 000 00 40, 000 00 14,333 65 93, 700 00 276 00 161, 500 29- 364 05 435,173 99 Greenville National Bank, Greenville. No. 2251. WILLIAM ACHRE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . ! j ! j i Total Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding 89 I State bank notes outstanding 47 00 Dividends unpaid. 90 00 Individual deposits United States deposits 897 68 Deposits of U. S. disbursing officers. 9, 875 2, 623 6, 075 1,432 5, 000 Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures ., Current expenses and taxes paid Premiums paid , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $165, 142 01 8, 788 52 40, 300 00 WM. H. BEIL, Cashier. | | i 00 j Due to other national banks 06 Dae to State banks and bankers 96 00 i Notes and bills re-discounted ! Bills payable 1, 573 61 ! 1,901 318 653 11, 500 256,082 10 i Total $110, 000 00' 1,650 00 6, 428 30 34,310 00 103, 156 71 425 16 111 93^ 256, 082 10 378 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Hanover. J. H. ALLEMAN, Cashier. No. 187. J. P. SMITH, President. Liabilities. Loans and discounts i Overdrafts I U. S. bonds to secure circulation ! U. S. bonds to secure deposits I U. S. bonds on hand | Other stocks, bonds, and mortgages..! Due from approved reserve agents... I Due from other banks and bankers .. j Real estate, furniture, and fixtures... j Current expenses and taxes paid j Premiums paid Checks and other cash items ! Exchanges for clearing house • : Bills of other banks Fractional currency j Specie j Legal tender notes j U. S. certificates of deposit ! Due from U. S. Treasurer i Total ! $206, 300 81 Capital stock paid in. $200,000 00 212, 500 00 Surplus fund Other undivided profits 49, 900 00 National bank notes outstanding 17, 753 21 State bank notes outstanding 12, 689 13 I Dividends unpaid . 11, 840 58 3, 828 93 Individual deposits 16, 583 70 '-, United States deposits 1, 867 60 i Deposits of U. S. disbursing officers. J,... 3, 845 00 ; Due to other national banks 310 93 Due to State banks and bankers 420 00 12, 467 00 i Notes and bills re-discounted • Bills payable 9, 500 00 559,806 89 Total . 23,961 14 14, 598 29 189,200 00 120 00 122,504 11 9, 423 35 559, 806 89 Harmony National Bank, Harmony. No. 2335. W. H. H. RIDDLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $50, 000 00 Capital stock paid in. $39, 799 67 i ""so'ooo'oo" 8, 792 91 812 23 4,049 70 612 17 8, 861 23 330 00 Surplus fund Other undivided profits 1, 198 31 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 2,200 00 IDue to other national banks 55 55 | Due to State banks and bankers 38 25 ! 5,346 00 Notes and bills re-discounted. 26, 450 40 500 00 . Bills payable 2, 250 00 | 123, 148 Total. H. J. MITCHELL, Cashier. 71 j Total. 123,148 71 First National Bank, Harrisburg. No. 201. WILLIAM CALDER, President. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits j U. S.bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. GEO. H. SMALL, Cashier. $348, 432 55 ! Capital stock paid in. 5, 200 70 ; 100, 000 00 i Surplus fund j Other undivided profits National bank notes outstanding State bank notes outstanding 20, 722 52 29, 990 73 6, 337 01 4, 144 16 9, 848 96 3, 695 2,318 000 00 22,257 32 12,483 95 90, 00 J 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 00 j! Due 47 •' Due 30, 000 00 $100, to other national banks to State banks and bankers Notes and bills re-discounted . Bills payable 287, 227 35 32, 627 01 3,033 35 17, 561 12 4, 500 00 565,190 10 Total. 565,190 10 REPORT OF THE COMPTROLLER OF THE CURRENCY. 379 PENNSYLVANIA. Harrisburg National Bank, Harrisburg. G. W. RElLY, President. No. 580. J. W. W E I R , Cashier. Liabilities. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation | U. S. bonds to secure deposits j U. S. bonds on band i Other stocks, bonds, and mortgages.. ; Due from approved reserve agents. ..''• Due from other banks and bankers .. Real estate, furniture, and fixtures. . J Current expenses and taxes paid I Premiums paid i Checks and other cash items | Exchanges for clearing house ..; Bills of other banks ; Fractional currency .... Specie " , Legal tender notes ; U. 8. certificates of deposit Due from U. S. Treasurer j $551, 517 05 Capital stock paid in . 3,223 74 300, ly.y-) U Surplus fund 0 Other undivided profits $300, 000 00 125,000 00 18, 194 30 H. 305 00 National bank notes outstanding . . . 1*23. i52 44 State bank notes outstanding 64. SSI 31 Dividends unpaid -0, <)0'J C O 3. 979 77 : Individual deposits United States deports ' S, 020 7L Deposits of U. S. disbursing officers . 27, 833 I. 195 3, 393 60, 310 2,514 00 378, 168 17 00 Due to other national banks 50 Due to State bank* and bankers . . . 50 00 Notes and bills re-d ^counted 85,711 43 9, 606 12 Bills payable. - • J 3, 500 00 k 1 ?00, 312 02 1, 200, 312 02 Total. 267,300 00 13,818 00 Hatboro' National Bank, Hatboro'. I. NEWTON EVANS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents .. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes Due from U. S. Treasurer Defalcation of late cashier JAMES VAN HORN, Cashier. $65,000 00 $06, 486 36 Capital stock paid in. 411 36 i 40, 000 00 i Surplus fund. ... Other undivided profits 3, 500 00 15, 732 75 219 61 9, 456 96 ). 307 69 6, 235 00 250 00 2, 847 80 National bank notes outstanding . . . State bank notes outstanding Dividends unpaid _ Individual deposits United States deposits 103 04 ! Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. 7, ooo oo : Notes and bills re-discounted . i, 8uo oo ; Bills payable 35, 500 00 117 50 61,543 12 2, 278 00 132 00 13, 000 00 24, 539 45 j Total. 179, 202 22 Total . 179, 202 22 First National Bank, Hollidaysburg. WILLIAM JACK, President. Loans and discounts \ Overdrafts I U. S. bonds to secure circulation \ IT. S. bonds to secure deposits ! U. S. bonds on hand j Other stocks, bonds, and mortgages..! Due from approved reserve agents... Due from other banks and bankers. ..j Real estate, furniture, and fixtures...| Current expenses and taxes paid j Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3- -21 No. 57. W. H. GARDNER, Cashier. $157, 246 40 Capital stock paid in . 5, 735 62 50, 000 00 ' Surplus fund Other undivided profits " 550 00 3, 500 00 National bank notes outstanding... 15, 170 76 State bank notes outstanding 17. 436 33 Dividends unpaid. 13,709 85 258 96 Individual deposits I United States deposits 1,622 00 Deposits of U. S. disbursing officers. 2, 806 00 Due to other national banks 648 34 Due to State banks and bankers 266 00 10,861 00 Notes and bills re-discounted Bills payable 282, 561 26 || Total $50, 000 00 15, 000 00 4, 012 56 45, 000 00 163, 603 80 4, 405 19 539 71 282, 561 26 380 REPORT OF THE COMPTROLLER OF THE CURRENCY. PEN^SYLTANIA. Honesdale National Bank, Honesdale. Z. H. RUSSELL. President. No. 644. E. F. TORREY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $363, 398 70 348 86 180, 000 00 Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 19, 459 43 3, 139 7L 13.015 00 3, U36 22 15, 000 00 7o, 400 00 4. 910 79 Capital stock paid in | $300, 000 03 Surplus fund Other undivided profits j j 90,000 00 40,332 8L National bank notes outstanding j 162, 000 00 Srare bank notes outstanding j Dividends unpaid \ Individual deposits ! United Sratns deposits j Deposits of U. S.disbursing officers..j Due to other national banks j ; Due to State banks and bankers ; Notes and bills re-discounted Bills payable i 722 006 95 Total. Total • 900 00 2 50 125,028 47 ..,. 755 50 2, 987 67 „ 722, 006 95 First National Bank, Honeybrook. No. 1676. E. D. WHITE, President. Loans and discounts $261, 876 39 Overdrafts 653 35 U. S. bonds to secure circulation 100, 000 00 U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents... 23, 287 91 Due from other banks and bankers... 3, 446 37 Real estate, furniture, and fixtures... 1, 13L 58 Current expenses and taxes paid 1, 505 47 Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks 4, 800 00 Fractional cui'rency 15 73 Specie 920 00 Legal tender notes 14,500 00 U. S. certificates of deposit Due from U. S. Treasurer 4, 500 00 Total R. W. MORTON, Cashier. Capital stock paid in \ $100, 0C0 00 Surplus fund Other undivided profits j I 27,000 00 5,069 54 National bank notes outstanding ; 89, 080 00 State bank notes outstanding ; Dividends unpaid 100 00 Individual deposits United States deposits Deposits of U. S. disbursing officers..; Due to other national banks Due to State banks and bankers 193, 574 39 „ 1, S12 87 Notes and bills re-discounted Bills payable. J% Total 416,636 80 416, 636 80 First National Bank, Huntingdon. WM. P. ORBISON, President. Loans and discounts Overdrafts I U. S. bonds to secure circulation j U. S. bonds to secure deposits ' U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... j Due from other banks and bankers...[ Real estate, furniture, and fixtures. ..j Current expenses and taxes paid Premiums paid Checks and other ca sh items Exchanges for clearing house Bills of other banks ; Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 31. $332, 389 31 1,340 2L 50, 000 00 6, 400 00 72, 965 70 26, 589 08 10, 682 44 2, 797 15 GEO. W. GURRETTSON, Cashier. Capital stock paid in j Surplus fund Other undivided profits ; National bank notes outstanding 46, 6^0 00 7,121 77 44, 540 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 4,773 00 Due to other national banks 2, 071 55 Due to State banks and bankers 1,670 00 28, 365 00 Note3 and bills re-discounted •Bills payable 2, 250 00 542,293 44 : $150,000 00 Total. \ ' 281,975 60 : 10, 972 36 1, 083 71 ; \ ;. 542,293 44 REPORT OF THE COMPTROLLER OF THE CURRENCY. L i 11 S I H 381 JL v A ii 1 A • First National Bank, Indiana. J O H N SUTTON, No. 313. President, H. A. THOMPSON, Cashier. Liabilities. Resources. $326,311 20 736 13 200, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house, Bills of other banks Fractional currency Specie Legal ten der notes U. S. certificates of deposit Dae from U. S. Treasurer Capital stock paid in $200, 000 00 Surplus fund Other undivided profits j National bank notes outstanding Stare bank notes outstanding | | Dividends unpaid | 400 00 Individual deposits ,I !! United States deposits L, 263 35 ! Deposits of U. S. disbursing officers. i 108,501 59 2, 000 00 20, IT] 1, 2, 722 208 200 208 84 74 00 84 690 00 Due to other national banks 220 84 ! Due to State banks and bankers ! 373 00 | ! 23, 354 00 Notes and bills re-di3counted , , ""7*5o6'6o"j| Total. Bills payable i j 179, 990 00 741 93 636 66 } i Total. 603, 783 94 j ! 100, 336 50 13,182 26 603, 788 94 Jenkintown National Bank, Jenkintown. SAML. W. NOBLE, President. No. 2249. A N D R E W H. BAKER, Cashier. $33, 950 69 j Capital stock paid in Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. j $70, 000 00 ""so'ooo'oo"! Surplus fund Other undivided profits 9, 000 00 4, 813 244 2, 899 1,741 8, 325 40 90 35 46 37 00 00 1, 195 163 630 5, 705 Due from approved reserve agents.. Due from othor banks and bankers.. Real estate, furnitxire, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 00 76 50 00 4,445 09 i National I ank notes outstanding State bank notes outstanding.... j .i j ! Individual deposits j United States deposits ! Deposits of U. S. disbursing officers.. | 44, 500 03 Dividends unpaid j Due to nt?K-r national banks ;] Due to Suite banks and bankers j| |! Notes and bills re-discounted Bills payable Total . | j j I !. Total. . 51, 503 76 510 18 170,959 03 First National Bank, Johnstown. D. J. MORTtELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. No. 51. I \ | \. j j Due from approved reserve agents...! Due from other banks and bankers . . i Real estate, furniture, and fixtures...' Current expenses and taxes paid : Premiums paid [ Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie. Legal tender notes U. S. certificates of deposit Dae from U. S. Treasurer, Total j i I ! I I j I I H. J. ROBERTS, Cashier. $119, 997 45 Capital stock paid in. 23 92 60, 000 00 Surplus fund ! Other undivided profits $60,000 00 j j 15,000 00 7, 872 22 ; 46,700 00 J National bank notes outstanding i 33, 119 81 I State bank notes outstanding • j 21, 040 27 ! S Dividends unpaid 11, 599 00 4, 220 45 | Individual deposits ! | United States deposits : 521 52 I Deposits of U. S. disbursing officers..! 54, 000 00 16,496 00 4~'4 35 1,269 00 21,497 00 , 2. 700 00 339,668 77 Due to other national banks Due to State banks and bankers j | 201, 483 36 919 60 393 59 Notes and bills re-discounted. Bills pay able Total. 339,668 77 382 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Kittanning. No. 69. J. E. BROWN, President. WM. POLLOCK, Cashier. Resources. Liabilities. $167, 460 39 Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Capital stock paid in . 970 20 i 222, UOO U0 i $200,000 00 Surplus fund Other undivided profits 40, 000 00 4, 386 52 2,300 oo ; National bank notes outstanding f rto, 389 45 State bank notes outstanding 113,273 9L Dividends unpaid ],600 00 : I, i»-29 48 Individual deposits 5, 704 75 United States deposits 688 12 Deposit a of U. S. disbursing officers . 192, 080 00 72, 500 00 Due to ether national banks Due to State banks and bankers . Notes ami bills re-discounted Bills payable 4,P48 00 220 00 |( U75 00 4o', £6$ 00 13,'800" 00 Total. 190 00 277, 988 78 Total. 714, 645 30 National Bank, Kutztown. No. 1875. JOHN' H. FOG EL, Pr.-sidtnt. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer -fJO, 739 83 THOS. D. FlSTER, Cashier. Capital stock paid in $60, 000 00 56, 000 00 ; Surplus fund Other undivided profits National bank notes outstanding . 3,461 85 1,715 56 50,000 ()•) I ,,„ ~~ i State bank notes outstanding 1 75L 46 * "-~4 12 ^ " 57 49 493 00 185 21 , 317 55 ], 733 00 18 00 Dividends unpaid Individual deposits United States deposits Deposits ot' U. S. disbursing officers . Due to other national banks Due to State banks and bankers 25, 436 45 133 62 132 13 Notes and bills re-discounted Bills payable 2,500 00 :i Total. 140,897 61 j' Total . 140,897 61 First National Bank, Lancaster. No. 333. CLEM. B. GTRUBB, President. Loans and discounts Overdrafts ! U. S. bonds to secure circulation I U. S. bonds to secure deposits I U. S. bonds on hand I Other stocks, bonds, and mortgages..j Due from approved reserve agents... j Due fronrother banks and bankers... J Real estate, furniture, and fixtures... j Current expenses and taxes paid ! Premiums paid j Checks and other cash items I Exchanges for clearing house ' Bills of other banks ! Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total i HENRY C. HARNER, Cashier. $414,575 61 Capital stock paid in. 357 49 226, 000 00 Surplus fund Other undivided profits $210, 000 00 42, 000 00 14, 770 99 9. 576 44 i National bank notes outstanding 22, 807 57 State bank notes outstanding 14, 265 12 19, 950 00 Dividends unpaid . 3, 375 70 11, 025 00 Individual deposits 1 U n i t e d s t a t e s deposits 3,107 01 | Deposits of U. S. disbursing officers 200, 400 00 4, 125 00 Due to other national banks 248 75 Due to State banks and bankers . . . 18,500 00 Notes and bills re-discounted Bills payable 10,150 00 2,210 41 968 96 758,063 69 Total. 2, 450 00 285, 263 33 758,063 69 REPORT OF THE COMPTROLLER OF THE CURRENCY. 383 PENNSYLVANIA, Farmers' National Bank, Lancaster. JACOB BAUSMAX, President. No. 397. EDW. H . B R O W N , Cashier-. Liabilities. Resources. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation ' U. S. bonds to secure deposits U. S. bonds on hand . Other stocks, bonds, and mortgages . J . Due from approved reserve agents...; Dae from other banks and bankers .. Real estate, furniture, and fixtures .. Current expenses and taxes paid.. ..' Premiums paid ;. Checks and other cash items ; Exchanges for clearing house Bills of other banks J Fractional currency j Specie Legal tender notes ! U. S. certificates of deposit Due from U. S. Treasurer ' Total. $607,591 04 Capital stock paid in. 251 42 470, 000 00 Surplus fund 100,000 00 Other undivided profits National bank notes outstanding 104,034 14 State bank notes outstanding 72, 400 56 Dividends unpaid j 35,000 00 8,194 60 Individual deposits j United State* deposits 20,515 30 Deposits of U. S. disbursing officers.. J 7,274 00 1,230 42 3,291 44 71, 900 00 Due to other national banks Due to State banks and bankers j 1 Notes and bills re-discounted Bills payable $450,000 00 150, 000 00 42,364 33 404,688 00 1, 466 50 400, 643 34 49, 563 78 615 75 24,174 78 2, 916 44 |. i- 24,"756*6o" Total. 1,526,432 92 J 1,526.432 92 Lancaster County National Bank, Lancaster. W. L. PEIPER, Cashier. No. 683. CHRISTIAN B. H E R R , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U, S. certificates of deposit Due from U. S. Treasurer $597, 076 48 $300, 000 00 Capital stock paid in 305, 000 00 Surplus fund Other undivided profits 4*550 65 National bank notes outstanding , 76,738 57 State bank notes outstanding 4,532 61 12,644 98 Dividends unpaid 3,386 78 Individual deposits United States deposits 666 07 Deposits of U. S. disbursing officers, 4,150 00 260 49 4, 283 43 33, 427 00 13, 500 00 Total. Due to other national bank s Due to State banks and bankers Notes and bills re-discounted Bills payable Total 1,060,216 41 80, 000 00 44, 068 87 j 267,400 00 1, 907 00 2, 975 50 j i. .1. ! ! :. I. 341, 778 13 19,821 31 2,265 60 j 1,060,216 41 First National Bank, Lansdale. ELIAS K. F R E E D , No. 430. President. Loans and discounts i Overdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits I U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents ..; Due from other banks and bankers ..: Real estate, furniture, and fixtures ..j Current expenses and taxes paid ( Premiums paid Checks and other cash items i Exchanges for clearing house Bills of other banks j Fractional currency j Specie Legal tender notes j U. S. certificates of deposit i Due from U. S. Treasurer j Total j $164,099 74 175 00 1C0, 000 00 CHAS. S. JENKINS, Cashier. Capital stock paid in | $100, 000 00 Surplus fund Other undivided profits \ ; 22,000 00 6, 791 20 j 89, 995 00 National bank notes outstanding 9,826 06 State bank notes outstanding 2, 107 27 10, 354 91 Dividends impair! 2,202 13 Individual deposits 196 95 United States deposits 478 00 Deposits of U. S. disbursing officers 934 56 Due to r [her national banks Due to otate banks and bankers 7, 2J2 00 Notes and bills re-discounted 4, 500 00 Bill:} payable. ; j 604 00 ! \ 79, 981 84 j ! ' ! 2, 704 58 J 302,076 62 Total I 302, 076 62 384 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Lebanon. G-. DAWSON COLEMAN, President. No. 240. JOHN W. MISH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie ; Legal tender uotes U. S. certificates of deposit Due from U. S.Treasurer Total . $164,723 52 i Capital stock paid in. $50,000 00 50, 000 00 J Surplus fund ; Other undivided profits 1,375 74 23,749 38 \ National banknotes outstanding 4 46fi Q4 '•' State bank notes outstanding 1 I?' 500 00 I1 D i v i d e n d * unpaid 2, bi5 02 j1. i n di v ia ua ideposits. j: United States deposits 103 81 !| Deposits of U. S. disbursing officers.. luG 284 485 13, 058 00 Due to other national banks 40 ' Due to State banks and bankers 00 ! 00 ': Notes and bills re-discounted ' Bills payable 2,250 00 ; 289,681 46 Total. 45, 000 00 174,232 12 18,814 68 258 94 289,681 48 Lebanon National Bank, Lebanon. No. 680. JACOB READEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer E. A. UHLER, Cashier. $504,975 79 Capital stock paid in. 3. 685 47 200, O O 00 Surplus fund u Other undivided profits National bank notes outstanding . . . 35, 467 33 Stale bank notes outstanding 15, 149 45 Dividends unpaid. 5. 000 00 5, 505 88 Individual deposits United States deposits 6, 272 60 Deposits of U. S. disbursing officers. 6,558 00 Due to other national banks 462 08 Due to State banks and bankers . . . 981 47 32, 480 00 Notes and bills re-discounted . Bills payable 9, 000 00 827, 538 07 Total. Total. $200,000 00 65,011 93 10, 475 97 180, 000 00 976 00 319,505 85 17, 476 Qfi 4,091 41 827, 538 07 Valley National Bank, Lebanon. GEORGE HOFFMAN, Presiden Loans and discounts Overdrafts U. S. bonds to secure circulation XT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers. . Real estate, furniture, and fixtures Current expenses and taxes paid Premiumspaid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total JOSEPH KARCH, Cashier. No. 655. ' $199,116 29 Capital stock paid in 100, 000 00 Surplus fund Other undivided profits. 10. 000 00 7, 510 00 National bank notes outstanding 13, 617 56 State bank notes outstanding 34, 288 35 Dividends unpaid . 3, 208 07 3,395 82 Individual deposits United States deposits 1, 844 31 Deposits of U. S. disbursing officers. 410 150 934 24, . 00 00 Due to other national banks 00 Due to State banks and bankers. 05 00 Notes and bills re-discounted. Bills payable 5, 400 00 403,974 45 Total. $100,000 00 39,000 00 8, 582 90 89, 000 00 2, 400 00 296 50 163,835 26 859 73 403, 974 45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 385 PENNSYLVANIA. First National Bank, Lehighton. DANIEL OLEWINE, President. W. W. BOWMAN7, Cashier. No. 23C8. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits , U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house , Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $56,227 41 | Capital stock paid in. $50, 000 00 50,000 00 ! Surplus fund , ! Other undivided profits ; National bank note* outstanding ^(~ oo '• State bank notes outstanding > f\',l pQ ; Dividends unpaid 156 00 1, 626 07 45, 000 00 i J 163 42 Individual deposits , 26, 088 70 United Stages deposits Deposits of U. S. disbursing officers..|... 847 08 39 49 1,051 00 Due to other national banks 20^ 87 ' Due to State banks and bankers i 00 | 3,293 00 ! Notes and bills re-discounted.. e Bills payable * I'hh'o 60' 123,920 76 ! I... I I.. I Total. 123, 920 76 Lewisburg National Bank, Lewisburg. F. C, HARRISON, President. No. 745. Loans and discounts I Overdrafts. | U. S. bonds to secure circulation j U. S. bonds to secure deposits U. S. bonds on hand O ther stocks, bonds, and mortgages Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures...! Current expenses and taxes paid Premiums paid I Checks and other cash items j Exchanges for clearing house '' Bills of o h 3r banks j Fractional currency j Specie ." j Legal tender notes ; U. S. certificates of deposit Due from U. S. Treasurer ' Total. DAVID REBER, Cashier. $227,135 79 Capital stock paid in. 53 34 1.00, 000 00 ; Surplus fund Other undivided profits $100, 000 00 100, 000 00 21, 824 89 National bank notes outstanding 25, 983 96 State bank notes outstanding 15, 448 29 Dividends unpaid 2, 566 80 , Individual deposits United States deposits 1,009 59 Deposits of U. S. disbursing officers. 87,100 00 3, 293 00 834 00 ; Due to other national banks 147 y7 Due to State banks and bankers . 8,760 00 \ 6, 615 00 Notes and bills re-discounted. Bills payable 4, 500 00 i 12, 202 01 393, 054 64 Total. 534 50 68, 100 24 393,054 64 Union National Bank, Lewisburg. HUGH P. SHELLER, Cashier. PETER BEAVER, President. Loans and discounts O verdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits : U. S. bonds on hand ! Other stocks, bonds, and mortgages Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... C urrent expenses and taxes paid Premiums paid .. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $139,089 35 Capital stock paid in. 100, 003 00 Surplus fund Other undivided profits National bank notes outstanding . . . 1,899 81 State bank notes outstanding 7,461 37 Dividends unpaid . 6, 600 00 ! 1, 385 95 Individual deposits United States deposits 5, 266 76 Deposits of U. S. disbursing officers. 1, 050 00 65 00 225 00 11, 230 00 \ Due to other national banks I Due to State banks and bankers | I Notes and bills re-discounted. Bills payable... r 5100, 000 00 10, 752 76 2, 546 25 89, 970 00 348 00 60,322 79 12, 055 73 137 93 1, 860 22 276,133 46 Total. 276, 133 46 386 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, Mifflin County National Bank, Lewistown. D. E. ROBESON Cashier. No. 1579. ANDREW REED, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $138,071 31 57 68 100, 000 00 ""X-ioo'oo' 42, 903 25, 3-22 16,535 14,845 2, 279 613 70 96 05 08 23 50 612 74 1,160 500 1, 895 18, 900 00 43 00 00 """i.'ooo'oo" Capital stock paid in National bank notes outstanding j $100,000 00 I | 23,000 00 | 15,543 92 ! I 89,460 00 State banknotes outstanding I Surplus fund Other undivided profits Dividends unpaid 190 00 Individual deposits ; 142, 307 77 United States deposits ' Deposits of U. S. disbursing officers. Due to other national banks 1,003 64 Due to State banks and bankers 76 35 Notes and bills re-discounted !! . . Bills payable !.. Total. 37-2, U96 68 Total. 515 00 372, 096 68 First National Bank, Lock Haven. T. C. KINTZING, No. 507. President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . . . ! U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and m o r t g a g e s . . . D u e from approved reserve a g e n t s . . . D u e from other banks andHbaukars- . Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks - Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $•263, 984 38 180, 000 00 G. KINTZING, Cashier. Capital stock paid in $180, 000 00 Surplus fund Other undivided profits 26, 500 00 7, 475 35 National bank notes outstanding 1, 000 00 State bank notes outstanding 13, 939 44 15, 178 60 2, 867 13 Dividends unpaid 3,715 6Q Individual deposits United States deposits , 1, 845 81 Deposits of U. S. disbursing officers , 1, 436 00 Due to other national banks 416 54 Due to State banks and bankers . 8, 135 00 162, 000 00 156 00 122, 559 55 1, 927 66 Notes and bills re-discounted Bills payable 8, 100 00 Total. 500,618 56 5UU, 618 Lock Haven National Bank, Lock Haven. L. A. MACKET, President. No. 1273. Loans and discounts \ Overdrafts j U. S. bonds to secure circulation | ! U. S. bonds to secure deposits ; U.S. bonds on hand Other stocks, bonds, and mortgages ..; Due from approved reserve agents...; Due from other banks and bankers .. Real estate, furniture, and fixtures . . . Current expenses and taxes paid.... ! Premiums paid Checks and other cash items i Exchanges for clearing house Bills of other banks Fractional currency Specie ! Legal tender notes \ U. S. certificates of deposit Due from U. S. Treasurer Total ; $397,128 87 2, 519 73 80, 000 00 2,000 00 4, 500 00 36,192 83 18, 944 04 12, 173 91 4,614 31 LYONS MUSSINA, Cashier, Capital .stock paid in ! $120,000 00 Surplus fund Other undivided profits j i 30,000 00 5, 501 05 71, 50o 00 National bank notes outstanding • State bank notes outstanding : Dividends unpaid j Individual deposits i 4, 585 61 United States deposits i 875 00 Deposits uf U. S. disbursing officers.. | 84 67 Due to other national banks 1,733 00 Due to State banks and bankers ; 21, 000 00 Note? and bills re-discounted ! j 3, 600 00 Bills payable I 5?9, 951 97 Total , j 584 00 • 342, 658 15 15, 829 28 3, 879 49- 589,951 97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 387 PENNSYLVANIA. First National Bank, Mahanoy City, W. L. YODER, Cashier. No. 567. E. S. SILLIMAN. President. Liabilities. Resources. Loans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $235,100 77 Capital stock paid in . 24 61 80, 000 00 Surplus fund j Other undivided profits ! 32, 296 20 National bank notes outstanding > ;. 4,244 72 ! State bank notes outstanding 4, 373 43 '- |! Dividends unpaid , 13,348 35 5,213 09 i; Individual deposits 3,092 74 j! United States deposits I 2,366 19 ! Deposits of U. S. disbursing officers..; 1, 545 221 368 21, 478 00 Due to other national banks ! 45 Due to State banks and bankers | 00 00 Notes and bills re-discounted i | Bills payable "...| 3,600 00 Total. 407, 272 55 Total. SO, GOO 0 0 36,500 00 9,427 43 71, 200 00 182,902 17 20,413 52 2, 329 43 4,500 00 407, 272 55 Manheim National Bank, Manheim. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer H. C. GINGRICH, Cashier. No. 912. ABRAHAM KAUFFMAN, President. $161,748 47 Capital stock paid in . 4, 478 84 100,000 00 j Surplus fund s'ooo'oo" Other undivided profits 8, 000 00 j National bank notes outstanding 6, 635 13 I State bank notes outstanding 6,592 15 i Dividends unpaid . 7, 962 23 2, 646 72 | Individual deposits • i United States deposits 173 32 ;j Deposits of U.S. disbursing officers. $100,000 00 20, 000 00 7,751 52 86, 360 00 904 00 115, 939 36 909 00 Due to other national banks 222 02 1,418 00 • Due to State banks and bankers . 20, 669 00 Notes and bills re-discounted. Bills payable Total. 330,954 88 Total . First National Bank, Marietta. No. 25. AERAM COLLINS, President. Loans and discounts = .... Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer , Total. AMOS BOWMAN, Cashier. $287, 890 41 Capital stock paid in "110*66006" Surplus fund 4o6"66" Other undivided profits 80, 704 31, 602 2, 550 27, 036 2,515 57 48 06 34 28 184 92 1, 685 00 901 92 28, 600 00 " 4 " 956 66 579, 020 98 National bank notes outstanding.. State bank notes outstanding Dividends unpaid . $100, 000 00 ] 00, 000 00 7, 792 18 98, 180 00 690 00 Individual deposits , United States deposits Deposits of U. S. disbursing officers 267,951 03 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 4,264 33 143 44 Total. 579,020 ! 388 REPORT OF THE COMPTROLLER OF THE CURRENCY. PEKIVSTLVANIA. First National Bank, Mauch Chunk. A. W. LEISENRING, President. A. W. BUTLER, Cashier. Resources. Liabilities. $534, 72:2 09 Loans and discounts O yerdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit ... Due from U. S. Treasurer 400, 000 00 1-27, 000 00 89, 20, 32, 2, 26S 23-2 !'00 304 95 22 00 66 Capital stock paid in . $400, 000 00 Surplus fund Other undivided profits Xational bank notes outstanding State bank notes outstanding 80, 000 00 16,651 44 '• 356, 800 00 j Dividends unpaid . 1, 408 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 428,661 82 19 27i: 00 Due to other national banks 1,433 3L Due to State banks and bankers . 6, -2)0 00 43, 700 00 Notes and bills re-discounted Bills payable 8, 800 00 2, 309 97 |_ Total. 1,285, 831 23 Total.. 1,285,831 23 Second National Bank, Mauch Chunk. CHAS. ALBRIGHT, President. No. 469. T. L. FOSTER, Cashier. ; Loans and discounts 8221. 955 81 Capital stock paid in Overdrafts U. S. bonds to secure circulation 150. 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits U. S. bonds on hand I Other stocks, bonds, and mortgages.. 56,670 79 National bank notes outstanding Due from approved reserve agents... 38, 291 83 State bank notes outstanding Due from other banks and bankers .. 18. 371 96 Dividends unpaid Real estate, furniture, and fixtures... 2. 000 00 ; Current expenses and taxes paid 2,811 75 ; Individual deposits Premiums paid _. j United States deposits Checks and other cash items Deposits of U. S. disbursing officers. Exchanges for clearing house ! Bills of other banks 6,704 00 Due to other national banks Fractional currency 281 02 Due to State banks and bankers.... Specie 1,894 00 Legal tender notes 14, 000 00 : Notes and bills re-discounted. Bills payable U. S. certificates of deposit Due from U. S. Treasurer 6, 750 00 ! Total 519,731 16 $ 150, 000 00 26, 300 00 J2, 032 40 133, 500 00 1,500 00 189, 553 31 5, 952 36 893 09 519,731 16 First National Bank, McKeesport. No. 2222. WILLIAM WHIGHAM, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents . . . Dae from other banks and bankers-.. ; Real estate, furniture, and fixtures .... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit. ! Due from U. S. Treasurer Total ! THOMAS PENNEY, Cashier. ! $67,000 00 i 30, 000 00 Surplus fund | Other undivided profits. National bank notes outstanding ! 21, 698 52 State bank notes outstanding 4. 761 97 Dividends unpaid. 2, 137 39 265 35 4.300 00 Individual deposits United States deposits 291 54 Deposits of U. S. disbursing officers. 3, 000 00 4, 545 59 $190,537 10 Capital stock paid in . 26, 400 00 2, 123 00 172,005 10 5, 960 00 Due to other national banks 771 82 Due to State banks and bankers. 3, 000 00 Notes and bills re-discounted. 10,000 00 Bills payable 1, 350 00 275,073 69 Total. 275, 073 69 REPORT OF THE COMPTROLLER OF THE CURRENCY. 389 PENNSYLVANIA. First National Bank, Meadville. C. A. DERICKSON, R. W. DERTCKSON, Cashier. No. 115. President. Resources. Loans and discounts ! Overdrafts ' U. 8. bonds to secure circulation | U. 8. bonds to secure deposits ' U. 8. bonds on hand \ Other stocks, bonds, and mortgages ..! Due from approved reserve agents . . . ; Due from other banks and bankers... Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. 8. certificates of deposit : Due from U. S. Treasurer ! Total $100, 000 00 $122, 757 37 Capital stock paid in . 2,841 00 100, 000 00 Surplus fund -• Other undivided profits 18,300 00 National bank notes outstanding 38, 068 88 State bank notes outstanding 10, 217 59 16, 127 11 Dividends unpaid 2, 178 12 Individual deposits 900 00 United States deposits 4, 013 60 Deposits of U. S. disbursing officers 19, 000 00 7,332 37 | ; ' ! ; .j 3,326 00 Due to other national banks 212 59 Due to State banks and bankers 234 60 iO, 812 00 Notes and bills re-discounted Bills payable 4, 500 00 336,488 86 89, 400 00 i 118,236 77 163 56 2, 356 16 I j Total. 336, 488 86 Merchants' National Bank, Meadville. JOHN MCFARLAND, President. No. 871. J. E. MCFARLAND, Cashier. Loans and discounts I $192,695 70 Capital stock paid in Overdrafts I 468 28 U. 8. bonds to secure circulation ; 100, 000 00 Surplus fund p U. S. bonds to secure deposits I Other undivided profits U. S. bonds on hand j National bank notes outstanding Other stocks, bonds, and mortgages..! Due from approved reserve agents...' 24, 076 58 State bank notes outstanding Due from other banks and bankers ..! 33, 4U6 12 Real estate, furniture, and fixtures... 20, 725 00 Dividends unpaid Current expenses and taxes paid ; 2,394 87 Individual deposits Premiums paid United States deposits Checks and other cash items ' 3, 153 94 Deposits of U. S. disbursing officers Exchanges for clearing house Bills of other banks j 5,298 00 Due to other national banks Fractional currency ! 4 74 Due to State banks and bankers Specie 854 65 Legal tender notes 16, 635 00 Notes and bills re-discounted. Bills payable U. S. certificates of deposit j Due from U. S. Treasurer j 2,100 00 Total ! 401,812 88 | $100, 000 00 16.213 78 5, 446 66 89,300 00 J j .i Total... 188,799 64 2, 052 80 401,812 88 First National Bank, Mechanicsburg. S. P. GORGAS, President. No 380. A. C. BRTNDLE, Cashier. Loans and discounts I $283, 262 87 Capital stock paid in . Overdrafts | U. S. bonds to secure circulation j 101, 000 00 Surplus fund U. S. bonds to secure deposits j Other undivided profits U. S. bonds on hand j 10, 000 00 Other stocks, bonds, and mortgages..| 67,415 00 National bank notes outstanding . . Due from approved reserve agents... j 3, 560 84 j State bank notes outstanding Due from other banks and bankers . J 22, 124 57 Dividends unpaid . Real estate, furniture, and fixtures...! 14,144 00 Current expenses and taxes paid j 5,592 01 Individual deposits Premiums paid ; United States deposits i Checks and other cash items.. 2,125 83 Deposits of U. S. disbursing officers Exchanges for clearing house . 876 00 Due to other national banks » Bills of other banks 1,340 23 Due to State banks and bankers Fractional currency Specie 350 00 26, 286 00 Notes and bills re-discounted. Legal tender notes Bills payable U. S. certificates of deposit Due from U. S. Treasurer 4, 516 80 Total . 542,594 15 Total. $100,000 00 50, 000 00 17, 590 10 87,100 00 280, 029 66 7, 546 79 327 60 542,594 15 390 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Second National Bank, Mechanicsburg. No. 326. T. B. BRYSON, President. ADAM KELLER, Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bond;? to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $67, 688 53 Capital stock paid in . 237 64 55, 000 10 ;Surplus fund Other'undivided profits 26, 250 00 2, 266 28 942 26 1,717 02 1,459 23 876 55 J 435 00 , 64 13 135 00 3,016 U0 o 475 00 $50, 000 0 = 0 I 10, 300 00 2, 562 34 \ ' National bank notes outstanding State bank notes outstanding 48, 900 00 Dividends unpaid 43, 080 28 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers j \ 4,350 11 3,581 91 788 00 Notes and bills re-discounted . Bills payabie Total. 163 . W 64 Total. j First National Bank, Media. No. 312. ISAAC HALDEMAX, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from []. S. Treasurer $200,198 52 100,000 00 1, 000 00 _ o ^ _ ^g U °\!\0 S $100, 000 00 Surplus fund Other undivided profits. 46, 500 00 13, 090 57 National bank notes outstanding State bank notes outstanding 90, 000 00 560 00 Dividends unpaid Individual deposits United Stares deposits Deposits of U. S. disbursing officers..; 13, 000 0 i 283 75 1,800 00 15, 000 0J 10, 000 00 5, 300 00 Due to other national banks Due to State banks and bankers . 165,196 41 4,209 03 Notes and bills re-discounted Bills: payable 419,556 01 Total. JOS. W. HAWLEY, Cashier. Capital stock paid in Total. 419, 55ti 01 First National Bank, Mercer. SAMUEL GRIFFITH, President. No. 392. Loans and discounts , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $249, 222 52 :', 307 39 60, 000 00 Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures .. Current expenses and taxes paid... Premiums paid 15. 947 13 15,505 19 9i.:o oo 4.807 52 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. 3,446 43 3, 370 22 O. L. MUNGER, Cashier. Capital stock paid in $120,000 00 Surplus fund Other undivided profits 24, 000 00 18,382 77 National bank notes outstanding . . . State bank notes outstanding 54,000 00 Dividends unpaid , Individual deposits United States deposits Deposits of U. S. disbursing officers. 171,467 45 Due to other national banks Due to State banks and bankers . . . 2,927 36 12 70 Notes and bills re-discounted Bills payable 5, 000 C O Total. 395, 790 28 REPORT OF THE COMPTROLLER OF THE CURRENCY. 391 PENNSYLVANIA. Farmers and Mechanics' National Bank, Mercer. B. MAGOFFIN, Jr., President. No. 2256. L. HEFLING, Cashier. Resources. Liabilities. Loans and discounts j Overdrafts i U. S. bonds to secure circulation j IT. S. bonds to secure deposits U. S. bond on hand I Other stocks, bonds, and mortgages..! Due from approved reserve agents...! Due from other banks and bankers • Real estate, furniture, and fixtures. ..'< Current expenses and taxes paid i Premiums paid j C hecks and other cash items [ Exchanges for clearing house Bills of other banks \ Fractional currency I Specie Legal tender notes J U. 8. certificates of deposit Due from U. S. Treasurer \ $93, $80, 000 00 Capital stock paid in.. 30, Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 25, Dividends unpaid j ! \ !. ' Individual deposits j United States deposits ; Deposits of U. S. disbursing officers.. j 590 14 376 90 400 :,320 Due to other national banks Due to State banks and bankers I I 1, 900 00 2, 897 76 27, 000 00 249 00 69, 551 70 795 90 299 90 Notes and bills re-discounted. Bills payable 1,350 00 182, 694 26 Total. 182,694 26 Total . First National Bank, Meyersdale, S. D. LTVENGOOD, President. L. S. KEIM, Cashier. No. 2258. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures-. Current expenses and taxes p a i d . . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. 142, 571 73 || Capital stock paid in. , $50, 000 00 45, 000 00 | Surplus fund i Other undivided profits . ; National bank notes outstanding . 503 00 2, 619 98 40, 500 00 ° 7Q3 43 '•' State bank notes outstanding !;201 19 I Dividends unpaid - "f?? j? ! Individual deposits p o,440 70 !; united States deposits 1,242 J-J ,, Deposits of U. S. disbursing officers. fU S d i i 490 00 j; D i to other national bbanks Due j ; Due to State batiks and bankers i 9, 360 56 722 33 547 37 24 39 : 2,086 00 I: Notes and bills re-discounted. j Bills payable 2,025 00 j 104,253 24 ! ! Total 104,253 24 National Bank, Middletown. No. 585. GEORGE SMULLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. J. D. CAMERON, Cashier. Capital stock paid in. $197,777 32 j "loo, ooo 6o I 25, 000 00 7,204 31 National bank notes outstanding . . . State bank notes outstanding 4, 000 00 90, OfiO 00 1,510 00 4, 791 99 ! 3, 300 00 I Dividends u n p a i d . 4,080 16 | Individual deposits 413 51 ! 11,592 204 335 12, 000 00 11 00 00 $100, 000 00 Surplus fund Other undivided profits United States deposits Deposits of U. S. disbursing officers. Due to other national banks I Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable 112,607 97 6/92 15 579 68 4,500 00 1 1 342,994 11 I I Total. 342,994 11 392 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Mifflinburg. No. 174. WILLIAM YOUNG, President. JAS. Resources. W. SANDS, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. $132,147 39 1, 132 33 100, 00J 00 Due from approved reserve agents...' Due from other banks and bankers . . \ Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid 2, 992 24 3, 833 87 8, 480 80 2,509 62 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency.. Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 1,918 57 Capital stock paid in. $100,000 00 Surplus fund Other undivided profits 31,000 H O 4, 427 57 National banknotes outstanding. State bank notes outstanding 89,100 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 945 00 Due to other national banks 18 57 Due to State banks and bankers 50 00 6,386 00 Notes and bills re-discounted Bills payable 4,500 00 Total 205, 914 39 Total. 36,396 13 3, 225 55 1,765 14 265,914 39 First National Bank, Millersburg. F. H. VOSS, Cashier. No. 2252. ALFRED DOUDEN, President. Loans and discounts ; Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items E xchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ; Total $100, 000 00 $137, 636 79 Capital stock paid in.. 100, 000 00 Surplus fund Other undivided profits 2, 850 00 3,587 73 National bank notes outstanding — State bank notes outstanding 1, 833 45 11, 33 L 67 Dividends unpaid . 16, 500 00 1, 487 07 Individual deposits United States deposits 114 78 Deposits of U. S. disbursing officers- 90,000 00 800 00 499 65 5,358 00 4, 500 00 Due to other national banks Due to State banks and bankers 244 00 80, 850 06 1,139 30 1,390 32 Notes and bills re-discounted Bills payable 280,061 41 Total. 280,06] 41 German National Bank, Millerstown. CHARLES DUFFY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages No. 2241. ; ; Due from approved reserve agents...: Due from other banks and bankers ... Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Leeral tender notes U. S. certificates of deposit Due from U. S. Treasurer Total , I J O H N WALKER, Cashier. $138,664 91 Capital stock paid in. 1, 685 91 50, 000 00 Surplus fund Other undivided profits . 50, 000 00 National bank notes outstanding 107, 603 73 State bank notes outstanding 7, 326 67 4, 319 33 Dividends unpaid . 1, 423 47 Individual deposits 13,978 34 United States deposits 4, 443 94 Deposits of U. S. disbursing officers.. $50, 000 00 2,000 00 5,213 57 45, 000 00 294,267 80 162 00 Due to other national banks 67 64 Due to State banks and bankers 2,272 33 12,283 00 Notes and bills re-discounted Bills payable 2, 250 00 396,481 37 Total. 396,481 37 REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 9 3 PENNSYLVANIA. First National Bank, Milton. No. 253. J. WOODS BROWN, President. J. M. CALDWELL, Cashier. Resources. Liabilities. Loans and discounts .....; Overdrafts I. U. S. bonds to secure circulation U. S. bonds to secure deposits I. IT. S. bonds on hand |. Other stocks, bonds, and mortgages..;. Due from approved reserve agents...! Due from other banks and bankers ..; Real estate, furniture, andfixtures...j Current expenses and taxes paid ! Premiums paid j. Checks and other cash items ! Exchanges for clearing house j. Bills of other banks ! Fractional currency ! Specie ; Legal tender notes j U. S. certificates of deposit , Due from U. S. Treasurer $135,707 41 Capital stock paid in . $100, 000 00 99," 166 66 Surplus fund 0 ther undivided profits 20, 800 00 4, 603 15 National bank notes outstanding 2, 697 36 State bank notes outstanding 3, 863 55 6,236 57 Dividends unpaid . 1, 159 67 Individual deposits United States deposits 948 06 Deposits of U. S. disbursing officers. 88, 250 00 1,675 00 102 88 1,076 00 6, 175 00 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Biiis payable. , Total. Total. 324 00 44, 679 89 939 96 2 00 259,599 00 Milton National Bank, Milton. No. 711. W. C. LAWSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $163, 896 86 ""166,600 bo 4, 365 05 3, 839 02 2, 000 00 993 09 935 74 $100, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding Dividends unpaid . Due to other national banks Due to State banks and bankers. Notes and bills re-discounted 3,"300 66" Bills payable 4, 400 141 600 14, 700 34, 000 00 5,906 93 90, 000 00 667 00 277 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 56, 600 00 11,719 83 00 50 00 00 299,171 26 Total. R. M. FRICK, Cashier. Total. 299, 171 26 First National Bank, Minersville. WILLIAM KEAR, President. Loans and discount s Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks; bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 423. $95, 708 96 470 12 100, 000 00 46, 870 00 1,388 48 7,857 18 14, 423 83 2, 830 37 30 00 2,568 00 13 22 576 70 9, 32000 "3, 500'6 6 285, 556 86 R, F. POTTER, Cashier. Capital stock paid in . $100,000 00 Surplus fund Other undivided profits . National bank notes outstanding . . State bank notes outstanding Dividends unpaid. 1, 709 50 4, 738 33 89, 933 00 80 00 Individual deposits United States deposits , Deposits of U. S. disbursing officers 73,841 05 Due to other national banks Due to State banks and bankers . -. 6, 068 56 26 93 Notes and bills re-discounted Bills payable 9,159 49 Total. , 285, 556 8& 394 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Montrose. N. L. LENHEIM, Cashier. W M . J. TURRELL, President. Resources. Liabilities. $100, 000 00 Loans and discounts ! $129,864 99 Capital stock paid in . Overdrafts i 1, 169 03 U. S. bonds to secure circulation ! 90, 000 00 Surplus fund U. S. bonds to secure deposits O ther undivided profits U. S. bonds on hand National bank notes outstanding Other stocks, bonds, and mortgages Due from approved reserve agents...! 13, 467 18 State bank notes outstanding Due from other banks and bankers .. • 13, 994 94 Dividends unpaid . Real estate, furniture, and fixtures...' 9, 169 45 Current expenses and taxes paid 220 90 Premiums paid 14, 000 00 Individual deposits United States deposits Checks and other cash items 2, 915 70 Deposits of U. S. disbursing officers . Exchanges for clearing house Bills of other banks 48 00 Due to other national banks Fractional currency 204 92 Due to State banks and bankers. S pecie Legal tender notes 4, 256 00 Notes and bills re-discounted U. S. certificates of deposit Bills payableDue from U. S. Treasurer 3, 100 00 Total 232,413 11 9, 000 00 603 96 81, 000 00 1,209 00 84,245 27 6,354 88 - Total . . 282,413 11 First National Bank, Mount Joy. No. 667. H. B. RETST, President. Total A. GERBER, Cashier. $16 1,838 36 Capital stock paid in 1, 503 85 99,000 00 Surplus fund.. Other undivided profits Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ; ! |' National bank notes outstanding . . . . , 0 --,-. ,q ! State bank notes outstanding | -A j 3, 126 54 6. 335 00 Dividends unpaid 6"46 6C Individual deposits jI United States deposits j 1,445 79 Deposits of U. S. disbursing officers.-j •250 00 80 20 10,938 00 I Due to other national banks i Due to State banks and bankers j $100,000 00 15, 300 00 4,391 57 88, 300 00 92,813 41 464 57 160 00 Notes and bills re-discounted., I Bills payable 4,555 00 i 301,429 55 301,429 55 Total Union National Mount Joy Bank, Mount Joy. J. Gr. HOKRNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 1516. JACOB R. LONG, Cashier. $188,389 06 j Capital stock paid in . 2, 567 68 \ 100,000 00 I Surplus fund Other undivided profits ' j 900 00 National bank notes outstanding , 56,008 16 State bank notes outstanding 12, 338 03 Dividends unpaid 7, 490 00 3, 407 85 Individual deposits United States deposits 3,416 27 Deposits of U. S. disbursing officers . 1,596 00 Due to other national banks 841 51 Due to State banks and bankers . 355 00 Notes and bills re-discounted. 12, 300 00 Bills payable $100, 000 00 18,000 00 7,399 51 89,100 00 416 00 179, 064 28 129 77 4, 500 65" 394, 109 56 Total. 394, 109 56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 395 PENISFLTANIA. First National Bank, Mount Pleasant. JOHN SHERRICK, President. HENRY JORDAN, Cashier. No. 3S6. Liabilities. Resources. Loans and discounts Overdrafts U. 8. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $175, 091. 90 ! Capital stock paid in. $150,000 00 i Surplus fund 750 00 | Other undivided profits 500 00 I National bank notes outstanding ! 37,977 40 State bank notes outstanding 10,566 06 I Dividends unpaid 10,79-2 8-1 2,955 82 I 71 34 I Individual deposits United States deposits 1, 464 53 Deposits of U. S. disbursing officers 1,272 00 387 44 2, 762 00 26,555 00 10, 000 00 8, 250 00 30, 000 00 15, 251 41 134,900 00 ! I I ! - 1,063 00 108,181 92 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total. 439,396 33 439, 396 33 First National Bank, Muncy. J . M. BOWMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other ca?h items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 837. $125,964 45 Capital stock paid in. 5100, 000 00 ""95,"56o"66" Surplus fund I Other undivided profits I National bank notes outstanding 4, 044 24 j State bank notes outstanding 16, 60 L 33 Dividends unpaid. 15, 922 40 975 43 I Individual deposits I United States deposits 1,973.36 1 Deposits of U.S. disbursing officers.. 1 50 00 Due to other national banks 209 14 i Due to State banks and bankers Notes and bills re-discounted 10,933 00 Bills payable 24, 000 00 12,932 19 77, 641 00 10 00 54, 543 86 20,046 03 500 27 """4," 300'56' 289,673 35 Total. D E L A GREEN, Cashier. Total. 289, 673 35 National Bank of Beaver County, New Brighton. JOHN MINER, President. Loans and discounts Overdrafts U. vS. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . . Ourrent expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency...: Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3- -22 No. 632. $197,829 61 380 96 120, 000 00 9, 540 38 EDWARD HOOPS, Cashier. Capital stock paid in., Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 8,948 16 18,12-2 20 Dividends unpaid. 1, 051 27 Individual deposits United States deposits..: 1, 896 03 Deposits of U. S. disbursing officers. 8,066 00 Due to other national banks 208 72 Due to State banks and bankers... 300 00 20, 800 00 j Notes and bills re-discounted. I Bills payable 5, 700 00 392,843 33 Total. $200, 000 00 20, 343 00 3,343 33 106, 000 00 517 50 58, 496 44 3, 804 87 338 19 392, 843 33 396 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, New Castle. SAMUEL FOLTZ, President. No. 562. DAVID OSBORNE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid.... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities, $16-2, 323 91 Capital stock paid in. 855 93 J50, C ; 00 Surplus fund K O Other undivided profits 17, 140 00 National bank notes outstanding 7,895 01 State banknotes outstanding 6,911 05 17, 958 96 Dividends unpaid . 1,054 5L Individual deposits United States deposits Deposits of XL S. disbursing officers. 410 ( $150, 000 00 30, 000 00 8, 673 60 133,200 00 65,093 14 Due to other national banks , Due to State banks and bankers. Notes and bills re-discounted Bills payable Total. Total. 387, 166 74 National Bank of Lawrence County, New Castle. WM. PATTERSON, President. No. 1156. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand— Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid.•.. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $459, 950 45 Capital stock paid in 6, 860 05 150, 500 00 Surplus fund O ther undivided profits $150,000 00 110, 000 00 22, 095 03 National bank notes outstanding 62, 269 1,663 16, 000 1, 906 25 67 00 45 2, 372 90 5, 988 00 345 3a 87 47 26, 000 00 "7,"55o"6o" 135, 000 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 741,493 62 Total. CYRUS CLARKE, Cashier. Total.. 321,249 19 3,149 40 741, 493 62 First National Bank, Newtown. E D W D . ATKINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 324 S. C. CASE, Cashier. $160,429 60 Capital stock paid in. 100,000 00 Surplus fund Other undivided profits. " l " 66" 9, 425 43 4,710 38 6,421 40 2,121 86 70 26 1, 235 00 209 89 5, 000 00 National bank notes outstanding . . State bank notes outstanding Dividends unpaid . Individual deposits , United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $100, 000 00 13, 201 41 7,277 25 90, 000 00 200 00 99,351 03 2, 569 13 "4"506"66' 312, 598 82 Total. 312, 598 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 397 First National Bank, Newville. No. 60. OHN WAGGONER, President. JAMES M'KEEHAN, Cashier. Resources. Loans and discounts , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bond9 on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from IT. S. Treasurer Total. Liabilities. $191,122 40 2, 695 05 100, 000 00 i5."666"oo" 22, 250 00 28,591 31 8, 649 45 13,091 50 1, 749 00 826 39 139 99 404 00 699 36 505 00 13, 450 00 i Capital stock paid in. . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $100, 000 00 4,800 00 8,487 82 74,171 00 1,184 50 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 212, 481 70 2, 548 43 4, 500 00 Total. . 403, 673 45 403, 673 45 First National Bank, Norristown. GEORGE SHANNON, Cashier. JAMES HOOVEX. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks . . Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $297, 336 150 150,000 50,000 95 ; Capital stock paid in . . . 00 ij 00 ij Surplus fund 00 ' Other undivided profits 595 00 National bank notes outstanding . . . 147,508 65 State bank notes outstanding 7,810 66 12, 000 00 Dividends unpaid . 4, 668 41 Individual deposits United States deposits 94 28 Deposits of U. S. disbursing officers. 17,720 00 Due to other national banks 643 35 950 00 Due to State banks and bankers . 40, 000 00 Notes and bills re-discounted Bills payable 737, 227 30 i Total. Total . $150, 000 00 80, 000 00 13,135 47 135, 000 00 732 00 337,862 09 19,032 39 1,485 35 737,227 30 Montgomery National Bank, Norristown. JOHN SLINGLUFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items .* Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes , U. S. certificates of deposit , Due from U. S.Treasurer Total W. F. SLTNGLUFF, Cashier. No. 1148. $752, 773 84 657 48 400, 000 00 Capital stock paid in. Surplus fund Other undivided profits . 156, 000 00 National bank notes outstanding... 94,131 65 State bank notes outstanding 18,494 22 20, 000 00 Dividends unpaid . 4, 688 30 Individual deposits United States deposits 872 66 Deposits of U. S. disbursing officers. 26,100 00 Due to other national banks 1, 556 73 Due to State banks and bankers 171 50 53,540 00 Notes and bills re-discounted . Bills payable 18, 300 00 1,547,286 38 Total . $400, 000 00 350, 000 00 82,118 98 356,990 00 3, 948 50 332, 225 76 21, 997 52 5 62 1, 547, 286 38 398 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, First National Bank, North East. No. 741. A. F. JONES, President. W. A. ENSIGN, Cashier. Resources. Liabilities. Loans and discounts $68, 072 ^0 Capital stock paid in . Overdrafts 1,007 37 ; U. S. bonds to secure circulation 50, 000 00 \ Surplus fund ( IT. S. bonds to secure deposits | Other undivided profits U. S. bonds on hand National bank notes outstanding Other stocks, bonds, and mortgages..; Due from approved reserve agents...; 4, 5S9 09 State bank notes outstanding Due from other banks and bankers ..' 979 64 Heal estate, furniture, and fixtures...! 1, 372 83 Dividends unpaid . Current expenses and taxes paid ! 5S0 0L Individual deposits Premiums paid i United States deposits Checks and other cash items j 391 96 Deposits of U. S. disbursing officers. Exchanges for clearing house Bills of other banks j 1,164 00 I Due to other national banks Tyactional currency ; 40 18 j Due to State banks and bankers . Specie 114 00 j Legal tender notes 6, 440 00 I Notes and bills re-discounted. U. S. certificates of deposit ' ! Bills payable Due from U. S. Treasurer 2, 250 00 Total. 136, 962 08 i $50, 000 00 6, 750 00 2,197 55 45, 000 00 33,014 53 Total . 136, 962 08 First National Bank, Northumberland. No. 566. J. W. CAKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes pa\d Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit .. Due from U. S. Treasurer Total. F R E D . BURKENBINE, Cashier. $59,333 11 I Capital stock I 50, 000 00 ! Surplus fund 34,729 16 1, 370 1,253 27, 372 1, 529 10 31 34 52 2, 384 50 100 00 50 66 700 00 "2" 250 "6(5' paid in. $100, 000 00 7, 377 84 4,617 40 Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 45, 000 00 20 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 22, 546 20 Due to other national banks Due to State banks and bankers — Notes and bills re-discounted . Bills payable 653 15 855 11 181,069 70 ; Total. .j 181,069 70 First National Bank, Oil City. WILLIAM HASSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae from U. S. Treasurer Total. No. 173. JAS. A. WAUGH, Cashier. $415,681 48 Capital stock paid in. 281 88 200, 000 00 Surplus fund Other undivided profits. 100 00 500 00 National bank notes outstanding 17,485 11 State bank notes outstanding 32,686 51 Dividends unpaid . 24,000 00 3, 409 63 10, 000 00 Individual deposits United States deposits 101 75 Deposits of U. S. disbursing officers.2, 780 435 2, 610 30, 844 00 Due to other national banks 14 Due to State banks and bankers . 00 00 Notes and bills re-discounted Bills payable 5,471 35 746, 746 85 $200, 000 00 4,219 21 27,885 03 163, 300 00 340, 451 11 891 50 10, 000 00 746, 746 85 REPORT OF THE COMPTROLLER OF THE CURRENCY 399 PENNSYLVANIA, National Bank, Oxford. No. 728. SAMUEL DICKEY, President. J O H N JANVIER, Cashier. Resources. Liabilities. $207,411 07 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U S bonds on hand • Other stocks, bonds, and mortgages . . 125, 000 00 18, 900 16,710 6,271 23, H5 3, 360 Due from approved reserve agentg... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid $125, 000 00 25, 000 00 4,965 41 Surplus fund Other undivided profits oo ; National bank notes outstanding 49 ; ]3 Dividends unpaid • . .. 00 37 i Individual deposits i United States deposits 3,114 70 ; Deposits of U. S. disbursing officers . Checks and other cash items Exchanges for clearing house . . . . . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 2,939 00 83 640 00 9,665 00 66*' Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 112, 500 00 1,237 50 155, 264 67 346 01 ... 6," 625* Total 424, 313 59 i Total 424,313 59 Farmers' National Bank, Pennsburg. No. 2334. W. F . R E E D , President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid A. F . DAY, Cashier. $89,521 82 Capital stock paid in 23 78 70, 000 00 j Surplus fund I Other undivided profits $90, 000 00 2,103 94 National bank notes outstanding State bank notes outstanding 3, 325 86 2,786 0L 2, 000 00 Dividends unpaid . 1,53! 67 12,318 75 ! Individual deposits | United States deposits 97 30 Deposits of U. S. disbursing officers . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 63, 000 00 32, 784 ; 1, 395 00 i Due to other national banks . . . . . 146 34 ! Due to State banks and bankers. 175 00 1,412 00 Notes and bills re-discounted Bills payable Total. 187,888 53 j Total. 187,888 53 Perkiomen National Bank, Pennsburg. MICHAEL ALDERFER, No. 2301. President J O H N N. JACOBS, Cashier. [ Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house.Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., $155, 006 72 j; Capital stock paid in. 201 00 || 100,000 00 i Surplus fund j Other undivided profits National bank notes outstanding 4,256 07 i State bank notes outstanding i Dividends unpaid . 2, 565 36 ! i 154 47 |! Individual deposits 17,375 00 jj United States deposits Deposits of U. S. disbursing officers . 1,012 00 100 05 55 50 3, 000 00 4,"5O0"6o"i; 288,226 17 ' Due to other national banks Due to State banks and bankers . $100,000 00 14, 000 00 7,698 12 90, 000 00 1, 002 00 70, 871 06 4,654 99 Notes and bills re-discounted Bills payable Total. 268,226 17 400 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Philadelphia. G-EORGE PHILLER, President. MORTON MCMICHAEL, Jr., Cashier. No. 1. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $3,437,354 32 I Capital stock paid in . $1,000,000 00 1,000, 000 00 |!Surplus fund 100,000 00 1 Other undivided profits. 1 93, 000 00 National bank notes outstanding 380, 000 00 State bank notes outstanding 326, 730 27 200, 000 00 Dividends unpaid . 21.091 41 Individual deposits 39, 500 00 United States deposits 41,717 10 Deposits of U. S. disbursing officers.. 500,000 00 81,800 65 743, 930 00 282 00 3,440,501 87 85, 000 00 1, 290, 670 70 100. 000 00 Due to other national banks 6 087 85 Due to State banks and bankers 4,916 98 1, CS2, 025 00 Notes and bills re-discounted. Bills payable 39, 990 00 I 1,964,237 16 352,331 95 Total. 8, 168, 083 63 8, 16S, 083 63 \ Second National Bank, Philadelphia. No. 213. NATHAN HILLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ' U. S. bonds to secure deposits J U. S. bonds on hand ' Other stocks, bonds, and mortgages .. | Due from approved reserve agents... | Due from other banks and bankers . . Real estate, furniture, and fixtures . . . i Current expenses and taxes paid j Premiums paid Checks and other cash items..... i Exchanges for clearing house ': Bills of other banks j Fractional currency Specie ! Legal tender notes I U. S. certificates of deposit , Due from U. S. Treasurer , $300,000 00 ; 300,000 00 Surplus fund 50,000 00 ;: Other undivided profits. National bank notes outstanding... 78,000 00 73, 274 45 State bank notes outstanding 26,271 01 Dividends unpaid . '24, 000 00 9, 537 25 7, 000 00 i Individual deposits ! United States deposits 1,004 64 I Deposits of U. S. disbursing officers. 15, 680 00 Due to other national banks 1, 452 42 Due to State banks and bankers . 720 00 83, 380 00 i Notes and bills re-discounted. 10, 000 00 I Bills payable , 12, 500 00 1,213,906 51 Total. JAMES ANDERSON, Cashier. $521,086 74 \ Capital stock paid in . Total. 90,000 00 22, 177 78 231,900 00 365 00 548, 194 26 2, 666 55 18, 602 92 1, 213, 906 51 Third National Bank, Philadelphia. DAVID B. PAUL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer Total. No. 234. ANTHONY THORN, Cashier. $538, 419 53 Capital stock paid in . 1, 975 00 293, 000 00 Surplus fund • Other undivided profits National bank notes outstanding . 35,124 03 State bank notes outstanding 76, 474 90 116, 700 00 Dividends unpaid. 14, 703 36 Individual deposits United States deposits 4,528 77 Deposits of U. S. disbursing officers. 91,667 35 10, 200 00 Due to other national banks 2,311 04 Due to State banks and bankers 5, 000 00 280, 000 00 Notes and bills re-discounted. 10, 000 00 Bills payable 48, 174 50 67, 600 00 1, 595, 878 48 Total. $300, 000 00 60,000 00 34, 800 27 268, 580 00 140 00 855, 435 62 79,474 56 5,448 03 1, 595, 878 43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 0 1 PENNSYLVANIA. Sixth National Bank, Philadelphia. JONATHAN MAY, President. ROBERT B. SALTER, Cashier. No. 352. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Surplus fund Other undivided profits 18,442 63 • I,'I[ .National bank notes outstanding 116,451 73 State bank notes outstanding 72, 988 49 51,208 00 Dividends unpaid . 7,741 59 Individual deposits 183 00 United States deposits 7, 222 73 Deposits of U. S. disbursing officers. 18, 865 24 24, 677 00 Due to other national banks 279 28 Due to State banks and bankers 1, 400 00 71, 270 00 ; I Notes and bills re-discounted j Bills payable 6,970 6o"| 908,672 19 1 Total . $150, 000 00 $360,972 50 ! Capital stock paid in . " ISO* 000 * 65"! Total. 35,000 00 14,781 72 134, 400 00 167 00 569, 834 34 4, 410 48 78 65 '8, 672 19 Seventh National Bank, Philadelphia. CHAS. S. CLOSE, President. No. 413. Loans and discounts ,.,, . . . Overdrafts , rU. S. bonds to secure circulation U. S. bonds to secure deposits , U. S. bonds on hand , Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie „, Legal tender not 38 U. S. certificates of deposit Due from U. S. Treasurer Total $449,711 55 2, 327 69 244, 000 00 6, 578 75, 779 47,594 120, 000 8, 200 85 89 71 00 39 W M . H. HEISLER, Cashier. Capital stock paid in $250, 000 00 Surplus fund Other undivided profits National bank notes outstanding Dividends unpaid 219,590 00 30 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 1, 087, 247 26 13, 000 00 31,414 30 522, 309 92 5. 940 17 44, 962 87 1, 087, 247 26 Total Eighth National Bank, Philadelphia. No. 522. JACOB NAYLOR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $850,367 42 643 33 275, 000 00 5, 500 88, 095 36, 921 50, 000 10, 486 00 44 73 00 13 4, 364 83 28, 233 85 59,396 00 9, 357 00 500 00 146,169 00 R. H. WILLIAMS, Cashier. Capital stock paid in. $275, 000 00 Surplus fund Other undivided profits. 110, 000 00 22, 714 54 National bank notes outstanding . . . State bank notes outstanding 233, 300 00 Dividends unpaid . 2, 065 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 929, 689 64 Due to other national banks Due to State banks and bankers . . . 1,089 33 3, 551 22 Notes and bills re-discounted., Bills payable , 12, 375 00 1, 577, 409 73 Total 1, 577, 409 73 402 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Bank of North America, Philadelphia. THOMAS SMITH, President. No. 602. JNO. H. WATT, Cashier. Resources. Liabilities. $4,003,949 98 ; Capital stock paid in 204 71 1 1 900,000 00 Surplus fund ;I Other undivided profits Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ^1, 000, 000 00 1, 000, 000 00 129, 304 37 23, 635 00 ! National bank notes outstanding . . . 6,141 47 ! State bank notes outstanding 296, 519 53 Dividends unpaid., 65, 000 00 13, 090 41 Individual deposits United States deposits 115,581 43 Deposits of U. S. disbursing officers. 792, 200 00 7, 045 00 3, 513, 521 27 715,294 82 97, 780 22, 685 81, 964 805, 645 65, 000 40, 000 00 82 30 00 00 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 7, 252, 492 47 Total., 553,101 64 257, 320 19 Total 7, 252, 492 47 Centennial National Bank, Philadelphia. E. A. ROLLINS, President. H. M. LUTZ, Cashier, No. 2317. $739, 616 40 Capital stock paid in. Loans and discounts Overdrafts U. S. bonds* to seeure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other bank3 Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 50, 000 00 50, 000 00 150, 000 00 72, 713 82 80, 000 00 99,334 04 33, 524 80 23, 361 74 43,281 25 32,175 23 52, 679 67 103, 766 00 63, 979 47 167, 818 00 188, 378 00 100, 000 00 31, 250 00 r Total . $300, 000 00 Surplus fund Other undivided profits.. National bank notes outstanding State bank notes outstanding 27, 953 21 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable Total 2, 031, 878 42 j 1, 643, 622 07 44,191 34 21,111 80 2,081,878 42 Central National Bank, Philadelphia. G. M. TROUTMA.N, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 723. THEO. KITCHEN, Cashier. $3, 337, 809 73 | Capital stock paid in Surplus fund. Other undivided profits loo'ooo'oo'i 225, 000 00 j National bank notes outstanding 494,992 70 |! State bank notes outstanding 670, 000 00 j 90, 980 07 ! Individual deposits United States deposits 585, 000 00 84, 121 84 536, 400 00 Dividends unpaid. 38, 607 71 ! 34, 246 25 I $750, 000 00 20, 659 676, 320 31, 815 15,745 44,584 337,638 355,000 30, 000 34 66 00 28 50 00 00 00 6, 603, 399 24 ! Deposits of U. S. disbursing offioers.. j S Due to other national banks i Due to State banks and bankers . . . . I ! Notes and bills re-discounted. i Bills payable Total 3, 047, 436 29 1,211,341 39 389, 099 72 6,603,399 24, REPORT OF THE COMPTROLLER OF THE CURRENCY. 403 PENNSYLVANIA. City National Bank, Philadelphia, THOMAS POTTER, President. No. 543. G. A. LEWIS, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house— Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $1,133,140 13 Capital stock paid in $400,000 00 59 03 400,000 00 Surplus fund 280, 000 00 j 48, 686 56 Other undivided profits j 308, 520 00 11,400 00 National bank notes outstanding 2,553 00 100, 000 00 State bank notes outstanding 104, 608 14 Dividends unpaid. 529 00 88, 462 30 17,097 93 Individual deposits 1,185,722 6 > 9 United States deposits 182 12 Deposits of U. S. disbursing officers. 84, 448 37 27,533 00 Due to other national banks 101,494 30 1,266 85 Due to State banks and bankers 8, 108 42 11,400 00 254, 016 00 Notes and bills re-discounted. 80, 000 00 Bills payable 22, 000 00 2,335,613 97 j Total 2,335,613 97 Commercial National Bank of Pennsylvania, Philadelphia. J. L. CLAGHORN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of Other banks Fractional currency Specie -. Legal tender notes U. S. certificates of deposit Dae from U. S. Treasurer Total Xo. 556. $1, 717, 646 71 546 46 700, 000 00 122, 662 84 S. C. PALMER, Cashier. $810, 000 00 Capital stock paid in. Surplus fund .„ Other undivided profits National bank notes outstanding State bank notes outstanding "159,13094" Dividends unpaid . 55, 642 60 27,751 30 Individual deposits United States deposits Deposits of U. S. disbursing officers. 674, 753 31 106, 245 00 Due to other national banks 5, 085 6h> 31,518 25 Due to State banks and bankers 456,256 00 Notes and bills re-discounted . Bills payable 36, 100 00 4,143,344 10 j 229,178 39 57, 854 35 616,000 00 5,370 00 1, 887 25 2, 055,132 89 291,441 65 76, 479 57 4,143,344 10 Commonwealth National Bank, Philadelphia. EFFINGHAM PEROT, Cashier. H. N. BURROUGHS, Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agent3 . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash iteni3Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes .. U. S. certificates of deposit. Due from U. S. Treasurer . Total $451,713 53 jCapital stock paid in. ""237, 000"65"I Surplus fund. Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , Total. 0, 000 00 18,869 06 213,300 00 235 50 442, 977 02 2. 290 49 5'J, 839 87 988, 511 94 404 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Consolidation National Bank, Philadelphia. No. 561. -J. V. WATSON, President. WM. Resources. H. WEBB, Cashier. Liabilities. Loans and discounts ' $879, 407 51 Capital stock paid in ! Overdrafts U. S. bonds to secure circulation ; 3U0, 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits U. S. bonds on hand Other stocks, bonds, and mortgages..: 21, 800 00 National bank notes outstanding Due from approved reserve agents..130, 000 00 State bank notes outstanding Due from other banks and bankers ..: 89, 158 06 Real estate, furniture, and fixtures...' 37, 700 00 Dividends unpaid Current expenses and taxes paid 9,036 95 Premiums paid ; Individual deposits Checks and other cash items \ 9, 968 73 United States deposits Exchanges for clearing house 139, 156 81 Deposits of U. S. disbursing officers. Bills of other banks 18,772 00 Fractional currency 3, 245 25 Due to other national banks Specie 22,965 00 Due to State banks and bankers Legal tender notes . 59,180 00 Notes and bills re-discounted U. S. certificates of deposit 30, 000 00 Due from U. S. Treasurer 28, 500 00 Bills payable Total \ 1, 778, 890 3L Total.... $300, 000 00 236,128 93 22, 226 23 268, 800 00 950 40 834,180 41 104, 816 50 11, 787 79 1, 778, 890 31 Corn Exchange National Bank, Philadelphia. DELL NOBLIT, Jr., President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer H. P. SCHETKY, Cashier. !1, 291, 007 89 30 L, 200 00 50, 000 00 100,200 00 185,403 67 70,316 12 202, 040 46 150, 000 00 25, 803 87 12, 791 16 194,484 20 62, 373 00 617 51 11, 887 67 336, 865 00 10, 000 00 16, 352 00 Surplus fund , Other undivided profits. National bank notes outstanding... State bank notes outstanding Dividends unpaid . 200,000 00 38,838 61 267, 450 00 2,587 92 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 3, 021, 342 55 Total. $500,000 00 Capital stock paid in.. Total. 1, 662, 768 57 32, 245 23 268,180 47 49,271 75 3, 021, 342 55 Farmers and Mechanics' National Bank, Philadelphia. E D W I N M. LEWIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 538. SAMUEL W. BELL, Cashier. $4,922,299 93 Capital stock paid in. 1, 68 L 03 1,112, 000 00 Surplus fund , Other undivided profits. 350, 000 00 95, 029 49 National bank notes outstanding . 451, 395 48 State bank notes outstanding 233, 605 47 212,543 21 Dividends unpaid . 64, 676 53 72, 531 25 Individual deposits United States deposits 337 72 Deposits of U. S. disbursing officers. 1, 316, 889 24 347,221 00 Due to other national banks . 15, 522 54 Due to State banks and bankers... 165, 605 63 467, 219 00 Notes and bills re-discounted. 780, 000 00 Bills payable 50, 000 00 $2, 000, 000 00 10, 678, 557 52 10, 678, 557 52 Total. 500, 000 00 92, 798 06 927, 370 00 5,190 00 4, 899 07 6, 202, 875 66 692, 680 20 252, 744 53 REPORT OF THE COMPTROLLER OF THE CURRENCY. 405 PENNSYLVANIA. Girard National Bank, Philadelphia D. No. 592. B. CUMMINS, President. W . L. SCHAFFRR, Cashier. Liabilities. Resources. $3, 238, 529 63 18 95 670, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation. — U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. "Current expenses and taxes paid Premiums paid Capital stock paid in . $1,000,000 00 500,000 00 244,859 67 Surplus fund Other undivided profits i 369, 457 57 416,784 72 40,499 76 59, 024 5(1 .087,986 91 ' 187, 074 00 1, 418 55 19,370 19 457,034 00 530, 000 00 80, 020 00 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer National bank notes outstanding State bank notes outstanding Dividends unpaid. 578,600 00 4,984 94 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 3, 963, 837 71 756, 022 59 326,942 21 Notes and bills re-discounted. Bills payable 7,375,247 12 Total. I i. Total 7, 375, 247 12 Kensington National Bank, Philadelphia. No. 544. G. A. LAND ELL, President. $555,754 18 2, 154 26 250, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency • Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 108, 614 03 112, 910 76 51, 170 33 52, 026 36 11,152 81 Gr. A. LlNTON, Cashier. Capital stock paid in . $250, 000 00 Surplus fund Other undivided profits 150, 000 00 76, 756 28 National bank notes outstanding State bank notes outstanding 221, 000 00 339 00 Dividends unpaid 1,476 00 Individual deposits United States deposits 3,457 66 l|Deposits of U. S. disbursing officers. 31,097 29 i 25,000 00 I Due to other national banks 849 94 I Due to State banks and bankers 8, 000 00 92,789 00 Notes and bills re-discounted. Bill3 payable Total. Total 615, 492 86 1,162 51 1,316,226 65 Keystone National Bank, Philadelphia. No. 2291. ' T H O M A S ALLMAN, President. Loans and discounts • Overdrafts II. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand ' Other stocks, bonds, and mortgages... $254, 727 66 ]13 95 75, 000 00 Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid 2,106 76 7, 696 46 151,603 62 6, 517 56 11,502 53 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total 785 33 43,797 10 30, 966 00 411 83 94, 757 00 ! L J. B. WlSWELL, Cashier. Capital stock paid in 3 0,169 61 5, 237 55 National bank notes outstanding . . . State bank notes outstanding 67, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 339, 552 66 Due to other national banks Due to State banks and bankers . . . 189 65 1,211 33 Notes and bills re-discounted Bills payable 3,375 00 683, 360 80 $200, 000 00 Surplus fund Other undivided profits Total 60, 0 ,0 00 683, 360 80 406 REPORT OF THE COMPTROLLER (Jp THE CURRENCY. PENNSYLVANIA, Manufacturers' National Bank, Philadelphia. JOHN W. MOFFLY, President. No. 557. M. W. WOODWARD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $2,039,396 16 607, 000 00 94, 913 00 200, 262 89 256,105 71 115,269 42 27,811 41 26, 000 00 13,286 37 175, 369 04 62, 270 00 2, 082 00 Capital stock paid in., $1, 000, 000 00 Surplus fund Other undivided profits , National bank notes outstanding State bank notes outstanding Dividends unpaid . 200, 000 00 60,451 14 540, 525 00 2, 647 50 Individual deposits , United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers 215,641 00 i Notes and bills re-discounted. 10,000 00 ij Bills payable 1, 707, 440 88 90,868 30 270, 780 18 27,306 00 j 3, 872, 713 00 3, 872, 713 00 Total. Mechanics' National Bank, Philadelphia. GEO. H. STUART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. 8. certificates of deposit Due from U. S. Treasurer No. 610. , 527, 015 65 Capital stock paid in. "196, ooo 66 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 34, 025 00 133, 521 05 210,720 43 158,839 84 25, 172 13 11,139 97 130,317 72 13, 000 00 1, 873 63 7, 374 00 169, 568 00 15, 000 00 12, 532 50 $800, 000 00 Dividends unpaid . 200, 000 00 53, 099 52 170, 650 00 5, 335 27 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 2, 640, 099 92 Total. JOHN ROMMEL, Jr., Cashier. Total 1,114,544 49 280,199 44 16,271 20 2, 640, 099 92 National Bank of Commerce, Philadelphia. GEO. K. ZlESLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid... Premiums p aid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 547. $488,852 37 489 99 250, (JOO 00 JNO. A. LEWIS, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 56, 645 06 52,506 03 10, 952 23 270,718 95 24,670 00 509 10 4, 920 00 226,874 00 5, 000 00 13, 762 50 1,405,900 23 $250, 000 00 50, 000 00 6, 916 83 165, 830 00 3, 045 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 786, 536 70 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 124,249 54 19, 322 16 Total j 1,405,900 23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 0 7 PENNSYLVANIA. National Bank of Germantown, Philadelphia. CHAS. W. OTTO, Cashier. No. 546. WM. WYNNE WISTER, President. Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $578, 632 17 Capital stock paid in. 625 49 200, 000 00 Surplus fund Other undivided profits , '"""l7,"l 66 "66" 79,438 42 National bank notes outstanding 40, 3G6 53 State bank notes outstanding 11, 115 58 30, 000 00 Dividends unpaid. 11, 787 29 Individual deposits United States deposits .1, 964 66 Deposits of U. S. disbursing officers. 14, 266 00 1, 055 36 1,275 00 128, 636 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $200, 000 00 100, 000 00 31, 628 15 180, 000 00 991 50 573, 504 51 41,138 34 11, 000 00 Total. 1,127,262 50 1,127, 262 50 National Bank of the Northern Liberties, Philadelphia. WILLIAM GUMMERE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 541. $2, 210, 569 21 523 09 500, 000 00 6,"666"66" 78, 470 246,636 213,082 100, 000 9, 942 00 18 02 00 30 75, 710 155, 784 13, 440 2,136 72 80 00 04 $500, 000 00 Capital stock paid in., Surplus fund Other undivided profits National bank notes outstanding . State bank notes outstanding 500, 000 00 173,514 04 435,798 00 2, 640 40 Dividends unpaid . Individual deposits , United States deposits , Deposits of U. S. disbursing officers, 2, 194, 472 92 Due to other national banks Due to State banks and bankers . . 295, 737 00 Notes and bills re-discounted., 25,000 00 Bills payable , 47, 300 00 161, 499 43 13,006 57 3, 980, 931 36 Total. JOHN RAPSON, Cashier. Total. 3, 980, 931 36 National Bank of the Republic, Philadelphia. W. H. RHAWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . Due from other banks and bankers. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid , Checks and other«cash item3 Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes , IT. S. certificates of deposit Due from U. S. Treasurer , Total. No. 1647. $1, 075, 904 54 700," 000 65 187,319 22 178, 086 25 132, 435 73 6, 000 00 22, 629 84 J . P. MUMFORD, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits 460 00 Deposits of U. S. disbursing officers. 139, 035 16 41, 390 00 Due to other national banks 7, 509 92 Due to State banks and bankers 1,440 90 358,254 00 Notes and bills re-discounted. 130, 000 00 Bills payable , 43, 445 08 3, 023, 910 64 Total. $800, 000 00 50,118 50 50,846 66 630, 000 00 80 50 925, 764 63 476, 716 93 90, 383 42 3, 023, 910 64 408 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. National Security Bank, Philadelphia. No. 1743. GEORGE GELBACH, President. GEO. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. W. COX, Cashier. Liabilities. $489,826 39 Capital stock paid in 505 08 200, 000 00' Surplus fund Other undivided profits 500 00 74, 870 97 13,249 91 21,312 00 3,081 82 10, 538, 53 6, 018 60 14,839 90 53, 287 00 140 47 1, 170 00 142,610 00 25, 000 00 12,445 51 $250, 000 00 31,100 00 13, 558 29 National bank notes outstanding 177, 910 00 State bank notes outstanding 647 50 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total 1,069,396 18 594, 747 22 606 19 826 98 1, 069, 396 18 Penn National Bank, Philadelphia. No. GILLIES DALLETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid.... Premiums paid . . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer , 151, 684 65 540. P. LOUGHEAD, Cashier. $500, 000 00 00' Surplus fund Other undivided profits 46, 000 00 National bank notes outstanding 102, 824 01 State bank notes outstanding 74, 181 43 35, 000 00 Dividends unpaid . 14,731 40 Individual deposits 10, 700 00 United States deposits 8,742 76 Deposits of U. S. disbursing officers 40, 618 56 15, 107 00 Due to other national banks .. 9, 930 10 11,830 90 Due to State banks and bankers . 124, 505 00 Notes and bills re-discounted. 5, 000 00 Bills payable 13,950 00 110,000 00 42, 377 43 "250," 665' 1, 9L4, 805 81 T otal GEO. Capital stock paid in. Total 203, 200 00 425 00 1,056,926 65 1,876 73 1,914,805 81 Philadelphia National Bank, Philadelphia. THOMAS ROBINS,President. No. $4, 597, 896 59 Loans and discounts Overdrafts 8o6,"66o"66" U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand 34,000 00 Other stocks, bonds, and mortgages . . 109, 963 40 Due from approved reserve agents... ] 64, 766 37 Due from other banks and bankers... 258, 250 00 Real estate, furniture, and fixtures... 56, 620 57 Current expenses and taxes paid Premiums paid Checks and other cash items ! , 147, 980 51 Exchanges for clearing house | 72, 135 00 Bills of other banks , 2, 238 47 Fractional currency 92, 017 95 Specie.. , 841,413 00 Legal tender notes 875, 000 00 U. S. certificates of deposit , 36, 000 00 Due from U. S. Treasurer , Total. 9,088,281 86 B. F . CHATHAM, Cashier. 539. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. $1,500,000 00 750,000 00 200,715 13 710, 000 00 3: 416 00 Individual deposits , United States deposits , Deposits of U. S. disbursing officers 4, 384, 679 06 Due to other national banks Due to State banks and bankers 1, 360, 387 83 179, 083 84 Notes and bills re-discounted. Bills payable Total . 9, 088, 281 86 REPORT OF THE COMPTROLLER OF THE CURRENCY. 409 Southwark National Bank, Philadelphia. PETER LAMB, Cashier. No. 560. F. P. STEEL, President. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation TJ. S. bonds to secure deposits TJ. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from TJ. S. Treasurer il, 155, 925 35 22, 853 68 27, 500 00 13, 642 68 11,367 38, 093 25,197 5, 692 2, 817 411, 098 30 61 00 70 05 00 ""16," 300" 60" 150, 000 00 68, 026 98 148, 375 00 3, 845 00 819 50 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 2, 085, 481 22 Total . $250, 000 00 Capital stock paid in . ""219"560"oo" Surplus fund Other undivided profits National bank notes outstanding 17, 257 50 State bank notes outstanding 124, 236 35 Total • 1, 458, 499 35 1, 684 94 4,230 45 2,085,481 22 Tradesmen's National Bank, Philadelphia. C. H. ROGERS, President. No. 570. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. JOHN CASTNER, Cashier. $1,218,570 41 Capital stock paid in . $200, 000 00 2o6,"666"66" Surplus fund Other undivided profits 500, 000 00 29,869 03 National bank notes outstanding . . . State bank notes outstanding 170,091 50 3,215 00 " " 2 6 0 " 565" oo 100,000 00 67, 043 80 19,797 06 14,363 74 25, 585 87 20, 266 09 679,305 60 25, 538 00 10, 064 06 23, 392 68 113,258 00 110, 000 00 11, 700 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 2, 838, 885 31 Total 1,822,314 19 99, 597 83 13, 797 76 2,838,885 31 Union National Bank, Philadelphia. DAVID FAUST, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. — U. S. bonds to secure deposits TJ. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from TJ. S. Treasurer Total. No. 563. PETER A. KELLER, Cashier. il, 255,123 86 Capital stock paid in 341 86 100, 000 00 Surplus fund Other undivided profits "i6O*o66*5o" 11,000 00 National banknotes outstanding... 148, 948 16 State bank notes outstanding 95, 298 31 100, 000 00 Dividends unpaid 19, 674 48 Individual deposits United States deposits 34, 262 28 Deposits of TJ. S. disbursing officers. 185, 095 58 28, 035 00 Due to other national banks 154 07 Due to State banks and bankers . . . 20, 696 29 211,912 00 Notes and bills re-discounted 25, 000 00 Bills payable 40, 500 00 t, 436, 041 89 Total.. $500, 000 00 100, 000 00 50,842 62 90, 000 00 827 50 1,127, 658 38 446, 219 80 120,493 59 2, 436, 041 89 410 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Western National Bank, Philadelphia. Jos. PATTERSON, President. No. 656. C. N. WEYGANDT, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved "eserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $1,310,637 95 246"6ob"66" eo'566 ob' 333,171 4 L 444, 001 33 108,274 20 156, 196 70 22, 147 58 26, 327 39 8, 005 46 505, 050 01 23, 752 00 6, 957 13 24, 524 52 293, 783 00 40, 000 00 10, 800 00 Capital stock paid in $400, 000 00 Surplus fund Other undivided profits National bank notes outstanding 200, 000 00 35, 267 89 213,350 00 State bank notes outstanding 397 50 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State bauks and bankers Notes and bills re-discounted Bills payable Total 3, 633, 678 63 1,818,245 11 838, 859 16 127, 559 02 3,633,678 63 Farmers and Mechanics' National Bank, Phoenixville. JOHN KENNEDY, President. No. 1936. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $126, 053 42 "150," 665" 55" 3, 235 43 14, 500 2, 507 20, 000 40 22 00 45 00 997 63 2, 686 00 130 86 109 43 3, 107 00 , J. T. F . HUNTER, Cashier. Capital stock paid in. $150, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. 3, 000 00 5, 600 40 135,000 00 1,343 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 34,748 49 428 54 6, 750 00 ! Total. 330, 120 43 j 330, 120 43 National Bank, Phcenixville. HENRY LOUCKS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 674. $234, 541 07 J. B. MORGAN, Cashier. Capital stock paid in . "200,000 65" Surplus fund Other undivided profits National bank notes outstanding State banknotes outstanding 5, 460 70 Dividends unpaid . 23, 294 71 1,431 30 8, 775 0 J Individual deposits * United States deposits 958 94 Deposits of U. S. disbursing officers. 7, 000 00 Due to other national banks 206 96 Due to State banks and bankers 521 81 34,122 00 Notes and bills re-discounted. Bills payable 9, 000 00 575, 312 49 Total. $200,000 00 49,147 04 5, 038 21 180, 000 00 448 00 1, 465 50 128, 120 94 10, 702 30 390 50 575,312 49 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 411 FENIVSYLVAXIA. First National Bank, Pittsburgh. No. 48. JAMES LAUGHLIN, President. J. D. SCULLY, Cashier. Resources. Liabilities. $1,736,108 49 Capital stock paid in. Loans and discounts Overdrafts U. S. bonds to secure circulation j 1U0, 000 00 j Surplus fund U. S. bonds to secure deposits.... j ; Other undivided profits U. S. bonds on hand 45,910 63 ; National bank notes outstanding ; Other stocks, bonds, and mortgage; 173,369 67; State bank notes outstanding Due from approved reserve agents. ..| 86, 990 06 Due from other banks and bankers ..j 137, 000 00 Dividends unpaid. Real estate, furniture, and fixtures..-| Current expenses and taxes paid I. Individual deposits Premiums paid !. United States deposits 7,878 61 Checks and other cash items j Deposits of U. S. disbursing officers 63,204 20 Exchanges for clearing house j 25, 592 00 Due to other national banks Bills of other banks 1, 700 65 Due to State banks and bankers Fractional currency j Specie j. 220, 000 00 Notes and bills re-discounted. Legal tender notes j Bills payable U. S. certificates of deposit j. 32, 000 00 Due fromU. 8. Treasurer I Total $750,000 00 114,530 01 90, 000 00 20,939 00 j 1, 370, 853 76 , .; j Total 2,631,754 31 130, 902 90 154, 528 64 2,631,754 31 Second National Bank, Pittsburgh. JAS. H. WlLLOCK, Cashier. No. 252. GEO. S. HEAD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit D ae from U. S. Treasurer $476, 149 61 Capital stock paid in . . . . ! $300,000 00 509 02 100, 000 U0 Surplus fund 60,000 00 33,331 72 Other undivided profits " 125*660" bo" National bank notes outstanding 90, 000 00 State bank notes outstanding 21,314 08 24, 849 95 29, 807 25 8, 055 29 10, 215 84 6,482 71 3, 188 Ol) 811 84 4, 500 00 25, 000 03 '"" 4,'500 bb' Dividends unpaid . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 840, 983 59 Total. 868 00 Individual deposits United States deposits | Deposits of U. S. disbursing officers..i 251, 581 59 42, 226 83 62, 975 45 840, 983 59 Total. Third National Bank, Pittsburgh. W. E. SCHMERTZ, President. Loans and discounts Overdrafts U. S. bouds to secure circulation. . . . U. S. bonds t> secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae from U. S. Treasurer -23 WM, STEINMEYER, Cashier. $836, 461 05 Capital stock paid in 118 62 404. 500 00 Surplus fund Other undivided profits 145,150 28 122, 487 56 50, 608 77 13, 626 25 21, 631 82 43, 204 25 10, 635 00 5, 733 33 152, 630 00 $500, 000 00 I Nafional bank notes outstanding State bank notes outstanding 100, 000 00 82, 348 36 364, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 680,399 47 j 80,952 52 73, 786 58 "24," 650 00 ,881,436 93 Total. H. Ex. 3- No. 291. Total 1, 881, 486 93 412 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Fourth National Bank, Pittsburgh. No. 432. T H O S . DONNELLY, President. S. D. HERRON, Jr., Cashier. Resources. Liabilities. Capital stock paid in. $266,611 19 2,513 14 306, 0 0 00 Surplus fund < Other undivided profits 150,000 00 National bank notes outstanding... State bank notes outstanding 9S, 134 61 49 50 Dividends unpaid . Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents . . Due from other banks and bankers . . Real estate, furniture, and fixtures Current expenses aud taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $300, 000 00 27,069 84 11,539 65 266, 800 00 2,181 00 5, 9 14 44 Individual deposits United States deposits 2, 119 50 Deposits of U. S. disbursing officers. 318,218 82 1, 321 00 Due to other national banks 815 04 Due to State banks and bankers . . . 643 74 600 37 60, 075 C O Notes and bills re-discounted. Bills pa};able 13, 5 (» 00 U. Total Total. 927, 053 42 927, 053 42 Fifth National Bank, Pittsburgh. ROBERT A R T H U R S , President. L. HALSEY WILLIAMS, Cashier. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures. . . Current expenses and taxes paid Premiums paid Checks and other cash items ' Exchanges for clearing house Bills of other banks .. Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . Total > 176, 115 98 Capital stock paid in ' o>4 00 100, 000 00 Surplus fund Other undivided profits 9i.! 17, 097 26, 944 3, 470 3, 780 00 26 34 00 28 1, 035 32 j | j National bank notes outstanding..., State bank notes outstanding 1 $100, 000 00 10, 000 00 4, 676 07 89,000 00 Dividends unpaid Individual deposits United States deposits ,. Deposits of U. S. disbursing officers ,.: 00 Due to other national banks 09 Due to State banks and bankers 20 00 Notes and bills re-discounted Bills payable 4, 500 00 ! I 405 105 2, 759 14, 646 i 21, 762 50 45,513 8! | Total. 351,702 47 80, 750 09 351,702 47 First National Bank of Birmingham, Pittsburgh. J A M E S F A W C E T T , President. Loans and discounts ! ; Overdrafts U. S. bonds to secure circulation • U. S. bonds to secure deposits j U. S. bonds on hand • Other stocks, bonds, and mortgages.. j Due from approved reserve agents... | Due from other banks and bankers . . i Real estate, furniture, and fixtures... | Current expenses and taxes paid > Premiums paid Checks and other cash items i Exchanges for clearing house i Bills of other banks '•• Fractional currency ' Specie Legal tender notes , U. S. certificates of deposit Due from U. S. Treasurer Total JOHN1 P. BEECH, Cashier. No. 926. ' $318, 692 79 1,285 53 100, 000 00 102, 374 89 33, 057 93 2,430 19 Capital stock paid in Surplus fund Other undivided profits $100, 000 00 , National bank notes outstanding . . . State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. j 62, 023 60 6, 427 47 90, 000 00 282 00 317, 722 56 783 50 554 00 Due to other national banks 276 80 Due to State banks and bankers. 12, 500 00 Notes and bills re-discounted . Bills payable 4, 500 00 576,455 63 Total . 576, 455 63 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 1 3 PENKSYLVINIA. Allegheny National Bank, Pittsburgh. J A C O B W. COOK, No. 722. President. W. MCCANDLESS, Cashier. Liabilities. Resources. $500, 000 00 $1,027,746 28 Capital stock paid in 12,330 00 200,000 00 | Surplus fund ' Other undivided profits Loans and discounts Overdrafts . U. 8. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 160, 000 00 11,619 88 ioo."666"66" 50,624 G8 National bank notes outstanding 73.851 31 ! State bank notes outstanding 48, 7y6 40 93.2i7 02 : Dividends unpaid 1U, 479 51 16, 062 50 ! Individual deposits ;| United States deposits 4, 045 46 Deposits of U. S. disbursing officers . 49, 600 84 16,066 00 Due to other national banks 2,607 05 Due to State banks and bankers . - . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency < Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 175,400 00 4,396 00 5,094 50 964, 903 80 20,334 43 5,678 44 133,000 00 ;; Notes and bills re-discounted !j Bills payable 9.000 00 ! Total | 1,847,427 05 |l Total 1,847,427 05 Citizens' National Bank, Pittsburgh. G-EO. A. BERRY, No. 619. President. R. K. WILSON, Cashier. Loans and discounts | $1, 069, 756 65 Capital stock paid in. Overdrafts 7, 696 37 U. S. bonds to secure circulation j 514, 000 00 ! Surplus fund , U. S. bonds to secure deposits ! :| Other undivided profits U. S. bonds on hand ! 2,250 00 Other stocks, bonds, and mortgages..! 17, 297 50 1 National bank notes outstanding . . . 1 1 , Due from approved reserve agents...; 83, 231 93 1 State bank notes outstanding ] Due from other banks and bankers... 38, 599 84 Dividends unpaid . Real estate, furniture, and fixtures... I 33, 611 61 Current expenses and taxes paid 16, 757 49 1 Premiums paid i , 1 Individual deposits j; United States deposits Checks and other cash items | 14, 828 22 1 Deposits of U. S. disbursing officers 1 Exchanges for clearing house I 47, 066 42 Bills of other banks i 100, 250 00 Due to other national banks Fractional currency j 3, 257 68 | Due to State banks and bankers . . . Specie | 5, 000 00 Legal tender notes I 348, 000 00 Notes and bills re-discounted U. S. certificates of deposit. ! Bills payable Due from U. S. Treasurer ] 26, 930 00 Total ; 2, 329, 433 71 $800,000 00 166,466 78 41,523 53 462, 600 00 3,090 75 778, 747 52 76,757 16 247 97 Total. 2,329,433 71 City National Bank, Pittsburgh. D. IH3ISEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. J. W. TAYLOR, Cashier. $214,224 20 1,382 09 50, 000 00 5,531 00 16, 566 44 13, 979 58 69, 806 00 6, 976 62 6,875 00 648 19 3, 033 32 484 00 82 21 120 85 28,161 00 2, 250 00 420,120 50 Capital stock paid in i Surplus fund Other undivided profits National bank notes outstanding ! $200, 000 00 i ! 4, 282 56 11, 647 07 45, 000 00 State bank notes outstanding I Dividends unpaid ! 368 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers ! | j 157,918 89 J Notes and bills re-discounted Bills payable i ! , 903 98 i Total ! 420,120 50 414 REPORT OF THE COMPTROLLER OF THE CURRENCY. PEXXSYLVANIA. Diamond National Bank, Pittsburgh. ABRAHAM GARRISON, President. No. 2236. JOHN S. SCULLY, Cashier. Resources. Liabilities. Loans and discounts $338,396 55 Capital stock paid in $200, 000 00 ! Overdrafts U. S. bonds to secure circulation ; 50, 000 00 Surplus fund 4, 755 78 U. S. bonds to secure deposits ' 14,578 77 j Other undivided profits U. S. bonds on hand Other stocks, bonds, and mortgages.. National bank notes outstanding j 45 000 00 i. Due from approved reserve agents . . . j 54, 666 90 State bank notes outstanding Due from other banks and bankers... | 17, 629 76 Dividends unpaid . 608 00 Real estate, furniture, and fixtures... i 92, 490 05 Current expenses and taxes paid < 6, 0U6 97 Individual deposits 390, 553 46 Premiums paid United States deposits . Checks and other cash items j 9, 446 78 Deposits of U. S. disbursing officers Exchanges for clearing house Bills of other banks | 10, 608 00 Due to other national banks Fractional currency 1, 001 00 Due to State banks and bankers. Specie Legal tender notes ! 73, 000 00 I Notes and bills re-discounted U. S. certificates of deposit j Bills payable j Due from U. S. Treasurer 2, 250 00 Total i 655,496 01 Total. 655, 496 0L Duquesne National Bank, Pittsburgh. W. G-. JOHNSTON, President. No. 2278. Loans and discounts Overdrafts \ U. S. bonds to secure circulation | U. S. bonds to secure deposits , TJ. S. bonds on hand ; Other stocks, bonds, and mortgages.. j Due from approved reserve agents... | Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer I Total ! - A. H. PATTERSON, Cashier. $222, 211 73 Capital stock paid in. 910 92 50, 000 00 Surplus fund Other undivided profits! National bank notes outstanding 3, 680 48 State bank notes outstanding 1, 972 88 30, 000 00 Dividend^ unpaid . 2, 144 34 Individual deposits 10, 375 00 United States deposits 640 51 Deposits of U. S. disbursing officers. 8, 572 36 2, 300 00 Due to other national banks Due to State banks and bankers . 200 00 23, 500 00 Notes and bills re-discounted j Bills payable \ 2, 250 00 358, 758 22 5160, 000 00 4,093 62 5, 923 07 44, 500 00 104 00 144,137 53 353, 758 22 Total. Exchange National Bank, Pittsburgh. J. H. SHOENBERGER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1057. 3,774 G6 320, 500 00 242,075 25 318, 987 32 121, 980 43 130, 000 00 20,141 12 61,075 80 8,031 49 30,180 60 26, 465 00 2,981 58 6, 547 50 255, 553 00 100, 000 00 44,590 00 4, 055, 083 75 ANDREW LONG, Cas, $1,700,000 00 Capital stock paid in. „... 340, 000 00 127,117 29 National bank notes outstanding... State bank notes outstanding 599,064 00 1, 702 00 Surplus fund Other undivided profits Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and b'ankers . . . Notes and bills re-discounted. Billy payable Total. 3,494 00 1,133, 154 41 89, 965 51 60, 586 54 4, 055, 083 75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 415 PENNSYLVANIA. Farmers' Deposit National Bank, Pittsburgh. WM. WALKER, President. No.v685. SAML. GEORGE, Jr., Cashier. Resources. Loans and discounts 0 verdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other bunks Fractional currency Specie Legal tender notes U. S. certificates of denosit Due from U. S. Treasurer Total Liabilities. $1,366,296 00 I! Capital stock paid in $300, 000 00 lOO.OOO 00 ',: Surplus fund Other undivided profits 112 48" 86 400, 000 00 30, 457 95 National bank notes outstanding State bank notes outstanding 90, 000 00 12, 000 00 ^ ' ^ 33 ' Dividends unpaid....9,653 26 | I n d i v i d l i a l d e p o s i t s . . _ !. United States deposits 15, 376 93 Deposits of U. S. disbursing officers 57,793 50 j: 45, 887 00 i Due to other national banks 75 44 ! Due to State banks and bankers 6,978 81 !j 175, 000 00 ! Notes and bills re-discounted Bills payable 4,500 00 2,025,085 44 1,117,760 84 19, 825 24 55,041 41 Total 2, 025, 085 44 German National Bank, Pittsburgh. A. GROETZINGER, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie. Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer . No. 757. JOSEPH LAURENT, Cashier. $824,630 69 ! Capital stock paid in 2,0e0 6L ' 250, 000 00 Surplus fund 3, 000 00 | Other undivided profits 30, 505 00 1 National bank notes outstanding 136,443 22 | State bank notes outstanding 131. 900 90 Dividends unpaid „ 59, 614 83 24, 374 34 510 00 Individual deposits United States deposits 1,040 28 Deposits of U. S. disbursing officers. 18,491 73 6,235 00 Due to other national banks 429 63 3, 735 27 Due to State banks and bankers 130,490 00 Notes and bills re-discounted. Bills payable Total Total $250, 000 00 | I ! 156,000 00 38, 169 86 225, 000 00 672, 205 07 ! ! 96, 442 09 201, 712 13 i 1,639,529 15 Iron City National Bank, Pittsburgh. RICHARD HAYS, President. No. 675. GEO. R. DUNCAN, Cashier. Loans and discounts $1,017,348 33 | Capital stock paid in Overdrafts i U. S. bonds to secure circulation | 400, 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits U. S. bonds on hand Other stocks, bonds, and mortgages..! 13, 366 67 National bank notes outstanding Due from approved reserve agents... 120, 424 79 i State bank notes outstanding Due from other banks and bankers -. 152,863 15 Dividends unpaid . Real estate, furniture, and fixtures... 20, 000 00 Current expenses and taxes paid | 12, 671 70 j Individual deposits Premiums paid j United States deposits Checks and other cash items 6,573 42 | Deposits of U. S. disbursing officers. Exchanges for clearing house 14,511 04 Bills of other banks 51, 450 00 Due to other national banks Fractional currency 737 00 Due to State banks and bankers Specie 28, 467 50 Legal tender notes 200, 500 00 i Notes and bills re-discounted . U. S. certificates of deposit Bills payable Due from U. S. Treasurer 32, 700 00 j Total. 2,071,613 60 || Total I $400, 000 00 300, 000 00 58,328 19 285, 300 00 558 00 773, 010 97 191,183 79 63, 232 65 2,071,613 60 416 REPORT OF THE COMPTROLLER OF THE CURRENCY. PEA^SYLVAlVIi. Marine National Bank, Pittsburgh. No. 2237. W. H. EVERSON, President. W. C. MACRUM, Cashier, Resources. Liabilities. Loans and discounts ' $268, 013 57 Capital stock paid in ! $200, 000 00 Overdrafts \ 5,621 84 U. S. bonds to secure circulation \ 50, 000 00 Surplus fund j 2,540 20 U. S. bonds to secure deposits Other undivided profits , - -. 7, 007 37 U. S. bonds on hand Other stocks, bonds, and mortgages..'•• National bank notes outstanding j 45, 000 00 Due from approved reserve agents... 14, 607 96 State bank notes outstanding i Due from other banks and bankers .. 18, 808 00 Real estate, furniture, and fixtures... 4, 524 56 Dividends unpaid j 1, 264 00 Current expenses and taxes paid ; 3, 2*8 95 Premiums paid 6, 812 50 Individual deposits ; 147,237 63 Checks and other cash items 3, 566 95 United States deposits j Exchanges for clearing house Bills of other banks , 1,610 00 Deposits of U. S. disbursing officers..:... j 39 64 Fractional currency 159 51 Due to other national banks Specie 1,300 00 Due to State banks and bankers • Legal tender notes 22, 525 00 Notes and bills re-discounted U. S. certificates of deposit ; Due from U. S. Treasurer 2, 250 00 Bills payable Total ' 403,088 84 Total. 403,088 84 Mechanics' National Bank, Pittsburgh. WM. No. 700. B. HOLMES, President. Loans and discounts j $626, 677 10 Overdrafts i U. S. bonds to secure circulation j 500, 000 00 U. S. bonds to secure deposits j , U. S. bonds on hand ' , Other stocks, bonds, and mortgages..; Due from approved reserve agents... 121, 473 42 Due from other banks and bankers... i 137, 118 90 Heal estate, furniture, and fixtures...!.... Current expenses and taxes paid \ 9, 054 16 Premiums paid , ! Checks and other cash items 305 55 Exchanges for clearing house i 8, 441 25 Bills of other banks j 12, 615 00 Fractional currency : 1. 562 28 Specie j 2, 000 00 % Legal tender notes i 129. 892 00 U. S. certificates of deposit • Due from U. S. Treasurer • 22, 387 50 Total j WAI. R. THOMPSON, Cashier. Capital stock paid in . $500,000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 300,000 00 71, 328 78 443, 126 00 Dividends unpaid 7,599 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 247,717 85 276 11 4, 479 42 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 1,574,527 16 Total 1,574,527 16 Merchants and Manufacturers' National Bank, Pittsburgh. No. 613. W I L L I A M REA, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agent3.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks. Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total W. A. S H A W , Cashier. $1, 134, 833 14 Capital stock paid in 995 87 400, 000 00 Surplus fund Other undivided profits IG6,"6OO 6O" 49,133 74. 332 171,536 15, 015 10,000 42 76 19 88 00 58, 274 12, 863 1,807 3, 075 190, 400 National bank notes outstanding State bank notes outstanding 71 00 11 00 00 !i Dividends unpaid \ $800,000 CO \ j 280, 000 00 16, 909 62 | j 360, 000 00 j 3, 717 00 ' Individual deposits j 809. 528 43 '•] United States deposits j 4,303 22 : Deposits of U. S. disbursing officers.. j ; Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable " 3i,"ooo 66"i 2, 317, 570 30 Total. i 27, 247 77 20, 167 48 2,317,570 30 REPORT OF THE COMPTROLLER OF THE CURRENCY. 417 PENNSFLYINIA. Metropolitan National Bank, Pittsburgh. No. 2279. C. A. DRAVO, President. W. H. SMITH, Cashier. Resources. Loans and discounts Overdrafts. ; U. S. bonds to 3ecure circulation ! U. S. bonds to secure deposits i U. S. bonds on hand ! Other stocks, bonds, and mortgages..'. Due from approved reserve agent3... Due from other banks and bankers .-• Real estate, furniture, and fixtures .. :; Current expenses and taxes paid . Premiums paid ' Checks and other cash items : Exchanges for clearing house ' Bills of other banks Fractional currency Specie Legal tender notes i U. S. certificates of deposit i Due iVom U. S. Treasurer j Total Liabilities. $200,000 00 $214, 559 65 Capital stock paid in. 400 04 75, 000 00 Surplus fund Other undivided profits National bank notes outstanding 18, 345 92 State bank notes outstanding 13, 757 29 13,705 00 Dividends unpaid . 2, 9.10 23 12,893 75 Individual deposits United States deposits 1, 343 56 Deposits of U. S. disbursing officers. 8,216 13 5,895 15 67, 500 00 1, 653 00' 89, 046 5fr 1, 376 00 Due to other national banks 204 40 Due to State banks and bankers . 2, 450 00 12, 000 00 Notes and bills re-discounted Bills payable 3, 375 00 372,310 84 372,310 84 Total. People's National Bank, Pittsburgh. !1, 228, 412 04 Loans and discounts 17,344 63 Overdrafts 900, 000 00 U. S. bonds to secure circulation j U. S. bonds to secure deposits | U. S. bonds on hand j Other stocks, bonds, and mortgages..} 66,367 62 Due from approved reserve agents. . . | 53,564 57 Due from other banks and bankers --j Real estate, furniture, and fixtures...\ 93,304 37 13, 764 27 C urrent expenses and taxes paid ] Premiums paid ! 13,783 91 Checks and other cash items | 26, 769 85 Exchanges for clearing house j 25,971 00 Bills of other banks j 346 15 Fractional currency j Specie Legal tender notes 107, 570 00 U. S. certificates of deposit Due from U. S. Treasurer t 50," 953*05" $1, 000, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding . ! j 155,000 00 31, 115 23 800, 000 00 1, 602 00 Dividends unpaid . Individual deposits \ tinted States deposits ; Dt_ p >sits of U. S. disbursing officers - j Dae to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 2, 598, 151 46 Total. F. M. GORDON, Cashier. No. 727. BARCLAY PRESTON, President. j j i ; Total 537,192 83 2, 482 41 20. 758 99 ! 2, 598, 151 46 Pittsburgh National Bank of Commerce, Pittsburgh. No. 663. ALFRED PATTERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Jos. H. HILL, Cashier. $940, 864 87 Capital stock paid in . 907 63 ! 500, 000 00 ' Surplus fund Other undivided profits 37, 920 00 National bank notes outstanding 189, 037 98 State bank notes outstanding 14, 523 57 78, 338 86 \Dividends unpaid . 5, 498 32 jIndividual deposits 174 22 I United States deposits j 1, 423 48 Deposits of U. S. disbursing officers..! 26, 900 11,595 180 4,830 81, 500 SB '• 00 Due to other national banks 53 i Due to State banks and bankers 75 I 00 Notes and bills re-discounted 22^500 66"j 1, 916,196 09 j Bills payable Total | \ $500,000 03 133, 000 00 35,155 07 445,500 00 730 00 589,416 71 99,286 39 113,107 92 ; | | 1,916,196 09 418 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Smithfield National Bank, Pittsburgh. No. 2281. E- P . JONES, President. W. W. SCOTT, Cashier. Resources. Liabilities. Loans and discounts , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $232, 617 33 937 58 50, 0U0 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks , Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer 45, 603 57 18,777 14 34,186 98 5. 760 58 28,913 67 Capital stock paid in. $200, 000 00 Surplus fund Other undivided profits 12, 000 00 6,264 77 National bank notes outstanding State bank notes outstanding 45, 000 00 105, 000 00 2. 807 f 928 \ 1,533 244 507 46, 630 01 63 00 58 50 00 487 50 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 301,612 17 Due to other national banks Due to State banks and bankers Tradesmen's National Bank, Pittsburgh. A L E X . B R A D L E Y , President. No. 678. $038, 700 28 814 89 250. 000 00 150, 000 00 Loans and discounts Overdrafts . , U. S. bonds to secure circulation , U. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages. CYRUS C L A R K F , Capital stock paid in . $400, 000 00 Surplus fund Other undivided profits . 100, O 0 00 f 10, 222 34 35, 200 00 j National bank notes outstanding State bank no tes outstanding 129.240 76 13, 014 35 Dividends un paid. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S peeie ". Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 11,000 00 11.540 48 23,793 34 13, 652 00 1, 700 76 6, 541 92 324, 500 00 Jr., Cashier. 225, O O 00 C 280 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 459, 436 77 131,319 57 125, 645 88 Due to othpr national banks Due to State banks and bankers 259, 712 55 219,336 67 Notes and bills re-discounted. Bills payable 11, 250 00 Total. 1, 930, 953 78 Total. 1, 930, 953 73 Union National Bank, Pittsburgh. No. 705. J. R. McCUNE, President Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages ' ; Total Capital stock paid in $250, 000 00 Surplus fund Other undivided profits 200, 0P0 00 25,665 09 National bank notes outstanding State bank notes outstanding 215,200 00 \ Due from approved reserve agents...! Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U . S . Treasurer $823,141 86 905 84 243, 000 00 R. S. SMITH, Cashier. : j \ | j s i 103, 310 44 24, 078 02 54, 259 18 6,033 76 109 17 14,414 62 54, 041 59 7, 000 00 594 94 9,107 19 99,100 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 1,255 00 653, 821 09 24, 416 75 84, 673 68 Notes and bills re-discounted. Bills payable 10, 935 00 1,455,031 61 Total. 1,455, 03 L 61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 419 PENNSYLVANIA. First National Bank, Pittston. WM. L. WATSON, Act'g Cashier. No. 478 T H E O . STRONG, President. Liabilities. Resources. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits ! U. S. bonds on hand .j Other stocks, bonds, and moi tgages.. j Due from approved reserve agents...' Due from other banks and bankers . . I Real estate, furniture, and fixtures... j Current expenses and taxes paid | Premiums paid , Checks and other cash items , Exchanges for clearing house , Bills of other banks Fractional currency , Specie , , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer , Total I $500, 000 00 $733, 510 63 i Capital stock paid in. 2,374 78 500, 000 00 I j Surplus fund I 1 Other undivided profits ... -! I National bank notes outstanding 47, 116 60 ! State bank notes outstanding 9, 428 23 1 Dividends unpaid . 1 42, 082 92 2,046 51 | j Individual deposits 85, 000 0C 27, 989 45 445,100 00 702 00 306, 295 13 ' | j United States deposits 486 33 !| Deposits of U. S. disbursing officers.. il 17, 200 00 ;Due to other national banks 335 00 Due to State banks and bankers 13,153 48 21,231 94 22,391 00 jj Notes and bills re-discounted. || Bills payable , 1,399,472 00 |! Total. 1, 399, 472 00 First National Bank, Plymouth. No. 707. J O H N B. SMITH, President. $171,305 67 4, 732 02 100, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. . . . Premiums paid 19,100 1,945 1, 692 9, 500 2, 173 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 3, 483 J. W . CHEMBERLIN, Cashier. Capital stock paid in $100, 000 00 Surplus fund j |j Other undivided profits .|| 00 1 National bank notes outstanding 1 | ! 66 'j State bank notes outstanding 09 Dividends unpaid . 00 61 i Individual deposits ! United States deposits 02 | Deposits of U. S. disbursing officers. 1, 730 00 634 32 Due to other national banks Due to State banks and bankers j j 6, 860 00 Notes and bills re-discounted Bills payable 90, 000 00 100 00 97, 098 33 1,700 13 1, i82 66 j ""*4"506*60' Total. 30, 000 00 7, 575 27 327, 656 39 327, 656 39 Total. National Bank, Pottstown. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total W M . I. RUTTER, Cashier. No. 608. DANIEL P R I C E , President. Capital stock paid in. $440,949 89 387 79 306, 000 00 : Surplus fund Other undivided profits " "32"656"00*j 34, 500 00 j 3,155 12, 815 13, 000 1,803 105 31 65 00 94 63 2, 865 08 National bank notes outstanding I State bank notes outstanding i Dividends unpaid . I Individual deposits [ United States deposits I Deposits of U. S. disbursing officers . 9, 206 00 j Due to other national banks 1,933 10 I Due to State banks and bankers 338 00 33, 000 00 j $300, 000 00 160, 000 00 16, 092 46 268, 605 00 579 00 4,848 80 147, 856 42 7, 627 79 92 Notes and bills re-discounted. Bills payable 13.500 00 i 905, 610 39 Total. 905,610 39 420 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Government National Bank, Pottsville. W. F . HUNTZINGER, President. No. 115-2. H. H. HUNTZINGED, Cashier. Resources. Liabilities. Loans and discounts t'4i0, 952 T O Capital stock paid in i Overdrafts ! U. S. bonds to secure circulation 5r<0, 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits U. S. bonds on hand 1,150 00 Other stocks, bonds, and mortgages.. 43, 000 00 National bank notes outstanding Due from approved reserve agents... 286 55 State bank notes outstanding Due from other banks and bankers... 24, 203 34 Real estate, furniture, and fixtures... 9, 700 00 Dividends unpaid Current expenses and taxes paid 10, 441 85 Premiums paid.40,000 00 Individual deposits i Checks and other cash items 234 83 United States deposits Exchanges for clearing house , Deposits of U. S. disbursing officers.. Bills of other banks 5, 575 00 Due to other national banks • Fractional currency 9 80 Due to State banks and bankers Specie 80 00 ! Legal tender notes 4, » 0 00 Notes and bills re-discounted _0 U. S. certificates of deposit Bills payable Due from U. S. Treasurer le, 800 00 Total 1, 078, 434 07 Total $500, 000 00 52, 000 00 11,700 00 450, 000 00 1,572 G O 58, 605 28 3, 897 29 659 50 ' 1, 078, 434 07 Miners' National Bank, Pottsville. JOHN SHIPPEN, President. No. 649. Loans and discounts > 498, 126 37 Overdrafts 277 80 U. S. bonds to secure circulation , • 400, 000 00 U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..; 04,285 65 Due from approved reserve agents... 51.371 43 Due from other banks and bankers... 40, 779 33 Heal estate, furniture, and fixtures... 32, 633 76 Current expenses and taxes paid 9, 391 05 Premiums paid Checks and other cash items 2, 00i 00 Exchanges for clearing house Bills of other banks :'4, 785 00 ; Fractional currencv 3, 006 94 Specie " , 1,621 e O Legal tender notes I 72,454 00 U. S. certificates of deposit Due from U. S. Treasurer 18, 000 00 ; $500, 000 00 Surplus fund Other undivided profits j j 110,000 00 31,650 62 National bank notes outstanding State bauk notes outstanding ! : 339, 100 00 13, 933 00 Dividends unpaid | Individual deposits ! United States deposits ! Deposits of U. S. disbursing officers..! 1, 735 00 266, 698 86 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,278,734 13 Total W M . L. W H I T N E Y , Cashier. Capital stock paid in Total. 1, 278, 734 13 Pennsylvania National Bank, Pottsville. Loans and discounts , \ Overdrafts j U. S. bonds to secure circulation { U. S. bonds to secure deposits ! U. S. bonds on hand j Other stocks, bonds, and mortgages..' Due from approved reserve agents... j Due from other banks and bankers... i Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total DANL. L. KREBS, Cashier. No. 1663. R. F. LEE, President. ; : ; ! ; I $168,035 31 1,319 33 200, 000 00 50, 000 00 1, 000 00 100 00 2 3, 176 82 17, 472 70 43.430 58 4, 235 4 2 7, 694 50 3, 689 60 Capital stock paid in . Surplus fund Other undivided profits. National bank notes outstanding.. .. State bank notes outstanding 8,557 49 5, 876 53 179, 979 C O Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers 00 Due to other national banks 98 Due to State banks and bankers . . . ^6 00 Notes and bills re-discounted Bills payable 9, 904 3 L 5, 825 106 4 10, 678 546,873 41 $200, 000 00 Total. 130,896 (4 21, 402 97 111 49 49 79 546, 873 4-1 REPORT OF THE COMPTROLLER OF THE CURRENCY. 421 First National Bank, Reading. L. B. SMITH, President. A. F. BOAS, Cashier. Resources. Liabilities. Loans and discounts I Overdrafts | U. S. bonds to secure circulation j U. S. bonds to secure deposits I U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. j Real estate, furniture, and fixtures. -. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total.. $60, 1, 100, 50, 626 571 000 000 29 24 00 00 Capital stock paid in ! Surplus fund Other undivided profits. National bank notes outstanding . . . 13,327 82 State bank notes outstanding 32,311 85 Dividends unpaid 2,073 17 Individual deposits | United States deposits i 17,428 89 Deposits of U. S. disbursing officers .. i 7. 606 00 Due to other national banks 753 16 3<iO 00 ! Due to State banks and bankers 15,040 00 I Notes and bills re-discounted. Bills payable 5, 000 00 i 326, 128 42 I Total i : j $100, 000 00 12, 397 63 12, 273 37 220 00 73. 270 59 29,339 84 1, 907 00 1, 565 89 9, 079 10 326, 128 42 Farmers' National Bank, Reading. H. H. MUHLENBERG, Cashier. No. 696. HENRY S. ECKERT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $706,581 86 Capital stock paid in I $400, 020 00 5, 802 96 ; 100, 000 00 400, 000 00 ! Surplus fund 41,547 75 Other undivided profits j 360,000 00 3, 810 46 National bank notes outstanding 12, 903 47 State bank notes outstanding 15, 542 51 2, 056 20 61,974 47 Dividends unpaid. 2, 518 86 Individual deposits 367,318 06 United States deposits Deposits of U. S. disbursing officers. 17, 812 ! 13, 685 00 Due to other national banks 728 98 1, 300 00 Due to State banks and bankers . 27, 500 00 : Notes and bills re-discounted . Bills payable 22, 000 00 Total 1, 292, 161 53 21,219 52 I 1,292, 161 53 National Union Bank, Reading. HORATIO TREXLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit . Due from U. S. Treasurer . . Total. No. 693. C. B. MCKNTGHT, Cashier. $397, 920 01 ! Capital stock paid in . 1,089 43 j 150, 000 00 ! Surplusfund Other undivided profits I j | National bank notes outstanding | j 3, 407 19 State bank notes outstanding 18,967 20 Dividends unpaid. 15, 000 00 1, 965 89 i Individual deposits 1 '; United States deposits 9, 302 73 !| Deposits of U. S. disbursing officers. | Due to other national banks | Due to State banks and bankers | Notes and bills re-discounted. Bills payable Total. $200,000 00 ! 45,765 82 24, 914 95 131,100 00 1, 080 50 239,533 67 18, 577 20 83 31 661,055 45 422 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. National Bank, Schwenksville. JOHN G. PRTZER, Cashier. J. G. SCHWENK, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to .secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes ' U. S. certificates of deposit Due from U. S. Treasurer $111,297 33 ; 250,553 51 Total 100, 000 00 Capital stock paid in I $ 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding | | 3, 989 13 1, 264 35 2. 213 21 | Dividends unpaid . IS. 923 01 J Individual deposits j United States deposits 200 00 Deposits of U. S. disbursing officers . 3,700 00 Due to other national banks ] 86 46 Due to State banks and bankers . 200 00 4, 000 00 Notes and bills re-discounted ! Bills payable 4, 560 00 Total. 1,800 00 6, 539 00 89, 980 00 485 00 50, 320 77 1, 428 77 250, 553 54 First National Bank, Scranton. No. 77. J. J. ALBRIGHT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $874, 600 58 2, 759 34 50, 000 00 J. A. LIKENT, Cashier. Capital stock paid in . '0, 000 00 Surplus fund Other undivided profits 57, 500 00 National bank notes outstanding 94, 052 18 State bank notes outstanding 32, 807 59 25, 000 00 Dividends unpaid . 8, 257 20 Individual deposits , United States deposits 6, 595 11 Deposits of U. S. disbursing officers. ., 1, 894 00 Due to other national banks 1,267 63 Due to State banks and bankers 39, 253 00 Notes and bills re-discounted. Bills payable. . .• 3, 250 00 Total 1, L97, 236 63 Total 245, 000 00 71, 075 18 45, 000 00 80 00 552, 760 82 79, 022 22 4,298 41 1,197,236 63 Second National Bank, Scranton. W. W. WIN TON, President. S. B. MOTT, Cashier. Loans and discounts Overdrafts.. U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on ljand Other stocks, bonds, and mortgages... Due from approved reserve agents..-.' Due from other banks and bankers ..'• Real estate, furniture, and fixtures \ Current expenses and taxes paid Premiums paid ! Checks and other cash items I Exchanges for clearing house Bills of other banks ; Fractional currency Specie ] Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total \ $156, 310 89 Capital stock paid in . 5,141 43 223, 050 00 Surplus fund Other undivided profits 57, 736 38 National bank notes outstanding 21, 280 05 State bank notes outstanding 20, 013 44 , 115. 950 75 Dividends unpaid 4, 757 24 Individual deposits j United States deposits | 9, 825 66 Deposits of U. S. disbursing officers.. 1, 759 00 Due to other national banks 186 65 Due to State banks and bankers 222 00 10, 400 00 Notes and bills re-discounted Bills payable 7, 200 00 933, 833 49 Total . $300, 000 00 100, 000 00 13,641 95 199, 970 00 130 00 277, 780 23 6, 842 49 12, 768 82 22, 700 00 933, 833 49 REPORT OF THE COMPTROLLER OF THE CURRENCY. 423 Third National Bank, Scranton. ALFRED No. 1946. HAND, President. N. H. SHAFER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures. , . | Current expenses and taxes paid [ Premiums paid , j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie j Legal tender notes j U. S. certificates of deposit j Due from U. S. Treasurer i 28, 000 00 11,782 78 550 00 | National bank notes outstanding | 37, 502 41 | State bank notes outstanding 10,667 08 Dividends unpaid . 2,600 00 4, 566 89 Individual deposits 5, ooo oo ;; United States deposits 26,246 61 I Deposits of U. S. disbursing officers. 2,180 894 1,141 9, 000 00 77 60 00 | i Due to other national banks Due to State banks and bankers Notes and bills re-discounted Biils payable 448, 866 30 ! Total. $200, 000 00 $295, 482 87 Capital stock paid in 784 07 50, 000 00 I Surplus fund Other undivided profits 43, 900 00 36 00 162, 167 87 2, 954 95 24 70 , j 448, 866 30 Total. First National Bank, Selins Grove. GEO. SCHNURE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie. Legal tender notes U. S. certificates of deposit , Due from U. S. Treasurer Total. No. 357. C. B. NORTH, Cashier. $100, 000 00 $141,094 09 : Capital stock paid in. ""166," 666'66" 4,960 75 18,296 65 14,412 90 2, 322 82 j Surplus fund j Other undivided profits 10,766 00 4,922 79 I National bank notes outstanding . . . . ; State bank notes outstanding 90, 000 00 842 81 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 106, 305 21 3,738 00 ' Due to other national banks 335 24 I Due to State banks and bankers. 236 74 19, 054 00 Notes and bills re-discounted Bills payable 3LI, 994 00 i; Total. . 311,994 00 Northumberland County National Bank, Shamokin. F W. POLLOCK, President. Loans and discounts ! Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits L U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and oilier cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total , No. 689. $250, 244 69 F . S. HAAS, Cashier. Capital stock paid in . Surplus fund Other undivided profits 2.125 59 4, 500 89 1,500 00 ; National bank notes outstanding 512 56 i State bank notes outstanding 3, 652 01 ! Dividends unpaid. 22, 859 21 1 3,918 99 I Individual deposits United States deposits 274 00 Deposits of U. S. disbursing officers. 60, 300 00 """67"6G6'66" 857 325 880 33, 265 00 26 00 00 Dne to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 3, 015 00 ! 388, 303 72 ! Total 649 25 239, 547 43 11,359 09 2,821 47 424 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Sharon. No. 1685. J. J. SPEARMAN, President. A. S. SERVICE, Cashier. Liabilities. Resources. $310. 005 G 9 3,648 26 125 000 00 14,146 29 619 27 25,195 00 J,633 26 Capital stock paid in I Surplus fund Other undivided profits ! j 21,252 53 11,228 63 National bank notes outstanding Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits , U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items , E xchanges for clearing house , Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer , ] 105, 060 00 State bank notes outstanding Dividends unpaid Individual deposits •243 59 United States deposits Deposits of U. S. disbursing officers 626 00 Due to other national banks 85 15 Due to State banks and bankers 127 42 17,150 00 "5 6 $125,000 00 242, 238 35 i 1, 048 28 181 09 Notes and bills re-discounted . Bills payable 5,"•267 506.008 93 Total , 506,008 93 Sharon National Bank, Sharon. No. 2244. J O S E P H FORKER, President. ; Loans and discounts Overdrafts j U". S. bonds to secure circulation j U. S. bonds to secure deposits U. S. bonds on hand j Other stocks, bonds, and mortgages . . ' Due from approved reserve agents... j Due from other banks and bankers . . Real estate, furniture, and fixtures... j Current expenses and taxes paid Premiums paid , Checks and other cash items ; ! Exchanges for clearing house Bills of other banks ! Fractional currency Specie ' Legal tender notes ! U. S. certificates of deposit | Due from U. S. Treasurer j Total ! $575, 366 50 3, 9&J 24 50, 000 0 U 60, 683 04 8. 904 26 3, 286 79 7.429 63 5, 946 83 7, 983 53 MICHAEL ZAHNISER, Cashier. Capital stock paid in $200,000 00 Surplus fund Other undivided profits ! j National bank notes outstanding.... State bank notes outstanding 9,000 00 16,130 91 45, 000 00 Dividends unpaid Individual deposits United States deposits I Deposits of U. S. disbursing officers . | 00 Due to other national banks 66 Due to State banks and bankers 02 00 Notes and bills re-discounted Bills payable 2, 250 00 9, 191 11J 810 30, 995 765.919 60 Total \ j 482, 631 23 6,195 84 6, 961 62 : : ] : 765, 919 60 First National Bank, Shippensburg. Loans and discounts $132, 828 09 Overdrafts 4,963 73 U. S. bonds to secure circulation 50, 000 00 U. S. bonds to secure deposits | U. S. bonds on hand | Other stocks, bonds, and mortgages . . | 18, 942 44 Due from approved reserve agents. ..j 25,639 18 Due from other banks and bankers . .1 3, 267 59 Real estate, furniture, and fixtures...! 10, 759 73 Current expenses and taxes paid 3,054 96 Premiums paid \ 4, 437 50 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total J. D. GEES A AN, Cashier. M No. 834. A L E X . STEWART, President. | i I I I ' j j ! Surplus fund Other undivided profits I j National bank notes outstanding 10,400 00 2,372 43 45,000 00 State bank notes outstanding Dividends unpaid Individual deposits 1, 684 63 United States deposits Deposits of U. S. disbursing officers 3, 500 00 Due to other national banks 150 83 Due to State banks and bankers 117 48 13, 000 00 Notes and bills re-discounted Bills payable 2, 250 00 274,616 21 $75, 000 00 Capital stock paid in. Total. 140, 969 74 | ! ! 429 66 444 38 j 274,616 21 REPORT OP THE COMPTROLLER OF THE CURRENCY. 425 PENNSYLVANIA. National Bank, Slatington. No. 2293. PETER GROSS, President. WM. H. GISH, Cashier. Resources. Liabilities. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation ; U. S. bonds to secure deposits \ U. S. bonds on hand Other stocks, bonds, and mortgages..; Due from approved reserve agents.. J Due from other banks and bankers.... Real estate, furniture, and fixtures. ..j ; Current expenses and taxes paid Premiums paid | Checks and other cash items ; Exchanges for clearing house j Bills of other banks J Fractional currency < Specie j Legal tender notes j U. S. certificates of deposit j Due from U. S. Treasurer i Total 1 $59, 773 94 • Capital stock paid in 344 58 50, O O 00 Surplus fund u Other undivided profits j National bank notes outstanding 2, 279 25 State bank notes outstanding 434 26 5, 429 7L Dividends unpaid 572 84 Individual deposits .. 9,337 50 United States deposits 95 93 Deposits of U. S. disbursing officers. 3, 340 00 Due to other national banks . . . . 60 24 Due to State banks and bankers. 56 25 7, 545 00 Notes and bills re-discounted Bills payable 2, 250 00 141,519 52 $50, 000 00 180 00 4, 156 J 6 45,000 C O 41,602 00 561 36 \ i Total. 141,519 52 Union National Bank, Souderton. No. 2333. I. G. GERHART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, aud mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other batiks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. J. C. LANDES, Cashier. $79, 334 04 ' Capital stock paid in 38 18 ; 60, 000 00 , Surplus fund ! Other undivided profits . $90,000 00 2,413 12 National bank notes outstanding State bank notes outstanding... Dividends unpaid . . 47,200 00 18 714 50 213 80 1,415 01 1, 305 80 Individual deposits . 10, 087 50 United States deposits .. 736 51 Deposits of U. S. disbursing officers. 426 5 59 9,141 00 50 75 00 Due to other national banks . Due to State banks and bankers 44, 059 08 "I|. 505 39 Notes and bills re-discounted Bills payable 2, 700 00 184. 177 59 Total. 184,177 53 National Bank, Spring City. JOHN T. EACHES, Cashier. C. S. FRANCIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $164,915 76 Capital stock paid in . ""i43,*25000" ; Surplus fund ! Other undivided profits 2, 526 73 | National bank notes outstanding . . . 223 05 | State bank notes outstanding 1,578 54 • Dividends unpaid . 14, 039 33 1,219 92 21, 850 03 | Individual deposits United States deposits '. 340 95 j Deposits of U. S.disbursing officers. 2, 823 266 59 5, 185 00 Due to other national banks 08 Due to State banks and bankers . 79 00 Notes and bills re-discounted. • Bills payable 6, 445 00 • 364,743 L 8 Total . $150,000 00 5,418 45 4,870 12 128,900 00 1, 237 50 72, 599 86 1,717 25 364,743 18 426 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Strasburg. No. 42. JOS. McCLURE, President. R. F. RAUCH, Cashier. Resources. Liabilities. Loans and discounts ' Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..! Due from approved reserve agents..., Due from other banks and bankers .. Real estate, furniture, and fixtures ..; Current expenses and taxes paid j Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes : U. S. certificates of deposit Due from U. S. Treasurer Total $128,775 57 116 46 110, 000 00 8, 671 17, 211 1, 609 2,169 26 j $100, 000 00 Surplus fund. ! Other undivided profits National bank notes outstanding ' | 56 State bank notes outstanding 32 : Dividends unpaid. ,7 8 39 Individual depositg , United States deposits 75 Deposits of U. S. disbursing officers. 20,000 00 11,305 42 98, 200 00 867 00 81 59 80 80 5, 608 00 4. 945 00 Capital stock paid in Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 280,163 31 Total . 20 00 49,636 04 985 88 15 97 280, 163 31 First National Bank, Sunbury. J. B. PACKER, President. Loans and discounts Overdrafts U. S. bonds to secure ch'culation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks aud bankers... Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Le^al tender notes U. S. certificates of deposit Dae from U. S. Treasurer Total No. 1237. S. J. PACKER, Cashier. $266, 829 16 Capital stock paid in j 200, 00) 00 i Surplus fund 50, 000 00 '• Other undivided profits. 350 00 ; National bank notes outstanding 49, 827 72 State bank notes outstanding 41, 883 14 I Dividends unpaid. 4, yO9 43 Individual deposits United States deposits , "J, 317 11 Deposits of U. S. disbursing officers. 6,208 00 I Due to other national banks 522 03 ' Dae to State banks and bankers 1.050 01 34, 000 00 | Notes and bills re-discounted j Bills payable 9, 000 00 665,90164 Total. $200, 000 00 40, 000 00 26,694 05 118,200 00 5, 878 00 5, 649 18 234,513 83 22, 008 37 1,268 00 8,441 06 3,249 15 665,901 64 First National Bank, Susquehanna Depot. PI. W. BRANDT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..; Due from approved reserve agents.. ; Dae from other banks and bankers... Real estate, furniture, and fixtures ..'. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 1053. $184, 868 09 2,371 40 100, 000 00 1, 000 00 5, 633 62 3, 057 79 9,238 05 1, 438 44 591 95 1, 338 81 ..... 2,274 00 43 63 5,94100 4. 500 00 322,29o 73 M. B. WRIGHT, Cashier. Capital stock paid in . $100, 000 00 Surplus fund. Other undivided profits 18.500 00 4, 665 79 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. . 108, 324 33 806 66 322, 295 ' REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 2 7 PENNSYLVANIA. First National Bank, Tamaqua. E. J . FRY, President. No. 1219. J. Resources. Liabilities. Loans and discounts j Overdrafts | U. S. bonds to secure circulation j U. S. bonds to secure deposits j U. S. bonds on hand ! Other stocks, bonds, and mortgages..! Due from approved reserve agents...! Due from other banks and bankers . . ! Real estate, furniture, and fixtures...| Current expenses and taxes paid \ Premiums paid J Checks and other cash items j Exchanges for clearing house Bills of other banks j Fractional currency j Specie I Legal tender notes | U. S. certificates of deposit | Due from U. S. Treasurer j Total W. ABBOT, Cashier, I $294, 315 33 j Capital stock paid in 4, 549 74 150, 00U 00 j Surplus fund | Other undivided profits $150, 000 00 I j 90, 000 00 6,912 14 8, 033 13 j National bank notes outstanding 13. ST3 12 ! State bank notes outstanding 5 IS, 017 2 l| . i 9, 490 33 Dividends unpaid . 1,215 10 Individual deposits United States deposits 1,811 07 Deposits of U. S. disbursing officers.. 135. 000 00 3,549 00 8,999 00 i Due to other national banks 853 96 I Due to State banks and bankers , 16, 000 00 | Notes and bills re-discounted. i Bills payable 6, 866 34 Total. 534,104 37 122 50 90, 725 60 43,112 18 4,682 95 10,000 00 £34, 104 37 First National Bank, Tarentum. J. S. MCCARTNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bond3, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchan ges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from TJ. S. Treasurer No. 2285. $52, 237 00 ! Capital stock paid in . $50, 000 00 "oo'ooo'oo'i j Surplus fund 5t"ooo"oo"| 3, 576 25 13, 709 87 106 56 8, 503 03 853 61 8, 000 00 500 00 886 07 j Other undivided profits | | National bank notes outstanding [ ' State bank notes outstanding | Dividends unpaid 45, 000 00 91 00 1 Individual deposits 1 ji United States deposits 8 80 II Deposits of U. S. disbursing officers 40 35 354 5, 445 00 Due to other national banks 33 Due to State banks and bankers 00 00 j Notes and bills re-discounted I Bills payable *2," 250* 00" Total., 150,119 45 j Total. JNO.. F. HUMES, Cashier. 5'3, 335 45 306 93 150,119 45 Second National Bank, Titusville. CHARLES H Y D E , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and* other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 87?. $351, 430 33 5, 484 47 300, 000 00 9, 500 00 70, 978 19 4,292 41 133, 239 02 6, 029 42 11, 341 15 4, 524 64 11, 373 190 505 48, 305 00 69 00 00 Capital stock paid in. G. C. HYDE, Cashier. . . . $300, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 40, 000 00 11, 469 81 267, 995 00 330 00 287,701 5L Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 64, 500 00 14,798 00 971, 996 32 Total. 971, 996 32 428 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Towanda. JOSEPH POWELL, President, N. N. BETTS. Jr., Cashier. Resources. Loans and discounts Overdrafts j U. S. bonds to secure circulation J U. S. bonds to secure deposits j U. S. bonds on hand Other stocks, bonds, and mortgages.. j Due from approved reserve agents... j Due from other banks and bankers .. j Real estate, furniture, and fixtures... j Current expenses and taxes paid j Premiums paid | Checks and other cash items ; Exchanges for clearing house j Bills of other banks j Fractional currency j Specie j Legal tender notes j U. S. certificates of deposit Due from U. S. Treasurer Liabilities, $387, 235 52 Capital stock paid in j $125, 000 00 3, 023 89 j 55, 000 00 j Surplus fund j 80,000 00 Other undivided profits | 8, 839 07 25O*Oo"j National bank notes outstanding j 49, 500 00 24. 415 06 ! State bank notes outstanding I 22, 526 58 | 22, 400 00 I Dividends unpaid j 64 00 4,259 19 | Individual deposits j 283,734 81 8,115 01 United States deposits | 3, 643 00 Deposits of U. S. disbursing officers.. j j 2,687 93 774 15 Due to other national banks 1, 685 44 Due to State banks and bankers j , 14,018 90 Notes and bills re-discounted | j 2, 475 00 Bills payable j 549, 825 84 Total. Total | ^ 549,825 84 Citizens' National Bank, Towanda. J. P. KIRBY, President. No. 2337. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $88 283 11 Capital stock paid in 1, 427 20 50, 000 00 Surplus fund Other undivided profits 9oo"6o" National bank notes outstanding 18,177 7, 765 1,568 2, 070 3, 928 20 15 54 21 51 j $120, 000 00 ! i 2,115 16 j 34,500 G O State bank notes outstanding i Dividends unpaid I Individual deposits j United States deposits j Deposits of U. S. disbursing officers.. | i 4,897 00 Due to other national banks j 174 02 Due to State banks and bankers j 260 00 9, 990 00 Notes and bills re-discounted ! ' 2," 250 "66' Bills payable 41,453 52 1,797 57 198, 488 51 Total. GEO. A. GUERNSEY, Cashier. Total | „ 419 83 198,488 5L First National Bank, Tremont. Z. BATDORFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid. • Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 797. T. F . BATDORFF, Cashier. $103,435 38 | Capital stock paid in 3,065 57 ! 94,500 00 Surplus fund ;| Other undivided profits 30, 800 00 National bank notes outstanding 2,. 093 89 State bank notes outstanding 163 13 484 55 Dividends unpaid . 1,654 18 Individual deposits United States deposits 30 00 Deposits of U. S. disbursing officer* 1, 036 00 Due to other national banks 380 08 Due to State banks and bankers... 380 75 .. 3,176 00 :j! Notes and bills re-discounted Bills payable 4, 250 00 245,449 53 i Total . ! $100,000 00 i j 13,341 05 4, 576 2Q j 84, 245 00 41, 708 37 1,350 74 228 17 245, 449 53 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 2 9 PENNSYLVANIA. Wyoming National Bank, Tunkhannock. No. 835. C. P. MILLER, President, SAMUEL STARK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxe3 paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $134,983 51 I Capital stock paid in , 1,961 30 II 100,000 00 i!Surplus fund , Other undivided profits. 4, 800 00 j 700 00 | $100,000 00 21,000 00 2,482 41 National bank notes outstanding 7, 693 34 j State bank notes outstanding 4, 468 57 ! 5, 500 00 j Dividends unpaid., 1,903 57 218 63 Individual deposits United States deposits Deposits of U. S. disbursing officers. 719 00 Due to other national banks 713 43 Due to State banks and bankers 117 00 9, 553 00 Notes and bills re-discounted. Bills payable 4, 495 00 | 89, 994 00 64,211 73 138 21 Total. 277, 826 35 i First National Bank of Union Mills, Union City. H. L. CHURCH, President. No. 110. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stock, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid,.. P/emiums paid Checks and other cash items , Exchanges for clearing house , Bills of other banks Fractional currency , Specie Legal tender notes U. S. certificates of deposit. D ae from U. S. Treasurer Total . $110,620 23 256 10 50,000 00 j 4, 347 27 4, 978 32 417 56 Jo, 560 46 2, 349 43 427 00 JOSEPH SILL, Cashier. $50, 000 00 Capital stock paid in. Surplus fund Other undivided profits 26, 025 50 2, 322 92 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . 753 20 Individual depositg United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 7, 507 00 Notes and bills re-discounted. Bills payable •2,251 28 j 3,161 00 229 25 249 00 Total. 202, 353 90 75, 492 50 301 86 457 92 2,000 00 202, 353 90 First National Bank, Uniontown. J. M. THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . J. T. REDBURN, Cashier. No. 270. $222,453 99 Capital stock paid in $100, 000 00 2, 070 76 j 100,000 00 1 Surplus fund 1 Other undivided profits . 2, 400 00 19, 342 21, 808 1, 025 2, 435 2, 836 38 32 00 45 25 8, 713 20 National bank notes outstanding State bank notes outstanding 25, 965 00 7,276 40 88,175 00 Dividends unpaid.. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. 21, 118 00 Notes and bills re-discounted. | Bills payable 4,000 50 17 00 66 00 2,292 14 Total . 188, 551 28 611 31 410,578 99 430 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. National Bank of Fayette County, Uniontown. JNO. K. EwiNG, President. No. 681. WILLIAM WILSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Check3 and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $156,641 36 i Capital stock paid in . 6,992 29 |! 100,000 00 j Surplus fund Other undivided profits 2, 600 00 | 14, 915 60 2, 336 41 11, 850 00 I 20, 675 86 5, 066 29 National bank notes outstanding State bank notes outstanding 89, 300 00 Dividends unpaid. 1, 385 75 !'So- 12 L Individual deposits % t~D < j U u i t e d s t a t e 9 deposits w 2, 077 78 j Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 103,930 20 | i Total. Total. $100,000 00 320,358 10 First National Bank, Warren. No. 520. BOON MEAD, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house.... Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $252, 379 21 1,441 27 100, 000 00 5o6"66" 2, 000 104, 662 3,721 24, 075 > 3,437 1, 163 00 76 40 22 89 24 352 00 230 00 640 96 11, 596 00 MOSES BEECHER, Cashier. Capital stock paid in j Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid ! Individual deposits United States deposits Deposits of U. S. disbursing officers. $100,000 00 25, 000 00 15, 454 27 90, 000 00 280, 242 43 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable """4,"566"6o" Total. 510, 699 95 510,699 95 Citizens' National Bank, Warren. MYRON WATERS, President. No. 2226. Loans and discounts $119, 131 32 | 3, 390 83 Overdrafts 30, 000 00 | U. S. bonds to secure circulation U. S. bonds to secure deposits "*30,''206*60" 'j U. S. bonds on hand 2, 000 00 ' Other stocks, bonds, and mortgages.. 24, 831 40 Due from approved reserve agents... Due from other banks and bankers . . 7, 186 05 Real estate, furniture, andfixtures-. 2, 602 05 2, 303 61 Current expenses and taxes paid 7, 712 53 Premiums paid Checks and other cash items 2,090 96 Exchanges for clearing house Bills of other banks 2, 085 00 Fractional currency 567 03 1,167 94 Specie 15,179 00 Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer l,350" 60" Total . 251, 797 72 ROBT. DENNISON, Caskie?. Capital stock paid in $50, 000 00 Surplus fund Other undivided profits 11, 977 76 National bank notes outstanding State bank notes outstanding 22,400 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. 165,813 32 271 64 1,335 00 251, 797 72 REPORT OF THE COMPTROLLER OF THE CURRENCY. 431 PENNSYLVANIA, First National Bank, "Washington. COLIN M. REED, President. No. 586. JAMES MCILVAINE, Cashier. Resources. Liabilities. $190, 086 09 Loang and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits..« U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Capital stock paid in | ""150*665*65' Surplus fund 75,000 00 3 0,345 82 Other undivided profits National bank notes outstanding State bank notes outstanding 36,933 61 23, 145 08 4, 500 00 2, 746 90 j ; Dividends unpaid ""43*35O*o6' I Individual deposits j United States deposits j. Deposits of U. S. disbursing officers - j . 7,000 00 247 27 Due to other national banks Due to State banks and bankers 33, 500 00 I Notes and bills re-discounted. I Bills payable " 9 , 5 0 6 65" Total. $150, 000 00 132,600 00 3, 305 00 690 75 127, 303 84 813 54 j. I I Total. 500, 058 95 i 500,058 95 First National Bank, Waynesboro'. No. 244. JOSEPH P R I C E , President. Loans and discounts j Overdrafts I U. S. bonds to secure circulation U. S. bonds to secure deposits j U. S. bonds on hand | Other stocks, bonds, and mortgages.. Due from approved reserve agents. ..j Due from other banks and bankers... I Real estate, furniture, and fixtures... j Current expenses and taxes paid j Premiums paid Checks and other cash items ,..i Exchanges for clearing house Bills of other banks Fractional currencv Specie " L'egal tender notes U. S. certificates of deposit _. ] Due from U. S. Treasurer Total i JOHN PHILIPS, Cashier. $75,000 00 $80,392 08 Capital stock paid in. 205 64 75, 400 00 Surplus fund Other undivided profits 11,700 00 3,450 00 National bank notes outstanding 1, 111 56 State bank notes outstanding 5, 867 94 1, 500 00 Dividends unpaid. 1, 580 96 Individual deposits United States deposits 121 12 Deposits of U. S. disbursing officers. 15,000 00 5,656 64 58,200 00 38,301 13 1,172 00 Due to other national banks 46 00 Due to State banks and bankers 2,499 42 5, 979 00 Notes and bills re-discounted Bills payable 3, 875 00 194,900 72 925 35 401 29 1,416 31 Total. Farmers and Drovers' National Bank, Waynesburg. C. A. BLACK, President. Loans and discounts „..; Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes , U. S. certificates of deposit Due from U. S. Treasurer Total. No. 839. DAVID CRAWFORD, Cashier. $188,608 31 ! Capital stock paid in 1, 500 00 i 100, 000 00 I Surplus fund I Other undivided profits . 3, 621 65 621 32 10, 350 00 1,127 45 2,250 00 5, 079 38 j National bank notes outstanding State bank notes outstanding Dividends unpaid I Individual deposits | United States deposits | Deposits of U. S. disbursing officers. i $150,000 00 30, 000 00 7, 927 92 90, 000 00 165 50 82,114 96 18,300 00 jj Due to other national banks 1,204 28 1, 134 20 ji Due to State banks and bankers. 20,000 00 H Notes and bills re-discounted. 1 Bills payable 1 6,411 79 | 360,208 38 Total 360,208 38 432 REPORT OF THE COMPTROLLER OF THE CURRENCY. P E N N S Y L V A MIA. First National Bank, Wellsborough, No. 328. J. L. ROBINSON, President. J. M. ROBIN'SON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $165, 865 15 ; Capital stock paid in i 1, 702 05 ..J 100, 000 00 Surplus fund Other undivided profits i '" "3*6o6" 60" 8, 500 00 National bank notes outstanding | j 10, 417 60 State bank notes outstanding ! 541 86 j 17, 592 77 Dividends unpaid 1,1G0 74 Individual deposits i United States deposits I 1,813 52 Deposits of U. S. disbursing officers. 1,110 00 Due to other national banks 1, 532 65 Due to State banks and bankers Notes and bills re-discounted Bills payable Total $ 100, 000 00 60,000 00 8, 790 83 89, 975 00 85, 075 ' 239 13 113 62 | ! | Total . 344,194 34 First National Bank, West Chester. WM. WOLLERTON, President. No. 148. E. E. THATCHER, Cashier. $200, 000 00 Loans and discounts 1 $337,857 71 Capital stock paid in. Overdrafts i 726 03 U. S. bonds to secure circulation 200, 000 00 \ Surplus fund U. S. bonds to secure deposits ! ' Other undivided profits U. S. bonds on hand j National bank notes outstanding . . . Other stocks, bonds, and mortgages.. i Due from approved reserve agents...: 40, 316 00 State bank notes outstanding Due from other banks and bankers ..j 55, 497 72 Real estate, furniture, and fixtures... 27, 000 00 Dividends unpaid Current expenses and taxes paid j 5, 474 60 Individual deposits Premiums paid | .. -. United States deposits Checks and other cash items I 20, 210 32 Deposits of U. S. disbursing officers. Exchanges for clearing house ..: Bills of other banks j 6,972 00 Due to other national banks Fractional currency i 592 50 Due to State banks and bankers Specie j 307 00 Legal tender notes I 39,818 00 Notes and bills re-discounted U. S. certificates of deposit | . • Bills payable Due from U. S. Treasurer I 9, 000 00 Total i 743, 771 88 51,000 00 18, 201 36 178,200 00 50 00 285, 696 63 7,859 85 2,764 07 743,771 88 Total. National Bank of Chester County, "West Chester. WALTER HIBBARD, President. Loans and discounts ! Overdrafts I U. S. bonds to secure circulation i U. S. bonds to secure deposits i. U. S. bonds on hand i. Other stocks, bonds, and mortgages..|. Due from approved reserve agents... Due from other banks and bankers .. \ Real estate, furniture, and fixtures.. .1 Current expenses and taxes paid j Premiums paid j. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency < Specie I. Legal tender notes • ; U. S. certificates of deposit Due from U. S. Treasurer i Total. No. 552. W M . W. JEFFERIS, Cashier. $553,336 24 j Capital stock paid in 650 25 li 225,000 00 I! Surplus fund Other undivided profits j $225, 000 00 j 100,000 00 16,281 62 ; National bank notes outstanding ! 21. 555 77 State bank notes outstanding : 6B, 729 49 23, 282 86 Dividends unpaid j 3, 685 61 Individual deposits j 13, 962 38 United States deposits ; 20,559 00 I:Deposits of U. S. disbursing officers.. i 1,583 07 I: Due to other national banks Due to State banks and bankers j 39.148 00 j:Notes and bills re-discounted I 20,000 00 ! | 11, 125 00 I Bills payable 1, 002, 667 67 ! Total 202, 500 00 561 00 436, 523 33 i 21,801 67 ! 1,002,667 67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 433 PENNSYLVANIA. First National Bank, Wilkes Barre. No. 30. CHARLES PARRISH, President. THOMAS WILSON, Cashier. Liabilities. Resources. Loans and discounts i Overdrafts j U. S. bonds to secure circulation | IT. S. bonds to secure deposits | U. S. bonds on hand * j Other stocks, bonds, and mortgages..| Due from approved reserve agents Due from other banks and bankers ..| Real estate, furniture, and fixtures... j Current expenses and taxes paid ! Premiums paid j Checks and other cash items i Exchanges for clearing house ! Bills of other banks ! l Fractional currency Specie \ Legal tender notes ; U. S. certificates of deposit j Due from U. S. Treasurer ! $470, 074 5* 20, 122 91 375, 000 00 46 00 94 92 337, 500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers 240, 948 48 3, 424 00 Due to other national banks 1, 280 29 Due to State banks and bankers . . 481 15 39. 868 00 Notes and bills re-discounted Bills payable 11, 975 00 17, 275 83 44 26 17, 079 23 1, 083, 852 28 Total. 88,000 00 25, 083 66 Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding 20, 536 80 49, 277 65, 500 5, 471 3, 760 $375, 000 00 Capital stock paid in. Total ! 1,083,852 28 Second National Bank, Wilkes Barre. L. D. SHOEMAKER, President. E. A. SPALDING, Cashier. No. 104. ! $850,182 56 Capital stock paid in 4, 481 75 ! 223, 000 00 ! Surplus fund 80, 000 00 i O ther undivided profi ts Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer.-.- 21,933 44 39,048 13 20, 000 00 2, 463 56 25,481 66 3,313 00 919 73 2, 205 00 25. 550 00 I $450, 000 00 160, 000 00 15,754 27 National bank notes outstanding State bank notes outstanding . . . 200, 000 00 Dividends unpaid 100 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 259, 378 90 44,773 15 1,398 55 84, 116 02 96, 057 94 Due to other national banks Due to State banks and bankers Notes and bills re-discounted., Bills payable 10, 000 09 Total. Total 1,311,578 83 ..! 1,311,578 83 Wyoming National Bank, Wilkes Barre. ZIBA BENNETT, President. No. 732. ; LATHAN W. JONES, Cashier. ! Loans and discounts $183,326 22 i Capital stock paid in Overdrafts I 840 19 ;j U. S. bonds to secure circulation ! 150, 000 00 ij Surplus fund U. S. bonds to secure deposits i ! Other undivided profits U. S. bonds on hand j 40, 000 00 j j Other stocks, bonds, and mortgages..j 2,000 00 j National bank notes outstanding Due from approved reserve agents...! 6. 847 22 \\State bank notes outstanding Due from other banks and bankers .. | 13, 701 82 - j Real estate, furniture, and fixtures..." 47, 193 74 i|Dividends unpaid Current expenses and taxes paid \ 3, 023 39 | j Premiums paid i !| Individual deposits Checks and other cash items ' 13, 629 43 ! jUnited States deposits Exchanges for clearing house ' -••.ii Bills of other banks j 1 Deposits of U. S. disbursing officers 1 Due to other national banks Fractional currency : 325 00 !!Due to State banks and bankers : S pecie j! ; Legal tender notes 21, 000 00 | j Notes and bills re-discounted U. S. certificates of deposit j ; Bills payable Due from U.S. Treasurer : 8, 450 00 j j Total ; 490,337 06 !i Total. $150, 000 00 j 50, 000 00 12,576 44 134, 800 00 j 5, 700 00 j j i .! | 136, 884 73 375 i I j ! 490, 337 06 434 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, First National Bank, Williamsport. A. UPDEGRAFF, President. W. H. SLOAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand i Other stocks, bonds, and mortgages ' Due from approved reserve agents... j Due from other banks and bankers .. [ Real estate, furniture, and fixtures... j Current expenses and taxes paid j Premiums paid j Checks and other cash items j Exchanges for clearing house ! Bills of other banks j Fractional currency Specie \ Legal tender notes j U. S. certificates of deposit ! Due from U. S. Treasurer I Total I $513, 691 35 i; Capital stock paid in | • j| 18, 890 72 39, 890 28 40, 689 19 5, 000 00 3, 394 57 5, 355 46 | 85. 000 00 ...... I 14,346 41 237, 220 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . 265 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 324, G90 93 2,289 00. Due to other national banks 1, 689 02 Due to State banks and bankers 798 47 20, 835 00 Notes and bills re-discounted. Bills payable 12, 775 00 949, 298 $284, 950 00 I 284,000 00 ! Surplus fund j Other undivided profits. 3, 029 20 396 52 949,298 06 Total. City National Bank, Williamsport. J\COB SALLADE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency... Specie Legal tender notes U. S. certificates of deposit Due from TJ. S. Treasurer Total. H. T. SALLADE, Cashier. No. 2139. $100, 000 00 $361, 398 73 ! Capital stock paid in . 286 34 50, 000 00 Surplus fund 6, 000 00 9, 164 81 Other undivided profits 16, 519 49 j National bank notes outstanding 19,839 52 i State bank notes outstanding 10, 928 46 i 1, 056 75 Dividends unpaid . 45, 000 00 11 61 2,220 75 ; 9, 000 00 Individual deposits 363, 607 01 United States deposits. 3, 400 67 ; Deposits of U. S. disbursing officers. 915 00 2P9 91 1,981 00 7, 855 00 40, 000 00 2. 250 00 2, 623 00 1,545 19 Due to o^her national banks . . Due to State banks and bankers Notes and bills re-discounted. Bills payable .. 527,951 62 527,951 62, Lumberman's National Bank, Williamsport. J. G-. "RFAPfNG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills cf other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . Total. SAMUEL JONES, Cashier. No. 734. $156, 889 74 Capital stock paid in 1,58M 87 95, 000 00 Surplus fund Other undivided profits j $100, 000 00 ! j 20,000 00 7, 329 09 j 4, 925 00 National bank notes outstanding \ 5,561 98 State bank notes outstanding 15.739 5 L ... J 12,000 00 Dividends unpaid 1,001 64 Individual deposits United States deposits 10,468 14 Deposits of U. S. disbursing officers . Due to other national banks .... j Due to State banks and bankers j Notes and bills re-discounted Biils payable Total 85, 0C0 00 109, 064 23 46 80 650 00 j j I 322, 090 12 REPORT OF THE COMPTROLLER OF THE CURRENCY. 435 PENNSYLVANIA. Lycoming National Bank, Williamsport. GEORGE BUBB, No. 2227. President. CHARLES G L E I M , Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... .Due from other banks and bankers . . Real estate, furniture, and fixtures. -Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $186,500 91 Capital stock paid in 2,313 85 34, 000 00 i Surplusfund I Other undivided profits 1, 300 00 23,759 46 1,956 46 21,574 03 549 30 5, 000 00 6, 539 132 369 8, 780 00 44 60 00 $100,000 00 13,400 00 1, 541 65 30, 600 00 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 145, 950 96 , j Notes and bills re-discounted. Bills payable 1,530 00 294, 533 82 Total. | I I 294, 533 82 Total . West Branch National Bank, "Williamsport. No. 1505. O L I V E R WATSON, President. $349,081 81 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bond3, and mortgages . Due from approved reserve agent3.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie „ Legal tender notes Due from U. S. Treasurer Judgvient account ""166,66o 65" W M . S. WATSON, Cashier. $100, 000 00 Capital stock paid in. 100, 000 00 43,765 72 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 61,763 31 13,853 16 i Dividends unpaid 3, 095 23 | Individual deposits United States deposits 3, 080 20 Deposits of U. S. disbursing officers. 10, 370 00 i 2,291 31 | y37 39 ; 62, 540 00 ' 5,400 00 i 10,841 42 Total. 623, 256 83 Due to other national banks Due to State banks and bankers 90, 000 00 4, 996 00 249, 246 55 33, 996 62 1,251 9-1 Notes and bills re-discounted. Bills payable Total. Williamsport National Bank, 'Williamsport. G. L. SANDERSON, JAS. S. LAWSON, Cashier. President. $188,719 64 Capital stock paid in . 59 L 91 100, 000 00 Surplus fund Other undivided profits Loans and discounts O verdrafts U. S. bonds to secure circulation..... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... National bank notes outstanding Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . . j Current expenses and taxes paid j Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total | 16, 982 47 State bank notes outstanding 3,519 61 Dividends unpaid . 1, 975 00 631 09 Individual deposits 1,350 17 1, 875 105 440 16, 500 00 25 10 00 I ! ""4,'566" 00" 337, 190 24 $100,000 00 25, 000 00 4,256 64 90, 000 00 117, 554 76 United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 297 87 80 95 Notes and bills re-discounted Bills payable Total. 337,190 24 436 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Wrightsville. WM. MCCONKEY, President. No. 246. G. K. SCHEXBERGER, Cashier. Liabilities. Resources. Loans and discounts $174,818 27 Capital stock paid in .....; $150, 000 00 Overdrafts ' 118 30 ! 4,700 00 U. S. bonds to secure circulation 150, 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits \ 14,069 62 U. S. bonds on hand j 122, 490 00 Other stocks, bonds, and mortgages.. 11, 810 87 National bank notes outstanding Due from approved reserve agents. ..i 8, 470 36 State bank notes outstanding Due from other banks and bankers .. "2, 394 27 Real estate, furniture, and fixtures...; 4, 000 00 Dividends unpaid 218 00 Current expenses and taxes paid 1, 838 06 Premiums paid i Individual deposits 71, 860 18 Checks and other cash items 1, 380 55 United States deposits Exchanges for clearing hous6 Bills of other banks 572 00 Deposits of U. S. disbursing officers 3. 467 88 Fractional currency 71 00 Due to other national banks Specie Due to State banks and bankers Legal tender notes 4, 582 00 Notes and bills re-discounted U. S. certificates of deposit j Due from U.S. Treasurer 6,750 00 Bills payable ! Total 366,805 63 Total i 366, 805 68 First National Bank, York. JACOB BASTRESS, Cashier. DAVID E. SMALL, President. $236,187 58 j Capital stock paid in. | $300, 000 00 1,740 14 I } Surplus fund 31,336 00 335, 000 00 | 50, 000 00 ! Other undivided profits j 21,742 01 20, 350 00 299, 950 00 57, 658 00 National bank notes outstanding 29, 680 36 State bank notes outstanding 9,866 06 1, eno oo Dividends unpaid j 3,503 90 j 102, 935 62 4,037 46 Individual deposits 2, 935 05 United States deposits ! 26, 879 48 190 97 3,582 00 Deposits of U. S. disbursing officers..J ! 8, 311 09 65-2 61 Due to other national banks 43 00 Due to State banks and bankers i 710 29 17,023 00 Notes and bills re-discounted [ ' -. 17, 996 30 Bills payable Loans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . Total 792, 055 46 i 792, 055 46 Farmers' National Bank, York. V. K. KEESEY, President. : $157,150 77 Capital stock paid in 1 69 200, 000 00 Surplus fund Other undivided profits National bank notes outstanding 6, 463 69 State bank notes outstanding 22, 487 96 Dividends unpaid. 8. 531 26 3, 056 44 27, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 833 43 Loans and discounts , Overdrafts U. S. bonds to secure circulation . . . IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer ....; Total J. V. GlESEY, Cashier. No. 2228. 1,410 00 Due to other national banks 492 74 ! Due to State banks and bankers..... 743 25 ' 11, 002 00 i Notes and bills re-discounted. Bills payable 9,000 00 ! 448.173 23 ; Total.. | $200,000 00 ! 3, 000 00 j 10, ] 40 26 < 180, 000 00 I 75 00 46,546 93 2, 453 55 5, 957 49 448,173 23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 3 7 PENNSYLVANIA. "Western National Bank, York. No. 2303. J. H. BAER, President. M, J. SKINNER, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures Current expenses and taxes paid ; Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $143, 66S 63 ii Capital stock paid in g7 02 :i * 100, 000 00 I! Surplus fund I Other undivided profits ! j National bank notes outstanding j 8 544 39 I1 State bank notes outstanding j '790 50 i Dividends unpaid 1 404 81 i TP'GO= nr, ! Individual deposits i 16, b ^ 00 ;| U n | gtates depositg 536 76 1 Deposits of U. S. disbursing officers..j 1 1,044 00 j Due to other national banks 132 47 \\ Due to State banks and bankers . 5,086 00 h Notes and bills re-discounted. !; Bills payable 4,500 00 j l 15 297,827 17 Total. ! $100,000 00 ! j 20, 000 00 j 6,331 89 Total. 90, 000 00 36 00 81, 459 28 297,827 17 York National Bank, YorkIlEXRY WELSH, President. No. 604. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . $448, 956 35 1. 695 91 500,000 00 77, 44. 12, 10, 5, 632 730 975 989 642 21 29 97 50 48 i Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding... Dividends unpaid . 22, 618 1, 095 1,152 17, 355 00 Due to other national banks 22 Due to State banks and bankers . . . 60 00 ! Notes and bills re-discounte d Bills payable Total. $500, 000 00 78, 300 00 21,644 55 427,500 00 6,513 00 1,033 00 Individual deposits | i United States deposits 5, 573 74 |: Deposits of U. S. disbursing officers. 1,172, 977 27 Tota.. G. H. SPRIGG, Cashier. Capital stock paid in 119,436 42 18,191 19 359 11 1, 172, 977 27 York County National Bank, York. D, F. WILLIAMS. President. JAS. A. SCHALL, Cashier. | $300, 000 00 Loans and discounts $440, 952 75 j Capital stock paid in Overdrafts 2,062 64 i ! j 60, 000 00 U. S. bonds to secure circulation , . . . j 301, 000 00 i Surplus fund V S. bonds to secure deposits ! j Other undivided profits j 37,349 20 U. S. bonds on hand. .: ! • j 269.900 00 Other stocks, bonds, and mortgages..! 29,672 25 j National bank notes outstanding Due from approved reserve agents... j 13, 698 20 j State bank notes outstanding | Due from other banks and bankers..! 16, 924 03 ; Real estate, furniture, and fixtures... j 2, 000 C j Dividends unpaid O : Current expenses and taxes paid I 6,118 07 j Premiums paid J - -I Individual deposits • 179,184 94 Checks and other cash items j 2,178 48 i; United States deposits j -Exchanges for clearing house j ' Deposits of U. S. disbursing officers.: I Bills of other banks j 8, 412 00 j I 5, 949 78 Fractional currency i ], 013 90 ; Due to other national banks , '....».. Specie i 2,146 60 1 Due to State banks and bankers ; Legal tender notes _ ,....| 7,710 00 | Notes and bills re-discounted j U.S. certificates of deposit i | Bills payable i Due from U. S. Treasurer | 13, 495 00 | i Total , I 852, 383 92 Total I 852,383 92 j 488 REPORT OF THE COMPTROLLER OF THE CURRENCY. DELAWARE. Delaware City National Bank, Delaware City. W M . D. CLARK, No. 133-2. President. F R A N C I S M C I N T I R E , Cashier. Resources. Liabilities. Loans and discounts ! Overdrafts U. S. bonds to secure ^circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents Due from other banks and bankers.. Real estate, furniture, and fixtures . . ; Current expenses and taxes paid I Premiums paid \ Checks and other cash items . Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit — Due from U. S. Treasurer Total. $98, S9S 69 63 43 62, 000 00 $80, 000 00 Capital stock paid in ; 9.931 78 2, 410 19 Surplus fund Other undivided profits 10, 760 78 55, 775 00 National bank notes outstanding State bank notes outstanding 3, 764 79 9, 878 62 628 44 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 2,407 52 3, 630 00 203 06 537 80 14,372 00 59,310 01 2,375 69 132 46 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 2, 790 00 209,935 13 Total. 209,935 13 First National Bank, Dover. N. B. SMITHERS, No. 1567. President. $140,915 07 Loans and discounts , Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer . . * ""166"000 65" J . H. BATEMAN, Cashier. Capital stock paid in j National bank notes outstanding 4, 727 3, 674 9, 998 1,097 1, 936 2 227 108 225 8, 983 4*496 Total. $100, 000 00 ! j ' Surolusfun.i : Other undivided profits 10,559 92 11,277 29 j 88, 925 00 07 | State bank notes outstanding | 23 06 j Dividends unpaid ( 17 I Individual deposits 41 1 United States deposits ! | Deposits of U. S. disbursing officers.. J 00 I Due to other national banks | 23 Due to State banks and bankers i 00 00 Notes and bills re-discounted j Bills payable , ! 25* -. 1,290 64 579 43 278, 387 49 Total. 278,3S7 49 65,765 21 Citizens' National Bank, Middletown. H E N R Y CLAYTON, 80, 000 00 Due from approved reserve a g e n t s . . . : Due from other banks and bankers.. Real estate, furniture, and fixtures. ..\ Current expenses and taxes paid Premiums paid Total. $80,000 00 $133, 370 14 j Capital stock paid in . Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer J. R. HALL, Cashier. No. 1181. President. ' Surplus fund Other undivided profits j j j 4,766 87 j National bank notes outstanding !. 52, 975 41 ! State bank notes outstanding 24,953 08 i ' Dividends unpaid •. 14, 333 04 778 89 Individual deposits United States deposits , 112 00 Deposits of U. S. disbursing officers. 17, 000 00 4,187 83 72, 000 00 153, 749 70 , 4, 745 00 | Due to other national banks 515 16 I Due to State banks and bankers. 7, 838 00 i Note* and bills re-discounted I Biiis payable i j . . . 2, 550 00 • 26, 937 59 Total.. 326, 937 59 REPORT OF THE COMPTROLLER OF THE CURRENCY. 439 DELAWARE. First National Bank, Milford. H- B. FlDDEMAN. No. 2340. President. JOHN B. SMITH, Cashier. Liabilities. Resources. Loans and discounts [ Overdrafts | U. S. bonds to secure circulation | U. S. bonds to secure deposits I U. S. bonds on hand ..! Other stocks, bonds, and mortgages - - i Due from approved reserve agents. --j Due from other banks and bankers.. Real estate, furniture, and fixtures. -. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., $42, 560 00 $21,594 49 i Capital stock paid in . 35 11 34,000 00 I Surplus fund ,. Other undivided profits National bank notes outstanding 25, 068 43 State bank notes outstanding 1, 017 20 Dividends unpaid., 1, 579 71 224 05 5, 652 50 Individual deposits United States deposits 8 00 Deposits of U. S. disbursing officers. 6,761 343 450 11, 420 00 97 00 00 "I"530"66' Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Ill, 684 46 Total. 231 99 4, 905 00 63, 987 47 | • 111,684 46 National Bank, Newark. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U S. bonds on hand.* •-. Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures . . Current expenses and taxes paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie . Legal tender notes . . . . . . . . . . . U S certificates of deposit Due from U. S. Treasurer $97 986 e 4 50, 000 00 ... 1, 059 01 31, 329 82 4,933 14 10, 000 00 358 70 710 03 3 599 00 155 Ofi 590 00 400 00 2, 250 00 $50, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid., 9,871 00 943 47 44, 500 00 723 44 Individual deposits United States deposits Deposits of U. S. disbursing officers. i0,167 42 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 8,191 89 9,029 38 203, 426 60 Total GEO. W. LlNDSEY, Cashier. No. 1536. JOEL THOMPSON, Jr., President. Total. 203,426 60 Newport National Bank, Newport. DAVID EASTBURN, President. Loans and discounts , Overdrafts , U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer , Total. No. 997. J. W. H. WATSON, Cashier. $82, 405 00 Capital stock paid in . ""78 "566 "65' Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 12,797 23 2, 973 90 Dividends unpaid. 6, 000 00 1. 064 22 Individual deposits United States deposits 731 04 Deposits of U. S. disbursing officers. 1, 567 56 1, 375 1, 340 00 Due to other national banks 48 Due to State banks and bankers 55 00 Notes and bills re-discounted. Bills payable 2, 470 50 190,780 92 Total. $75, 000 00 15, 000 00 3, 507 76 65, 530 00 120 00 26,481 93 4,699 15 442 08 190, 730 92 440 REPORT OF THE COMPTROLLER OF THE CURRENCY. DELAWARE. New Castle County National Bank, Odessa. CHAS. TATMAN, President. No. 1231. J. L. GIBSON, Cashier. Resources. Liabilities. Loans and discounts \ Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures ... Current expenses and taxes paid ; Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks ; Fractional currency j Specie .". j ! Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total ! $131, 995 79 Capital stock paid in . ! $75,000 00 75, 0C0 00 Surplus fund ! i Other undivided profits | j 2, 461 46 I National bank notes outstanding j 38, 656 96 I State bank notes outstanding I 3, 819 69 | 9, 478 35 | Dividends unpaid 162 90 ! Individual deposits | , | United States deposits | 689 53 | Deposits of U. S. disbursing officers.-! 27,000 00 3, 265 95 67,500 00 4, 278 00 Due to other national banks 38 12 578 50 Due to State banks and bankers 7, 609 00 Notes and bills re-discounted. Bills payable , 4, 875 00 279,644 30 t ! Total. 105,449 89 1, 232 22 196 24 279, 644 30 First National Bank, Seaford. No. 795. L. N. WRIGHT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. M. J. MORGAN, Cashier. $61,717 50 : Capital stock paid in 125 00 50, 000 00 ! Surplusfund i Other undivided profits 100 00 3, 000 00 | National bank notes outstanding State bank notes outstanding ]7,]49 95 1,353 88 10, 222 97 615 24 20 ! | j j Dividends unpaid. 1,312 95 2, 945 18 38, 100 00 30 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 390 262 128 4,779 00 Due to other national banks 61 82 • Due to State banks and bankers 00 i Notes and bills re-discounted . Bills payable 2, 250 00 Total. 152,119 17 : $50,000 00 58, 104 74 i ! 1, 605 75 20 55 152, 119 17 Fruit Growers' National Bank, Smyrna. G. H. RAYMOND, President. Loans and discounts O verdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... j Due from other banks and bankers .. Real estate, furniture, aad fixtures... j Current expenses and taxes paid Premiums paid , Checks and other cash items , Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae fromU. S. Treasurer Total. No. 2336. N. F. W I L D S , Cashier. $83, 809 92 Capital stock paid in. "54*000 bb' Surplus fund Other undivided profits National bank notes outstanding 6, 653 33 State bank notes outstanding 1,504 65 Dividends unpaid. 1, 777 38 568 49 8, 242 50 Individual deposits United States deposits 22 45 Deposits of U. S. disbursing officers. $55, 000 001,153 94 48, 600 00 78, 183 53 19,689 50 Due to other national banks 72 15 Due to State banks and bankers. 196 10 3, 971 00 Notes and bills re-discounted. Bills payable 2, 430 00 182,937 47 Total. 182, 937 47 REPORT OF THE COMPTROLLER OF THE CURRENCY. 441 DELAWARE. First National Bank, Wilmington. E D W A R D BETTS, President No. 473. G. D. ARMSTRONG, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures- Current expenses and taxes paid Premiums paid $503, 368 So j Capital stock paid in [ , ii 445,000 00 || Surplus fund , 60,000 00 ii Other undivided profits., $500, 000 00 100, 000 00 24,145 74 147, 035 00 ;National bank notes outstanding 95, 542 44 IState bank notes outstanding 64, 256 87 |Dividends unpaid . 5,1U0 00 2,884 42 Individual deposits 9, 460 00 United States deposits 9, 277 92 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer I ! 400, 000 00 I '. 3,190 00 340, 443 75 43,634 87 8, 598 68 Deposits of U. S. disbursing officers..] i 49, 897 368 3,550 49, 946 20, 000 21,401 00 ! Due to other national banks 63 ! Due to State banks and bankers 00 | 00 | Notes and bills re-discounted 00 i Bills payable, 19 | 3,487,088 32 ! Total. Total 66,844 14 231 14 ] | I 1,487,088 32 National Bank of Delaware, Wilmington. No. 1420. H. G-. BANNING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agent3.. -1 Due from other banks and bankers . . ! Real estate, furniture, and fixtures .-j Current expenses and taxes paid Premiums paid 112,939 02 11,431 15 98,200 00 110,000 00 || Surplus fund 1 Other undivided profits 1 12, 564 18,403 32, 460 20, 000 3,860 5,742 640 2, 032 t, 710 10,000 4,950 Total. $110, 000 00 $328, 069 78 || Capital stock paid in. 72 || National bank notes outstanding . . . 06 j State bank notes outstanding . 59 Dividends unpaid . 00 86 Individual deposits 8, 680 36 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer R. H. EWBANKS, Cashier. 1,106 50 560 00 196,045 60 United States deposits Deposits of U. S. disbursing officers. 00 j! Due to other national banks 90 ;| Due to State banks and bankers . . . 13 00 ! Notes and bills re-discounted. 00 ij Bills payable.. 25 • ! Total. 560,114 65 27,604 28 2,228 10 560, 114 65 National Bank of Wilmington and Brandywine, Wilmington. No. 1190. W. JONES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional c u r r e n c y . . . . . . Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. $523, 202 78 EVAN R I C E , Cashier. Capital stock paid in., "ioo.'ouo'oo" j Surplus fund j Other undivided profits $200, 010 00 85, 000 00 16,166 44 3,200 00 I National bank notes outstanding... State bank notes outstanding 99 84 14, 797 79 Dividends unpaid. 26, 900 00 3,300 12 Individual deposits United States deposits 14, 643 64 Deposits of U. S. disbursing officers. 168, 400 00 5, 703 00 14, 096 00 Due to other national banks 266 89 Due to Sta e banks and bankers . . . 238 65 59, 776 00 Notes and bills re-discounted 50,821 94 1,943 02 3, 480 60 337, 996 71 . "9," 666" 65* 869, 521 71 Bills payable Total 869, 521 71 442 REPORT OF THE COMPTROLLER OF THE CURRENCY. DELAWARE. Union National Bank, Wilmington. VICTOR DUPONT, President. No. 1390. J O H N PEOPLES, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits^ U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes' U. 8. certificates of deposit Due from U. S. Treasurer Total . Liabilities. $425,613 72 : Capital stock paid in. 1, 184 88 203, 200 00 ! Surplus fund Other undivided profits 1,320 00 National bank notes outstanding 81,033 15 State bank notes outstanding 44,311 50 ~ 25, 617 17 ;j Dividends unpaid. 4, 203 63 j Individual deposits 2,414 50 ! United States deposits 24, 056 57 I Deposits of U. S. disbursing officers.. 21,734 00 Due to other national banks 301 02 Due to State banks and bankers . 95 00 i 19, 830 00 Notes and bills re-discounted. 10, 000 00 I Bills payable 9, 142 50 874,117 64 Total . $203,175 00 60, 000 00 17,451 33 182, 850 00 2,229 50 352, 527 35 55, 834 46 874,117 64 REPORT OF THE COMPTROLLER OF THE CURRENCY. 443 MARYLAND. Farmers' National Bank, Annapolis. No. 1244. •GEORGE W E L L S , President. L. G. GASSAWAY, Cashier. Resources. Liabilities. Loans and discounts .... Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures - . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer $382, 52S 31 I Capital stock paid in. 1, 327 94 86, 500 00 Surplus fund 100,000 00 Other undivided profits . 45,109 67 112, 654 55 National bank notes outstanding . - . State bank notes outstanding 43, 000 00 14, 336 73 75,150 00 10, 673 91 16* 456 17 i D i v i < i e i l ( i s unpaid Individual deposits ' | United States deposits 907 52 I Deposits of U. S. disbursing officers. 7, 283 476 2.871 37, 400 00 i Due to other national banks 05 j! Due to State banks and bankers . . . 99 i 00 j Notes and bills re-discounted Bills payable 4, 695 00 j 875, 382 63 Total. $251, 700 00 Total. 386,283 09 41,298 78 45, 622 28 3, 408 53 3, 909 31 875, 382 63 First National Bank, Baltimore. No. 204. J . S. NORRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items . . Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer , 956, 480 460 910, 000 200, 000 04 15 00 00 560 00 327,806 58 45, 408 G6 22, 983 80 21,500 31 10,338 19 164,700 96 21,371 00 6,453 01 7, 707 63 33, 300 00 135, 000 00 40, 950 00 Capital stock paid in . $1,110,000 00 Surplus fund Other undivided profits. 219,063 09 165, 459 75 National bank notes outstanding State bank notes outstanding 747,100 00 Dividends unpaid. 810 86 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 1,079,213 06 99,141 52 474,551 07 9, 680 98 Notes and bills re-discounted.. Bills payable 3, 905, 020 33 Total. E. J. PENNIMAN, Act'g Cashier. Total. 3, 905, 020 33 Second National Bank, Baltimore. J O H N S. GILMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit D ue from U. S. Treasurer 22,112 50 "10"989"68' 300 00 21,252 10 4, 350 00 192 30 8, 042 00 61,332 00 120, 000 00 17, 550 00 1, 898, 755 44 Total. H. Ex. 3 No. 414. , 230,194 00 81 09 390, 000 00 25 JOHN H. BAWDEN, Cashier. Capital stock paid in . $500,000 00 Surplus fund Other undivided profits . 250, 000 00 62,221 99 National bank notes outstanding . . . State bank notes outstanding .. 350, 400 00 Dividends unpaid. 435 62 Individual deposits United States deposits Deposits of U. S. disbursing officers. 620, 503 11 Due to other national banks Due to State banks and bankers . . . 102, 065 84 13,128 88 Notes and bills re-discounted. Bills payable Total. 1,898, 755 44 444 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. Third National Hank, Baltimore. THOS. Y. CANBY. Vice-President. A. M. CARTER, Cashier. No. 814. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers. ..j Real estate, furniture, and fixtures. ..j Current expenses and taxes paid j Premiums paid j Checks and other cash items [ Exchanges for clearing house I Bills of other banks Fractional currency i Specie | Legal tender notes j U. S. certificates of deposit j Due from U. S. Treasurer j $793,161 16 i Capital stock paid in. $600, 000 00 ""534"65o"65": Surplus fund 30, 000 00 9, 659 38 33, 292 58 26, 836 40 40, 142 17 11,061 11 6, 605 30 19, 390 00 27,221 44 Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid . 480, 000 00 141 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 458,151 90 45, 319 02 13, 842 00 Due to other national banks 70 00 Due to State banks and bankers. 2, 144 79 33, 735 00 Notes and bills re-discounted Bills payable 24, 515 07 "24," 666 "56" Total . Total 1,609,419 41 1,609,419 41 Citizens' National Bank, Baltimore. J. W. GUEST, Cashier. No. 1384. HENRY JAMES, President. >1, 654, 635 57 j Capital stock paid in Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie » Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $1,000,000 00 "450" 666" 65* Surplusfund Other undivided profits 1 46,226 15 1 National bank notes outstanding 151,829 19 1 State bank notes outstanding 1 173, 921 75 57, 000 00 || Dividends unpaid 16, 601 33 ' Individual deposits 1,643 67 J United States deposits 208,153 94 Deposits of U. S. disbursing officers. 50, 980 00 Due to other national banks 2, 846 90 ji Due to State banks and bankers ! 202,710 00 j Notes and bills re-discounted .; Bills payable. Total Total. 300,000 00 44, 771 82 301, 700 00 10,172 00 18,320 57 1, 243, 042 90 j j j I 67,154 23 51, 836 93 ' 3,036,998 50 Commercial and Farmers' National Bank, Baltimore. JESSE SLINGLUFF, President. No. 1303. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agent3. ..j Due from other banks and bankers...! Real estate, furniture, and fixtures -. -! Current expenses and taxes paid j Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $956,133 15 I 1,553,782 11 Total. JOHN D. EARLY, Cashier. l stock paid in. "360,066 65" Surplus fund $512, 550 00 Other undivided profits 31, 25, 25, 13, 10 00 533 02 665 63 000 00 375 69 10, 449 92 41,104 31 26,797 00 6,313 10, 900 90, 000 16, 500 39 00 00 00 114,003 39 27,084 08 National bank notes outstanding . . State bank notes outstanding 251, 900 0l> 5,170 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing offic< Due to other national banks Dae to State banks and bankers . . Notes and bills re-discounted. Bills payable , Total. 7,131 53 590, 279 00 33, 864 45 6, 789 60 1, 553, 782 11 REPORT OF THE COMPTROLLER OF THE CURRENCY. 445 MARYLAND. Farmers and Merchants' National Bank, Baltimore. J. H. THOMAS, President. No. 1337. JAMES SLOAN, Jr., Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits , U. S. bonds on hand , Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures.., Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes , IT. S. certificates of deposit Due from U. S. Treasurer Total. $1, 206, 403 15 2, 933 79 505, 600 00 Capital stock paid in. $650, 000 00 Surplus fund Other undivided profits. 220, 528 75 National bank notes outstanding . 140,143 12 State bank notes outstanding 71, 016 80 25, 910 00 Dividends unpaid . 14,276 60 Individual deposits United States deposits 19, 480 00 Deposits of U. S. disbursing officers. 123, 346 10 41, 207 00 Due to other national banks Due to State banks and bankers . . . 21,108 37 31, 000 00 Notes and bills re-discounted . 280, 000 00 Bills payable 22, 500 00 130, 000 00 57,125 69 2, 725, 453 68 Total. 244, 680 00 3, 245 00 8, 607 47 1,118, 766 89 483. 472 95 29, 555 68 2, 725, 453 68 Merchants' National Bank, Baltimore. No. 1336. A. H. STUMP, President. Loans and discounts O verdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie „ Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $2, 209, 286 63 4, 085 71 600, 000 00 14, 000 00 230, 230 22,332 100, 000 17, 627 427 08 42 00 95 07 28,759 43 216,103 88 74, 765 00 20 09 9, 368 27 63, 000 00 145, 000 00 27, 000 00 WM. L. GILL, Cashier. Capital stock paid in. $1, 500, 000 00 Surplus fund Other undivided profits 300.000 00 146, 126 31 National bank notes outstanding State bank notes outstanding 540, 000 00 20, 032 00 Dividends unpaid 1,266 2 8 Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted.. Bills payable 3, 762, 006 53 Total 1, 002, 357 3 . 204, 324 "45 47,900 14 3,762,006 53 National Bank, Baltimore. H. A. THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1432. $2,105,254 89 530 63 1, 008, 500 00 105, 656 84, 629 73,011 69, 833 9,119 12 13 04 53 80 1,899 111,136 19, 566 2, 893 8, 468 201, 555 J. THOS. SMTTH, Cashier. Capital stock paid in . 400, 000 00 66,013 15 National bank notes outstanding State bank notes outstanding 817, 000 00 3,136 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 52 44 00 Due to other national banks 12 Due to State banks and bankers 89 00 Notes and bills re-discounted Bills payable ""45*375 56 3,847,429 11 I $1,210,700 00 Surplus fund Other undivided profits Total 5, 460 00 1, 278, 017 71 26, 553 25 40,549 00 3,847,429 11 446 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. National Exchange Bank, Baltimore. No. 1109. JOHN HURST, President. J. P. NEER, Cashier Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand ' Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $982, 490 85 Capital stock paid in | Surplus fund Other undivided profits 11,540 149, 951 52, 742 6,000 10. 574 7, 800 3, 912 75, 425 19,000 National bank notes outstanding State bank notes outstanding Dividends unpaid. 480, 000 00 2,778 73 Individual deposits United States deposits Deposits of U. S. disbursing officers. 529,114 00 Due to other national bank3 Due to State banks and bankers Notes and bills re-discounted. Bills payable 1, 298 24, 000 15,000 24, 000 Total. $600,000 00 85,500 00 21,757 27 533, 900 00 158, 280 08 40, 204 82 1,917,635 80 Total 1,917,635 80 National Farmers and Planters' Bank, Baltimore. ENOCH PRATT, President. No. 1252. R I C H ' D CORNELIUS, Cashier. Loans and discounts $1,517,660 56 Capital stock paid in . Overdrafts ] U. S. bonds to secure circulation ! 650, 000 00 Surplus fund U. S. bonds to secure deposits I Other undivided profits U. S. bonds on hand | 350, 000 00 National bank notes outstanding.. Other stocks, bonds, and mortgages .. | Due from approved reserve agents.. .1 321, 802 10 State bank notes outstanding Due from other banks and bankers ..! 40, 440 04 Dividends unpaid . Real estate, furniture, and fixtures. . J 1, 000 00 Current expenses and taxes paid ; 5,859 21 Individual deposits , Premiums paid | United States deposits , Checks and other cash items : Deposits of U. S. disbursing officers Exchangesforclearinghou.se 236,731 29 Bills of other banks ; 82, 000 00 Due to other national banks Fractional currency i 3, 000 00 Due to State banks and bankers . . Specie 2L,200 00 [ Legal tender notes 175,000 00 Notes and bills re-discounted. U. S. certificates of deposit ' 270, 000 00 Bills payable Due from U. S. Treasurer ; 29, 250 00 Total | 3,753,943 20 Total $800, 000 00 273, 000 00 44,316 25 475, 400 00 12,856 00 % 615 28 2, 022, 299 71 107,328 00 16, 127 96 3,753, 943 20 National Mechanics' Bank, Baltimore. R. T. BALDWIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1413. $1, 590, 606 51 C. R. COLEMAN, Cashier. Capital stock paid in. """ioo.'ooo'oo" """3o6,"666"o6'i Surplus fund Other undivided profits 00 j National bank notes outstanding . State bank notes outstanding 05 17 91 Dividends unpaid . 80, 020 6,170 51,896 121, 032 15, 590 17 11,000,000 00 50, 000 00 28, 805 43 90, 000 00 5, 366 54 1, 644, 020 26 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 3, 010, 090 16 ; Individual deposits United States deposits Deposits of U. S. disbursing officers 20, 795 85 171,102 08 Total : 3,010,090 16 REPORT OF THE COMPTROLLER OF THE CURRENCY. 447 MARYLAND, National Union Bank of Maryland, Baltimore. WM. W. TAYLOR, President. No. 1489. ROBERT MICKLE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer i! ., 529, 973 77 Capital stock paid in . 2, 039 45 500, 000 00 I Surplus fund ! Other undivided profits 139, 852 42 j National bank notes outstanding 44, 396 48 State bank notes outstanding 57,153 31 171,410 25 Dividends unpaid . 7,079 78 21, 018 75 Individual deposits United States deposits 3, 706 00 Deposits of U. S. disbursing officers 58,734 09 50, 000 00 Due to other national banks 50 00 1 Due to State banks and bankers 1 5,172 03 33,000 00 Notes and bills re-discounted. 130, 000 00 Bills payable 22, 500 00 2, 776, 086 Total. 33 ' $1,258,725 00 84, 000 00 38, 736 62 450, 000 00 484 00 736 98 836, 446 49 101, 896 69 5, 060 55 2, 776, 086 33 Total... Traders' National Bank, Baltimore. TSAAC S. GEORGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits LL S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 826. $431,565 13 ""165"665 65" $250, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 234 55 10, 545 25 Dividends unpaid . 2, 633 55 2, 756 85 Individual deposits United States deposits 512 38 Deposits of U. S. disbursing officers. 22, 887 22 3, 542 00 Due to other national banks 45 68 1, 070 00 Due to State banks and bankers 36, 874 00 Notes and bills re-discounted. 5, 000 00 Bills payable 4, 500 00 622,221 6L Total. CLAYTON CANNON, Cashier. 6, 430 61 12, 370 04 90, 000 00 351 00 193, 861 42 59, 489 07 9,719 47 622,221 61 Total. Western National Bank, Baltimore. CHAUNCEY BROOKS, President. Loans and discounts Overdrafts U. S. bonds t o secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid.... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. W. H. NORRis. Cashier. No. 1325. $1,105, 056 19 Capital stock paid in . 100, 000 00 *I65"666"65" 56,424 163, 550 98,021 15, 000 6,401 86 61 55 00 83 20, 465 143,241 28, 425 165 3, 989 56, 359 45, 000 4, 500 76 92 00 08 84 00 00 00 1,946,601 64 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable Total $500, 000 00 170, 000 00 56, 228 48 89, 013 50 13,831 00 2, 787 09 1,048,410 23 37, 647 62 28, 683 72 1,946,601 61 448 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. Kent National Bank, Chestertown, GEO. B. WESTCOTT, President. W. N. E. WlCKES, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $99,003 17 Capital stock paid in. ""5o,"666"6o" Surplus fund Other undivided profits 10, 000 00 12,485 49 29, 207 123, 023 95, 835 2, 250 1, 737 National bank notes outstanding State bank notes outstanding Dividends unpaid. 45,000 00 21 56 70 00 68 Individual deposits United States deposits 104 12 Deposits of U. S. disbursing officers. 6, 520 00 Due to other national banks 225 59 Due to State banks and bankers 515 05 19,600 00 Notes and bills re-discounted Bills payable "% 250 "66* 430, 272 08 Total. $50, 000 00 Total 308, 504 72 2,720 00 1,561 87 430, 272 08 First National Bank, Cumberland. No. 381. JOSEPH SHRIVER, President. E. T. SHRIVER, Cashier. Loans and discounts $180, 944 63 Capital stock paid in j Overdrafts 779 50 j [ U. S. bonds to secure circulation 100, 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits i U. S. bonds on hand 65, 500 00 i Other stocks, bonds, and mortgages.. 4, 500 00 National bank notes outstanding j \ Due from approved reserve agents... 38, 351 74 State bank notes outstanding Due from other banks and bankers .. 34, 704 49 Dividends unpaid | Real estate, furniture, and fixtures... 12, 500 00 Current expenses and taxes paid 5,146 62 Individual deposits , | Premiums paid United States deposits I Checks and other cash items I 2, 923 05 Deposits of U. S. disbursing officers Exchanges for clearing house I Bills of other banks | 10,905 00 I Due to other national banks I Fractional currency j 1, 243 89 I Due to State banks and bankers | Specie j 1,184 90 | I Legal tender notes 48, 303 00 j Notes and bills re-discounted I | Bills payable | U. S. certificates of deposit Due from U. S. Treasurer 4, 500 00 Total. 511,486 82 Total. $100,000 00 50,000 00 21, 926 92 89, 200 00 238, 279 71 1, 204 13 10, 876 06 511,436 82 Second National Bank, Cumberland. LLOYD LOWNDES, Jr., President. Loans and discounts j O verdrafts U. S. bonds to secure circulation J U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1519. $306, 719 23 2, 746 74 ' 100, 000 00 j "*"20"000 6o"j 14, 060 24,118 13,772 10, 282 5,178 4,170 4,244 DANIEL ANNAN, Cashier. Capital stock paid in. Surplus fund Other undivided profits 00 I National bank notes outstanding 18 : State bank notes outstanding 16 ! 75 Dividends unpaid . 20 Individual deposits 00 | United States deposits 52 I Deposits of U. S. disbursing officers. 4, 669 00 Due to other national banks 554 31 Due to State banks and bankers 4,604 02 34, 456 00 Notes and bills re-discounted. Bills payable 4,500 00 554,075 16 Total. $100, 000 00 50, 000 00 30, 335 42 90, 000 00 277, 438 60 4,504 87 1,796 27 554, 075 16 REPORT OF THE COMPTROLLER OF THE CURRENCY. 449 M A R I I A IVD. Easton National Bank of Maryland, Easton. No. 1434. I. L. ADXINS, President. RICHARD THOMAS, Cashier, Resources. Loans and discounts I Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposit* U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $293,244 18 Capital stock paid in. 1, 448 32 ! 200, 000 00 I Surplus fund Other undivided profits """5o,"66o"w"i 2, 375 00 I National bank notes outstanding «.. 113,931 21 • State bank notes outstanding 14,907 32 ! 12, 000 00 i 2, 959 27 ! 936 i 14,715 1,302 3, 038 26, 217 00 62 73 00 Dividends unpaid . 100, 000 00 20,658 17 131, 405 00 3,075 05 Individual deposits United States deposits Deposits of U. S. disbursing officers. 282, 444 43 Due to other national banks Due to State banks and bankers . . . 6, 427 43 1, 109 65 Notes and bills re-discounted 8f"045"66" Bills payable 745,119 73 Total. $200, 000 00 745,119 73 Total. National Bank, Elkton. No. 1236. JACOB TOME, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. RlCH'D MCFARLAND, Cashier. $240, 842 46 Capital stock paid in. 25 37 100, 000 00 Surplus fund Other undivided profits 1, 500 00 32, 617 10 17,050 66 14,212 91 2, 017 03 135 85 National bank notes outstanding State bank notes outstanding $100,000 00 30, 000 00 6, 636 65 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 4, 325 00 Due to other national banks 1, 769 54 Due to State banks and bankers 1, 051 90 17, 687 00 Notes and bills re-discounted. Bills payable 4, 500 00 2, 218 51 1, 335 98 22, 564 28 437, 734 82 Total. "437, 734 82 184, 979 40 First National Bank, Frederick. THOMAS GORSUCH, President. Loans and discounts I Overdrafts I U. S. bonds to secure circulation j U. S. bonds to secure deposits j U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1589. $188, 163 09 1, 530 85 100, 000 00 2, 800 00 3, 504 97 5, 072 87 22, 400 00 865 35 9, 457 91 4, 433 854 5, 990 14, 877 00 46 00 00 THOS. M. MARKELL, Cashier. Capital stock paid in.. Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding $100, 000 00 20, 000 00 4, 546 49 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , 148, 282 32 1, 549 88 70 81 4, 500 00 334,449 50 Total. 364, 449 50 450 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. Central National Bank, Frederick. GEO. R. DENNIS, President. No. 1138. P. M. ENGELBRECHT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U- S. bonds on hand Other stocks, bonds, and mortgages - . Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $331, 335 37 I Capital stock paid in. 1, 427 85 200, 000 00 Surplus fund Other undivided profits. 27, 000 00 16, 923 04 9, 683 24 12, 000 00 $200, 000 00 40, 000 00 5,413 53 378,570 00 National bank notes outstanding . . State bank notes outstanding 13,554 00 Dividends unpaid . 185, 420 54 Individual deposits i United States deposits 10, 253 22 Deposits of U. S. disbursing officers 82 157 1,369 8, 048 00 43 70 00 1, 911 75 2,410 03 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 9, 000 00 ! Total. 627, 279 85 27,279 85 Farmers and Mechanics' National Bank, Frederick. EZRA HOUCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1267. $144, 599 13 "125" 656" bo' J . Wll. BlRELT, Cashier. $125, 000 00 Capital stock paid in 40, C O 00 O 6, 918 02 Surplus fund Other undivided profits 55, 420 00 National bank notes outstanding 15, 731 48 ],358 14 9, 300 00 2,216 97 25 00 State bank notes outstanding 4,213 44 " " 2 " 138" 66' 794 94 3, 000 00 20, 942 00 112, 500 00 409 50 Dividends unpaid 102,904 58 Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 2, 620 00 426 79- Notes and bills re-discounted Bills payable """6,"040 79' Total. 390, 778 S9 I 390, 778 Frederick County National Bank, Frederick. J. H. WILLIAMS, President. No. 1449. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . $183, 263 20 2, 374 94 150, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 29, 848 98 61, 538 37 6, 000 00 1,374 20 4,298 36 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. Total. 6, 000 00 32,500 00 3,137 31 2, 097 00 342 08 1,611 60 25,206 00 P . B. MCCLEERY, Cashier. Capital stock paid in . Surplus fund , Other undivided profits., National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officersDue to other national banks Due to State banks and bankers $150, 000 00 50, 000 00 14,128 27 134, 060 00 2, 370 00 2, 877 23 162,115 70 664 98 25 86 Notes and bills re-discounted Bills payable Total. 516, 242 04 REPORT OF THE COMPTROLLER OF THE CURRENCY. 451 MARYLAND. First National Bank, Hagerstown. GEORGE SCHLEY, No. 1431. President. P. B. SMALL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie * Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $118,995 89 Capital stock paid in. 2, 253 28 100, 000 00 Surplus fund Other undivided profits 19,736 55 15, 708 41 45,222 73 4, 600 00 1,322 52 4,131 b'7 600 00 1, 478 27 2,165 00 15, 000 00 10, 000 00 4,500 00 $100, 000 00 35, 000 00 7, 519 54 90, 000 00 National bank notes outstanding State bank notes outstanding Dividends unpaid. 1,761 13 Individual deposits , United States deposits Deposits of U. S. disbursing officers. 106, 972 86 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 4, 460 19 345, 714 32 Total. 345, 714 32 First National Bank, New "Windsor. No. 747. T. F. SHEPHERD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S certificates of deposit Due from U. S. Treasurer Total. N. H. BAILE, Cashier. $72, 201 82 Capital stock paid in . 1, 240 38 55, 00Q 00 Surplus fund Other undivided profits 7, 437 50 National bank notes outstanding 5,717 89 State bank notes outstanding 1, 846 33 1,078 97 Dividends unpaid . 519 94 j Individual deposits ! United States deposits ij Deposits of U. S. disbursing officers. 87 00 358 84 75 00 4, 700 00 $55,000 00 7, 850 00 3,098 40 49, 500 00 22 50 36, 913 29 Due to other national banks Due to State banks and bankers . 1,154 48 Notes and bills re-discounted. Bills payable 3, 275 00 153, 538 67 153, 533 67 Total. Cecil National Bank, Port Deposit. JACOB TOME, President. No. 1211. R. C. HOPKINS, Cashier. Loans and discounts j $539,632 58 i Capital stock paid in Overdrafts | 84 46 !| U. S. bonds to secure circulation ! 282, 000 00 j Surplusfund U. S. bonds to secure deposits ! ;i Other undivided profits U. S. bonds on hand j ! Other stocks, bonds, and mortgages.-1 47,001 25 National bank notes outstanding Due from approved reserve agents... j 43, 027 67 State bank notes outstanding Due from other banks and bankers... j 4, 991 09 Real estate, furniture, and fixtures... 4,366 07 Dividends unpaid. Current expenses and taxes paid j 3, 372 30 Individual deposits ; Premiums paid i •II J United States deposits j Cheeks and other cash items , 975 41 ji Deposits of U. S. disbursing officers. Exchanges for clearing house , 2,920 00 Due to other national banks Bills of other banks 1,136 78 Due to State banks and bankers Fractional currency 1,120 SO Specie 17,519 00 Notes and bills re-discounted. Legal tender notes , Bills payable U. S. certificates of deposit , Due from U. S. Treasurer 12, 690 00 Total. 960,837 41 | Total. $300, 000 00 | j 100,000 00 28, 693 92 \ | 253, 735 00 125 00 j 163,622 18 16,641 94 127 67 97,891 70 960,837 41 452 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. First National Bank, Westminster. G. S. HAINES, President. No. 742 GEO. R. GEHR, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... \ Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes , U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $186,197 91 4,580 78 125, 000 00 Capital stock paid in $125, 000 00 Surplus fund Other undivided profits 16,550 50 National bank notes outstanding... 955 92 State bank notes outstanding 626 07 10, 500 00 Dividends unpaid . 1, 679 54 Individual deposits United States deposits 348 00 Deposits of U. S. disbursing officers. 1,864 00 767 82 156 05 10, 826 00 i Due to other national banks I Due to State banks and bankers ' I Notes and bills re-discounted. Bills payable 5, 625 00 | 385 00 68, 777 47 16, 765 47 31 23 365, 677 59 Total. 365, 677 59 25. 000 00 17,218 42 112,500 00 Farmers and Mechanics' National Bank, Westminster. JOSEPH SHAEFFER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house.... Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1526. A. D. SCHAEFFER, Cashier. $92, 956 02 Capital stock paid in. 3, 861 39 75, 000 00 Surplug fund Other undivided profits 5,115 00 National bank notes outstanding 4, 093 81 State bank notes outstanding 7,940 06 8, 500 00 Dividends unpaid . 494 62 Individual deposits United States deposits Deposits of U. S. disbursing officers. 7,068 48 80 00 369 56 325 00 3, 133 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable $75, 000 00 3, 500 00 4,813 64 67,500 C O 706 00 46,889 01 7,252 27 4,251 02 975 00 Total. 209,911 94 209, 911 94 Union National Bank, Westminster. J. K. LONGWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits . . . . U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer Total No. 1596. J. W. HERING, Cashier. $150, 062 83 Capital stock paid in 903 32 ! 100, 050 00 i Surplusfund Other undivided profits il,322 50|: National bank notes outstanding I: State bank notes outstanding QiioOOO i! Dividends unpaid 1,364 00 || I a d i v i d u a l deposits I United States deposits 45 00 Deposits of U. S. disbursing officers. 2,172 00 Due to other national banks 1, 760 28 Due to State banks and bankers 584 00 13,860 00 $100, 000 00 19,500 00 4, 305 92 84, 060 00 1,515 77 80, 682 28 6,107 18 3.2L9 53 Notes and bills re-discounted. il Bills payable 299,390 68 l| Total 299,390 68 EEPORT OP THE COMPTROLLER OF THE CURRENCY. 453 MARYLAND. Washington County National Bank, Williamsport. S. S. CUNNINGHAM, President. E. G. W. STAKE, Cashier. Resources. Loans and discounts O verdrafta U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . Liabilities. $127, 028 01 Capital stock paid in. 13 90 150, 000 00 Surplus fund Other undivided profits ""25 "500" 65' 8, 963 68 National bank notes outstanding 9, 586 02 State bank notes outstanding 9, 536 44 Dividends unpaid. 3, 500 00 2, 190 26 Individual deposits United States deposits 175 50 Deposits of U. S. disbursing officers. 235 00 Due to other national banks 1 22 Due to State banks and bankers 2, 826 45 6, 675 00 Notes and bills re-discounted . Bills payable 6,750 00 j 353,181 48 I Total. $150, 000 00 30, 000 00 10,564 65 122, 048 00 2,123 00 2, 093 24 35, 226 66 1,125 93 353,181 48 454 REPORT OF THE COMPTROLLER OF THE CURRENCY. DISTRICT OF COLUMBIA. Farmers and Mechanics' National Bank, Georgetown. H. M. SWEENY, President. No. 1928. W M . LAIRD, Jr., Cashier. Resources. Liabilities. $312, 712 47 908 31 250, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 130, 147, 3, VI, 2, 4, 5, 632 50 692 28 323 01 550 00 898 29 000 00 811 83 $252, 000 00 Capital stock paid in. 44,000 00 27, 745 22 Surplus fund , Other undivided profits. National bank notes outstanding State bank notes outstanding Dividends unpaid. 220, 500 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 448, 323 58 14,104 00 Due to other national banks 2, 927 00 Due to State banks and bankers 4,066 65 98,000 00 Notes and bills re-discounted. Bills payable , 11, 250 00 Total. Total 1, 005, 876 34 1, 372 00 9, 475 46 2, 460 08 1,005,876 34 Second National Bank, "Washington. J. C. McKELDEN, President. No. 2038. I Loans and discounts ! Overdrafts | U. S. bonds to secure circulation j U. S. bonds to secure deposits i U. S. bonds on hand I Other stocks, bonds, and mortgages..i Due from approved reserve agent?... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid I Checks and other cash items | Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer , Total. HENRY C. SWAIN, Cashier. $272, 479 45 Capital stock paid in 3,138 13 80, 000 00 Surplus fund. Other undivided profits 196 76 National bank notes outstanding 3,331 96 State bank notes outstanding 6, 648 37 102, 280 95 Dividends unpaid 4,159 76 6, 897 51 Individual deposits 16, 854 43 United States deposits 4,134 00 Deposits of U. S. disbursing officers.. 482 51 Due to other national banks 243 00 Due to State banks and bankers 26, 460 00 Notes and bills re-discounted 3, 600 00 Bills payable 530, 906 83 Total. $300,000 00 22,500 00 8,437 96 72, 000 00 880 00 125,904 71 559 56 624 60 530,906 83 Citizens' National Bank, Washington. J. A. J. CRESWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total WM. N. ROACH, Cashier. No. 1893. $290,291 48 1, 888 93 300, 000 00 ioo"6o" 21, 649 21, 762 21,889 98,174 1, 947 16 37 68 80 49 2, 245 1,657 1, 325 30, 287 00 02 00 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding... State bank notes outstanding 8,000 00 13,166 20 268, 600 00 Dividends unpaid., J Individual deposits United States deposits 13, 961 24 Deposits of U. S. disbursing officers. "i3*566"66' $300, 000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 820,679 17 ;| Total. 170,708 62 34, 995 58 1, 208 77 24, 000 00 820, 679 17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 455 DISTRICT OF COLUMBIA. National Bank of the Republic, Washington. FITZHUGH COYLE, President. No. 875. CHAS. BRADLEY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand .., Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $351, 777 71 900 00 200, 000 00 100, C O 00 O 59, 000 00 415 00 58, 684 48 16,412 77 70, 800 00 7, 011 21 1, 632 72 42,871 Q6 11,781 00 860 00 4,532 21 64, 769 00 35, 000 00 Capital stock paid in . National bank notes outstanding State bank notes outstanding Dividends unpaid . 100, 000 00 65,841 41 180, 000 00 , Individual deposits United States deposits Deposits of U. S. disbursing officers 408, 997 26 62, 009 93 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable 18, 592 89 6 27 9, 000 00 1,035,447 76 I Total. $200, 000 00 Surplus fund Other undivided profits. 1, 035, 447 76 Total . National Metropolitan Bank, Washington. J. W. THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie... Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer. Total. No. 1069* $813, 707 85 405 65 100, 000 00 GEO. H. B. W H I T E , Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 5, 912 52 199, 388 87 32, 532 71 116,778 56 Dividends unpaid . 9, 534 68 Individual deposits United States deposits 16, 297 95 Deposits of U. S. disbursing officers. 6,116 00 6,501 90 3, 852 70 69, 737 00 10, 000 00 4, 500 00 1, 395, 266 39 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. $500, 000 00 150, 000 00 75,071 07 90, 000 00 2, 730 00 457, 579 54 91, 248 92 28, 636 86 1, 395, 266 39 456 REPORT OF THE COMPTROLLER OF THE CURRENCY. VIRGINIA. First National Bank, Alexandria. S. F. BEACH, President. No. 651. CHAS. R. HOOFF, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers- Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. Capital stock paid in | $100, 000 00 Surplus fund Other undivided profits j 20, 000 00 11, 257 53 27,125 25 National bank notes outstanding 80, 343 50 i State bank notes outstanding 24, 259 62 23, 550 00 Dividends unpaid 5, 369 45 11, 753 06 Individual deposits 12, 537 52 United States deposits I 3, 500 00 Deposits of U. S. disbursing officers.. | ! 593 00 Due to other national banks 3, 500 00 Due to State banks and bankers I 23, 482 00 Notes and bills re-discounted j , 6, 600 00 Bills payable 90,000 00 $297, 708 24 1, 300 00 100, 000 00 ""83*666" 66" Total., 709,621 66 457, 448 56 27, 083 63 3, 831 94 709,621 66 Citizens' National Bank, Alexandria. JOHN B. SMOOT, President. No. 1716. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . WM. H. LAMBERT, Cashier. $116, 520 46 j Capitalstockpaidin 4,193 91 I 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid , 24,133 36 61, 306 54 16, 249 23 9, 700 00 1, 975 28 12,000 00 6,381 04 1,433 00 1,244 93 665 00 22, 041 00 | | j j j Individual deposits United States deposits Deposits of U. S. disbursing officers. ' ! I j Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 332, 353 75 Total. $125,000 00 7, 300 00 7, 694 39 90, 000 00 141, 525 69 5,479 53 5,354 14 j 382,353 75 Planters' National Bank, Danville. W. D. BBTHELL, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits I U. S. bonds on hand |. Other stocks, bonds, and mortgages.. i. Due from approved reserve agents... Due from other banks and bankers... | Real estate, furniture, and fixtures .. I Current expenses and taxes paid j Premiumspaid, Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1985. NATH'L TALLEY, Cashier. $240, 692 14 Capital stock paid in1,349 58 54, 000 00 Surplus fund 75, 000 00 Other undivided profits . National bank notes outstanding... 19, 750 02 State bank notes outstanding 4, 450 20 12, 000 00 Dividends unpaid . 3,443 2L 10, 500 00 Individual deposits United States deposits 9, 427 25 Deposits of U. S. disbursing officers. 41,610 00 Due to other national banks 177 96 Due to State banks and bankers 1,439 85 22, 583 00 Notes and bills re-discounted. Bills payable 2, 430 00 498,853 2L Total. ;ioo,ooo oo 20,000 00 8,041 98 48, 600 00 133,454 33 113,111 54 102 73 3,125 63 1,434 23 70,987 77 498,858 21 REPORT OF THE COMPTROLLER OF THE CURRENCY. 457 VIRGINIA. National Bank, Fredericksburg. No. 1582. JACOB TOME, President. JNO. M. WALLACE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes Due from U. S. Treasurer Suspense account Total. $106, 400 78 ! 1, 359 42 j 30, 000 00 j $50, 000 00 Capital stock paid in. 5, 500 00 24, 230 37 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 27, 000 00 25,354 79 2, 335 98 24, 375 45 Dividends unpaid . 1,433 37 Individual deposits United States deposits 128 86 Deposits of U. S. disbursing officers.. 2, 457 00 495 84 2,234 00 10, 442 00 1,350 00 6, 846 09 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total 215,213 58 103,296 17 2, 761 92 2,425 12 I 215, 213 58 First National Bank, Harrisonburg. A. B. IRICK, President. C. C STRAYER, Cashier, No. 1572. $151,326 41 | Capital stock paid in 5,469 60 . 50, 000 00 Surplus fund Other undivided profits Loans and discounts Overdrafts U. S. bonds to secure circulation Other stocks, bonds, and mortgages.. 6,295 67 Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid $110,000 00 . . 28, 000 00 7,890 12 National bank notes outstanding State bank notes outstanding 44, 940 00 9,108 87 20, 983 24 1,578 13 Checks and other cash items Bills of other banks . . . . Legal tender notes U. S. certificates of deposit Individual deposits United States deposits I Deposits of U. S. disbursing officers 1, 225 00 Due to other national banks 148 75 Due to State banks and bankers 67, 629 99 2,758 48 •. 16, 465 00 2,250 00 Total 8,559 87 589 17 Notes and bills re-discounted. Bills payable .. . . Total 267, 609 15 267, 609 15 Loudoun National Bank, Leesburg. H. T. HARRISON, Preside?it. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1738. $132,966 64 19 32 100, 000 00 42,188 58 6, 323 67 275 00 1, 540 27 10, 700 00 1,915 04 ANTHONY DlBRELL, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 6, 600 00 2,611 43 89, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 237 00 Due to other national banks 98 10 Due to State banks and bankers 970 00 26, 550 00 Notes and bills re-discounted. Bills payable 4, 500 00 328, 283 62 $100, 000 00 Total. 126,651 31 3, 044 84 376 04 328, 283 62 458 REPORT OF THE COMPTROLLER OF THE CURRENCY. VIRGINIA. First National Bank, Lynchburg. No. 1558. J. F. SLAUGHTER, President. DAVID E. SPENCE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. j i j j j j Due from approved reserve agents . . ! Due from other banks and bankers . . ; Real estate, furniture, and fixtures. . J Current expenses and taxes paid : Premiums paid I Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer I j \ < \ ; Total j $442, 620 24 | Capital stock paid in 1,554 18 ! 130, 000 00 ! Surplus fund | Other undivided profits j J National bank notes outstanding 45, 828 41, 996 22, 832 7, 380 4,000 1, 243 24,509 43 100 48,000 5, 850 I $200, 000 00 j 40,000 00 17,145 29 116, 995 00 18 j State bank notes outstanding 63 ! 40 i Dividends unpaid ! 01 | 00 ; Individual deposits J 80 | United States deposits j Deposits of U. S. disbursing officers. 00 j Due to other national banks 13 ! Due to State banks and bankers i 00 ! 00 ' Notes and bills re-discounted j Bills payable 00 | Total. 775,957 57 J 386, 432 54 7, 418 23 7, 266 51 775,957 57 Lynchburg National Bank, Lynchburg. T. C. S. FERGUSON, President. No. 1522. Loans and discounts j Overdrafts j U. S. bonds to secure circulation ; U. S. bonds to secure deposits j U. S. bonds on hand j. Other stocks, bonds, and mortgages..!. $351,143 6, 390 100, 000 60, 000 15 95 00 00 Due from approved reserve agents.. .| Due from other banks and bankers . . j Real estate, furniture, and fixtures. ..j Current expenses and taxes paid I Premiums paid ! 24,169 43, 741 22, 920 7, 786 1, 435 57 06 21 23 00 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 23, 832 52 2,955 93 600 24, 240 -.. 00 40 00 00 LO. NORVELL, Cashier. Capital stock paid in .j $200,000 00 Surplus fund Other undivided profits ! j 40,000 00 12,850 91 National bank notes outstanding State bank notes outstanding j I 82, 400 00 Dividends unpaid j j Individual deposits | United States deposits j Deposits of U. S. disbursing officers..| Due to other national banks Due to State banks and bankers j j 276, 640 18 49, 533 56 3, 427 55 2,181 76 7, 473 13 Notes and bills re-discounted. Bills payable 5, 200 00 ; 1 Total. Total. 674,507 09 ! 674,507 09 Exchange National Bank, Norfolk. J. B. WHTTEHEAD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. No. 1137. $838, 569 13 ; Capital stock paid in 300, 000 00 175, 000 00 17, 450 00 Due from approved reserve agents.. Due from other banks and bankers Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 69, 356 63, 468 50, 744 10,165 65, 000 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 53, 090 20 Total. G-EO. M. BAIN, Jr., Cashier. 19, 711 752 4,306 84,726 84 02 15 95 00 00 20 50 00 \ $300, 000 00 Surplus fund Other undivided profits. 105,000 00 30, 437 77 National bank notes outstanding State bank notes outstanding 270,000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . | Due to other national banks Due to State banks and bankers 826, 545 03 132, 506 27 73,873 14 11, 900 15 14, 887 34 Notes and bills re-discounted. Bills payable 12, 809 71 1, 765,149 70 Total i 1,765,149 70 REPORT OF THE COMPTROLLER OF THE CURRENCY. 459 VIRGINIA. People's National Bank, Norfolk. JAS. E. BARRY, President. No. 1704. W. S. WILKINSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents. . Due from other banks aud bankers . Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 600 oo •: 50,000 00 ; 300 00 126 95 Surplus fund Other undivided profits National bank notes outstanding Q 048 70 State bank notes outstanding 5, 639 81 '• yy T M J , . . . . ... 45, 000 00 . ; o' ~^L% -^ Individual deposits.. ° ' - ' 5 *'" United States deposits ..[. 9,495 22 ;: Deposits of U. S. disbursing officers..\ 2, 056 59li 1, 168 10, O O u 00 , 98 00 00 ; ' 2,250 00 Due to other national banks Due to State banks and bankers ! ; Notes and bills re-discounted Bills payable " 112, 156 19 ! 288,154 09 ; Total. $100, 000 00 $149, 380 35 ' Capital stock paid in 70 63 , 500 32 288, 154 09 Total. Commercial National Bank, Petersburg. No. 1769. THOMAS W I T H E R S , President. Loans and discounts ! Overdrafts | U. 8. bonds to secure circulation \ U. S. bonds to secure deposits j. U. S. bonds on hand I. Other stocks, bonds, and mortgages..:. Due from approved reserve agents...; Due from other banks and bankers . J Real estate, furniture, and fixtures...; Current expenses and taxes paid j Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency ' Specie j Legal tender notes U S. certificates of deposit j. Due from U. S. Treasurer .- ! ! " ! ! ! " i! National bank note? outstanding State bank notes outstanding ! I j | jj $120,000 00 8, 500 00 4,432 03 106, 300 00 L Dividends unpaid Individual deposits 9, 363 45 I United States deposits \ ! Deposits of U. S. disbursing officers . . i Due to other national banks Due to State banks and bankers 237, 731 38 13, 817 28 2, 257 88 Notes and bills re-discounted. Bills payable 493. Total. C. R. BISHOP, Cashier. $241,992 27!; Capital stock paid in 2,275 X !! S 120. 000 00 I Surplus fund ; ' ; Other undivided profits Total. First National Bank, Richmond. ISAAC DAVENPORT, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on baud Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3- No. 1111. $1,232,816 37 3, 221 90 622, 250 00 100, 000 00 Capital stock paid in $700, 000 00 Surplus fund Other undivided profits . 175, 000 00 43,197 67 29,491 64 j National bank notes outstanding 79, 718 37 ' State bank notes outstanding 35,694 10 : 27, 862 53 ! Dividends unpaid.. 7,018 17 i Individual deposits United States deposits 29, 606 27 Deposits of U. S. disbursing officers.. 560, 000 00 3,677 1,476 1,670 45,000 00 89 38 00 j!Due to other national banks | Due to State banks and bankers i I Notes and bills re-discounted. Bills payable 380 00 653, 852 38 2Q, 338 29 10, 057 93 48, 822 28 29, 855 07 28, 000 00 2, 247, 503 62 -26 S. A. GLOVER, Cashier. Total. 2,247,503 62 460 REPORT OF THE COMPTROLLER OF THE CURRENCY. V I R G I N I A. Merchants' National Bank, Richmond. THOMAS BRANCH, President. No. 1754. J. B. MORTON, Cashier Resources. Liabilities. Loans and discounts ! $370, 839 28 Capital stock paid in. Overdrafts ! 2,334 40 U. S. bonds to secure circulation 50, 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits. U. S. bonds on hand Other stocks, bonds, and mortgages.. 28, 164 06 National bank notes outstanding Due from approved reserve agents... 14, 980 24 State bank notes outstanding Due from other banks and bankers .. 12, 884 31 Dividends unpaid . Real estate, furniture, and fixtures... 2, 103 50 Current expenses and taxes paid 5, 735 13 Premiums paid 10, 000 00 Individual deposits United States deposits Checks and other cash items 15, 928 5 i ! Deposits of U. S. disbursing officers. Exchanges for clearing house Bills of other banks 11,269 00 : Due to other national banks I Fractional currency , 932 60 Due to State banks and bankers | Specie I 4,484 13 Legal tender notes I 21,500 00 Notes and bills re-discounted U. S. certificates of deposit Bills- payable Due from U. S. Treasurer ! 2, 250 00 Total | 553,405 16 Total , $200s 000 00 15, 500 00 18, 510 01 45, 000 00 164,238 27 45, 796 57 33, 427 26 30, 933 05 553,405 16 National Bank of Virginia, Richmond. E. O. NOLTING, President. No. 1125. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits I U. S. bonds on hand Other stocks, bonds, and mortgages .. j Due from approved reserve agents. -.[' Due from other banks and bankers .. t Real estate, furniture, and fixtures . . . ! Current expenses and taxes paid j Premiums paid j Checks and other cash items ; Exchanges for clearing house ' Bills of other banks Fractional currency Specie \ Legal tender notes ! Due from U. S. Treasurer ! Suspense account ' Total I J. \Y. LOCKWOOD, Cashier. $424, 966 06 ; Capital stock paid in 1,702 77 50, 000 00 ! Surplus fund ! Other undivided profits 20, 701 36 14, 113 71 92, 745 12 8, 847 70 5, 000 00 »37,176 44 3, 229 60 1, 145 33 1, 033 00 30, 540 00 2, 250 00 16,967 50 $200,000 00 32, 000 00 19,459 82 j National bank notes outstanding . . . State bank notes outstanding Dividends unpaid . 45, 000 00 300 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 351, 189 09 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable 15,81.1 21 46, 658 47 710,418 59 Total. 710,418 59 Planters' National Bank, Richmond. $750, 190 42 ;j Capital stock paid in. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds,and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency • Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer Total W. R. QUARLES, Cashier. No. 1628. JOHN B. DAVIS, President. 300, 000 00 I Surplus fund , 150, 000 00 I Other undivided profits. • National bank notes outstanding ... 48,671 54 j State bank notes outstanding 46,061 52 j Dividends unpaid . 32,697 21 J ' ^ on !! Individual deposits zi, ouo oo |. U n i t e d s t a t e a d e p o s i t s 47, 674 25 j! Deposits of U. S. disbursing officers. 4,600 00 !l Due to other national banks 827 72 Ii Due to State banks and bankers 3, 556 00 40, 000 00 Notes and bills re- discounted Bills payable $300, 000 00 90, 000 00 27, 479 80 270, 000 00 320 00 525, 670 54 210,758 08 29,532 90 19, 982 99 "l8*728*87' ! 1,473,744 31 Total 1,473,744 31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 461 VIRGINIA. Farmers' National Bank, Salem. G. B . BOARD, No. 1824. President. JAMES CHALMERS, Resources. Loans and discounts ! Overdrafts i U. S. bonds to secure circulation j U. S. bonds to secure deposits 1 U. S. bonds on hand j Other stocks, bonds, and mortgages..j Due from approved reserve agents. ..j Due from other banks and b a n k e r s . . .j Real estate, furniture, and fixtures. ..J Current expenses and taxes paid j Premiums paid ; Checks and other cash items | Exchanges for clearing house j Bills of other banks i Fractional currency ! Specie ! Legal tender notes I U. S. certificates of deposit j Due from U. S. Treasurer j Total Cashier. Liabilities. ! Capital stock paid in. $97, 518 44 $50, 000 00 Surplus fund Other undivided profits 12, 456 90 19, 669 94 792 35 609 22 10, 000 00 5,591 39 National bank notes outstanding State bank notes outstanding 50, 000 00 43, 500 00 Dividends unpaid . Individual deposits United States deposits 88 72 Deposits of U. S. disbursing officers.. i 6, 006 00 Due to other national banks 99 81 ! Due to State banks and bankers j 15, 000 00 I Notes and bills re-discounted . ! Bills payable 2, 250 00 ; Total. 204,491 38 ! 89,187 C2 3,060 17 3,152 20 204,491 38 Augusta National Bank, Staunton. No. 2269. H . W . SHEFFEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. $187, 407 47 2,879 93 50, 000 00 Due from approved reserve a g e n t s . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 8, 235 66 14, 123 59 2, 100 45 2, 381 92 11,081 25 3,916 20 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 490 00 13! 78 717 00 17,311 00 N. P. C A T L E T T , Cashier. Capital stock paid in. $100,000 00 Surplus fund Other undivided profits 3, 500 00 5, 389 83 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 46 00 135, 250 49 Due to other national banks. Due to State banks and bankers 6,218 29 7, 621 64 Notes and bills re-discounted . Bills payable 2, 250 00 | Total . 303, 026 25 | Total 303,026 25 National Valley Bank, Staunton. JOHN ECHOLS, President. M. H A R V E Y EFF:LVGER, Loans and discounts > Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits \ U. S. bonds on hand ! Other stocks, bonds, and mortgages..; Dae from approved reserve a g e n t s . . . Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expen es and taxes paid Premiums paid i. Checks and other cash items ] Exchanges for clearing house Bills of other banks j Fractional currency j Soecie ' Legal tender notes \ U. S. certificates of deposit D ue from U. S. Treasurer I Total ! $523, 580 36 ! Capital stock paid in. 2,531 73 |] Surplus fund 145, 000 00 \\ j • Other undivided profits ij 500 00 j;National bank notes outstanding . . . 10,478 16 i. State bank notes outstanding 42, 575 47 ' Dividends unpaid . 12, 500 00 j 5, 572 11 j; Individual deposits United States deposits 5,504 35 1 Deposits of U. S. disbursing officers. 1 2,229 298 1,649 51,919 00 94 92 00 I! Due to other national banks l! Due to State banks and bankers . . . |j jiNotes and bills re-discounted. Bills payable 6, 525 00 I j 8)0,864 04 jj Total. Cashier. $200, 000 00 140,000 00 97,725 97 130, 500 00 40 00 226, 437 46 11,209 90 4, 950 71 810,864 04 462 REPORT OF THE COMPTROLLER OF THE CURRENCY. VIRGINIA. Shenandoah Valley National Bank, Winchester. W)l. B. BAKER. President. No. 1635. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid.... Premiums paid Checks and other cash item.s Exchanges for clearing house Bills of other banks Fractional currency - - Specie Legal tender notes II. S. certificates of deposit Due from U. 8.Treasurer Total H. M. BRENT, Cashier. Liabilities. $•263,334 17 419 31 130, 000 00 17, 621 23 11, 735 71 16,378 58 3,815 88 6, 599 69 1, 677 00 334 06 1,375 00 16,310 0 U 5, 850 00 Capital stock paid in . Surplus fund Other undivided profits National barjk notes outstanding . . . State bank notes outstanding Dividends unpaid. $130, 000 00 30, 000 00 21,509 51 116, 000 00 690 00 Individual deposits United Slates deposits Deposits of U. S. disbursing officers. 171,160 42 Due to other national banks Due to State banks and bankers . . . 5.732 15 388 55 Notes and bills re-discounted.. . Bills payable 475, 480 63 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 6 3 W S E T VIRdDIi, First National Bank of Jefferson, Charlestown. E D W A R D TEARNEY, No. 1868. President, SAMUEL I I O W E L L , Cashier, Resources, Liabilities. Loans and discounts $54, 530 67 Capital stock paid in Overdrafts ...., 18 53 : U. S. bonds to secure circulation ! 75, 000 00 : Surplus fund U. S. bonds to secure deposits ; • Other undivided profits U. S. bonds on hand Other stocks, bouds, and mortgages.. I 8,999 05 National bonk notes outstanding Due from approved reserve agents... 1 Due from other banks aud bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid., „.. Premiums paid Checks and other cash items Exchanges for clearing house Bills of orher banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 4, 224 20 3, 198 56 2,455 80 1, 392 79 10, 272 13 . Total ; $75, 000 00 | | 4, 000 00 1, 697 09 | 66, 600 00 State bank notes outstanding ' Dividends unpaid ; Individual d.?po?it* : 137 43 United States deposits Deposits of U. S. disbursing officers . . : 4,411 00 Due to other na+ional banks 62 64 Due to State banks and b a n k e r s . . . . . 66 50 7, 570 00 Notes and bills re-discounted BiUs payable 3, 375 00 175, 714 30 Total 21 00 24, 430 09 2, 981 72 984 40 , 175, 714 30 Merchants' National Bank of West Virginia, Clarksburg. NATHAN G-OFF, President.* No. 1530. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bends to secure deposits U. S. bends on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks -Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer I j • : National bank notes outstanding State bank notes outstanding 14, 870 27 : j , lf 0 46 00 ;. Dividends unpaid 1, 575 01 Individual deposit a United States deposits 3,176 79 , Deposits of U. S. disbursing officers 9, 365 356 788 9, 385 00 62 65 00 Notes and bills re-discounted Bills navable. $100, 000 00 34, 470 75 4,169 42 89, 973 00 371 00 58,744 81 Due to other national banks Due to State banks and bankers 2, 955 44 2, 5J8 19 ] 5,200 00 Total 293,192 61 Total. L U T H E R HAYMOXD, Cashier, $143, 207 30 i Capital stock paid in 260 81 ;; ]00, 000 00 : Surplus fund. Other undivided profits I 293,192 61 First National Bank, Fairmont, J. C. BEESON, President. No. 981. Loans and discounts ; $154, 041 Overdraft-t --. 86S U. S. bonds to secure circulation . . . . . ; 50, 000 U. S. bonds to secure deposits '... TT. S. bonds on hand. Other sticks, bonds, and mortgages..j 100 Due from approved reserve agents...! D.ie from other banks and bankers..; Real estate, furniture, and fixtures... j 0 invnt expenses and taxes paid ; Premiums paid ; Checks and other cash items ' E xchanges for clearing house i.. - Bills of oth ;;r banks | Fractional currency Specie Legal tender notes Lg ; ; 11. S. certificates of deposit | Due from U. S. Treasurer j Total.. JOB. E . SANDS, Cashier. ;: 90 Capital stock paid in 00 |; ^ 00 \. Surplus fund Other undivided prodts 00 7, 095 0" 8, 925 96 29, 50 J 00 1, 999 49 330 70 19,053 58 15, 677 80 National bank nor»s outstanding State bank notes outstanding 45, 000 00 Ini1:vidual deDOsits TTR]t?d St-te^ d e p o t s S 5 001 335 50 90 Deposits of U. S. disbursing officers.. Due to other national banks 1, 000 » i X 851 37 Due to State banks and bankers 650 0') nd bills re-discounted 21, 036 00 , 'j Bills payable 2, 250 00 j 278,8-18 47 j $100,000 00 i J ; Total. 2,764 38 7, 684 31 3, 331 00 278,818 47 464 REPORT OF THE COMPTROLLER OF THE CURRENCY. WEST VIRGINIA. National Bank, Kingwood. WM. Gr. BROWN. No. 1608. President. FRANCIS HEERMANS, Cashier. Resources. Liabilities. Loans and discounts ; Overdrafts U. S. bonds to secure circulation I U. S. bonds to secure deposits i U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents...; Due from other banks and bankers... ; Real estate, furniture, and fixtures... Current expenses and taxes paid j Premiums paid Checks and other cash items , Exchanges for clearing house , Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $144, 354 09 Capital stock paid in '"" i-25," 666" 66"' , | j Surplus fund Other undivided profits ! | I 1,000 00 National bank notes outstanding 9,337 24 ! State bank notes outstanding i, 293 92 Dividends unpaid 500 00 947,24 Individual deposits United States deposits 229 31 Deposits of U. S. disbursing officers . L 191 00 , 138 53 195 00 1,345 00 $125,000 00 23,750 00 8, 669 87 2, 805 00 24,610 80 469 12 526 54 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 6,000 00 Total. 29 i, 531 33 291, 53 L 33 National Bank, Martinsburg. No. 1524. J O H N N. ABELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $130, 554 96 259 97 100,000 00 G-EO. S. HILL, Cashier. Capital stock paid in $100, 000 00 Surplus fund Other undivided profits I 16, 501 04 4, 080 93 10, 000 00 National bank notes outstanding State bank notes outstanding 2, 767 65 9, 903 04 843 67 1, 861 88 93 00 755 2 3, 443 12, 000 90, 000 00 | 1,905 00 i Dividends unpaid 61,120 22 | Individual deposits i| United States deposits | Deposits of U. S. disbursing officers. 00 1 j Due to other national banks 01 ! Due to State banks and bankers . 00 00 i| Notes and bills re-discounted. ' I Bills payable 3,381 99 Total. Total . 276,939 18 People's National Bank, Martinsburg. No. 2144. E. S. TROXELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages... 8, 451 32 2, 690 53 2, 186 14 810 17 8,462 25 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 4,156 314 839 3, 300 Total . B. WILSON, Cashier. $92, 686 15 ! Capital stock paid in 2, 857 29 j 50, 000 00 Surplus fund Other undivided profits Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . . j Current expenses and taxes paid ! Premiums paid j j > I j I j ! j JNO. 170 00 00 84 70 00 $50, 000 00 I j National bank notes outstanding State bank notes outstanding Dividends unpaid , 7, 000 00 1,696 91 | 45, 000 00 ! Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 200 00 76, 281 07 ! i 315 16 18 L 25 Notes and bills re-discounted. Bills payable 3, 750 00 180, 674 39 Total. 180, 674 39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 465 WEST VIRGINIA, Merchants' National Bank of West Virginia, Morgantown. D. H. CHADWICK, President. No. 1502. WILLIAM WAGNER, Cashier. Liabilities. Resources. Loans and discounts ! Overdrafts ! U. S. bonds to secure circulation j U. S. bonds to secure deposits j U. S. bonds on hand j Other stocks, bonds, and mortgages.. j Due from approved reserve agents...j Due from other banks and bankers... j Real estate, furniture, and fixtures. ..j Current expenses and taxes paid j Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes II. S. certificates of deposit Due from U.S. Treasurer , $143,111 71 ;Capital stock paid in 1,016 72 i 110,000 00 Surplus fund Other undivided profits 25,765 52 4, 510 09 99, 000 00 Individual deposits I United States deposits Deposits of U. S. disbursing officers. 2,185 83 $110, 000 00 National bank notes outstanding.... State bank notes outstanding j I Dividends unpaid ! 4,459 16 1,561 35 12.291 80 1, 5U1 38 | | I 50, 240 82 Due to other national banks Due to State banks and bankers Mb 00 180 18 2-26 91 11,019 00 2, 808 70 13 91 Notes and bills re-discounted. Bills payable 4,950 00 Total. 292, 609 04 Total. j 270 00 292, 609 04 First National Bank, Parkersburg. No. 180. J. N. CAMDEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid. — Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. It. J. MCCANDLISH, Cashier $259, 495 24 I Capital stock paid in . 1,127 27 150, 000 00 \ Surplus fund ; $150, 000 00 44, 500 00 12,139 89 Other undivided profits 27000 00 i National bank notes outstanding 5,749 62 ! State bank notes outstanding 7,599 05 25,021 39 i Dividends unpaid. 4,971 56 Individual deposits 1, 477 05 135, 000 00 119,876 57 United States deposits Deposits of U. S. disbursing officers, 966 25 190 00 Due to other national banks 213 88 Due to State banks and bankers 2, 005 00 13, 807 00 ! Notes and bills re-discounted. I Bills payable 7, 656 09 137 50 12, 063 26 6, 750 00 l Total . 481,373 31 I 481,373 31 Second National Bank, Parkersburg. J. J. JACKSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Speeie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 864. $214,895 20 8, 265 82 156, 250 00 1,200 66 W. H. WOLFE, Cashier. Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 11,100 50 19, 950 00 3,703 03 1,895 00 174 58 $156, 000 00 23, 000 00 8, 521 75 140, 400 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks 361 32 !| Due to State banks and bankers 8,192 32 !| 13,813 00 I Notes and bills re-discounted. Bills payable 2,799 23 |! 442,600 00 ;! Total. 101,250 11 5, 039 48 8, 388 66 442,600 00 466 REPORT OF THE COMPTROLLER OF THE CURRENCY. WEST VIRGINIA, Parkersburg National Bank, Parker sbnrg. No. 1427. J. M. STEPHENSO.V, President. H. H. Moss, Cashier. Resources. Liabilities. Loans and. discounts ... , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing bouse . . . . . . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 92 ! Capital stock paid in . 66 \ 00 ! Surplus fund Other undivided profits. $265, 150, $150, National bank notes outstanding ; State bank notes outstanding 00 • 135,000 00 Dividends unpaid 1,924 84 496 243 , 24 L Individual deposit? United States deposits Deposits of U. S. disbursing officers Due to other national banks . . . . . . . . Due to State banks and bankers 143, 128 < 9 2, 593 8 L 6, 850 75 Notes and bills re-discounted Bills p a y a b l e . . . . , ', 750 », 45L Total. Total National Bank, Piedmont. H. G. DAVIS, President. U. B. MCCANDLTSH, Cashier, $127, 506 111 50, 000 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. ""io,""ooo" , 000 Due from approved reserve agents.. Due from other banks and banker-, . Real estate, furniture, and fixtures . Current expense•> and taxes p a i d . . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie .' Legal tender notes U. S. certificates of depositDue from U. S. Treasurer . Ill ' Capital stock paid i n . . . . . . , $50, 000 G O I j Surplus fund Other undivided profits j 35, 500 H O 6,615 51 National bank notes outstanding State bank notes outstanding- .. Dividends unpaid . . . „ 45, 000 00 ...... Individual deposits United States deposits... j Deposits of U. S. disbursing officers.. j t 26 00 ! 00 138, 887 03 Due to other national banks Due to State banks and bankers Notes and bills re-discounted 321 63 668 73 > , 25:) 00 Total. •J7!?, iJ'J-2 9 8 Merchants' National Bank of West Virginia, Point Pleasant. C. C. M I L L E R , President, No. 1504. Loans and discounts ! Overdrafts .. | U. S. bonds to secure circulation i U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agent3... Due from other banks and bankers . . Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid ' Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total ; ' ! : T. S T R I B L I N G , $215, 242 92 Capital stock paid in 4*7 40 180, 000 00 Surplus fund Other undivided profits 1, 300 00 National bank notes outstanding 7, 651 67 State bank notes outstanding' . . ~ .j 4, 217 19 ............ 14. 463 50 Dividends unpaid 1, 991 76 Individual deposits , 170 18 , 730 00 488 04 53L 35 7, 268 00 : 442, 642 01 $ 180, 000 00 26, 000 00 12, 8:!4 11 160, 985 00 54, United States deposits . D-posits of U. S. disbursing officers. Due to other national banks. Due to State banks and bankers 1,642 23 3, 903 38 Notes and bills re-discounted Bills payable % 5^3 12 8, 100 00 I Cashier. Total. RP:PORT OF THE COMPTROLLER OF THE CURRENCY. 467 WEST VIBGniA. Wellsburg National Bank, Wellsburg. W. K, P E N D L E T O N T , No. 1884. President. W I L S O N BEALL, Cashier. Resources. Loans and discounts Overdrafts II. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and m o r t g a g e s . Due from approved reserve a g e n t s . . Due from other banks and b a n k e r s . Real estate, furniture, a n d f i x t u r e s . . Current expenses and taxes paid . . . Premiums paid Checks and other ca^h items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $92, Capital stock paid ia [ $100, 000 00 100, Surplus f u n d . . . . . . . . Other undivided profits., ! i 900 00 National bank notes outstanding . . . . State bank notes outstanding 13, Dividends unpaid 505 on" • Dv.o to other nat'.onal banks Duir TO State banks and bankers 00* j ; Notes a-d bills re-rtiscounted 198 60 i, 702 87, S O 00 C Individual deposits ' United States deposits Deposits oi U. S. disbursing officers.. i 24 31 11,250 00 5, 732 74 35, 482 76 1, 902 54 2, 186 59 ' \~hoti"66" Total , Total. \, 114 63 244, 114 63 National Exchange Bank, Weston. R. J. McCANDLiSH, President. Loans and discounts Overdrafts , U. 8. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve aorents-. Due from other banks and bankers . Real estate, furniture, and "fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency... Specie Legal tender notes U. S. certificates of deposit Due from {]. S. Treasurer o. 1607. D. M. BAILEY, Cashier. $112, 703 82 ! Capital stock paid in 2, 016 20 ; | 100, 000 00;! Surplus fund ,i Other undivided profits 5,,350 00 ;j ; National bank rotes outstanding ^99 ,^~ ;! State bank notes outstanding ,000 00 !j Dividends unpaid i $100, 000 00 j | 26,000 00 \ 4,615 69 I • ; 87,300 00 I j 987 6 7 ' Individual deposits j United States deposits i 271 19 Deposits of U.S. disbursing officers., j 275 406 100 ,083 00 20 00 00 ; Due toother national banks ; Due to State banks and bankers ! ; Notes and bills re-discounted '! Bills payable , 7 0 0 00 :j Total , ; ! 40,953 59 2, 004 28 j. : ! Total . 260,873 . National Bank of West Virginia, Wheeling. JAMES MAXWELL, President. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation J U. S. bonds to secure deposits J U. S. bonds on hand .! Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks.." Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . . . . . . . . . . Total . No. 1424. J O H N WAGXEK, Cashier. $353, 765 71 : Capital stock paid in 1, 085 3;) 73, 000 00 Surplus fund Other undivided profits ! $200, 000 00 ; 100, 000 00 8, 293 89 13, 562 08 • National bank notes outstanding j 65, 700 00 52, 873 44 State bank notes outstanding 44, 158 34 21,000 00 ; Dividends unpaid 2,312 79 Individual deposits 3,510 54 United States deposits Deposits of U. S. disbursing officers. 4, 915 00 i Due to other national banks 1,588 81 Due to State banks and bankers 246 42 55, 089 00 j Notes and bills re-discounted. Bills payable 3, 285 00 : • 630, 392 43 Total . I ' '• 1,325 00 234, 752 27 9,990 86 10,330 41 630, 392 43 468 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH CAROLINA. First National Bank, Charlotte. R. Y. MCADENT, President. No. 1547. M. P. PEG RAM, Cashier. Resources. Loans and discounts 0 verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total Liabilities. $692,251 81 I Capital stock paid in 10, 14? 62 j 52, 000 00 I Surplus fund Other undivided profits 172, 362 30 | National bank notes outstanding 24,485 14 State bank notes outstanding 77, 895 07 | 33, 179 35 . Dividends unpaid 6, 002 15 5, 000 00 ' Individual deposits $400, 000 00 72,000 00 48, 478 69 46, 800 00 | \ ! j United States deposits 15,584 00 Deposits of U. S. disbursing officers. j 345 68 Due to other national banks ! 14, 74? 65 | Due to Slate banks and bankers 85, 000 0:> I 602, 415 03 ' 4,226 14 3, 952 33 j Notes and bills re-discounted Bills payable 1, 191, 360 77 '• Total 2,340 66'I j 15,488 58 I ; 1,191, 360 77 Commercial National Bank, Charlotte. CLEMENT D O W D , President, Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, andfixture.-}. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $257, 498 37 Capital stock paid in ] 4, 740 56 I IS!), 000 00 Surplus fund .'. I Other undivided profits ! 5, 187 95 | National bank notes outstanding « 6,227 48 State bank notes outstanding 9, 499 22 3. 000 00 Dividends unpaid. 2. 865 09 25, 000 00 Individual deposits United States deposits 46 75 Deposits of U. S. disbursing officers. 9, 177 00 1,905 11 3,984 45 15, 000 00 j Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $200,000 00 5, 500 00 9, 403 21 161, 940 00 75 00 169, 076 25 2,937 52 13, 300 00 8, 100 00 562,231 98 Total. A. G. BRENIZER, Cashier. No. 2135. Total. 562,231 98 Merchants and Farmers' National Bank, Charlotte. J. H. Me ADEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents ..; Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid ; Checks and other cash items j Exchanges for clearing house j Bills of other banks [ Fractional currency Specie : ; Legal tender notes U. S. certificates of deposit j Due from U. S. Treasurer Total. No. 1781. J. R. HOLLAND, Cashier. $322, 858 01 Capital stock paid in. 1,160 69 103, 000 00 Surplus fund Other undivided profits I National bank notes outstanding . . . 12,829 84 j State bank notes outstanding 2,734 92 18,300 00 Dividends unpaid . 3, 409 58 Individual deposits 8, 000 00 United States deposits 502 67 Deposits of U. S. disbursing officers. 3,688 00 Due to other national banks 358 68 Due to State banks and bankers . 2, 742 45 8,000 00 i Notes and bills re -discounted Bills payable 4,500 66 489,084 84 Total. $200, 000 00 26,500 00 17, 997 27 90, 000 00 134, 826 33 223 22 19, 538 02 489,084 84 REPORT OP THE COMPTROLLER OF THE CURRENCY. NORTH 469 CAROLHA, Traders' National Bank, Charlotte. No. 2314. S. P. SMITH, President. C. N. G. BUTT, Cashier. Resources. Liabilities. Loans and discounts . . . . . . . . . . . . . . . Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. $149,743 75 1, 497 26 50, 000 00 142 05 5, 532 50 1,613 87 2, 589 09 3,628 11 8,379 92 1, 764 80 570 00 453 48 353 40 6, 70 J 00 2, 250 00 Capital stock paid in J100, 000 00 500 00 4,507 65 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid 85 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 71,791 44 Due to other national banks Due to State banks and bankers 1, 458 05 509 12 Notes and bills re-discounted Bills payable 11,356 97 Total. 235, 218 23 235,218 23 Fayetteville National Bank, Fayetteville. J. D. WILLIAMS, President. No. 1756. Loans and discounts Overdrafts,, U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand j Other stocks, bonds, and mortgages .. i Due from approved reserve agents. ..j Due from other banks and bankers... I Real estate, furniture, and fixtures... j Current expenses and taxes paid j Premiums paid j Checks and other cash items j Exchanges for clearing house j Bills of other banks j Fractional currency j Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ; | i $252, 779 46 2, 268 78 100,000 00 19, 475 52 420 13 9, 986 40 1, 477 03 10, 000 00 1,471 46 Capital stock paid in I $200, 000 00 Surplus fund Other undivided profits National bank notes outstanding j j j State bank notes outstanding 11,000 00 11,874 31 90, 000 00 j Dividends unpaid : Individual deposits j United States deposits j 1,108 00 Deposits of U. S. disbursing officers.. j • 1, 374 49 Due to other national banks 2,251 00 Due to State banks and bankers ! 6, 010 00 Notes and bills re-discounted I j """4*506"65" Bills payable Total 423,122 27 Total. WILLIAM HUSKE, Cashier. j 87,348 50 625 44 2, 274 02 20, 000 00 423, 122 27 People's National Bank, Fayetteville. E. F. MOORE, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes -. U. S. certificates of deposit Due from U. S. Treasurer Total . No. 2003. ARCH. MCLEAN, Cashier. Capital stock paid in . $150, 000 00 Surplus fund Other undivided profits 6. 372 20 1,874 75 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 678 00 890 85 1, 260 13 6, 500 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 90, 000 00 390 00 41, 556 65 2, 080 53 1, 922 51 10, 000 00 4, 500 00 I 304, 196 64 Total. 304,196 64 470 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH CAROLINA. National Bank, Greensboro'. JESSE H. LINDSAY, President. No. 2322. JULIUS A. GRAY, Cathi Resources. Liabilities. Loans and discounts tfi?l, Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve a ^ n t s . . 063 36 1,402 32 34, 000 00 ^S^Z^^^1:: 'mw Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency - - - Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 3.418 47 139 01 4, 070 470 2,305 7, 2oO 00 fig 28 00 Capital stock paid in $100, 000 00 National bank notes outstanding «tate bank notes outstanding | i j ! ! | ^idendsunpaid .j Surplus fund Other undivided profits p Deposits oi' LT. 8. disbursing officers.. i [ Due to other national banks j Due to State banks and bankers j ; Notes and bills re-discounted Bills payable '•. , 6,831 55 30, 100 00 2, 324 5? 1,GSo 00 Total. lntf, Oi-2 15 Total ', 166,042 i 5 National Bank, New Berne. JOHN HUGHES, President. No. 1632. Loans and discounts ; : Overdrafts IT S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.Due from annrovpci reserve »g*..M.. - g2S^°t™^S.?S^::! 8L02 ; ^n49 32-67 100,030 00 2,000 00 10.756 95 s. fir.", K J. A. G-UION, Cashier. Capital stock paid in. Surplus fund Other unfuvlded profits " National bank notes outstanding State 'mrlk n Ki " < $100,000 00 ! ! 14,750 00 ! 15, 496 41 ! 90, 000 00 ™™™1™S- •'• • ikm U r>:vi^-u,Paia i S 1, 227 or< Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie L<?gal tender notes U. S. certificates of deposit Due from U. S. Treasurer £.6 Minn ?,;i)l) 3,212 25 I5,"-iOJ 00 2> 4io no ? : Deposits of U. S. disbursing officers Da?, TO o^h-r national banks ; D'-ie TO S*-J.T •••bunks and bankers . . . . ; Not--s ani bP.ls re-iiscounte'1.... i Bills pavable 2, 63^ 2i 74 57 6,000 00 4,000 00 Total 285,672 84 Total.. 285,672 84 Citizens' National Bank, Raleigh. W. E. A.VDERSON, President. Loans and discounts Overdrafts U. S. bond-' to secure circulation U. S. bonds to secure deposits U. S. bonds on h a n d . . . Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Realeitate,.furniture, and fixtures . . . Current expenses and taxes paid No. 1766. P . A. WILEY. Cashier. $22^,08^93 Capital stock pail in 23,610 30 : ' 100, 000 00 I Surplus fund , Other undiviied profits 10, 000 00 I 2. 795 00 . National bank notes outstanding 2 1 930 52 , State bank notes outstandin:z . : 5, 800 71 - ^ . . . . ipv,^ , ^ .: J 17. ()'}'•) 0 0 ioeacs uap.ua 1,265 22 T iu^n^ d-Do<;ts Premiums paid 12.655 00 : x^f%^ Cheeks and other cash items Exchanges for clearinghouse Bills of other banks Fractional currency Specie ." Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 3. 639 31 .... 6.8)0 00 6 )0 00 1,250 00 25, 000 00 Total tepnM*"".:"" '."'. ! : $100,000 00 14, 000 00 6,472 05 89, 3JO 00 014^07^4 ...."..V.f.... Deoosits of U. S. disbursing officers ; | Due to other national banks ! Due to State banks and bankers. ; , Notes and bi'.ls re-discounted.. ; Bills payable 4,500 00 j 460,815 04 | ; Total. 7,956 91 14, 303 74 6, 385 0'' 16, 5JO 00 4o9, 845 04 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH 471 CAROLINA. Raleigh National Bank of North Carolina, Raleigh. W. H. BATTLE, No. 1557. President. CHARLES D E W E Y , Cashier. Resource*. Liabilities. Loans and discounts ' Overdrafts ; U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures...: Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certincates of deposit Due from U. S. Treasurer ! Total Capital stock paid in ! $400, 000 00 Surplus fund Other undivided profits $351, 489 06 #, 500 00 400, (,'0'J 00 150, 000 (O J ! 64, 000 00 22, 117 91 ; National bank notes outstanding 25,670 60 44. 659 70 6, 990 23 116, 934 08 7, 196 14 31, 542 61 647 23 State bank notes outstanding 360, 000 03 . Dividends unpaid 825 00 Individual deposits United .States deposits Deposits of U. S. disbursing officers.. Due to other national banks 841 73 Due to State banks and bankers 1,617 35 15, 874 00 Notes and bills re-discounted Bills payable 24, 500 00 185. 717 78 102. 371 80 44, 821 00 3, 845 23 2, 634 91 3, 285 00 Total 1, 189, 668 63 1, 169, 668 State National Bank, Raleigh. No. 1682. J. G. W I L L I A M S , President. Loans and discounts | Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits i U. S. bonds on hand ! Other stocks, bonds, and mortgages..! Due from approved reserve agents. ..I Due from other banks and bankers . .| Real estate, furniture, and fixtures...! Current expenses and taxes paid ! Premiums paid ! Checks and other cash items \ Exchanges for clearing house Bills of other banks Fractional currency ; Specie.. ! ! Legal tender note* U. S. certificates of deposit ! l Due from U. S. Treasurer Total SAML. C. W H I T E , Cashier. $293, 020 50 i Capital stock paid in 4, 570 56 100, 100 00 • Surplus fund i Other undivided profits.... 17,364 04 20, 193 85 19. 350 21 39, 664 66 1, 142 34 3, 516 63 1, 300 62 ; S100, 000 00 ; 96,265 22 i 66, 265 00 Individual deposits ' United States deposits , Deposits of U. S. disbursing officers ! Due to other national banks Due to State banks and bankers . . . ; 225;551 43 I National bank notes outstanding i State bank notes outstanding | Dividends unpaid I ; ; i, "20 00 i 544 64 | o i l 76 18, 000 00 ! I 4, 500 00 Notes and bills re-discounted Bills payable Total. 524, 799 83 15, 062 06 J, 6i6 12 \ ! 524, 799 83 First National Bank, Salem. T. (I. LASH, No. 1659. President. Loans and discounts Overdrafts IJ. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve a g e n t s . . . Due from other banks and bankers . . Real estate, furnitu-e, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total W. A. LEMLY, Cashier. 470 60 150, Capital stock paid in . $150,000 00 665'66' Surplus fund Other undivided profits 31,000 00 8,089 59 25, 265 00 13, 238 55 21, 882 22 '450 00 487 38 1, 194 14 National bank notes outstanding State bank notes outstanding 135, 000 00 Dividends unpaid . Individual deposits . United States deposits Deposits of U. S. disbursing officers 171, 286 54 700 00 j Due to other national banks 436 24 I Due to State banks and bankers. I, 000 00 ), 500 00 I Notes and bills re-discounted I Bills payable 6,750 00 495,376 13 Total . 495,376 13 472 REPORT OF THE COMPTROLLER OF THE CURRENCY. tfORTH CAROLINA, First National Bank, Wilmington. No. 1656. E. E. BURRUSS, President. A. K. WALKER, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $386,828 18 j Capital stock paid in 2, 600 00 80, 000 00 Surplus fund Other undivided profits 31, 007 22 52, 653 40 8, 982 45 31, 785 15 4,268 05 11, 675 00 $250, 000 00 ! ! '11,659 24 42, 965 58 ', \. 71, 990 00 National bank notes outstanding State bank notes outstanding Dividends unpaid. 825 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 246,304 63 5. 838 1, 856 287 15, 600 00 Due to other national banks 43 Due to State banks and bankers . 48 00 Notes and bills re-discounted . Bills payable 3,600 00 6,298 48 6, 938 43 636, 981 36 Total. 636,981 36 First National Bank, "Wilson. No. 2321. W. D. ROUNTREE, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation j U. S. bonds to sectire deposits U. S. bonds on hand Other stocks, bonds, and mortgages .., Due from approved reserve agents...; Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house.... Bills of other banks Fractional currency Specie , i Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total JOHN HUTCHINSON, Cashier. $41, 635 47 Capital stock paid in., $51, 000 00 30, 000 00 Surplus fund Other undivided profits. 7,167 39 National bank notes outstanding State bank notes outstanding . .. 7, 276 18 9,101 89 Dividends unpaid. 2, 783 50 5, 629 04 Individual deposits United States deposits 214 20 Deposits of U. S. disbursing officers.. , 1, 951 00 Due to other national banks 596 29 Due to State banks and bankers . 176 08 1, 950 00 Notes and bills re-discounted , Bills payable 1, 350 C O 102,663 65 27, 000 00 16, 996 26 500 00 Total. 102,663 65 First National Bank, "Winston. J. A. BITTING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid ' Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2319. $80,196 12 J. W. ALSPAUGH, Cashier. Capital stock paid in. j $55,000 00 " 3 0 , uoo 6b" Surplus fund Other undivided profits J. 100 00 '212 45 5, 089 45 10, 826 20 | 4,639 175 333 3,000 00 93 00 00 l"350 6o"j 136, 972 15 j 4,526 62 National bank notes outstanding State bank notes outstanding | 27, 000 00 , Dividends unpaid ! Individual deposits j United States deposits • Deposits of U. S. disbursing officers.. I 34, 633 95 , Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 15,811 58 Total j | j j I 136,972 15 473 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH CAROLINA. National Bank, Anderson. No. 2072, JOS. N. BROWN, President. J. A. BROCK, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes a U. S. certificates of deposit Due fromU. S. Treasurer Total. $110,234 45 Capital stock paid in 74 34 50, 000 00 'Surplus fund Other undivided profits.., : National bank notes outstanding 36 94 State bank notes outstanding 11.497 99 ! Dividends unpaid . 1, 000 00 1,439 12 | Individual deposits 2,081 65 I United States deposits Deposits of U. S. disbursing officers.. 3, 300 00 Due to other national banks 326 39 Due to State banks and bankers . 1,638 00 11, 000 00 Notes and bills re-discounted "2,"250*06" Bills payable 194,878 88 $50, 000 00 7, 000 00 13, 428 70 43, 000 00 100 00 66, 347 29 2 69 15,000 00 | Total. 194,878 88 First National Bank, Charleston. ANDREW SIMONDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. W M . C. BREESE, Cashier. $78J, 316 83 i Capital stock paid in j 12,961 62 I 500, 000 00 j Surplus fund I Other undivided profits j 14.544 09 National bank notes outstanding State bank notes outstanding 34,922 19 !Dividends unpaid. 27,223 31 I 8, 599 45 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 20, 659 00 Due to other national banks S74 10 Due to State banks and bankers 6,613 82 ! 65, 000 00 Notes and bills re-discounted. Bills payable $500, 000 00 100,000 00 75,133 07 449, 990 00 109 00 306, 717 39 j j 52, 669 39 3,861 56 6, 734 00 22,506"6cH 1,495,214 41 | Total | 1,495,214 41 Bank of Charleston National Banking Association, Charleston. A. S. JOHNSTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and .fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from ''. S. Treasurer al. No. 2044. W>l. B. BURDEN, Cashier. $674,196 47 Capital stock paid in. 7, 575 00 50, 000 00 Surplus fund Other undivided profits , 144, 813 00 National bank notes outstanding 16,574 34 State bank notes outstanding 47,387 18 58, 180 09 Dividends unpaid . 19, 060 04 Individual deposits United States deposits Deposits of U. S. disbursing officers . 5, 189 465 1, 150 5, 000 00 Due to other national banks 74 Due to State banks and bankers 00 00 Notes and bills re-discounted Bills payable >600, 000 00 50, 965 47 15,117 62 45,000 00 10,412 00 118,566 22 683 38 9,659 77 86, 445 40 95, U00 00 2"256"66" 1, 031, 849 86 Total. 1,031,849 86 474 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH CAROLINA. People's National Bank, Charleston. C. O. WITTE, President. No. 1621. H. G. LOPER. Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, aad mortgages. Due from approved reserve agents.. Due from other banks and baukers . Real estate, furniture, and fixtures.. Current expenses aud taxes paid Premiums paid Checks and other cash items E xchanges for clearing house Bills of other banks F ractional currency Specie Legal tender notes U. S. certificates of deposit Due from (J. S. Treasurer Total. $1,220,671 30, 691 100, 000 150, 000 41 06 00 00 335, 670 35 52,301 13 35, 156 28 16, 4-6 20 16, 010 01 34, 560 00 27, 825 3, 861 1. 492 240, 585 00 78 9n 00 Capital stock paid in j $1,000,000 00 Surplus fund Other undivided profits ! i 180,000 00 36,018 57 National bank notes outstanding I 90,000 00 State bank notes outstanding I Dividends unpaid j Individual deposits j United States deposits j Deposits of U. S. disbursing officers..] Due to other national bank? | Due to State banks and baukers ! 493, 400 86 142, 336 82 78, 243 39 121,908 77 27, 902 77 Notes and bills re-discounted. Bills payable 100, 000 00 * 4, 500 Of*)" : 269, 811 18 Total | 2,269,811 18 National Bank, Chester. J O H N J . Me L U R E , No. 1804. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agentg.. Due from other banks and bankers . Real estate, furniture, aad fixtures . Current expenses and taxes paid Premiums paid ,,, Checks aud other cash items Exchanges for clearing house Bills of other banks F ractional currency Specie Legal tender notes U. S. certificates of deposit Due from U . S . Treasurer $180,222 15 848 23 50, 000 00 Capital stock paid in | $150,000 00 Surplus fund Other undivided profits ! j 14, 000 00 19,622 98 25,261 91 National bank notes outstanding . . . . j j 14, 703 04 ' State bank notes outstanding 2, 077 80 Dividends unpaid. 5,943 00 2, 435 10 Individual deposits 5, 000 00 United States deposits 2,031 89 Deposits of U. S. disbursing officers 45, 000 00 770 00 2, 049 36 4, 077 35 22, 434 00 2, 250 00 300 00 87, 185 85 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 326, 108 83 Total. J O H N L. H A R R I S , Cashier. Total. 326, 108 8.3 Carolina National Bank, Columbia. L. D. C H I L D S , President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1680. C. J . I R E D E L L , Cashier. $406, 923 90 Capital stock paid in 2, 193 53 100, 000 00 | Surplus fund. | Other undivided profits 124,737 86 National bank notes outstanding ! 629 17 State bank notes outstanding \ 11, 692 42 34, 662 10 Dividends unpaid j 15, 403 08 11,500 00 | Individual deposits 70 90 | United States deposits I Deposits of U. S. disbursing officers.. 6, 221 00 j| Due to other national banks? 283 61 ! Due to State banks and baukers 1,304 85 33, 500 00 j I Notes and bills re-discounted. Bills payable 4, 500 00 753, 622 42 j Total. $300, 000 00 33, 400 00 17,543 38 90,000 00 217,207 19 3,630 94 840 91 56, 000 C O 35, 000 00 753, 622 42 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 7 5 SOUTH CAROLINA. Central National Bank, Columbia. J. S. PRESTON, President. No. 1765. J. H. SAWYER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie ' Legal tender notes U. S. certificates of deposit Due from U. S, Treasurer $134,234 58 Surplus fund Other undivided profits 22, 232 31 National bank notes outstanding 10,519 77 State bank notes outstanding 21, 699 65 53, 161 03 Dividends unpaid . 4,404 6L 12, 578 02 Individual deposits United States deposits Deposits of U. S. disbursing officers. 9, 650 00 Due to other national banks 286 72 1, 940 00 Due to State banks and bankers . 7, 500 00 Notes and bills re-discounted. Bills payable 21,100 00 399, 306 69 Total . $100, 000 00 Capital stock paid in. £66,666" 66" 20, 000 00 13, 999 77 90,000 00 103 00 140,090 40 5, 113 52 30, 000 00 399, 306 69 Total. National Bank, Greenville. HAM LIN BEATTIE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1935. J. J. BLACKWOOD, Cashier. $100, 965 90 Capital stock paid in . 960 00 80, 000 00 Surplus fund Other undivided profits National bank notes outstanding 17, 379 73 State bank notes outstanding 2, 218 08 700 00 Dividends unpaid . 1,710 13 6, 000 00 Individual deposits United States deposits 540 78 Deposits of U. S. disbursing officers. 8,074 00 Due to other national banks 2, 963 00 Due to State banks and bankers 714 00 17, 600 00 Notes and bills re-discounted.. Bills payable $100, 000 00 5,216 80 20, 706 33 72,000 00 25 00 30,486 80 490 69 2, 500 00 12,000 C O 3, 600 00 243, 425 62 Total . 243,425 62 National Bank, Newberry. R. L. MCCAUGHRIN, President. JNO. B. CARWILE, Cashier. No. 1844. Loans and discounts | $190, 076 58 j Capital stock paid in. Overdrafts j 516 13 U S. bonds to secure circulation j 150, 000 00 j Surplus fund U.ti.bonds to secure deposits j.. Other undivided profits U. S bonds on hand. National bank notes outstanding Other stocks, bonds, and mortgages.. State bank notes outstanding DueftDin approved reserve agents... Due from other banks and bankers . . Dividends unpaid Real estate, furniture, and fixtures... Current expenses and taxes paid Individual deposits Premiums paid United States deposits Checks and other cash items Deposits of U. S. disbursing officers.. Exchanges iov clearing house Bills of other bauka Due to other national banks Fractional currency Due to State banks and bankers . . . . Specie ,. „ Legal tender notes Notes and bills re-discounted.. U. S. certificates of deposit Bills payable Due from U. S. Treasurer Total. H. Ex. 3- -27 Total. $150, 000 00 27,500 00 3, 235 12 134,1)95 00 40 00 77, 785 41 2,590 01 4, 996 10 401, 141 67 476 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH CAROLINA. National Bank, Spartanburg. No. 1848. D. C. JUDD, President. GEO. COFIELD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents-. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $105,401 80 Capital stock paid in 3,964 96 100,000 00 Surplus fund Other undivided profits 20, 000 00 8,260 00 $100, 000 00 16, 000 00 6,277 02 National bank notes outstanding 5, 879 40 6, 286 87 7, 300 00 1,622 60 8, 000 00 991 91 90, 000 00 State bank notes outstanding 190 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 493 00 1,593 58 2,126 05 3, 300 00 4, 500 00 Total . . 279, 720 17 34, 732 86 1, 920 29 10, 600 00 20, 000 00 279,720 17 Merchants and Planters' National Bank, Union. WILLIAM MUNRO, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand I Other stocks, bonds, and mortgages..} Due from approved reserve agents... j Due from other banks and bankers ..I Real estate, 'furniture, and fixtures. - Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie L egal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 2060. §66, 944 56 Capital stock paid in., 1, 091 37 60, 000 00 Surplus fund Other undivided profits 7, 463 12 3, 880 93 7, 541 00 1,136 96 5, 300 00 1 National bank notes outstanding . . 1 | State bank notes outstanding | Dividends unpaid . 760 00 162 00 655 45 2, 254 00 "2" 700 65"; $60,000 00 5, 700 00 3, 750 68 53, 995 00 100 00 i Individual deposits , { United States deposits 20 00 | Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total . 159, 909 39 j Total. E. R. WALLACE, Cashier, 29, 363 71 7, 000 0Q 159, 909 39 Winnsboro' National Bank, Winnsboro'. W. R. ROBERTSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. - . Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Sp ecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2087. $62,339 37 2, 300 00 75, 000 00 797 78 5, 479 80 1,433 70 1,780 78 10, 212 50 3, 077 00 45 26 188 00 1,535 00 SAML. B. CLOWNEY, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable $75, 000 00 2, 392 31 4, 207 71 66, 865 00 147 50 17, 779 20 252 47 2, 455 00 166, 644 19 Total. 166,644 19 REPORT OF THE COMPTROLLER OF THE CURRENCY. 477 OE OROIA. First National Bank, Americus. No. 2009. R. T. BYRD, President. F. E. BURKE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures .. Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $61, 430 65 367 68 50, 000 00 10,204 59 3,139 69 5,193 65 824 99 5, 062 83 $60, 000 00 Capital stock paid in. 5, 006 22 1,413 19 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 44, 260 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers - 660 00 Due to other national banks 2 40 Due to State banks and bankers , 469 70 3, 507 00 Notes and bills re-discounted. Bills payable Total., Total. 26, 963 76 11, 000 00 148,643 17 National Bank, Athens. No. 1639. JOHN W H I T E , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums p aid ... Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $213, 992 28 " ioo, ooo 65" 22, 200 00 12,034 6,559 5, 000 336 48 11 00 86 473 01 8,104 1, 200 24,504 10, 000 00 08 00 00 $100, 000 00 Capital stock paid in. Surplus fund Other undivided profits 95, 000 00 19, 827 32 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing off Diie to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 102, 919 90 484 23 672 37 4,500 00 408, 903 82 Total. JAMES WHITE, Cashier. 408, 903 82 Total. Atlanta National Bank, Atlanta. ALFRED AUSTELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Sp ecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ,.. „ Total. No. 1559. $298, 311 28 8,221 09 200, 000 00 75, 000 00 22,155 00 15,103 82 18, 447 99 49,150 87 4, 707 09 18, 467 50 24, 795 86 W. H. TULLER, Cashier- Capital stock paid in. Surplus fund..., Other undivided profits. National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 30,175 00 Due to other national banks, 6, 473 90 Due to State banks and bankers 505 80 53, 000 00 Notes and bills re-discounted . Bills payable 8, 996 90 833,512 10 Total. $300, 000 00 45, 500 00 15,157 18 180, 000 00 1, 340 00 212, 268 26 19, 365 13 26,32 46 14,384 90 7, 919 17 11,252 00 833,512 10 478 REPORT OF THE COMPTROLLER OF THE CURRENCY. GE OROIA, Georgia National Bank, Atlanta. No. 1605. E. L. JONES, President. O. F. SIMPSON, Cashier Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $74, 934 35 Capital stock paid in . 50, 000 00 $99, 540 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 4*66" 65" 508 99 7, 243 95 45, 000 00 Dividends unpaid . 19, 062 65 7, 544 41 1,087 50 3, 994 93 Individual deposits United States deposits Deposits of U. S. disbursing officers. 3, 964 00 168 20 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 5, 000 00 13,194 76 3,136 32 "l,"45o"6o 168,115 03 Total . 168,115 03 National Bank, Augusta. No. 1613. W M . E. JACKSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency. Specie -^ Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer GEO. M. T H E W , Cashier. $624, 822 27 Capital stock paid in. 24, 907 07 500, 000 00 Surplus fund Other undivided profits $500, 000 00 National bank notes outstanding State bank notes outstanding 56,066 37 25, 697 04 12,328 33 47, 610 26 6,661 15 100, 000 00 86, 891 81 450,000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 16, 059 23 ""o\"983'66" Due to other national banks 8, 085 70 Due to State banks and bankers 58, 314 00 Notes and bills re-discounted . Bills payable Total. Total 268,274 85 6,074 35 793 41 1,412,034 42 National Exchange Bank, Augusta. No. 1860. ALFRED BAKER, President. Loans .and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents...j Due from other banks and bankers ..i Heal estate, furniture, and fixtures. ..j Currei.t expenses and taxes paid ' Premiums paid j Checks r-i\d otli r cash items j Exchanges for clearing house j Bills o: other banks. j Fractional currency ....... j<'g;u of deposit . U. S. Treasurer $344, 265 34 1 Capital stock paid in 1 1,358 71 300, 000 00 Surplus fund Other undivided profits 635 25 National bank notes outstanding 21,046 16 State bank notes outstanding . . . . . . . 5, 920 29 2, 767 35 Dividends unpaid 4, 6'66 71 ~ 25, 000 00 individual deposits United States deposits 27, 224 75 Deposits of U. S. disbursing office™.. 6, 212 00 !j Due to other national banks . .,..! R!)(3 21 Ij Due to State buiiks and bankers I !,52i) 00 ;i | 17,350 00 ' Notes and bill* re-discounted.... |. .ij Bill-M-i ..... Jos. S. BEAN, Cashier. 13,650 00 | $300, 000 00 18, 000 00 18, 025 57 270, 000 00 1,967 00 147,578 02 414 70 16, 527 48 REPORT OF THE COMPTROLLER OF THE CURRENCY. 479 GE O B O I A . Chattahoochee National Bank, Columbus. H. H. EPPING, President. No. 1630, H. W. EDWARDS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $161,599 54 Capital stock paid in. 3, 644 28 100, 000 00 Surplus fund Other undivided profits 11, 340 00 National bank notes outstanding 7,631 76 State bank notes outstanding 13, 977 34 21,215 79 Dividends unpaid . 3, 520 16 Individual deposits 464 37 United States deposits 5,135 05 Deposits of U. S. disbursing officers $100, 000 00 20, 000 00 9, 385 30 90, 000 00 143,183 29 10,416 00 Due to other national banks 2,115 36 Due to State banks and bankers 4, 260 00 31,414 00 Notes and bills re-discounted. Bills payable 5,100 00 408 29 3, 856 77 15, 000 00 Total. 381, 833 65 381, 833 65 National Bank, Columbus. GEO. W. DILLINGHAM, Cashier. No. 2338. J . RHODES BROWNE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks -. . Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U . S . Treasurer Total. $118,102 70 Capital stock paid in., 3,177 67 100, 000 00 Surplus fund , Other undivided profits., 41,977 81 4, 274 95 25, 067 83 $100, 000 00 25, 000 00 5, 553 63 90, 000 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . 129, 707 95 Individual deposits United S tates deposits Deposits of U. S. disbursing officers 11,032 00 Due to other national banks 305 46 2,331 00 Due to State banks and bankers 41, 000 00 Notes and bills re-discounted . Bills payable 4, 500 00 , Total. 351, 769 42 752 50 755 34 351, 769 42 City National Bank, Griffin. GILMAN J. DRAKE, Presic Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes TJ. S. certificates of deposit., Due from U. S. Treasurer.. Total No. 2075. J. G. RHEA, Cashier. $57, 565 73 Capital stock paid in. 3, 000 00 50, 000 00 Surplus fund Other undivided profits 5, 796 48 4, 253 41 7, 000 00 1,251 83 5, 000 00 4,000 00 103 45 10, 000 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable $50, 000 00 8,245 05 4, 274 50 45, 000 00 588 00 42, 301 42 14 01 2, 452 08 150, 422 98 Total. 150, 422 98 480 REPORT OF THE COMPTROLLER OF THE CURRENCY. GEORO1A, First National Bank, Macon. No. 1617. I . C. PLANT, President. W. W. WRIGLEY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $93,501 80 Capital stock paid in . 100, 000 00 Surplus fund Oth er undivided profits 30, 000 00 2, 500 81 National bank notes outstanding State bank notes outstanding 88,800 00 24,299 57 3, 420 45 26, 976 00 3, 042 99 $100, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 237 50 "21*143"60" I Due to other national banks 62 18 ! Due to State banks and bankers. 2, 435 00 I 35, 000 00 I Notes and bills re-discounted. Bills payable. .... ... 4, 500 00 Total. 1,631 78 Total. 314,618 49 91,685 90 314,618 49 First National Bank, Newnan. No. 1861. W. B. B E R R Y , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $73,108 27 : Capital stock paid in . 8, 467 95 125, 400 00 ! Surplus fund Other undivided profits 45, 798 75 2, 577 44 2, 205 22 7, 400 75 1, 903 01 11, COO 00 $125, 000 60 14,150 00 2, 387 01 112, 500 00 |National bank notes outstanding iState bank notes outstanding Dividends unpaid . !Individual deposits United States deposits Deposits of U. S. disbursing officers.. 9,803 00 :Due to other national banks ! 957 08 • Due to State banks and bankers . 2, 500 00 j Notes and bills re-discounted. J Bills payable Total. 296,736 47 j Total. L. J. H I L L , Cashier. 296, 736 47 Merchants' National Bank, Savannah. HENRY BRIGHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1640. $544,282 143 389,500 50,000 T H O S . GADSDEN, Cashier, pro tern. 63 Capital stock paid in . . . 55 I 00 jj Surplus fund00 |i Other undivided profits. 5, 945 00 30,124 03 119, 692 53 25, 000 00 7, 751 87 20, 000 00 National bank notes outstanding . . State bank notes outstanding Dividends unpaid. Individual deposits United States deposits 47 55 i Deposits of U. S. disbursing officers 87, 046 00 1, 390 00 100, 000 00 Due to other national banks Due to State banks and bankers . . $500, 000 00 100, 000 00 18,853 13 298,193 00 12, 352 00 432, 372 44 28, 646 98 5,786 93 1, 929 85 316 33 Notes and bills re-discounted. Bills payable , 17, 527 50 1, 398, 450 66 Total. 1, 398, 450 66 REPORT OF THE COMPTROLLER OF THE CURRENCY. 481 FLORIDA, First National Bank of Florida, Jacksonville. T. W. C. MOORE, President. No. 2174. J A S . M. SHOEMAKER, Cashier* Resources. Loans anddiscounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $57, 250 79 2,100 00 50, 000 00 3, 000 00 , 5, 065 08 5,098 36 815 16 2,667 00 732 06 4, 637 84 868 53 14,921 00 180 46 1,241 23 14, 769 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $50, 000 00 669 24 3, 687 87 44, 300 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 66, 397 78 637 71 53 86 Notes and bills re-discounted. Bills payable , 2, 399 95 165, 746 46 Total. 165, 746 46 482 REPORT OF THE COMPTROLLER OF THE CURRENCY. ALA B A M A. National Bank, Birmingham. No. 2065. CHARLES LINN, President. WILLIAM BERNEY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $30,944 59 Capital stock paid in. 1,634 18 50, 000 00 Surplus fund Other undivided profits 8, 798 48 National bank notes outstanding 192 74 State bank notes outstanding 353 29 29, 047 60 Dividends unpaid. 838 05 5, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 766 00 159 55 2, 000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 420 43 1,909 69 45, 000 00 26,634 63 1,815 80 1, 603 93 3, 800 00 """l,"450"66" Total. 131,184 48 Total. $50, 000 00 131,184 48 Eufaula National Bank, Eufaula. B D W . B. YOUNG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2309. E. B. YOUNG, Jr., Cashier. $45,161 04 Capital stock paid in. 1,322 38 30, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 19,216 19 Dividends unpaid. 137 50 1,045 18 Individual deposits 4,500 00 United States deposits 13, 671 45 Deposits of U. S. disbursing officers. 6, 853 00 33 85 409 85 10, 684 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable $58, 000 00 500 00 5,182 57 27, 000 00 23, 686 43 20, 015 44 1,350 00 Total. 134,384 44 134,384 44 Gainesville National Bank, Gainesville. JONATHAN BLISS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid C hecks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notea U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1822. C. D. WOODRUFF, Cashier $139,941 60 Capital stock paid in . 7 68 100, 000 00 Surplus fund Other undivided profits 6, 218 70 National bank notes outstanding State bank notes outstanding 3,424 39 Dividends unpaid. 1, 297 06 Individual deposits United States deposits Deposits of U. S. disbursing officers. 132 00 42 39 1,180 00 2, 000 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $100, 000 00 12, 498 83 2, 002 85 89,100 00 80 00 41, 667 81 135 23 19, 343 48 1, 900 00 264, 828 20 Total. 264, 828 20 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 483 ALABAMA. National Bank, Huntsville. No. 1560. J. H. MAKSTIN, President. JOSEPH MARTIN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer... $77, 688 02 1,434 05 100, 000 00 """i "566" 66' 6,183 8, 779 1, 869 30, 000 1,830 231 05 70 40 00 38 00 22 65 1,521 1,521 527 22,802 00 21 00 00 $100, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 10,000 00 3, 455 04 82, 400 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable 63, 983 25 471 17 4, 400 00 Total. Total. 260, 309 46 260, 309 46 First National Bank, Mobile. J. H. MASSON, President. No. 1595. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items . . Exchanges for clearing house. Bills of other banks Fractional currency , Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $350, 951 56 300, 000 00 45, 374 05 LLOYD BOWERS, Cashier. $300, 000 00 Capital stock paid in., 39, 000 00 16, 059 27 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 19,736 69 Dividends unpaid. 7,399 50 3, 848 29 Individual deposits United States deposits Deposits of U. S. disbursing officers. 4,145 00 961 35 187 00 49, 359 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted.. Bills payable 270, 000 00 50 00 139, 725 61 23, 907 67 4, 019 89 10, 800 00 792, 762 44 Total. 792, 762 44 National Commercial Bank, Mobile. CHARLES HOPKINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1817. DUDLEY HUBBARD, Cashier. $360, 914 69 Capital stock paid in . 3, 525 87 350, 000 00 Surplus fund Other undivided profits . 30, 000 00 National bank notes outstanding State bank notes outstanding 9,844 37 Dividends unpaid. 22, 798 37 6,374 31 37, 700 00 Individual deposits United States deposits 51,405 84 Deposits of U. S. disbursing officers. 11, 000 00 Due to other national banks 3, 234 72 Due to State banks and bankers 241 89 41,200 00 Notes and bills re-discounted . Bills payable 15, 750 00 943, 990 06 Total. $350, 000 00 1, 530 33 12, 572 51 310, 300 00 1,795 00 183, 727 33 8, 988 86 6,410 84 68, 665 19 943, 990 06 484 REPORT OF THE COMPTROLLER OF THE CURRENCY. ALABAMA. First National Bank, Montgomery. W. O. BALDWIN, President. No. 1814. C. J. CAMPBELL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $169, 693 42 Capital stock paid in., 1, 557 98 196, 000 00 Surplus fund , 35t 666 66" Other undivided profits National bank notes outstanding. 29,935 73 State bank notes outstanding 5, 572 20 39,679 15 Dividends unpaid . 3,870 08 37, 280 63 Individual deposits United States deposits Deposits of U. S. disbursing officers. 11,190 C O Due to other national banks 590 21 Due to State banks and bankers 292 50 28, 805 00 Notes and bills re-discounted. Bills payable $225, 000 00 35, 324 56 3, 836 26 174, 020 00 219 00 99,565 93 8,221 15 20, 000 00 6, 720 00 566,186 90 Total. 566,186 90 Merchants and Planters' National Bank, Montgomery. G-. B. HOLMES, President. No. 2029. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer $172, 952 31 Capital stock paid in. 4, 300 62 130, 000 00 Surplus fund Other undivided profits 1, 828 85 National bank notes outstanding 9, 271 00 State bank notes outstanding 19,216 20 10.98L 36 Dividends unpaid . 2, 886 58 20, 457 52 Individual deposits United States deposits 1,213 91 Deposits of U. S. disbursing officers. 3,330 00 Due to other national banks 209 15 Due to State banks and bankers . . . . 352 40 6, 288 00 Notes and bills re-discounted. Bills payable . ... 3, 550 00 386, 837 90 Total. A. B. PECK, Cashier. $150, 000 00 17,093 70 2,611 44 117,000 00 66, 579 03 3,229 44 2, 539 45 27,784 84 386, 837 90 Total. City National Bank, Selma. W. P. ARMSTRONG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items. Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1736. JOHN W. LOVE, Cashier. $245,139 12 Capital stock paid in. 5, 650 55 300, 000 00 Surplus fund , Other undivided profits. 16, 938 58 National bank notes outstanding 25, 428 43 State bank notes outstanding 43, 396 85 Dividends unpaid . 18, 000 00 11,155 31 Individual deposits 35, 000 00 United States deposits 5, 930 04 Deposits of U. S. disbursing officers. 25, 911 00 Due to other national banks 1,189 56 Due to State banks and bankers... 8, 796 50 60,650 00 Notes and bills re-discounted. Bills payable 13, 500 00 816, 685 94 Total. $300,000 00 47,250 00 11, 429 48 270, 000 00 175 00 148, 364 84 322 65 9, 792 56 29,351 41 816, 685 94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 485 ALABAMA. First National Bank, Tuskaloosa. WILLIAM MOODY, President. No. 1853. Jos. MCLESTER. Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid , Checks and other cash items.. Exchanges for clearing house . Bills of other banks Fractional currency Specie.. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $87, 336 55 Capital stock paid in. ""so"666 66" Surplus fund Other undivided profits . 13, 410 00 1, 523 22 2,929 15 148 35 930 92 5, 460 54 289 60 National bank notes outstanding State bank notes outstanding $60, 000 00 4, 542 31 5, 700 69 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers . 55, 724 48 489 00 Due to other national banks . 392 70 Due to State banks and bankers. 2, 391 05 3, 400 00 Notes and bills re-discounted. Bills payable 2, 266 40 170, 967 48 Total. 170,967 48 486 REPORT OF THE COMPTROLLER OF THE CURRENCY. LOUISIANA. Germania National Bank, New Orleans. Louis SCHNEIDER, President. No. 1591. HERMANN ROEHL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes "U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $1, 082, 927 67 13,553 42 50, 000 00 $300, 000 00 Capital stock paid in. 52,000 00 25, 958 89 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 15, 335 00 236, 369 75 28, 565 81 I 7,164 40 ' Dividends unpaid . 12, 298 89 Individual deposits 5, 000 00 United States deposits Deposits of U. S. disbursing officers. 148, 430 05 4, 515 00 Due to other national banks 14,731 21 Due to State banks and bankers 28, 510 31 140, 900 00 Notes and bills re-discounted. Bills payable , 2, 250 00 Total. 1,790,551 51 45, 000 00 276 00 1,297, 386 39 32, 517 87 37,412 36 1, 790, 551 51 Hibernia National Bank, New Orleans. J. C. MORRIS, President. No. 2086. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures -. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer. $647, 805 39 5,641 45 50, 000 00 53, 287 50 15, 553 59 11,183 26 12,711 03 8,597 18 6, 500 00 2, 604 85 47,281 40 24,796 00 7, 487 50 7, 587 77 149, 000 00 $400, 000 00 Capital stock paid in. Surplus fund , Other undivided profits., National bank notes outstanding., State bank notes outstanding Dividends unpaid . 35, 000 00 35,109 72 45, 000 00 570 00 Individual deposits United States deposits Deposits of U. S. disbursing officers- 526, 972 48 124 06 9, 510 66 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , 2, 250 00 Total. 1, 052, 286 92 Total. J . G-. DEVEREUX, Cashier. 1 052, 286 92 Louisiana National Bank, New Orleans. J. H. OGLESBY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures. .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total A. LURIA, Cashier. No. 1626. $1, 674, 209 66 3,000 00 333, 500 00 186, 336 155, 986 97,168 214,033 23, 884 90 89 61 95 20 141,156 78 26,084 00 7, 804 46 27, 960 34 706, 573 00 Capital stock paid in. Surplus fund Other undivided profits. National bank notes outstanding . State bank notes outstanding Dividends unpaid . $1, 000, 000 00 200, 000 00 127, 013 56 300, 000 00 275 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 672, 081 59 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable , 223, 052 30 90,276 34 15, 000 00 3,612,698 79 Total. 3, 612, 698 79 REPORT OF THE COMPTROLLER OF THE CURRENCY. 487 LOUISIANA. Mutual National Bank, N e w Orleans. JNO. T. HARDIE, President. No. 1898. JOSEPH MlTCHEL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $638,724 69 1,685 59 50, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 14, 036 24, 174 52, 538 9,215 10, 634 102 102,120 22,100 2,140 28, 430 51, 000 747 55 2.25065 Capital stock paid in 136, 254 52 21,349 93 National bank notes outstanding 45, 000 00 State bank notes outstanding 1, 043 28 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 502,737 15 """3," 515" 93 Notes and bills re-discounted Bills payable 1, 009, 900 81 Total . $300, 000 00 Surplus fund Other undivided profits Total 1,009,900 81 New Orleans National Bank, New Orleans. No. 1778. JESSE K. BELL, Presiden Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $438,252 58 3, 434 00 200, 000 00 W I L L I A M PALFREY, Cashier. Capital stock* paid in . $200, 000 00 Surplus fund Other undivided profits 12, 605 50 29, 984 56 2, 500 14,382 13, 073 5, 000 6,161 20, 000 00 I National bank notes outstanding State bank notes outstanding 52 91 Dividends unpaid . 00 02 00 Individual deposits United States deposits 3, 006 99 Deposits of U. S. disbursing officers. 30,161 91 7, 455 00 Due to other national banks 5, 967 06 Due to State banks and bankers . . . . 37, 000 00 178, 100 00 1, 200 00 365, 994 48 2, 595 39 4,915 06 Notes and bills re-discounted., Bills payable 9, 000 00 Total. 795,394 99 i 795,394 99 State National Bank, N e w Orleans. S. H. KENNEDY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits 17.ft.bonds on hand Other stocks, bonds, and mortgages . . D u j from .'^proved reserve agents. ..j • ;iu' tro ii other banks and bankers ..j Real e^t •: \ tuniiture, and fixtures . . . I ,"unviu oenses and taxes paid ! Pnmia'i.s ;>did I •/i'l'i'ki < ii'I other c«v<h items. • ; K velum e^ for dealing house ' .iiil- (u (rmrbaukft ... ^! <iCTion.il currency ...'. S. r u .' ...; , ^ il t nd *r notes *->. c M tiiic itcs oi leoosit. „ »'u- fiu.ii V. S, Tr^u^urer . . . . . . . . . Total No. 1774. $1, 306, 428 22 5o,*oo6'66' C. L. C. DUPUY, Cashier, Capital stock paid in $850, 000 00 .. 50, 000 00 27,191 19 37, 054 60 National banknotes outstanding.... State bank notes outstanding. . 78,199 75 62, 351 02 Dividends unpaid 163, 228 90 24,483 72 Individual deposits „ 5,000 00 United States deposits Deposits of U. S. disbursing officers.. 215,9:28 22 Due to other national banks .... 4,503 00 2, 229 93 Due to State banks and bankers I(),8iG53 Notes and bills re-discounted........ 253, 29? 00 Bills Diiyublt 2,250 00 45, 000 00 2, 221, 770 89 Surplus fund Other undivided profits Total » 10, 066 98 1,118,443 83 24,143 62 96, 925 22 2, 221, 770 89 488 REPORT OF THE COMPTROLLER OF THE CURRENCY. LOUISIANA. Union National Bank, New Orleans. CARL KOHN, President. No. 1796. JAMES CHALARON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer. Total Liabilities. $606,151 76 Capital stock paid in. "256," 666 "66 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 25, 895 01 65, 787 66 28, 056 76 Dividends unpaid . 73, 632 70 13,288 14 25, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 7, 342 00 310 23 8, 286 00 80, 584 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted., Bills payable $250, 000 00 53, 542 08 17, 622 39 224, 735 00 3, 950 67 438, 590 10 2, 779 59 309, 575 88 11,250 00 1, 300, 795 71 Total. 1, 300, 795 71 REPORT OF THE COMPTROLLER OF THE CURRENCY. 489 TEXAS. First National Bank, Austin. R. J. BRACKENRIDGE, Cashier. No. 2118. J. T. BRACKENRIDGE, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks .... Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $149,165 39 !.Capital stock paid in. 537 33 I 35, 000 00 [ Surplus fund Other undivided profits , 15,419 39 National bank notes outstanding 3, 268 73 State bank notes outstanding 4, 468 97 Dividends unpaid. 2 25 231 08 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 000 00 880 70 13, 039 70 11,000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 14,689 83 31, 500 0G 106, 064 64 6, 319 10 3, 014 97 1, 575 00 Total. 236, 588 54 Total. $75, 000 00 236, 588 54 First National Bank, Dallas. No. 2157. JOHN KERR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency .— Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $126, 469 03 ""34," 000'66' 12,179 46 3,662 16,344 15,000 825 4,000 27 28 00 67 00 587 18 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $75, 000 00 4, 000 00 2, 933 81 30, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 608 00 Due to other national banks 130 00 319 80 Due to State banks and bankers 8,143 00 Notes and bills re-discounted. Bills payable 946 28 224, 214 97 Total. C. CUNNINGHAM, Cashier. Total. 83, 710 13 112 13 28,458 90 224,214 97 First National Bank, Denison. JOHN SCULLIN, President. Loans and discounts , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits , U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes , U. S. certificates of deposit Due from U. S. Treasurer Total. EDWARD PERRY, Acfg Cashier. $52, 639 39 585 34 50, 000 00 Capital stock paid in. Surplus fund Other undivided profits 3, 486 07 National bank notes outstanding State bank notes outstanding 9, 350 72 17, 507 51 Dividends unpaid. 2, 544 02 Individual deposits 5, 000 00 United States deposits 122 40 Deposits of U. S. disbursing officers.. 11, 572 00 685 16 1,107 50 8, 500 00 Due to other national banks Due to State banks and bankers $50, 000 00 15, 500 00 2, 829 41 44, 400 00 47, 908 26 493 78 4,218 6& Notes and bills re-discounted. Bills payable , 2, 250 00 165,350 11 Total. 165, 350 11 490 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Galveston. No. 1566. J. M. BROWN, President. THOMAS REED, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits i U. S. bonds on hand Other stocks, bonds, and mortgages..| Due from approved reserve agents. ..| Due from other banks and bankers . . Real estate, furniture, and fixtures.-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes Due from U. S. Treasurer Suspense account Total. $145, 625 40 i Capital stock paid in 359 47 200,000 00 ! Surplus fund 75,000 00 j Other undivided profits. 5, 000 00 $200, 000 00 40,000 00 12,123 87 165, 700 00 National bank notes outstanding — State bank notes outstanding 23,461 39 Dividends unpaid . 74, 304 02 5, 984 30 Individual deposits United States deposits 1, 350 08 Deposits of U. S. disbursing officers 23,072 00 1,204 89 4, 620 97 39, 700 00 10,258 30 49, 733 34 360 00 127, 851 21 38, 699 82 11,820 30 29, 848 75* 33, 270 21 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable Total. 659,674 16 659,674 16 National Bank of Texas, GalvestQn. No. 1642. M. KOPPERL, President. Loans and discounts .-, . — Overdrafts U. S..bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender not 38 U. S. certificates of deposit Due from U. S. Treasurer Total. $123,336 86 "i66"666*6o" 12,162 50 8, 452 84 17, 044 05 12, 024 93 3,796 38 3,211 16 ROBT. J. JOHN, Cashier. $100, 000 00 Capital stock paid in . 40, 000 00 19,492 17 Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding Dividends unpaid . 90, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 106, 014 54 5,631 09 3, 115 16 1, 770 00 Due to other national banks 3,831 50 11, 372 74 Due to State banks and bankers 60, 690 00 Notes and bills re-discounted. Bills payable 6, 560 00 364,252 96 364,252 96 First National Bank, Houston. B. A. SHEPHERD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds), and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid .Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes II. vS. certificates of deposit Due from U. S. Treasurer, Total No. 1644. A. P. ROOT, Cashier. $190, 710 95 Capital stock paid in 30,922 62 35, 000 00 ! Surplus fund | Other undivided profits j 3, 235 00 I National bank notes outstanding 25,354 72 , State bank notes outstanding 30,59-2 7! i Dividends unpaid , 17, 832 41 4,890 44 j Individual deposits 1 United States deposits 1 . 658 40 j Deposits of U. S. disbursing officers. 13,581 00 I! Due to other national banks 1,3%" 50 | Due to State banks and bankers 43] 000 00 : rsores and bills re-discounted. ills p i bio ',575 00 427, 213 97 • i j. $100, 0C0 00 63,000 00 5,043 24 30,400 00 213, 558 46 2, 393 21 12,824 06 427, 218 97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 491 TEXAS. National Exchange Bank, Houston. J. T. D. WILSON*, President. T. L. B L N TON, Cashier. A No. 2092. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid .., Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $108,495 07 50 00 35, 000 00 $100,000 00 Surplus fund Other undivided profits I National bank notes outstanding 2, 324 71 21,890 25 4, 734 47 68 20 6, 420 54 483 18 770 00 608 06 8, 509 30 17, 445 00 1, 075 66' Total. Capital stock paid in 14,000 00 7, 137 03 31, 500 00 State bank notes outstanding Dividends unpaid j Individual deposits j United States deposits | Deposits of U. S. disbursing officers . j Due to other national banks : Due to State banks and bankers Notes and bills re-discounted Bills payable 27 92 2,241 53 ! 207, 873 78 Total. 207, 873 78 52, 967 30 National Bank, Jefferson. No. 1777. W. M. HARRISON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $110, 894 72 524 08 100, 000 00 T. P. MARTIN, Cashier. Capital stock paid in. Surplus fund O ther undivided profits 12, 694 22 National bank notes outstanding State bank notes outstanding 24 28 20 Dividends unpaid. 22 j Individual deposits United States deposits 159 76 Deposits of U. S. disbursing officers. 4,148 13,711 6, 509 2, 239 1,174 1,524 15, 506 11,260 00 95 95 00 Due to other national banks Due to State banks and bankers $100,000 00 23,257 90 2,121 26 90, 000 00 762 50 61,093 67 128 39 232 88 Notes and bills re-discounted. Bills payable 2,250 00 Total. 282, 596 60 Total. 282,596 60 San Antonio National Bank, San Antonio. G. W. BRACKENRIDGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. $328, 077 77 1, 036 57 50,000 00 100, 000 00 J. T. BRACKENRIDGE, Cashier. Capital stock paid in. Surplus fund Other undivided profits. National bank notes outstanding 204,505 40 1 State bank notes outstanding 1 19,403 12 1 1 3,014 65 1 Dividends unpaid 1 125 00 16,130 4,250 19,712 38,006 Total. H. Ex. 3 No. 1657. Individual deposits United States deposits Deposits of U. S. disbursing officers.. 00 |j Due to other national banks 41 I Due to State banks and bankers 07 I 00 !iNote3 and bills re-discounted Bills payable Total. 28 $125, 000 00 75,000 00 6, 185 81 42, 370 00 269,890 23 109, 527 36 152, 908 07 5,629 52 7813,510 99 492 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. "Waco National Bank, Waco. WM. A. FORT, President. No. 2189. GEO. W. JACKSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. ! 149, 037 78 Capital stock paid in. 3, 047 32 35, 000 00 Surplus fund Other undivided profits . 1, 846 80 National bank notes outstanding 9,657 11 State bank notes outstanding 5, 985 42 17, 732 61 Dividends unpaid . Individual deposits 7, 038 94 United States deposits 559 96 Deposits of U. S. disbursing officers . 3, 465 09 Due to other national banks 4, 175 30 Due to State banks and bankers 6,054 12 23, 615 00 Notes and bills re-discounted . Bills payable 677 35 257, 892 71 Total. $100, 000 00 3, 000 00 9. 160 16 31, 500 C O 104, 575 39 1, 082 56 8, 574 60 10, 000 00 •267,892 " REPORT OF THE COMPTROLLER OF THE CURRENCY. 493 ARKANSAS, National Bank of Western Arkansas, Fort Smith. BERNARD BAER. President. No. 1950. P. K, ROOTS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Liabilities. $48, 340 13 ""55,"66o"6o" 10,346 46' 24. 067 78 4.' 882 44 2, 000 00 !, 250 00 500 00 135 30 Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. 7, 000 00 Capital stock paid in I Surplus fund Other undivided profits ; ! National bank notes outstanding State bank notes outstanding ; | Dividends unpaid . $55, 000 00 5,500 00 5,169 19 49, 500 00 1,000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 40, 845 54 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable , Total . 157, 014 73 157, 014 73 Merchants' National Bank, Little Rock. LOGAN H. ROOTS, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S.Treasurer Total. LUCIEN W. COY, Cashier. No. 1648. $213,320 49 1,069 90 50, 000 00 50, 000 00 23, 763 84 20, 985 6,944 17, 408 288 2, 675 35 06 88 04 00 920 22 6, 672 00 1, 280 44 1, 637 45 25, 000 00 Capital stock paid in. $150,000 00 Surplus fund Other undivided profits . 23, 500 00 3, 296 03 National bank notes outstanding... State bank notes outstanding 45, 000 00 Dividends unpaid . 150 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 138, 256 35 44,475 50 5,811 54 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted Bills payable 13, 330 42 395 83 """2,"256"65" 424,215 67 Total. 4-24,215 67 491 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. Ashland National Bank, Ashland. No. 2010. HUGH MEANS, President. A. C. C A MI'BELL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.S. Treasurer Total. Liabilities. $348, 057 79 Capital stock paid in. " "35o,"666"66" 10,129 53 $350, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 11,210 94 Dividends unpaid. 13, 780 00 4, 066 35 26, 000 00 Individual deposits United States deposits 180 00 Deposits of U. S. disbursing officers. 12, 900 47 1,125 13, 000 00 36 00 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 17, 500 00 23,827 64 315, 000 00 3,125 00 91,292 05 4,821 70 680 58 15, 750 00 Total. 806,216 97 806, 246 97 National Southern Kentucky Bank, Bowling Green. No. 2149. CHAS. A. NAZRO, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $50,889 90 1, 567 04 30, 000 00 2, 659 25 1, 750 00 937 09 5, 299 25 5, 388 71 1,102 30 27, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 00 00 00 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 30, 598 54 70 00 ?.O 40 1, 350 00 108,801 24 Total. $50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 1, 000 00 3, 638 152 850 3, 320 H. L. UNDERWOOD, Cashier. Capital stock paid in. 108, 801 24 Total. First National Bank, Covington. AMOS SHINKLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 718. ISAAC D. FRY, Cashier. $696, 806 279 530, 000 60, 000 2, 200 10 Capital stock paid in., 91 00 Surplus fund 00 Other undivided profits. 00 National bank notes outstanding... 49,849 17 State bank notes outstanding 62, 678 77 50, 788 84 Dividends unpaid . 3, 645 10 Individual deposits United States deposits 447 50 Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. 5, ooo oo : Bills payable 22, 500 00 1,491,850 86 Total. 6,410 1,715 3, 530 26, 000 00 47 00 00 i ! I ! $503,000 00 160,000 00 28,185 74 445,200 00 981 00 221,910 40 45, 499 22 1, 777 00 12,763 36 70, 048 77 5, 485 37 1,491,850 86 REPORT OF THE COMPTROLLER OF THE CURRENCY. 495 KENTUCKY. Covington City National Bank, Covington. J. D. HEARNTE, President. JAS. B. JONES, Cashier, No. 1859. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $612,741 49 Capital stock paid in. 446 01 500, 000 00 Surplus fund Other undivided profits . National bank notes outstanding 73, 381 23 State bank notes outstanding 60, 800 02 Dividends unpaid.. 30, 000 00 3,473 58 25, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. $500, 000 00 5, 716 00 Due to other national banks 346 73 Due to State banks and bankers 1, 500 00 Notes and bills re-discounted . 29, 000 00 Bills payable 76,130 99 97, 555 31 45, 000 00 28, 218 75 442, 300 00 916 00 171,542 56 3,241 45 """"22," 500* 00* Total. 1,364,905 06 1, 364, 905 06 German National Bank, Covington. H. FELTMAN, President. No. 1847. Loans and discounts Overdrafts U. S. bondy to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . JAMES SPILMAN, Cashier. $281,172 88 Capital stock paid in. 742 65 250,350 00 Surplus fund Other undivided profits 20000* National bank notes outstanding 45, 035 37 State bank notes outstanding 12, 650 44 3, 093 07 Dividends unpaid» 2, 425 08 30, 089 20 Individual deposits United States deposits 447 54 Deposits of U. S. disbursing officers. 871 00 809 17 2, 088 46 17, 978 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable $250, 000 00 21, 000 00 6,175 56 222, 408 00 151, 065 09 685 84 7, 868 37 11, 250 00 Total. 659,202 86 659,202 86 National Bank, Cynthiana. H. E. SHAWHAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1900. J. S. WITHERS, Cashier. $200. 616 27 Capital stock paid in . ' 280 00 150, 000 00 Surplus fund Other undivided profits 25, 740 52 9, 452 97 15, 000 00 221 76 300 00 3, 000 00 571 34 19,000 00 "" 3," 850~ 6b" 428, 032 86 National bank notes outstanding State bank notes outstanding $150, 000 00 13, 500 00 10,641 17 123, 000 00 Dividends unpaid. Individual deposits , United States deposits , Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total 129, 334 35 1,557 34 428, 032 86 496 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. First National Bank, Danville. No. 1601. G. W. WELSH, President. G-. W. WELSH, Jr., Cashier. Resources. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation | U. S. bonds to secure deposits I U. S. bonds on hand j Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $191,287 44 Capital stock paid in . 521 37 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding 16, 283 54 State bank notes outstanding 18, 679 89 Dividends unpaid . 9, 000 00 1,192 86 Individual deposits United States deposits Deposits of U. S. disbursing officers 2,197 00 224 86 1,100 00 10, 720 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 30, 000 00 9,146 18 90, 000 00 74,614 04 344 26 1, 602 43 4, 500 00 Total. 355, 706 96 Total. $150, 000 00 355, 706 96 Central National Bank, Danville. CLIFTON RODES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1600. J. W. PROCTOR, Cashier. $294, 927 67 Capital stock paid in . 1, 695 86 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding 23,103 35 State bank notes outstanding 88, 728 27 Dividends unpaid . ]3, 800 00 2, 481 24 Individual deposits United States deposits 2, 259 47 Deposits of U. S. disbursing officers361 00 Due to other national banks 584 73 Due to State banks and bankers 1,050 00 12, 595 00 Notes and bills re-discounted. Bills payable 4,500 00 Total. 546, 086 59 $200, 000 00 75, 000 00 23, 737 00 90, 000 00 152,323 65 1, 208 53 3, 817 36 546, 086 59 Fleming County National Bank, Flemingsburg. E. E. PEAHCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.,... U. S. bonds to secure deposits. U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency '. Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . . . : Total. No. 2323. $33, 420 46 660 07 50,00) 00 THOS. S. ANDREWS, Cashier. Capital stock paid in . Surplus fund Other undivided profits | National bank notes outstanding . . . 3, 796 62 State bank notes outstanding 1, 865 51 3, 755 40 Dividends unpaid . 354 75 8, 750 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 992 00 57 81 1, 500 00 107,402 62 | Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. $50, 000 00 2,383 41 45, 000 00 9,258 40 99 36 656 45 107, 402 62 REPORT OP THE COMPTROLLER OF THE CURRENCY. 497 KENTUCKY. First National Bank, Franklin. No. 1760. R. D. SALMONS, President. J. L. McGrOODWIN", Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes II. S. certificates of deposit Due from U. S. Treasurer 5104,647 37 307 93 75, 000 00 Capital stock paid in. 2, 024 10 31,601. 05 Dividends unpaid. 12, 827 37 695 02 6, 480 22 Individual deposits United States deposits 266 24 Deposits of U. S. disbursing officers. 8, 668 00 62 42 143 00 9, 800 00 """3," 754 *25' Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 256, 277 C2 Total. $100, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Total. 19, 474 24 720 60 67, 500 00 68, 330 63 251 55 256, 277 02 First National Bank, Harrodsburg. D. J. CURRY, Cashier. No. 1807. A. B. BONTA, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency .. . . Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer $131,247 92 Capital stock paid in 878 64 54, 000 00 Surplus fund Other undivided profits 7"666"00" National tank notes outstanding 5, 850 00 State bank note3 outstanding 336 69 1,340 10, 434 1,526 2, 000 12 40 39 00 631 71 6% 192 369 10, 000 00 16 87 00 lf"890"l6" 228,394 00 Total . $100,000 00 7, 200 Of) 4, 065 55 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. . 69, 301 83 466 04 260 58 228,394 00 Henderson National Bank, Henderson. L. C. D A L L A M , President. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer Total. S. K. SNEED, Cashier. $239,399 64 1,958 63 200, 000 00 1, 000 00 10, 456 1,901 14, 588 3, 479 54 98 58 76 757 77 1,106 167 639 22, 300 00 00 00 00 "il"666"66' 508, 754 90 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $200, 000 00 50, 000 00 12, 840 37 180, 000 00 Dividends unpaid , Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. 64, 955 32 959 21 508, 754 90 498 REPORT OF THE COMPTROLLER OF THE CURRENCY, KENTUCKY, National Bank, Lancaster. No. 1493. GEORGE DENNY, President. W. H. KINNAIRI), Cashier. Resources. Liabilities. Loans and discounts . Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures-.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer . . $369,816 33 ,\ Capital stock paid in . 3,172 40 i 50, 000 00 Surplus fund O iher undivided profits , National bank notes outstanding 11,095 19 j State bank notes outstanding 11,350 34 Dividends unpaid. 13, 813 55 2, 385 67 Individual deposits | United States deposits I Deposits of U. S. disbursing officers 1,321 00 j Due to other national banks 306 30 i Due to State banks and bankers 1,797 65 5, 055 00 I Notes and bills re-discounted. | Bills payable ', 250 00 Total. $250, 000 00 85, 000 00 7,352 98 45, 000 00 84, 499 23 205 61 305 58 472,363 43 Total. Marion National Bank, Lebanon. No. 2150. R. H. ROWNTREE, President. $208, 457 63 1, 298 74 100, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer 1,723 3, 000 ],290 15, 000 09 00 73 00 N. S. RAY, Cashier. Capital stock paid in . $150, 000 00 Surplus fund Other undivided profits. National bank notes outstanding „.. State bank notes outstanding 89, 890 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . . 828 91 14, 980 00 Notes and bills re-discounted. Bills payable 2, 900 00 1, 500 00 Total. 350,979 10 Total. 9, 959 37 7,124 88 88,889 64 60 00 5, 055 21 350,979 10 National Bank, Lebanon. R. M. SPALDING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total HENRY WlLKEN, Cashier. No. 1694. $151, 709 20 1, 035 63 50, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 6, 458 45 6, 187 2L 9, 800 00 Dividends unpaid. 1,138 66 5, 500 00 Individual deposits United States deposits 289 96 Deposits of U. S. disbursing officers 678 00 Due to other national banks 132 93 Due to State banks and bankers 725 30 10,115 00 Notes and bills re-discounted. Bills payable 2,250 00 246, 021 34 Total. $100, 000 00 10, 000 00 6, 866 67 45, 010 00 79,549 80 2, 860 03 1,734 84 246,021 34 REPORT OF THE COMPTROLLER OF THE CURRENCY. 499 KENTUCKY. First National Bank, Lexington. THOS. MITCHELL, Cashier. S. P. KENNEY, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $346, 626 09 Capital stock paid in . 755 45 400,000 00 Surplus fund Other undivided profits National bank notes outstanding 123, 974 44 State bank notes outstanding 29,310 99 Dividends unpail 2J,000 00 10 00 25,481 31 Individual deposits United States deposits 165 24 Deposits of U. S. disbursing officers . 4,718 00 1,139 55 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. Total. $400, 000 00 80, 000 00 7,237 04 349, 300 00 17, 840 00 130,173 97 1,418 64 11, 922 42 997, 892 07 Fayette National Bank, Lexington. SQUIRE BASSETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1720. R. S. BULLOCK, Cashier. $318,521 06 !|Capital stock paid in. 3, 220 50 ! I 300,000 00 | Surplus fund Other undivided profits National bank notes outstanding 12,177 84 I State bank notes outstanding 28, 957 86 ! 33, 875 91 j Dividends unpaid.. 3, 870 38 I 30,442 52 Individual deposits United States deposits 2,271 50 Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers $300, 000 00 23, 000 00 35, 348 35 269, 300 00 720 00 131, 687 60 13,130 07 1,514 44 Lexington City National Bank, Lexington. R. B. HAMILTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 906. $241, 925 2, 540 200, 000 50, 000 GEORGE STOLL, Jr., Cashier. 10 Capital stock paid in., 92 00 Surplus fund 00 Other undivided profits. $200,000 00 40, 000 00 54,018 03 National bank notes outstanding State bank notes outstanding Dividends unpaid . 176, 907 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 66,619 05 52, 002 01 13, 493 00 Due to other national banks 943 22 Due to State banks and bankers . . . 498 35 16, 700 00 j| Notes and bills re-discounted Bills payable 2, 593 80 14,817 62 3, 545 97 30, 293 42 6,176 97 42, 260 55 29 35 5, 550 00 50 00 613, 054 68 Total. 5,145 00 613,054 68 500 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY, First National Bank, Louisville. No. 109. GEORGE A. L E W I S , President. R. M. CUNNINGHAM, Cashier. Resources. Liabilities. Loans and discounts : Overdrafts U. 8. bonds to secure circulation U. S. bonds to secure deposits i U. S. bonds on hand Other stocks, bonds, and mortgages . . , Due from approved reserve agents . . . I Due from other banks and bankers...! Real estate, furniture, and fixtures . . . \ Current expenses and taxes paid I Premiums paid i $474, 02-2 40 425, 000 200, 000 97 Capital stock paid in . 00 00 Surplus fund « 00 Other undivided profits. $500, 000 00 91,100 00 29,925 01 6,140 00 562 25 1,000 00 55, 000 00 Due to other national banks Due to State banks and bankers ' 19,125 00 ' Total National bank notes outstanding State bank notes outstanding : Checks and other cash items • Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 33, 200 00 15, 919 64 7,123 88 3, 060 00 9, 400 69 34,126 05 1,283,732 13 382, 500 00 730 00 Dividends unpaid . Individual deposits United States deposits 61 65 Deposits of U. S. disbursing officers 44, 836 50 10 L, 322 14 73,978 04 30,931 60 28, 458 84 Notes and bills re-discounted. Bills payable 1,283,782 13 Second National Bank, Louisville. JAS. BRIDGEFORD, President. No. 777. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $525, 266 37 3,810 93 300, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer 16,414 61 36, 333 76 18, 547 89 8, 595 81 10,000 00 1,595 55 GEO. S. ALLISON, Cashier. Capital stock paid in $400,009 00 Surplus fund Other undivided profits 35,249 56 29, 804 65 National bank notes outstanding State bank notes outstanding Dividends unpaid . . . . . . . . Individual deposits United States deposits Deposits of U. S. disbursing officers 1,962 1,937 63 1,200 25,000 73 \\ 00 Due to other national banks 35 | Due to State banks and bankers 00 l! oo : Notes and bills re-discounted Bills payable 16,400 00 Total. 269, 950 00 967, 128 05 Total. 85, 651 01 133,799 87 11, 672 96 1, 000 00 967, 123 05 Third National Bank, Louisville. No. 2171. J. VON BORRIES, President. Loans and discounts ! Overdrafts | U. S. bonds to secure circulation \ U. S. bonds to secure deposits I U. S. bonds on hand ! Other stocks, bonds, and mortgages..! Due from approved reserve agents... j Due from other banks and bankers . . j Real estate, furniture, and fixtures. . . | Current expenses and taxes paid ! Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. ! ! , , , , E. C BOHNE, Cashier. $235,374 16 Capital stock paid in 642 70 180, 000 00 ! Surplus fund ! Other undivided profits 3, 243 33 | 6, 935 93 j 14,412 16 2, 833 83 15 02 18, 000 00 1, 407 86 1,344 00 405 90 430 00 13,200 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . . . $200, 000 00 3, 000 00 189 51 160, 300 00 104 00 112,145 45 3, 537 94 8,128 04 Notes and bills re-discounted. Bills payable. 8,100 00 437, 404 94 487, 404 94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 501 KENTUCKY. Citizens' National Bank, Louisville. II. C. RODES, Cashier. No. 2164. JOHN G. BARRET, President. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits j U. S. bonds on hand ' Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures .. Current expenses and taxes paid.. ... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit , Due from U. S. Treasurer Total. $G55, 065 50 Capital stock paid in , 13, 849 42 300, 000 00 Surplus fund Other undivided profits National bank notes outstanding . . . 57, 036 23 State bank notes outstanding 32, 862 34 67,212 25 Dividends unpaid. 857 89 39, 605 00 Individual deposits United States deposits 560 87 Deposits of U. S. disbursing officers. 1,079 1. 800 179 845 36 00 20 00 23, 500 00 $344, 000 00 9, 208 00 35,419 91 270, 000 00 391,853 49 Due to other national banks Due to State banks and bankers . . . 78,159 82 59,311 84 Notes and bills re-discounted Bills payable 20, 000 00 13," 500 66' Total. 1, 207, 953 Ofi 1, 207, 953 06 German National Bank, Louisville. ADOLPH REUTLINGEK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. GEORGE VISSMAN, Cashier. No. 2062. $139,161 26 Capital stock paid in.. 881 33 239, 700 00 Surplus fund , Other undivided profits. 12, 876 27 National bank notes outstanding 16,164 79 State bank notes outstanding 19, 715 09 Dividends unpaid . 7,299 68 5, 290 19 24, 829 50 Individual deposits United States deposits 1, 779 53 Deposits of U. S. disbursing officers,. 2, 259 00 Due to other national banks 121 30 Due to State banks and bankers 28, 023 00 Notes and bills re-discounted. Bills payable $251, 500 00 30,714 13 20, 437 64 212,169 00 855 00 221,084 03 20,254 74 4, 474 29 47,393 61 "16, 786 50 Total. 808, 8d7 44 j 808, 837 44 Kentucky National Bank, Louisville. BLAND BALLARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1908. $785, 937 78 8, 501 52 500, 000 00 200, 000 00 100, 000 00 7, 673 30 181 631 92 112,843 12 43, 077 24 15, 214 92 107, 487 50 LOGAN C. MURRAY, Cashier. Capital stock paid in. Surplus fund , Other undivided profits. National bank notes outstanding State bank notes outstanding 105, 000 00 48, 612 54 450, 000 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers 4, 664 83 906 00 Due to other national banks 58 25 Due to State banks and bankers 2,000 00 93, 000 00 Notes and bills re-discounted. Bills payable 21, 970 00 2, 185, 016- 33 $530, 000 00 Total 403, 916 75 69, 657 28 81, 660 10 314, 776 53 181,393 18 2,185, 016 33 502 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. Louisville City National Bank, Louisville. C. N. WARREN, President. No. 788. R. S. MOXLEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bill^ of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $758,451 52 Capital stock paid in . 1,192 35 400, 000 00 Surplus fund Other undivided profits 11,380 00 59, 979 55 18,034 84 1, 500 00 9, 237 77 8, 000 00 2, 725 02 42,156 54 27,956 00 National bank notes outstanding State bank notes outstanding 360, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. 3, 891 00 Due to other national banks 45 50 Due to State banks and bankers 1,581 50 115, 850 00 Notes and bills re-discounted BUis payable 160, 006 82 336, 245 26 83,504 43 | is'ooo'oo* 1, 409, 869 05 Total $400, 000 00 1,409,869 05 Total Merchants' National Bank, Louisville. J. II. LlNBESBERGER, Cashier. H. C. CARUTH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation II. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $914,186 90 Capital stock paid in 2, 357 05 500, 000 00 Surplus fund Other undivided profits \ $500, 000 00 14, 500 00 71,546 82 10,140 00 j National bank notes outstanding 146, 072 99 | State bank notes outstanding 113,922 77 i Dividends unpaid . . . ?7, 403 89 9,799 91 56, 442 62 Individual deposits United States deposits 15, 911 93 i Deposits of U. S. disbursing officers.. 448,100 00 27, 054 00 i Due to other national banks 1,622 27 j Due to State banks and bankers 169, 000 00 Notes and bills re-discounted Bills payable 201, 772 36 395, 916 48 Total 2, 076, 414 33 3, 036 50 441,542 17 2,076,414 33 First National Bank, Mayfield. HENRY S. HALE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents . . . Due from other banks and bankers... Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit... Due from U. S. Treasurer Total. . S. P. RlDGWAY, Cashier. No. 2245. $151, 603 77 Capital stock paid in . 35, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 1, 250 00 j Dividends unpaid. 987 00 4,500 00 Individual deposits United States deposits 6, 709 84 Deposits of U. S. disbursing officers. 240 00 Due to other national banks 8 25 Due to State banks and bankers. 15 00 3, 000 00 Notes and bills re-discounted. Bills payable 1,575 00 204, 888 I Total. $100, 000 00 5, 615 00 6, 659 88 31,500 00 630 00 '. 129 26 . 13, 019 29 10, 335 43 204, 888 86 REPORT OF THE COMPTROLLER OF THE CURRENCY. 503 KENTUCKY. National Bank, Monticello. No. 1913. W. J . KIND RICK, President. M. S. WlLHITE, Cashitr. Liabilities. Resources. Loans and discounts $35, 901 83 ! Capital stock paid in. Overdrafts U. S. bonds to secure circulation | 60, 000 00 Surplus fund U. S. bonds to secure deposits | Other undivided profits U. S. bond on hand ! National bank notes outstanding Other stocks, bonds, and mortgages..j Due from approved reserve agents. ..| 42, 919 68 State bank notes outstanding Due from other banks and bankers... I " Real estate, furniture, and fixtures... 475 00 Dividends unpaid. Current expenses and taxes paid j 748 39 Individual deposits Premiums paid United States deposits C hecks and other cash items 50 00 Deposits of U. S. disbursing officers . Exchanges for clearing house Bills of other banks 450 00 Due to other national banks Fractional currency 21 70 Due to State banks and bankers . Specie Legal tender notes 1,224 00 Notes and bills re-discounted U. S. certificates of deposit Bills payable D ue from U. S. Treasurer "2,"7OO"66" Total. 144, 492 60 i Total . $60, 000 00 3, 272 02 6,531 13 46, 280 00 28, 409 45 144, 492 60 National Bank of Union County, Morganfield. GEORGE HUSTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 2209. $82, 995 78 "ioo'ooo'oo" 18, 378 11,577 2, 517 988 11.781 55 98 17 13 25 500 00 220 00 19 69 6, 203 00 $100, 000 00 Capital stock paid in.. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 1,662 81 10, 676 91 87, 925 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 40, 162 i Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable 240, 427 60 Total. D. C. JAMES, Cashier. Total. 240,427 60 Farmers' National Bank, Mount Sterling. J. A. HANNAH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house BiMs of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 2216. $306,452 86 4,265 10 250, 000 00 W M . MITCHELL, Cashier. Capital stock paid in. Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding 8, 268 06 15, 402 86 Dividends unpaid.. 966 55 38,571 47 Individual deposits United States deposits Deposits of U. S. disbursing officers. 3,3$ 00 62 20 329 53 10, 100 00 Due to other national banks Due to State banks and bankers Notes and bills re-discoun+ed. Bills payable $250, 000 00 5, 395 32 3, 296 59 225, 000 00 336 00 85, 398 29 50, 685 02 8, 878 41 20, 000 00 11,250 00 ! 648, 989 63 | Total. 648, 989 63 501 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. Mount Sterling National Bank, Mount Sterling. No. 2185. WILLIAM STOFER, President. THOS. H. SUMMERS. Cashier. Resources. Liabilities. $99, 07 L 24 Capital stock paid in . 5, 485 02 50, 000 00 Surplus fund Other undivided profits 253 90 National bank notes outstanding 4,481 84 State bank notes outstanding 20,573 6L Dividends unpaid . 8, 932 35 J,336 78 I 4, 500 00 Individual deposits United States deposits ' 63 65 Deposits of U. S. disbursing officers..| Loans and discounts; -. Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agentg... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 728 00 225 04 537 50 9, 500 00 2,250 00 Total. Due to other national banks Due to State banks and bankers | | $50, 000 00 11,000 00 3, 370 44 94, 717 20 1,286 96 2,564 33 Notes and bills re-discounted Bills payable 207,938 93 Total. 207, 938 93 National Bank, New Castle. No. 2196. G. C. CASTLEMAN, President. JNO. W. MATHEWS. Cashier. 9, 743 38 I Capital stock paid in 500 00 ! 10, 000 00 ! Surplus fund ; Other undivided profits | National bank notes outstanding State bank notes outstanding • 2, 121 05 Dividends unpaid 3, 200 00 | 565 69 6, 000 00 Individual deposits United States deposits I Deposits of U. S. disbursing officers.. | Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 200 00 42 48 100 00 2, 000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted "2,766 66"! Bills payable 157, 172 60 \ Total. Total. ; !. $60,000 00 1, 800 00 2,612 87 53, 500 00 28, 444 92 1,814 81 9, 0U0 00 157, 172 60 First National Bank, Newport. No. 2276. WILLIAM ROBSON, President. Loans and discounts , Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. Wnds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures . Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency , Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $121, 727 45 977 78 33, 500 00 ' T. B. YOUTSEY, Cashier. Capital stock paid in . Surplus fund Other undivided profits ioo'oo" 425 00 National bank notes outstanding 5, 069 21 State bank notes outstanding 590 32 2,224 98 Dividends unpaid 1,524 25 Individual deposits 5, 531 54 United States deposits 198 89 Deposits of U. S. disbursing officers. 1,999 00 ^ o other national banks 371 00 Due to State banks and bankers 368 14 2, 622 00 Notes and bills re-discounted Bills payable "l "567"65" 178,736 56 Total $100, 000 00 1, 000 00 3,444 77 30,140 00 100 00 40, 872 30 2, 423 48 756 01 178, 736 56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 505 KENTUCKY. First National Bank, Nicholasville. No. 1831. SAMUEL MUIR, President. JNO. A. WILLIS, Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. 8. bonds to secure deposits tl. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks ... Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. $84,604 81 1,309 04 100, 000 00 23, 502 00 16,392 14 10, 705 40 514 00 10, 000 00 210 00 590 00 87 47 150 00 7,139 00 4 500 00 Capital stock paid in j $100, 000 00 Surplus fund Other undivided profits National bank notes outstanding i j j 5,086 93 2, 315 45 89, 770 C O State bank notes outstanding j Dividends unpaid ' Individual deposits j United States deposits ; Deposits of U. S. disbursing officers..! Due to other national banks ' Due to State banks and bankers I Notes and bills re-discounted ! Bills payable ; Total 259, 703 86 i 59, 560 15 1,183 00 1, 788 33 259,703 86 National Bank of Owen, Owenton. A. P. GROVER, President. No. 1963. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks .. * Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $67, 852 20 56, 000 00 5, 729 39 3, 682 21 1,351 83 3, 756 26 73 47 1, 786 00 185 90 77 50 5,631 00 N. H. WlTHERSPOON, Cashier, $56, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 2, 812 08 8, 007 92 50, 400 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted.. Bills payable 30, 493 28 829 67 103 41 2,520 60 ! 148, 646 36 148,646 36 Total . . First National Bank, Paducah. WILLIAM BEADLES, President. Loans and discounts = Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional cujjrency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1599. SALEM P. COPE. Cashier. $338, 944 58 Capital stock paid in . "250," 666" 66' Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 22, 976 41 2,913 87 Dividends unpaid . 2, 500 00 2,169 70 Individual deposits 8,000 00 United States deposits 1,155 62 Deposits of U. S. disbursing officers. 4,195 00 65 30 1,067 00 10, 000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable $250, 000 00 50, 000 00 26, 747 59 225, 000 00 182 84 848 00 1, 474 20 2, 284 85 11,250 00 655, 237 48 Total. 655,237 48 506 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. American German National Bank, Paducah. H. N. GILSON, President. No. 2070. GEO. C. THOMPSON', Cashier Resources. Liabilities. $154, 226 46 2,331 08 50, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 8,709 43 14,058 90 1,174 43 5, 000 00 86 46 4,519 25 73 4, 000 00 40 00 00 """2," 250 "66" Total Capital stock paid in $100, 000 00 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding 20, 000 00 11, 933 27 45,000 00 Dividends unpaid 445 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 60, 148 21 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 246, 504 21 2, 896 48 6,031 25 Total 246, 504 21 City National Bank, Paducah. R. S. RATCLIFFE, President. S. B. HUGHES, Cashier. Loans and discounts , Overdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages-.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures .. Cm-rent expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $280, 959 80 Capital stock paid in.. $200, 000 00 j Surplus fund Other undivided profits National bank notes outstanding 3, 605 48 State bank notes outstanding 253 30 13, 164 36 Dividends unpaid. 3,010 20 !i Individual deposits 25, 000 00 1 United States deposits 1 17 77 j! Deposits of U. S. disbursing officers . 26,000 00 10,314 00 "2O6,'OL)O"O6" 180, 000 00 4,635 00 135, 692 85 1,105 59 166 57 5, 753 94 228 16, 723 00 i Due to other national banks 10 Due to State bank3 and bankers 00 00 I Notes and bills re-discounted. Bills payable 9,100 00 i Total. 557,914 01 ! 557,914 01 First National Bank, Richmond. No. 1728. S. P. WALTERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures . . . j Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. I W. R. LETCHER, Cashier. $323, 920 28 Capital stock paid in 4,539 75..I 190, 000 00* i Surplus fund Other undivided profits 3,509 37, 530 8, 000 2, 939 58 74 00 25 130 00 38, 500 00 18, 729 81 National bank notes outstanding State bank notes outstanding 170, 928 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 6, 300 (JO Due to other national banks 108 86 Dae to State banks and bankers 500 00 8,000 00 Notes and bills re-discounted. Bills payable 8,550 00* 599, 078 46 $250, 000 00 Total. 120,166 05 J 43 75 710 85 599,073 46 REPORT OF THE COMPTROLLER OF THE CURRENCY. 507 KENTUCKY. Farmers' National Bank, Richmond. No. 1309. JOHN BENNETT, President. S. S. PARKES, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Heal estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U, S. Treasurer Total. Liabilities. $191, 967 66 5, 675 84 150, 000 00 6,319 35,657 5, 500 861 80 1)8 C O 60 1,756 91 4,410 4L6 815 15, 000 00 88 00 00 Capital stock paid in . $150,000 00 45, 000 00 7, 789 63 Surplus fund Other undivided profits . 134,983 C O National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 66, 672 39 85 00 601 65 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 405,131 67 Total. 41'5, 131 67 Madison National Bank, Richmond. D. A. CHENAULT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..! Due from approved reserve agents . . . I Due from other banks and bankers ..j Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house .... Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1790. $231,367 55 5, 720 00 200, 000 00 C. D. CHENAULT. Cas, Capital stock paid in. $200, 000 00 Surplus fund. Other undivided profits , 90, 000 00 28 69 9,500 00 National bank notes outstanding 10, 756 38 State bank notes outstanding 36, 392 01 j 11, 500 00 i Dividends unpaid. 178, 000 00 Individual deposits United Slates deposits Deposits of U. S. disbursing officers.. 1, 698 275 363 9, 000 00 95 00 00 55, 720 46 Due to other national banks Due to State banks and bankers. 1,623 74 Notes and bills re-discounted . Biils payable 9, 000 00 525, 372 89 Total .. 523, 372 89 Logan County National Bank, Russellville. JAS. L. RIZER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation XL S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. II. Ex. 3- -29 No. 2169. HUGH BARCLAY, Jr., Cashier. $58,196 68 I: Capital stock paid in 1,991 46 ! 36, 0U0 00 ! Surplus fund |; Other undivided profits $50, 000 00 ! | j 4, 500 00 2,447 74 9,581 40 | National bank notes outstanding 1 969 6° I' State bank notes outstanding 32, 400 00 393 13 5, 300 00 581 55 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 46, 432 22 2, 630 109 757 7, 738 Due to other national banks Dae to State banks and bankers •453 70 00 70 90 00 09 694 24 Notes and bills re-discounted. Bills payable 3, 020 40 136,937 99 Total. 136,937 99 508 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUC K V, National Bank, Somerset. J. M. PERKINS, President. No. 1748. ROBERT GIBSON, Cashier. Resources. Loans and discounts $124,242 41 | Capital stock paid in . Overdrafts \ U. S. bonds to secure circulation 100, 000 00 | Surplus fund U. S. bonds to secure deposits \ Other undivided profits U. S. bonds on hand ' National bank notes outstanding Other stocks, bonds, and mortgages.. Due from approved reserve agents... 22, 212 09 State bank notes outstanding Due from other banks and bankers... 1, 631 03 Dividends unpaid . Real estate, furniture, aud fixtures.. 4, 200 00 Current expenses and taxes paid 85 L Individual deposits Premiums paid United States deposits Checks and other cash items Deposits of U. S. disbursing officers. Exchanges for clearing house Bills of other banks 2, 300 00 Due to other national banks Fractional currency 370 25 Due to State banks and bankers Specie Legal tender notes 3, 000 00 Notes and bills re-discounted . Bills payable TJ. S. certificates of deposit Due from U. S. Treasurer 7, 400 00 Total Total. 265,440 93 $100,000 00 20, 000 00 3, 800 18 90, 000 00 51, 296 91 263 84 80 00 265, 440 93 First National Bank, Springfield. No. 1767. E. L. DAVISON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $223, 529 48 764 69 50, 000 00 5,100 00 7, 343 1,459 3, 700 108 09 86 00 80 238 43 ! Capital stock paid in . $150, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 22,000 00 5, 635 55 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 187 79 110 12,500 00 ; Due to other national banks 55 Due to State banks and bankers 45 i 00 ! Notes and bills re-discounted. Bills payable 2, 250 00 I Total. 312,371 35 I Total. C. R. MCELROY, Cashier. 88, 809 09 90 69 836 02 3L2, 371 35 Farmers' National Bank, Stanford. J. H. SHANKS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1705. $175, 350 00 1,916 41 150, 000 00 20, 204 14,241 6, 300 235 18,051 28 84 00 75 43 2, 200 00 230 64 3, 000 00 2,250 65' 393, 980 35 JNO. B. OwSLEY, Cashier. Capital stock paid in . $200, 000 00 Surplus fund Other undivided profits 33, 432 31 1, 802 75 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable Total. 66, 916 91 1. 466 72 361 66 393, 980 35 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 509 KENTUCKY. National Bank, Stanford. No. 1204. J. S. MURPHY, President. J. J. Me ROBERTS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $190,351 81 Capital stock paid in 2, 462 12 100, 000 00 Surplus fund Other undivided profits i "665" 6(7 National bank notes outstanding 10, 000 00 8.58L 79 11, 265 20 7,388 2L 1,074 47 30, 000 00 15,182 2U 90, 000 00 State bank notes outstanding Dividends unpaid Individual deposits 2, 605 5L United States deposits ' 51501)' Deposits of U. S. disbursing officers.. Due to oth er national banks . 208 4'6 2,065 75 Due to State banks and bankers 3, 705 00 Notes and bills re-discounted " 7 , 800*65" | Bills payable 349, 053 36 j Total. $150, 000 00 Total. 63,871 16 349, 053 36 Citizens' National Bank, Winchester. J . R. WORtfALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents -. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 2148. $174, 012 28 4,388 67 175, 000 00 J . D . SIMPSON, Cashier. $175, 000 00 Capital stock paid in. i Surplus fund ! O ther undivided profits i| National bank notes outstanding 14, 638 57ij State bank notes outstanding 12, 807 96 I Dividends unpaid . 6, 500 00 2, 102 13 25, 725 00 Individual deposits United States deposits 479 02 j Deposits of U. S. disbursing officers. 6,610 00 Due to other national banks 150 00 i 1, 020 9J | Due to State banks and bankers 10, 500 0J I Notes and bills re-discounted Bills payable 655 00 89,8:5 87 1,138 03 1, 227 58 " " M O O " 66" | 442,334 53 Total. 12, 334 96 4, 663 09 157, 500 00 442,334 53 Clark County National Bank, Winchester. M. G. TAYLOR, Cashier. JOHN W. BEAN, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $276, 782 07 Capital stock paid in. 3,781 24 150, 000 00 Surplus fund. Other undivided profits National bank notes outstanding 35,299 74 State bank notes outstanding 31,207 62 Dividends unpaid . 5, 000 00 1, 743 75 Individual deposits United States deposits 777 41 Deposits of U. S. disbursing officers. 3, 485 184 1, 000 25, 000 00 Due to other national banks 75 Due to State banks and bankers 00 00 Notes and bills re-discounted. Bills payable. Total. $150, 000 00 62, 250 00 5,278 61 134,996 00 10 00 142,132 63 22. 591 80 20, 966 75 538, 225 79 510 REPORT OF THE COMPTROLLER OF THE CURRENCY, TENNESSEE. First National Bank, Chattanooga. W. P. RATHBURN No. 1606. President. T. G. MONTAGUE, Cashier, Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. $318,130 88 1,567 88 200, 000 00 50,000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 115,493 53 28, 335 31 34, (!90 67 17, 014 92 40, 643 37 6, 357 28 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer.. 6, 314 00 5,214 88 3, 789 45 41,800 00 Capital stock paid in. $300, 000 00 Surplus fund Other undivided profits . 60, 000 00 39, 055 42 National banknotes outstanding State bank notes outstanding 176, 821 00 Dividends unpaid . Individual deposits United Staies deposits. Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers . ' . . . I 252,136 11 20, 154 66 26, 347 93 3,236 95 Note?; and bills re-discounted. Bills payable 9, 000 00 877, 752 07 > Total . Total. 877, 752 07 First National Bank, Clarksville. S. F . BEAUMONT, President. : Loans and discounts Overdrafts U. S. bonds to secure circulation i U. S. bonds to secure deposits ' U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . j Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for dealing house Bills of other banks j Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer \ Total . WM. P. H U M E , Cashier. $143,908 16 100, 000 00 20 349 76 5 412 28 7 554 95 511 39 11 000 00 Capital stock paid in. Surplus fund Other undivided profits 5100, 000 00 20, 000 00 9, 366 04 ...... National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid . 560 00 Individual deposits United States deposits.. Deposits of U. S. disbursing officers. 110,151 03 , .!j 15, 500 1 Due to other national banks 1 158 1 Due to State banks and bankers 1 953 40 20, 000 00 \\ Notes and bills re-discounted. |i Bills payable 5, 500 331,348 69 Total. 1,271 62 .[ 331,348 69 Cleveland National Bank, Cleveland. M. B. REYNOLDS, President. L^ansand discounts Overdrafts U. S. bonds to secure circulation U S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . R^al estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks arid other cash items Exchanges for clearing house Bills of other bauks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1666. J N O . H. PAKKER, Cashier. $151,726 16 i Capital stock paid in ""l5L)"000*0L>" 700 0(7 149 83 '19,675 62 2,921 11 15,754 80 769 92 7, 799 75 32 95 446 589 2,031 9, 783 Surplus fund Oiht:r undivided profits National bank notes outstanding Stato bank notes outstanding $150, 000 00 33,500 00 13, 159 90 134,000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 00 ; Due to other national banks 51 Due to State banks and bankers 00 i 00 I Notes and bills re-discounted Bills payable 37,851 48 195 83 419 49 ""6," 756"o5"; ::69, 129 70 Total. 369,129 70 REPORT OF THE COMPTROLLER OF THE CURRENCY. 511 First National Bank, Columbia. Lucius FRIERSON, Cashier. No. 1713. J. M. TOWLER, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks , Fractional currency Specie Legal tender notes U. S. certificates of deposit '. Due from U. S. Treasurer Total. $175,052 33 Capital stock paid in 6,936 32 50,000 00 Surplus fund Other undivided profits 3, 686 06 National bank notes outstanding 237 37 State bank notes outstanding . . . . 4,531 02 Dividends unpaid 4, 937 06 4C0 00 10, 000 00 13, 000 00 3, 336 45 45, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 98,120 58 2, 3flO 00 Due to other national banks 117 85 Due to State banks and bankers . 2, 665 05 6,700 00 Notes and bills re-discounted Bills payable.... 356 03 Total. 259,813 06 | 259,813 06 First National Bank, Fayetteville. R. S. WOODARD, Cashier. No. 2114. J. G-. WOODS, President. $94, 982 40 2, 447 99 30, 000 00 Loans and discounts Overdrafts „ U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand. Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid C hecks and other cash items Exchanges for clearing house Bills of other banks . . Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $60, 000 00 Capital stock paid in , Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 606 80 3R3 05 8, 655 28 6,864 12 Dividends unpaid . 1,085 56 Individual deposits „ 3,813 64 United States deposits 20 00 Deposits of U. S. disbursing officers. 637 CO 5L 85 180 35 6, 700 0U " I , " 3 50 66' 2, 200 00 2,144 32 26, 300 00 125 00 62,988 72 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 157, 758 04 Total.. ! 4, 000 00 157,758 04 Total. National Bank, Franklin. W. S. CAMPBELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 1834. $78, 477 57 1,253 16 60, 000 00 J. L. PARKES, Cashier. Capital stock paid in Surplus fund Other undivided profits . 11,201 54 National bank notes outstanding 14, 104 20 State bank notes outstanding 1, 792 41 Dividends unpaid. 1,741 12 Individual deposits 5,978 15 United States deposits 25 00 Deposits of U. S. disbursing officers. $60,000 00 4,451 06 4,007 64 53,300 00 67,977 41 1, 531 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable . 107 96 1,824 00 9, 000 00 2,700 00 189,736 11 Total 189,736 11 512 REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. First National Bank, Jackson. W. A. CALDWELL, Cashier. No. 2168. J. W. ANDERSON, President. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks , Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $57,444 92 Capital stock paid in 896 92 30, 000 00 Surplus fund Other undivided profits National bank notes outstanding 113 35 State bank notes outstanding 6,217 91 Dividends unpaid . 1, 399 25 908 39 3, 075 00 Individual deposits United States deposits 276 45 Deposits of U. S. disbursing officers. 1, 580 00 Due to other national banks 1,324 95 Due to State banks and bankers . 538 33 11,280 00 Notes and bills re-discounted Bills payable -. 750 5') $50, 000 00 1, 061 00 2,551 18 25, 900 00 35, 943 66 350 13 115,805 97 115,805 97 East Tennessee National Bank, Knoxville. R. C. JACKSON, President. No. 2049. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand j Other stocks, bonds, and mortgages..j Due from approved reserve agents... i Due from other banks and bankers.-• Real estate, furniture, and fixtures... | Current expenses and taxes paid [ Premiums paid | Checks and other cash items | Exchanges for clearing house Bills of other banks Fractional currency Specie -. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., ;227, 355 70 412 53 50, 000 00 50, 000 00 2, 000 00 1, 412 50 10, 882 47 8, 70 L 27 27,413 97 | | 355 00 1, 576 30 16, 445 00 600 92 1, 836 50 28, 800 00 J. W. LILLARD, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding... State batik notes outstanding $150,000 00 7, 370 00 14, 785 83 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable. 168,152 34 22, 058 27 7, 532 47 14,474 30 669 00 2, 250 00 430,042 21 430, 042 21 Second National Bank, Lebanon. JOHN D. OWEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . . U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1708. $71, 356 02 425 00 50, 000 00 7,224 4,890 1,500 799 4,288 644 THOS. J. STRATTON, Cashier. Capital stock paid in . Surplus fund. Other undivided profits National bank notes outstanding . 23 State bank notes outstanding 27 j Dividends unpaid. 00 il 50 ! 42 | Individual deposits United States deposits 20 ! Deposits of U. S. disbursing officers. $50, 000 00 3, 500 00 2, 456 72 45, 000 00 60,136 75 1,345 00 i Due to other national banks 371 68 ! Due to State banks and bankers . 1,879 15 13, 620 00 Notes and bills re-discounted Bills payable ""2," 750 "66" | 161, 093 47 Total. 161, 093 47 REPORT OF THE COMPTROLLER OF THE CURRENCY. 51; National Bank, Lebanon. No. 1664. J. S. MCCLAIN, President. SAML. T. MOTTLKY, Cashie?. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and moitgages.. Due from approved reserve agents... | Due from other banks and bankers ..I Real estate, furniture, and fixtures...) Current expenses and taxes paid j Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie . Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $119, 007 86 3, 490 94 50, 000 00 3,241 37 5,459 81 13,000 00 I, 655 09 1,121 88 10,204 58 $50,000 00 Capital stock paid in. 10,000 00 4, 600 6S Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 45,000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. 106,835 50 485 80 1,798 15, 631 00 ; | Due to other national banks 55 j Due to State banks and bankers . 10 00 | Notes and bills re-discounted. ! | Bills payable 1, 260 00 ! 10,000 00 Total. 226,436 18 j 2-26,436 18 National Bank, McMinnville. WM. No. 2221. H. MAGNESS, President. P. H. MARBURY, Cashier. Capital stock paid in Loans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits , U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures. Current expenses and taxes paid. . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency $70, 000 00 Surplus fund Other undivided profits National bank notes outstanding | | 363 24 6,132 39 63, 000 00 State bank notes outstanding Dividends unpaid Individual deposits j United States deposits I. Deposits of U. S. disbursing officers.. I. Due to other national banks Due to State banks and bankers 26, 780 91 30 70 Legal tender notes U/S. certificates of deposit. Due from U. S. Treasurer . Total. First National Bank, Memphis. No. 336. F. S. DAVIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $162, 2, 100, 100, 772 244 000 000 02 40 00 00 8, 315 00 11,721 18 50,166 31 62, 218 40 7,031 43 21, 605 78 26, 400 00 861 18 45, 000 00 W. W. THACHER, Cashier. Capital stock paid in. $200, 000 00 Surplus fund Other undivided profits . 35, 000 00 7,031 19 National bank notes outstanding State bank notes outstanding Dividends unpaid . 90, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 189,607 59 46, 970 45 23,724 30 8,541 85 1,960 32 " 4 " 5 6 0 66' 602, 835 70 Total. 602, 835 70 514 REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. Fourth National Bank, Memphis. T. H. MlXBURN, President. No. 2096. \V. C. MCCLURE, Cashier, Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation ". U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer j ' j j I i $138, 952 92 5. 076 79 50. 000 00 Capital stock paid in ! $125, 000 00 Surplus fund Other undivided profits | 8, 643 47 8, 825 34 J,500 00 12, 359 12 3,091 19 1, 095 00 3, 309 81 6, 974 66 2, 267 67 Individual deposits , United States deposits Deposits of U. S. disbursing officers.. 20,125 00 365 75 Due to other national banks Due to State banks and bankers 17,419 00 Notes and bills re-discounted Bills payable 2," 250 00 National bank notes outstanding State bank notes outstanding , Dividends unpaid 264, 786 91 Total. 45, 000 00 73,122 19 904 89 3, 291 02 , j 264, 786 91 Total . German National Bank, Memphis. No. 1636. H. E. GARTH, President Loans and discounts Overdrafts IT. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid... Premiums paid $322, 053 91 2, 3L7 73 175, 000 00 50, 000 00 835 283, 479 10, 649 5, 038 75 15 75 87 41,858 48 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer MARTIN G R I F F I N , Cashier. Capital stock paid in $175, 300 00 Surplus fund Other undivided profits 45,000 00 19,407 57 National bank notes outstanding State bank notes outstanding ! | Dividends unpaid L Individual deposits United States deposits Deposits of U. S. disbursing officers | 154, 800 00 2,030 00 641, 316 01 32,654 57 38,391 1, 2-15 4,500 150, 000 00 i Due to other national banks i 8,171 53 59 i Due to State banks and bankers j 14, 565 55 00 ! 00 Notes and bills re-discounted j . . . Bills payable j 7,"875*66" j 1,093,245 23 | Total. Total 1,093,245 23 State National Bank, Memphis. A. W O O D R U F F , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes 17. S. certificates of deposit Dae from U. S. Treasurer Total No. 2127. $253, 077 14 3,461 16 120, C O 00 O J . A. HAYES, Jr., Cashier. Capital stock paid in . Surplus fund Other undivided profits $270, 000 00 , 3,900 oo ; National bank notes outstanding ! 15, 503 31 i State bank notes outstanding 5,351 37 57, 030 83 Dividends unpaid. 4, 402 63 15,000 00 Individual deposits United States deposits 14,969 10 Deposits of U. S. disbursing officers. 8,504 1, 427 1,500 21,000 00 ij Due to other national banks 00 j Due to State banks and bankers 00 j! 00 | Notes and bills re-discounted , I Bills payable 6,627 61 531,754 15 Total. 8,186 55 11,180 88 108, 000 00 1,118 50 125, 261 35 4, 858 85 3, 148 02 531,754 15 REPORT OF THE COMPTROLLER OF THE CURRENCY. 515 TENNESSEE. First National Bank, Murfreesboro'. No. 1692. J . W. CHILDRKSS, President. I. B. COLLIER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Dae from approved reserve agents.. • Dae from other banks and bankers . Rsal estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearinghouse Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer Total. Liabilities. $198, 433 10 #3,531 15 ] 60, 000 00 740 33 I 14 647 15 'I A1 31,272 41 I i 18, 858 04 2, 946 37 15, 569 27 564 15 8,940 00 227 21 6,175 00 21,500 00 $160, 000 00 Capital stock paid in , 25, 600 00 15, 640 64 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 144, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 140, 223 84 2,101 64 1,838 26 Notes and bills re-discounted. Bills payable , 6, 000 20 | Total. 489,404 38 489, 404 38 Stones River National Bank, Murfreesboro'. W. R. BUTLER, President. No. 2000. Loans and discounts ... Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. $41, $50, 000 00 Capital stock paid in. 2, 010 00 1,802 68 Surplus fund Other undivided profits. 200 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house P.ills of other banks Ffactional currency SpecieLegal tender notes I /. S. certificates of deposit Due from U. S. Treasurer W. N. DOUGHTY, Cashier. National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid. 142 00 920 687 99 i, 800 Individual deposits United States deposits Deposits of U. S. disbursing officers. 38,891 17 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2, Total. 137, Total. . 137,703 85 First National Bank, Nashville. MJCHAKL BURNS. President. Loans and discounts Overdrafts II. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Heal estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items E Kchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fr«m U. S. Treasurer Total. No. 150. T H E O . COO LEY, Cashier. [42,934 35 |j Capital stock paid in . 7, 809 26 | 251,000 00 Surplus fund. 150, 000 00 j Other undivided profits 28,350 00 || National bank notes outstanding . . . State bank notes outstanding. 24, 074 91 47,230 48 24, 194 38 9, 447 02 23, 000 00 15, 672 41 Dividends unpaid. Individual deposits , United States deposits Deposits of U. S. disbursing officers. 15, 687 4. 597 900 30,815 00 Due to other national banks 45 Due to State banks and bankers . 00 00 I Notes and bills re-discounted I Bills payable. 9,690 00 1, 085, 402 26 Total. $250, 000 00 50, 000 00 15, 733 56 225,000 C O 325 00 354, 963 25 J 08, 723 72 69,714 70 5, 435 09 5, 506 94 1, 085, 402 26 516 REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. Third National Bank, Nashville. No. 1296. W M . W. BERRY, President. EDGAR JONES, Cashier. Resources. Liabilities. Loans and discounts \ O verdrafts I U. S. bonds to secure circulation U. S. bonds to secure deposits i U. S. bonds on hand j Other stocks, bonds, and mortgages., j $632, 258 36 Due from approved reserve agents . . . i Due from other banks and bankers... Real estate, furniture, and fixtures... j Current expenses and taxes paid I Premiums paid j 129, 534 95 16, 515 73 1. 750 00 102 70 754 95 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer | ! I 100, 000 00 3 "95O*6o" 13,725 19 25, 754 69 12, 432 00 53 15 5, 567 40 67,800 00 Capital stock paid in $100,000 00 Surplus fund Other undivided profits 110,000 00 5,451 08 National bank notes outstanding State bank notes outstanding.. Dividends unpaid 89,1C0 00 4,074 00 Individual deposits , United States deposits . Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 693, 799 79 12, 38S 80 1, 690 45 Notes and bills re-discounted. Bills pay* Fourth National Bank, Nashville. JAS. W H I T W O R T H , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1669. THOMAS PLATER, Cashier. $739, 653 63 ' Capital .stock paid in.. $500,000 00 100, 000 00 47,458 82 National bank notes outstanding... State bank notes outstanding ""GOO.'OOO oo"| Surplus fund Other undivided profits 449, 960 G O Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers — 667, 067 35 8,908 80 8,170 2i. Notes and bills re-discounted Bills payable Total. 1,781,565 18 Total. Mechanics' National Bank, Nashville. B. F . WILSON, President. No. 2200. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $144, 805 32 3, 246 01 100, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 6, 232 51 22, 605 74 1, 040 00 3, 280 68 12, 000 00 Total. 7,242 17 3, 469 00 2, 056 25 723 00 10, 000 00 J. S. BRANSFORD, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $100, 000 00 2, 500 00 7, 533 18 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 109,452 96 8, 669 93 3,144 61 Notes and bills re-discounted Bills payable " 4,600 66" 321, 300 68 Total 321, 300 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 517 TENNESSEE. Giles National Bank, Pulaski. No. 1990. SOLON E. ROSE, President. HUGH F. EWING, Cashier* Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgagesDue from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ^ Total. $1.13, 764 76 4, 205 44 58, 000 00 Capital stock paid in $100,000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding I 5, 104 63 Dividends unpaid. 5, 708 85 166 70 „„.. 7, 225 00 Individual deposits United States deposits 926 17 Deposits of U. S. disbursing officers.. 3, 616 00 20 87 150 50 12, 500 00 Due to other national banks Due to State banks and bankers 6,390 37 3,125 73 52,200 00 47, 935 46 4, 347 36 Notes and bills re-discounted. Bills payable 2, 610 00 Total. 213, 998 92 National Bank, Pulaski. No. 1727. W. F. BALLENTINE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes „ U. S. certificates of deposit Due fromU. S. Treasurer Total. GEO. T. RIDDLE, Cashier. $81,280 70 ! Capital stock paid in I: 2,437 08 50, 000 00 Surplus ftmd , Other undivided profits 1, 722 36 National bank notes outstanding 3,219 17 State bank notes outstanding 14,084 56 Dividends unpaid. 1, 875 00 98 92 5,218 59 Individual deposits United States deposits 26 04 Deposits of U. S. disbursing officers. 6,914 00 750 70 366 78 10, 000 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable , $70, 000 00 9,200 00 7, 727 40 45, 000 03 47, 702 02 614 48 2, 250 00 Total., 180,243 90 180, 243 90 National Bank, Shelbyville. EDMUND COOPER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2198. i62 90 30, 000 00 BROM. R. WHITTHORNE, Cashier. Capital stock paid in . Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding 7,260 67 i Dividends unpaid . 1, 227 54 ! 911 23 3,333 14 Individual deposits United States deposits Deposits of U. S. disbursing officers. 300 00 152 34 800 00 """i,"35o"6o" 122,197 82 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. $50, 000 00 931 13 3, 366 02 27, 003 00 35,543 51 5,357 16 122,197 82 518 REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. Springfield National Bank, Springfield. CHAS. C. BULL, President. No. 2019. THOMAS PEPPER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes XL S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $120,555 32 Capital stock paid in ""fi0,~000 00 Surplus fund O ther undivided profits | $60, 000 00 i 5, 000 00 3, 456 75 2,250 00 |; National bank notes outstanding 35,758 81 State bank notes outstanding 6,214 51 Dividends unpaid. 5,819 41 853 93 [ 7, 000 00 Individual deposits United States deposits \ 2, 973 98 Deposits of U. S. disbursing officers..! 8, 906 00 21 63 3,455 50 15, 050 00 Dae to other national banks I Due to State banks and bankers . I Notes and bills re-discounted Bills payable 271,579 48 j| Total. 54, 000 00 148, 996 83 125 90 271, 579 48 REPORT OF THE COMPTROLLER OF THE CURRENCY. 519 OHIO. First National Bank, Akron. No. 27. T. W. CORNELL, President. H. G. FULLER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits | U. S. bonds on hand j Other stocks, bonds, and mortgages. -1 Due from approved reserve agents... j Due from other banks and bankers ..< Real estate, furniture, and fixtures ..I Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks j Fractional currency j Specie I Legal tender notes U. S. certificates of deposit. Due fromU. S. Treasurer.. Total. $396, 205 04 Capital stock paid in 2, 761 72 250, ..... .._., 000 00 Surplus fund Other undivided profits --National bank notes outstanding $250, 000 00 74,000 00 59,463 89 225, 000 00 State bank notes outstanding J8,190 35 9, 000 00 Dividends unpaid 5, 277 40 Individual deposits 9, 081 30 United States deposits 4, 853 00 Deposits of U. S. disbursing officers.. 17191 Due to other national banks 222 98 Due to State banks and bankers 15, 644 00 Notes and bills re-discounted "li "256"5o" Bills payable. 103,591 41 102 40 10, 500 00 f 722, 657 70 Total. 722,657 70 Second National Bank, Akron. No. 40. GEO. E. BATES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer $294,915 35 3, 605 40 100,000 00 C. E. COLLINS, Cashier. Capital stock paid in.. $100, 000 00 900 44 75, 000 00 15,140 66 National bank notes outstanding State bank notes outstanding 16, 6L7 79 7, 000 00 1,664 68 Surplus fund Other undivided profits 89,100 00 Dividends unpaid . Individual deposits Uirted States deposits Deposits of U. S. disbursing officers . 162,071 56 4,037 93 792 36 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 10,000 00 Total. 456, 142 51 First National Bank, Alliance. JOHN ATWELL, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid . ,, Checks and other cash items Exchanges for clearing house Bills of other banks , Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2041. II. C. ELLISON, Cashier. 5170,172 79 Capital stock paid in 1, 894 47 50, 000 00 Surplus fund Other undivided profits 7, 332 3, 949 3, 866 1,909 50 84 42 28 429 16 j National bank notes outstanding State bank notes outstanding Dividends unpaid . Total. 3, 200 00 3,241 56 44, 400 00 50 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 565 00 Due to other national banks 323 93 Due to State banks and bankers 500 00 17, 750 00 Notes and bills re-discounted ....... j! 1,650 00 1 Bills payable 1 260,343 39' j $50, 000 00 145, 630 45 13, 683 34 138 04 [ 520 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Ashland. No. 183. J. 0. JENNINGS, President. Jos. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit... Due from U. S. Treasurer Total . PATTERSON, Cashier. Liabilities. $240,985 39 \\Capital stock paid in., $50, 000 00 429 36 J! 50,000 00 | j Surplus fund Other undivided profits 10,000 00 6, 217 65 '"lb'hhb'bo 24,540 71 8,261 59 42, 893 30 3, 435 57 1,716 57 1, 836 86S 1,708 35, 250 00 82 00 00 National bank notes outstanding State bank notes outstanding 45,000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 310,347 07 2, 086 36 774 23 Notes and bills re-discounted . Bills payable 2, 250 00 424, 425 31 Total. 424, 425 31 Ashtabula National Bank, Ashtabula. No. 2031. HENRY FASSETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items. Exchanges for clearing house. Bills of other banks Fractional currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $69, 505 65 "76,500 66 J. S M BLYTH, Cashier. U Capital stock paid in. $100,000 00 Surplus fund , Other undivided profits. 3, 373 21 3,132 79 5, 000 00 National bank notes outstanding 1,227 80 State bank notes outstanding 35 15 11,977 37 Dividends unpaid. 1,844 89 Individual deposits , 12,750 20 United States deposits , 672 88 1, 010 00 7L 80 68, 840 00 28 00 14,008 74 Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers 417 00 1 Notes and bills re-discounted. Bills payable Total. Total 189,799 74 Farmers' National Bank, Ashtabula. O. H. FITCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums p a i d . . . . . . . Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer . . Total. No. 975. $174,523 90 1, 443 98 150,000 00 47, 499 31 5, 320 78 4, 000 00 4,438 23 2,251 38 759 00 407 99 5, 950 00 ""6,"756'66" 403, 344 57 A. F. HUBBARD, Cashier. Capital stock paid in. Surplus fund Other undivided profits Naiional bank notes outstanding State bank notes outstanding $150, 000 00 30, 328 36 9,399 81 135, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers 75, 925 36 885 83 1,805 19 Notes and bills re-discounted. Bills payable Total. 403, 344 57 REPORT OF THE COMPTROLLER OF THE CURRENCY. 521 OHIO. First National Bank, Athens. No. 233. E. H. MOORE, President, T. H. SHELDON, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. — Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $147, 785 28 Capital stock paid in. 7,675 16 75, 000 00 Surplus fund Other undivided profits """"2,~250"00" 7, 450 00 National bank notes outstanding.. 6, 242 56 State bank notes outstanding 9,882 14 21,525 38 Dividends unpaid . 2, 884 63 Individual deposits , 325 48 United States deposits 6, 455 56 Deposits of U. S. disbursing officers $75, 009 00 Due to other national banks Due to State banks and bankers . . 1, 495 00 15, 315 00 Notes and bills re-discounted. Bills payable 952 71 3, 705 37 2,742 00 463 93 67, 500 00 142, 489 82 4,942 68 1,375 00 308, 867 12 Total. 308,867 12 j Total . 11,790 69 2, 485 85 First National Bank, Barnesville. No. 911. FRANCIS DAVIS, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer Total. $210, 737 41 1, 676 71 100, 000 00 10, 037 00 39, 910 22 8, 326 58 8, 233 50 4, 022 37 500 00 574 00 G. E. BRADFIELD, Cashier. Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits 23, 000 00 10, 536 65 National bank notes outstanding State bank notes outstanding 88, 500 00 Dividends unpaid . 75 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 500 00 Due to other national banks 357 85 Due to State banks and bankers 1,613 00 20, 000 00 Notes and bills re-discounted. Bills payable 3, 20'J 00 Total. 410,688 64 179,112 85 3, 464 89 5,999 25 410, 688 64 First National Bank, Batavia. MILTON JAMIE3ON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid „ Checks and other cash items Exchanges for clearing house . . . . . . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 715. J. F. DIAL, Cashier. $133, 051 07 Capital stock paid in . 366 49 100, 000 00 Surplus fund Other undivided profits 460 00 7, 535 2,232 1, 000 148 05 14 00 50 560 50 1, 000 00 187 83 1, 350 00 10, 000 00 National bank notes outstanding . . . State bank notes outstanding $100, 000 00 20, 000 00 1,085 17 90, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 51, 306 41 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable "" "4,"500" 00" Total . 262, 391 58 262,391 58 522 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Bellaire. No. 1944. A. W. ANDERSON, President. A. P. TALLMAN, Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits II. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $180,768 68 1,21-2 92 85, 000 00 Capital stock paid in 7, 73S 40 6,321 88 National bank notes outstanding 00 20 I State bank notes outstanding 92 75 | Dividends unpaid 95 35 | Individual deposits 1,386 78 ! United States deposits i Deposits of U. S. disbursing officers. Due to other national banks-. Due to State banks and bankers 1,019 42 76, 500 00 1, 000 6, 233 4. 530 8, 632 1,953 10, 976 119, 549 32 10, 375 82 31.7 55 Notes and bills re-discounted. ! Bills payable 3, 844 00 j 320, 802 97 Total . 320, 802 97 j Total. $100, 000 00 Surplus fund Other undivided profits Beliefontaine National Bank, Bellefontaine. W M . LAWRENCE, No. 1784. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Dne from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer LEISTER, Cashier. $L44, 105 80 Capital stock paid in 10,363 50 Surplus fund 115,000 00 Other undivided profits I I ! National bank notes outstanding ! State bank notes outstanding ' i Dividends unpaid., ; Individual deposits United States deposits 3, 636 95 Deposits of U. S. disbursing officers 19 2L 09 71 3, 304 00 104 19 410 00 14. 000 00 Due to other national banks Due to State banks and bankers 11,200 00 12, 303 47 102,500 00 47,000 00 7,735 405 6, 323 7, 700 $115, 000 00 j 125,818 15 -. j I 507 02 i 367, 328 64 Notes and bills re-discounted.. Bills payable Total Total. First National Bank, Bellevue. J. T. WORTHINGTON, President. No. 2302. H . BROWN, Cashier. I Loans and discounts ; $51, 608 87 | Capital stock paid in Overdrafts ',... U. S. bonds to secure circulation . . . . 1 "30, 000 00 | Surplus fund j U. S. bonds to secure deposits |... i Other undivided profits j U. S. bonds on hand i... National bank notes outstanding j Other stocks, bonds, and mortgages..!... State bank notes outstanding Due from approved reserve agents...!... Due from other banks and bankers..! i, 259 26 Dividends unpaid . Real estate, furniture, and fixtures... | ., 608 40 Current expenses and taxes paid 752 81 Individual deposits Premiums paid 5,500 00 United States deposits Checks and other cash items L.. Deposits of U. S. disbursing officers.Exchanges for clearing house I... Bills of other banks i 3, 032 00 ; Due to other national banks Fractional currency J53 83 Due to State banks and bankers. Specie , 100 00 Legal tender notes , Notes and bills re-discounted. 2,180 00 U. S. certificates of deposit I... Bills payable Due frcm U. S. Treasurer j ""I,"350"66" Total. 98,545 17 j Toud . $50, 000 00 1, 964 36 27. 000 00 18, 636 84 943 97 98, 545 17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 523 OHIO. First National Bank, Berea. T. CHURCHWARD, President. A. H. POMEROY, Cashier. No. 2004. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $59,471 22 994 19 50, 000 00 5, 500 00 9,269 22 5,357 51 9, 650 00 1,407 6(1 3, O O 00 U 392 92 5, 310 00 2,159 37 Surplus fund National bank notes outstanding 45, 000 00 Dividends unpaid . 54, 197 82 , United S tates deposits Deposits of U. S. disbursing officers . 2, 068 00 235 53 Due to other national banks Due to State banks and bankers 7,171 00 Notes and bills re-discounted Bills payable 600 00 2, 750 00 157,267 19 Total $50, 000 00 Capital stock paid in Total 157,267 19 First National Bank, Bridgeport. No. 214. E. P . R H O D E S , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. W. T. GRAHAM, Cashier. $229, 053 84 Capital stock paid in., 737 97 200, 000 00 Surplus fund Other undivided profits 450 00 National bank notes outstanding 12,619 01 State bank notes outstanding 18, 308 85 Dividends unpaid. 14,603 16 2, 337 98 Individual deposits United States deposits 1, 418 24 Deposits of U. S. disbursing officers. 1, 870 00 Due to other national banks 239 76 Due to State banks and bankers 645 00 4,873 00 Notes and bills re-discounted . Bills payable 9, 000 00 | 26, 784 93 9, 692 35 180, 000 00 75, 066 77 2, 543 83 2,068 93 496, 156 81 Total. 496,156 81 $200, 000 00 First National Bank, Bryan. No. 237. A. J. TRESSLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3 $105, 822 28 3, 000 00 60, 000 00 5, 152 62 2,683 1,683 22, 942 702 60 68 00 67 1, 800 47 1,332 7, 000 00 43 86 00 Capital stock paid in. $60, 000 00 Surplus fund Other undivided profits 31,371 91 4,350 69 National bank notes outstanding State bank notes outstanding.... 54, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 64,965 20 179 34 2, 700 00 214,867 ]4 30 D. C. BAXTER, Cashier. Total. 214,867 14 524 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Bucyrus. No. 443. J. A. GORMLY, President. J. B. GORMLY, Cashier,. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. . Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $130,559 86 Capital stock paid in . 1,791 28 100, 000 00 Surplus fund Other undivided profits $100, 000 00 20, 000 00 3,911 78- io"i5o"66" National bank notes outstanding 10, 738 81 State bank notes outstanding 4, 462 30 18, 700 00 Dividends unpaid . 1,437 50 j Individual dej oeits | United States deposits I Deposits of U. S. disbursing officers.. 1,254 00 Due to other national banks 174 55 Due to State banks and bankers 465 00 17, 000 00 Notes and bills re-discounted. Bills payable 5, 300 00 ! 302,033 30 Total. 90, 000 00 84,498 15 1, 067 76 2, 555 61 302,033 30 First National Bank, Cadiz. ALEX. HENDERSON, President. No. 100. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . . „ Total., $197,731 92 I 624 68 ! 120, 000 00 | 4,"666*66*| 7, 210 6, 844 15, 932 2, 296 415 1, 609 34 15 07 70 90 26 J. B. LYONS, Cashier. Capital stock paid in . $120, 000 00 Surplus fund Other undivided profits 27, 000 00 10, 492 81 National bank notes outstanding State bank notes outstanding 108, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 055 55 937 18, 078 00 Due to other national banks 99 Due to State banks and bankers 50 00 Notes and bills re-discounted. Bills payable 5, 400 00 383,191 51 Total 114, 633 3-1 2, 655 78 409 61 383,191 51 Harrison National Bank, Cadiz. CHAUNCEY DEWEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer Total. No. 1447. CHAS. P. DEWEY, Cashier. $460, 207 64 Capital stock paid in . 202 75 100, 000 00 Surplus fund Other undivided profits 8, 252 90 National bank notes outstanding 14,009 62 State bank notes outstanding 7, 286 61 Dividends unpaid . 4,166 03 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 639 482 514 63, 000 00 Due to other national banks 13 Due to State banks and bankers 55 00 Notes and bills re-discounted Bills payable $100, 000 00 60, 000 00 12, 331 88 90, 000 00 393, 854 62 1, 500 73 6,574 00 * 4 "560" 00* 664, 261 23 Total. 664,261 23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 525 OHIO. Noble County National Bank, Caldwell. No. 2102. W. H. FRAZIER, President. C. T. LFAVIS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Liabilities. $120, 817 20 2, 073 02 60, 000 00 5, 000 00 4, 307 91 212 50 3. 693 00 1, 427 75 5, 000 00 346 51 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie .* Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 704 00 124 84 288 35 9, 000 00 Capital stock paid in. $60, 000 00 Surplus fund Other undivided profits 5, 000 00 5,082 15 National bank notes outstanding . State bank notes outstanding 54,000 00 164 00 Dividends unpaid. Individual deposits ' United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 90, 084 13 1,143 58 326 87 Notes and bills re-discounted Bills payable ""27865*65' Total. Total . 215, 800 73 215, 800 73 First National Bank, Cambridge. S. J. McMAHON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents - . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 141. $215, 734 44 A. C. COCHRAN, Cashier. Capital stock paid in $100, 000 00 "" 102," 500 'bo Other undivided profits National bank notes outstanding 32, 997 2, 436 15, 604 2,140 1. 440 03 01 81 38 69 1, 656 53 150 29, 058 00 98 00 00 4,"545"oo 20, 000 00 11,166 43 90, 500 00 150 00 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 408,316 34 Total 182,038 91 408 63 285 69 3, 766 68 408,316 34 Guernsey National Bank, Cambridge. J . D. TAYLOR. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1942. W. A. LAWRENCE, Cashier. $152, 613 34 Capital stock paid in . ""i25,"656"66 Surplus fund Other undivided profits 5,000 00 3,643 10 240 55 16, 500 00 2,595 34 488 05 1, 005 00 204 55 175 00 8, 233 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers $150, 000 00 3, 800 00 12,190 55 112, 500 00 20 00 41, 079 79 126 45 6 14 Notes and bills re-discounted. Bills payable 4,025 00 319, 722 93 Total. 319, 722 93 526 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Canton. L. L. MILLER, Cashier. No. 76. CORNELIUS AULTMAN, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid j Premiums paid j Checks and other cash items ( Exchanges for clearing hous6 Bills of other banks j Fractional currency \ Specie ! Legal tender notes ! U. S. certificates of deposit j Due from U. S. Treasurer 56,401 74 10, 815 06 National bank notes outstanding 5, 887 77 State bank notes outstanding 5, 749 82 64,364 20 Dividends unpaid . . 1, 486 50 14 24 Individual deposits 2, 840 34 United States deposits.% 1, 750 00 Deposits of U. S. disbursing officers.. 414 75 Due to other national banks 465 23 Due to State banks and bankers 15, 000 00 Notes and bills re-discounted 4,691 10 Bills payable Total... 357,133 82 Total . $100, 000 00 $151, 683 51 Capital stock paid in 2, 781 36 100, 000 00 Surplus fund Other undivided profits 90, 000 00 78, 017 39 10,664 68 6, 234 95 5, 000 00 357, 133 82 First National Bank, Cardington. H. PENNOCK, President. J. I. LAMPRECHT, Cashier. No. 127. $134, 425 55 Capital stock paid in., Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes . . . . U. S. certificates of deposit Due fromU. S. Treasurer 606 09 100, 000 00 $100,000 00 Surplus fund Other undivided profits. 20, 000 00 5, 668 59 National bank notes outstanding 10 State bank notes outstanding 29 1 Dividends unpaid 93 08 ! Individual deposits | United States deposits 1, 579 23 ' Deposits of U. S. disbursing officers. 89, 300 00 734 5, 222 9, 722 ], 578 3, 800 4 89 5, 500 00 j Due to other national banks 02 Due to State banks and bankers 57 00 Notes and bills re-discounted . Bills payable 48,282 16 1,390 11 21 00 1,400 00 Total Total. 264, 661 86 •264, 661 86 Centreville National Bank of Thurman, Centreville. L. M. BEMAN, President. Loans and discounts \ Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits ! [ U. S. bonds on hand Other stocks, bonds, and mortgages. J Due from approved reserve agents.. J Due from other banks and bankers... j Real estate, furniture, and fixtures- ..| Current expenses and taxes paid ! ! Premiums paid Checks and other cash items • Exchanges for clearing house Bills of other banks Fractional currency i Specie I Legal tender notes \ U. S. certificates of deposit Due from U. S. Treasurer Total R. P. PORTER, Cashier. No. 2181. I $70, 703 59 50, 000 0(J 735 127 306 73 Capital stock paid in. Surplus fund Other undivided profits $50, 000 00 - National bank notes outstanding 49 State bank notes outstanding 41 00 Dividends unpaid. 55 Individual deposits United States deposits Deposits of U. S. disbursing officers. 220 29 65 1,500 00 Due to other national banks 14 Due to State banks and bankers 00 00 Notes and bills re-discounted. Bills payable 2, 252 05 126,012 23 Total 3, 000 00 1, 576 55 45, 000 00 25, 657 18 746 34 32 16 REPORT OF THE COMPTROLLER OF THE CURRENCY. 527 OHIO. First National Bank, Chillicothe. W I L L I A M M C K E L L , President. No. 128. JNO. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit .*.-.. Due from U. S. Treasurer $575, 239 28 1, 140 45 150, 000 00 100, 000 00 4,200 00 21, 500 00 27,172 70 15, 369 39 6, 800 00 5,148 46 3,273 78 8, 967 00 1,287 64 4,106 82 27, 900 00 $150, 000 00 Capital stock paid in . Surplus fund Other undivided profits . 170,571 94 20,023 76 National bank notes outstanding . State bank notes outstanding 134, 960 00 8, 065 00 1, 960 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks , Due to State banks and bankers . . . . Notes and bills re-discounted.. Bills payable 332,315 27 34, 073 47 3, 605 39 3, 285 69 100, 000 0U 6, 755 00 958, 860 52 Total. 958, 860 52 Total. D. MADEIRA, Cashier. Chillicothe National Bank, Chillicothe. D. C. RUHRAH, Cashier. No. 1277. N. WILSON, President. Loans and discounts Overdrafts U. Si bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes Due from U. S. Treasurer Suspense acco unt $99,089 66 Capital stock paid in. 18 L 35 Surplus fund 50, 000 00 Other undivided profits . 8,959 16 9, 049 75 10, 200 00 1,668 44 274 50 550 712 601 7, 454 2, 260 31, 300 00 34 20 00 00 00 8,173 24 4,190 95 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . 62, 669 44 2, 266 77 Notes and bills re-discounted. Bills payable 222, 300 40 Total. 222, 300 40 Total. $100, 000 00 Ross County National Bank, Chillicothe. A. P . STORY, President. Loans and discounts O verdraf ts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. No. 1172. $296, 805 85 215 13 150, 000 00 11, 000 00 JNO. TOMLINSON, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 13, 256 77 12, 295 79 2, 500 00 3, 782 09 2, 100.0i) j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes Due from U. S. Treasurer Suspense account 2,304 00 Due to other national banks 820 03 Due to State banks and bankers 3, 949 21 ! 20, 500 00 Notes and bills re-discounted . 7,228 99 |!Bills payable 8, 237 00 I Total. 40,000 00 15,877 00 133,400 00 12,514 00 Dividends unpaid . Individual deposits * United States deposits 1, 598 24 | Deposits of U. S. disbursing officers.. 539, y43 10 $150, 000 00 Total. 174, 626 65 7,078 81 6,446 64 539, 943 10 528 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Cincinnati. No. 24. L. B. HARRISON, President. T H E O . STANVVOOD, Cashier. Liabilities. Resources. Loans and discounts $2, 619,163 57 Capital stock paid in Overdrafts 726 75 U. S. bonds to secure circulation I 1, 251, 200 00 Surplus fund U. S. bonds to secure deposits 336, 500 00 } Other undivided profits U.S. bonds on hand 270,700 00 Other stocks, bonds, and mortgages.. 128, 000 00 National bank notes outstanding Due from approved reserve agents... 591,155 03 State bank notes outstanding Due from other banks and bankers... 546, 202 65 Real estate, furniture, and fixtures... ' 80, 000 00 Dividends unpaid " Current expenses and taxes paid 49, 057 49 Premiums paid Individual deposits 30,211 81 United States deposits Checks and other cash items 12, 100 18 Deposits of U. S. disbursing officers. Exchanges for clearing house 18, 227 00 Bills of other banks 1, 700 21 | Due to other national banks Fractional currency 19,664 83 ; Due to State banks and bankers Specie 135, 000 00 Notes and bills re-discounted Legal tender notes 270, 000 00 U. S. certificates of deposit 56, 250 00 Bills payable Due from U. S. Treasurer 6, 415, 859 52 Total., $1, 500, 000 00 300, 000 00 196, 688 21 973, 542 00 4, 320 00 1, 671,146 36 193, 696 28 976, 066 33 263, 900 34 336, 500 00 6, 415, 859 52 Total Second National Bank, Cincinnati. No. 32. SETH EVANS, President. S. S. R O W E , Cashier. $428,771 65 Capita stock paid in. . 15 73 200, 000 00 Surplus fund Other undivided profits National bank notes outstanding 40, 037 93 State bank notes outstanding 22, 018 82 Dividends unpaid . 6,839 8-1 7,665 43 Individual deposits United States deposits 2,549 94 Deposits of U. S. disbursing officers. 1, 339 19 15, 054 00 Due to other national banks Due to State banks and bankers . 6, 033 50 70, 000 00 Notes and bills re-discounted. 100, 000 00 Bills payable 11, 876 61 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie . Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 919, 852 64 Total. Total. $200, 000 00 40, 000 00 18, 537 94 171, 440 00 458, 545 54 31, 329 16 919, 852 64 Third National Bank, Cincinnati. No. 20. OLIVER PERIN, President. $2,723,401 64 7, 498 07 712, 000 00 9.11,000 00 198, 800 00 125, 566 60 512,753 76 249, 082 57 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house... Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total eo, ooo oo G. P. GRIFFITH, Cashier. Capital stock paid in. Surplus fund Other undivided profits . ,National bank notes outstanding State bank notes outstanding 5,538,291 27 j 320, 000 00 80,394 69 560, 000 00 Dividends unpaid . Individual deposits 43,978 77 United States deposits Deposits of U. S. disbursing officers. 31,953 28 55, 465 00 Due to other national banks Due to State banks and bankers ""'4"79338 180, 000 00 Notes and bills re-discounted. 370. 000 00 Bills payable , 40, 998 20 ; $800, 000 00 Total. 2,498,102 92 134,519 33 689,573 14 331,201 19 124, 500 00 5, 538, 291 27 REPORT OF THE COMPTROLLER OF THE CURRENCY. 529 OHIO. Fourth National Bank, Cincinnati. No. 93. M. M. W H I T E , President. H. P. COOKE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $907, 813 73 500, 000 150, 000 95, 050 12 Capital stock paid in. 53 00 Surplus fund 00 Other undivided profits. 00 National bank notes outstanding . 75, 548 07 State bank notes outstanding 79, 829 42 Dividends unpaid . 9, 000 00 6, 730 86 8, 000 00 Individual deposits United States deposits 465 22 Deposits of U. S. disbursing officers 11, 855 83 11, 485 00 Due to other national banks 250 00 Due to State banks and bankers . . . 4, 583 20 85, 000 00 Notes and bills re-discounted. Bills payable 28,430 00 1,974,114 25 Total. Total. $500,000 00 150,000 00 21, 534 32 450, 000 00 240 00 389, 352 33 101, 819 22 153,254 76 57, 913 62 150, 000 00 1,974.114 25 Merchants' National Bank, Cincinnati. D. J. FALLIS, President. No. 844. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency...... .... Specie Legal tender notes X S. certificates of deposit L Due from U. S. Treasurer.... Total. H. C. YERGASON, Cashier. $1,507,421 05 Capital stock paid in. 1, 934 64 889,000 00 Surplus fund Other undivided profits. 1, 600 00 5, 500 00 National bank notes outstanding 235, 407 53 State bank notes outstanding 93, 756 72 33, 988 00 Dividends unpaid . 7, 802 55 Individual deposits United States deposits Deposits of U. S. disbursing officers. 22,178 84 16,400 00 Due to other national banks 6, 357 33 Due to State banks and bankers 200, 000 00 Notes and bills re-discounted. Bills payable 53, 500 00 3, 074, 846 66 Total $1, 000, 000 00 180, 000 00 51, 661 49 800, 000 00 480 00 620,101 40 362, 859 71 59, 744 06 3,074,846 66 National Bank of Commerce, Cincinnati. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits , U. S. bonds on hand , Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures., Current expenses and taxes paid— Premiums paid , Checks and other cash items Exchanges for clearing house Bills of other banks , Fractional currency , S pecie , Legal tender notes U. S. certificates of deposit , Due from U. S. Treasurer , Total H. B. BlSSELL, Cashier. No. 2315. W. A. GOODMAN, President. , $559,119 35 Capital stock paid in . 1,052 10 50, 000 00 Surplus fund Other undivided profits 25,650 66" 14,000 00 National bank notes outstanding... 78,824 41 State bank notes outstanding 56, 453 50 3, 972 05 Dividends unpaid . 16,176 22 Individual deposits 14, 789 98 United States deposits 874 74 Deposits of U. S. disbursing officers 52, 890 62 69,714 00 Due to other national banks 286 44 Due to State banks and bankers 5,682 18 43, 000 00 Notes and bills re-discounted. 100, 000 00 Bills payable , 2, 250 00 1, 094, 735 59 Total $400, 000 00 36, 659 78 45, 000 00 482,298 39 46, 667 53 84,109 89 1,094,735 59 530 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Circleville. MARCUS BROWN, President. No. 118. OTIS BALLARD, Jr., Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $456, 657 9L 1, 259 42 260, 000 00 90, 500 23, 383 3, 432 5, 795 44 68 20 40 1,573 83 7, i:>2 120 1,294 21,185 00 00 00 00 ""ii'ioo'oo" Capital stock paid in . 80,000 00 30, 562 47 National bank notes outstanding State bank notes outstanding 232, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 884, 053 88 Total. $260, 000 00 Surplus fund Other undivided profits 275, 920 48 4, 853 43 717 50 Total. 884, 053 88 Second National Bank, Circleville. NOAH S^ GREGG, President. No. 172. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. N. HEDGES, Jr., Cashier. $339, 888 53 Capital stock paid in . 1, 387 61 124, 000 00 Surplus fund Other undivided profits. $125, 000 00" 55, 000 00 15,131 57 595 00 National bank notes outstanding... 41,817 39 State bank notes outstanding 15, 019 44 Dividends unpaid . 4, 811 16 Individual deposits United States deposits 2, 850 56 Deposits of U. S. disbursing officers. 1, 790 00 343 93 1,472 50 12,115 00 111, 600 00 233, 684 83 894 12 360 60 Due to other national banks Due to State banks and bankers Notes and bills re-discounted., Bills payable 10, 000 00 5, 580 00 551,671 12 551,671 12 Total. First National Bank, Cleveland. JAMES BARNETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills cf other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer Total. No. 7. $823, 900 03 321 22 300, 000 00 91,857 48 57,922 39 15, 623 41 9,110 32 5, 665 16 25, 499 00 6, 322 69 5, 432 44 160, 000 00 ""i6*273"82* 1, 511, 927 ! A. K. SPExNCER, Cashier. Capital stock paid in . $300, 000 00 Surplus fund Other undivided profits 100,000 00 63, 023 87. National bank notes outstanding State bank notes outstanding 270,000 00 Dividends unpaid . 18, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers 697, 459 05 , 49,903 23 13,541 81 Notes and bills re-discounted Bills payable Total 1,511,927 96 REPORT OF THE COMPTROLLER OF THE CURRENCY. 531 OHIO. Second National Bank, Cleveland. JOSEPH PERKINS, Preside?it. No. 13. KENNEDY CLINTON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $1, 403, 753 36 4, 975 32 467, 000 00 244,244 08 253,579 11 83, 750 55 28,100 64 23, 889 07 38, 737 93 40, 165 00 5, 389 71 200, 000 00 22, 000 66 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 113, 000 00 101, 499 65 420, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 2,815,584 77 Total. $1, 000, 000 00 Capital stock paid in. Total 1,115,508 74 37, 912 92 27, 663 46 2,815,584 77 Commercial National Bank, Cleveland. DANIEL P. EELLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 807. JOSEPH COLWELL, Cashier. $2,136, 524 30 Capital stock paid in. 5, 361 23 400, 000 00 Surplus fund Other undivided profits National bank notes outstanding . 298, 415 63 State bank notes outstanding 117,789 17 Dividends unpaid . 40,000 00 34, 057 63 Individual deposits United States deposits 12, 948 61 Deposits of U. S. disbursing officers 49, 722 79 5, 141 00 Due to other national banks 1, 669 03 Due to State banks and bankers 400 00 170, 000 00 Notes and bills re-discounted Bills payable Total Total . $1,250, 000 00 240, 000 00 87,421 31 332,170 00 782,021 54 129,221 57 137,513 07 332,000 00 3,290,347 49 Merchants' National Bank, Cleveland. T. P. HANDY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 773. W. L. CUTTER, Cashier, ., 679, 858 84 Capital stock paid in. 1,649 21 559, H00 00 Surplus fund 225, 000 00 Other undivided profits. 116, 000 00 5, 000 00 National bank notes outstanding 182,641 36 State bank notes outstanding 192,724 48 Dividends unpaid . 38, 000 00 ; 33, 337 22 Individual deposits 12, 508 45 United States deposits 8, 287 70 Deposits of U. S. disbursing officers. 8, 783 50 50,241 00 Due to other national banks 3,351 05 Due to State banks and bankers . . . 1, 350 00 I 200, 000 00 ! Notes and bills re-discounted. Bills payable 29, 010 00 3, 346, 742 81 Total $1, 200, 000 00 170, 400 00 89, 344 70 495, 990 00 9, 670 00 240 00 1,187, 073 4$ 75, 974 98 ill, 124 50 1,717 61 5,207 53 3,346,742 8L 532 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. National City Bank, Cleveland. No. 786. W. P. SOUTHWORTH, President. JNO. F . WH1TELAW, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid •Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit — Due from U. S. Treasurer $421,196 74 3, 649 60 200, 000 00 7, 563 31 46, 159 44 47, 537 68 10, 797 33 10, 925 06 24, 230 00 418 54 1,500 00 40, 000 00 35, 000 00 15,804 14 Surplus fund Other undivided profits National bank notes outstanding . State bank notes outstanding . . . . Dividends unpaid. 50, 000 00 27, 865 00 175, 500 00 50 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 864, 781 84 Total. $200, 000 00 Capital stock paid in . Total. 288, 377 29 28,526 54 78,463 01 16, 000 00 864,781 84 Ohio National Bank, Cleveland. ROBERT HANNA, President. No. 1689. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures -Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $779, 673 72 897 80 300,000 00 14, 606 92 26, 394 6,619 3,428 12, 873 78 75 31 50 3, 806 4, 955 39, 108 1,962 70 84 00 39 60, 000 00 "I3"5OO 66 $600, 000 00 Capital stock paid inSurplus fund Other undivided profits. National bank notes outstanding . State bank notes outstanding 34, 812 09 32, 443 51 270, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 205, 973 77 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 28, 256 29 84, 342 05 1, 267, 827 71 Total. JOHN McCLYMONDS, Cashier. 12, 000 00 1, 267,827 71 Total First National Bank, Columbus. tPETER AMBOS, No. 123. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $516,606 58 300, 400 00 11,171 00 32,088 20, 895 1, 000 10, 240 19 43 00 03 13, 042 73 40, 242 00 922 30 6, 503 80 120, 000 00 THEO. P. GORDON, Cashier. Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding . State bank notes outstanding $300,000 00 100, 000 00 49, 522 36 270,000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 350, 680 55 15, 987 46 7, 221 69 20, 300 00 1, 093, 412 06 Total 1,093,412 06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 533 OHIO. Franklin National Bank, Columbus. No. 599. J. G-. DESHLER, President. C. J. HARDY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Speeie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $200, 000 00 $362, 086 30 " "260" ooo'65' Surplus fund . . . . . . . O ther undivided profits 24,329 97 National bank notes outstanding State bank notes outstanding 9,088 13 3,000 00 2,509 01 Individual deposits United States deposits 9, 639 62 Deposits of U. S. disbursing officers . 2,782 00 Due to other national banks 120 00 Due to State banks and bankers 3, 638 74 66, 735 00 40, 000 00 35, 417 47 174, 500 00 14,212 00 6 00 189,153 07 38,754 05 886 18 9, 000 00 692, 9*8 77 Total 692, 928 77 Total. ... National Exchange Bank, Columbus. W. G. DESHLER, President. No. 591. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand *. Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $366, 639 15 Capital stock paid in. 200, 000 100, 000 5,150 9, 635 75,148 7, 502 00 00 00 05 49 97 5, 451 42 $200, 000 00 Surplus fund Other undivided profits . 100, 000 00 22, 033 22 National bank notes outstanding . . . State bank notes outstanding 180, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 228, 361 45 21,249 58 37, 311 03 7, 953 00 Due to other national banks 4L2 29 Due to State banks and bankers . . . 2,200 00 53,421 00 Notes and bills re-discounted. Bills payable 9, 000 00 8, 527 98 50, 392 25 5, 362 14 847,875 5L Total. GEO. W. SINKS, Cashier. Total. 847, 875 51 First National Bank, Coshocton. JACKSON HAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1920. $97,454 57 2,279 02 85, 000 00 HENRY C. HERBIG, Cashier. Capital stock paid in., Surplus fund Other undivided profits National bank notes outstanding 453 43 State bank notes outstanding 8,097 70 Dividends unpaid . 1, 265 25 360 74 1, 206 25 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 2, 800 00 113 63 Due to other national banks Due to State banks and bankers 7, 000 00 $85, 000 00 5, 000 00 3, 013 68 73, 300 00 41, 332 16 Notes and bills re-discounted. Bills payable 1,183 52 1,026 23 """3"825*65' 209, 855 59 Total. 209, 855 59 534 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Second National Bank, Dayton. W. P. HUFFMAN, President. No. 10. CHAS. E. DRURY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.S. Treasurer Total. $536,864 19 Capital stock paid in . 32 51 300, 000 00 Surplus fund 100, 000 00 Other undivided profits . $300, 000 00 112, 000 00 4, 941 31 National bank notes outstanding 48,984 10 State bank notes outstanding 5, 475 04 5, 000 00 Dividends unpaid . 21 02 I Individual deposits United States deposits 28,229 99 Deposits of U. S. disbursing officers 14,155 00 Due to other national banks 761 92 Due to State banks and bankers 651 00 70, 000 00 Notes and bills re-discounted. Bills payable , 13, 500 00 9,720 00 346,872 00 75, 565 95 52 00 1, 930 40 2, 593 11 1, 123, 674 77 Total. 1,123,674 77 270, 000 00 Dayton National Bank, Dayton. No. J. H. Ac HEY, President. 898. W. S. PHELPS, Cashier. $440, 195 45 U. S. bonds to secure circulation U. S. bonds to secure deposits 300, 000 00 $300, 000 00 Surplus fund Other undivided profits National bank notes outstanding Other stocks, bonds, and mortgages... Due from approved reserve agents. . . Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid 425 00 29,011 69 11,665 42 5, 122 58 2, 313 54 18,264 56 Deposits of U. S. disbursing officers.. Bills of other banks 39,983 66 300 00 40 00 40, 000 00 13, 500 00 11,327 16 Due to other national banks Due to State banks and bankers 60, 000 00 39,524 95 -. Specie , Legal tender notes Due from U. S. Treasurer 1,065 00 233,110 92 Bills payable. . . . . . . 912,153 40 Total 270, 000 00 . 4,794 69 3,657 84 .... . Total 912,153 40 Merchants' National Bank, Dayton. D. E. MEAD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash item3 Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1788. A. S. ESTABROOK, Cashier. $293, 416 22 Capital stock paid in . 1, 338 67 200,000 00 || Surplus fund 2*566"66" I Other undivided profits • ! National bank notes outstanding. !State bank notes outstanding 12,182 27 2, 7, 4, 15, 843 27 000 00 606 12 500 00 9, 750 02 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 20,011 00 Due to other national banks 474 20 Due to State banks and bankers 5, 062 50 32, 000 00 Notes and bills re-discounted. Bills payable 9, 000 00 615, 684 27 Total . $200,000 00 13,222 18 16, 278 65 172, 200 00 240 00 196,251 75 9, 576 71 6, 414 98 1,500 00 615,684 27 REPORT OF THE COMPTROLLER OF THE CURRENCY. 535 OHIO. Defiance National Bank, Defiance. No. 1906. JAS. A. ORCUTT, President. EDWARD SQUIRE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.S. Treasurer $132, 222 69 1, 205 50 100, 000 00 1, 078 22 3,163 33 2, 755 24 210 53 1, 995 00 50 71 255 00 2, 000 00 Surplus fund Other undivided profits National bank notes outstanding. State bank notes outstanding 9,150 00 4, 978 36 90, 000 00 Dividends unpaid.. Individual deposits United States deposits , Deposits of U. S. disbursing officers 37, 426 45 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 6, 030 96 1, 850 45 4, 500 00 249, 436 22 Total. $100, 000 00 Capital stock paid in. Total. 249, 436 22 First National Bank, Delaware. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stock, bonds, and mortgages. Due from approved reserve agents. Dae from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid-... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. J. E. GODLD, Cashier. No. 243. BENJ. POWERS, President. $115, 950 45 16o,"666"6o" 400 00 1, 800 00 20, 287 52 2,566 12 7, 400 00 3, 224 42 1,816 84 $100, 000 00 Capital stock paid in., Surplus fund Other undivided profits. 20, 000 00 9,877 87 National bank notes outstanding . . . . State bank notes outstanding 89, 900 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 3,228 00 Due to other national banks 167 33 Due to State banks and bankers 230 26 10, 175 00 Notes and bills re-discounted. Bills payable , 4, 888 45 Total , 272,134 39 47, 155 24 2, 405 15 2,796 13 272, 134 39 Delaware County National Bank, Delaware. W. D. HEIM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 853. SIDNEY MOORE, Cashier. $119,405 02 Capital stock paid in I66,"6o6" 65" 2,100 00 37, 10, 8, 1, 316 462 700 678 68 35 00 31 407 28 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 20, 000 00 1, 960 11 89,2C0 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers.. 795 00 Due to other national banks 178 42 Due to State banks and bankers 992 81 27, 256 00 Notes and bills re-discounted. Bills payable 4, 500 00 313,791 87 $100,000 00 Total. 100, 603 20 1,341 03 687 53 313, 791 87 536 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Delphos. J. M. C. MARBLE, President. No. 274. JOSEPH BOEHMER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $162,103 81 •2,570 86 101, 900 00 20, 000 00 10,247 65 3, 625 99 1, 500 00 4,702 90 Capital stock paid in. 26, 000 00 8, 603 37 National bank notes outstanding State bank notes outstanding 90, 000 00' Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 95, 646 71 400 00 Due to other national banks 101 26 Due to State banks and bankers 7, 000 00 Notes and bills re-discounted. Bills payable ""4," 566" 66" 338, 652 47 Total. $100, 000 00 Surplus fund Other undivided profits 1, 417 91 16,984 49 Total . 338, 652 47 First National Bank, East Liverpool. JOSIAH THOMPSON, President. No. 2146. Loans and discounts Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid j. Checks and other cash items j Exchanges for clearing house j. Bills of other banks • Fractional currency Specie j. Legal tender notes \ U. S. certificates of deposit j. Due from U. S. Treasurer j $51, 222 60 Capital stock paid in., $50, 000 00 ""56,666 66 2, 750 03 2, 400 20 Surplus fund Other undivided profits. National bank notes outstanding 3,219 05 State bank notes outstanding 4,736 31 Dividends unpaid . 6,fi5000 671 71 Individual deposits United States deposits 895 21 Deposits of U. S. disbursing officers. 44, 200 00 35, 359 60 2, 982 00 Due to other national banks 173 41 Due to State banks and bankers 12, 100 00 Notes and bills re-discounted " 2 "256" 66" Bills payable Total 135, 105 29 Total. F.. D. KlTCHEL,. Cashier. 251 41 144 05 j 135,105 29 First National Bank, Eaton. W. M. BROOKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U- S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid . . . . . -Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 530. $157,646 37 143 60 100, 000 00 7, 488 26 4, 675 30 6,192 52 3,368 45 8, 249 00 4,005 00 1,740 47 1, 425 00 14,046 00 4,5O6"66" 313,479 97 C. F. BROOKE, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $100, 000 00 17, 823 74 11,015 01 90, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 94,641 22 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Biils payable Total 313, 479 97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 537 OHIO. First National Bank, Elyria. No. 438. ELIJAH DE WITT, President. J. W. HULBERT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due; from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $132, 731 58 "'ibb'bbb'bo '" 45O"65' 2, 500 00 3, 696 95 10, 006 68 2, 817 75 2, 254 03 4, 984 00 620 02 1, 694 13 24, 745 00 $100, 000 00 Capital stock paid in . Surplus fund Other undivided profits ,. National bank notes outstanding State bank notes outstanding 27, 630 53 19, 026 26 86, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , 53, 721 35 1, 336 80 2, 585 92 3, 800 72 Total. 290, 300 86- Total. 290, 300 86 First National Bank, Findlay. No. 36. E. P. JONES, President Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $110, 989 54 654 03 55, 600 00 CHAS. E. NlLES, Cashier. Capital stock paid in. $50,000 00 Surplus fund Other undivided profits 10, 740 03 5,324 20 National bank notes outstanding . 3, 093 67 State bank notes outstanding 391 11 1, 700 00 Dividends unpaid 3, 938 72 Individual deposits , United States deposits 214 75 Deposits of U. S. disbursing officers 50, 000 00 70 00 47 39 1,096 60 4, 571 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 54,529 93 872 65 13,000 00 3,100 00 Total. Total. 184,466 81 184,466 81 First National Bank, Franklin. No. 738. LEVI CROLL, President. Loans and discounts. ! Overdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages...! Due from approved reserve agents... I Due from other banks and bankers... | Real estate, furniture, and fixtures . . . | Current expenses and taxes paid j Premiums paid Checks and other cash items j Exchanges for clearing house ! Bills of other banks i Fractional currency | Specie I Legal tender notes | U. S. certificates of deposit i Due from U. S. Treasurer | Total i $184,115 34 1,073 48 95, 000 00 , W. A. BOYNTON, Cashier. Capital stock paid in $100,000 00 Surplus fund Other undivided profits 50, 000 00 14,488 04 500 00 National bank notes outstanding... 12, 577 72 State bank notes outstanding 2, 592 90 Dividends unpaid ,= 5, 000 00 3, 202 95 Individual deposits United States deposits 391 70 Deposits of U. S. disbursing officers. , 1,610 00 Due to other national banks 145 00 Due to State banks and bankers 445 00 6,500 00 Notes and bills re-discounted Bills payable 5, 075 00 85, 500 00- 318,229 09 Total 18,241 05 318,229 09* 538 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Farmers' National Bank, Franklin. No. 2282. DAVID ADAMS, President. J. M. OGLESBY, Cashier. liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $50, 000 00 $90, 046 83 Capital stock paid in . 496 39 33, 200 00 Surplus fund Other undivided profits 5,000 00 1, 785 85 National bank notes outstanding 1, 832 22 State bank notes outstanding 1,661 10 Dividends unpaid . 505 77 Individual deposits 619 78 United States deposits Deposits of U. S. disbursing officers. 1,433 00 Due to other national banks 53 85 Due to State banks and bankers . 2,181 98 1, 800 00 Notes and bills re-discounted Bills payable "I"494"65" 135,324 92 29, 880 00 46, 710 29 1,948 78 135,324 92 Total. First National Bank, Fremont. No. 5. J. W. WILSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. A. H. MILLER, Cashier. $190, 332 53 Capital stock paid in . 1, 490 63 , 100, 000 00 Surplus fund Other undivided profits. 35,100 00 National bank notes outstanding 17,131 83 State bank notes outstanding 2,310 42 17, 133 33 Dividends unpaid . 4, 898 74 Individual deposits United States deposits !, 309 31 Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 787 20 5, 452 00 Notes and bills re-discounted. Bills payable 4,494 60 381, 440 64 Total. $100,000 00 60, 000 00 11,789 58 89, 500 00 100 00 117,119 20 730 90 139 25 2, 061 71 381, 440 64 First National Bank, Galion. C. S. CRIM, President. Loans and discounts , Overdrafts U. S. bonds to secure circulation . . . . U. S. bonds to secure deposits U. S. bonds on hand . . ........ Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 419. O. L. HAYS, Cashier. $67, 495 17 Capital stock paid in . 1,310 75 50,000 00 Surplus fund Other undivided profits. 250 00 National bank notes outstanding.... 2,317 59 State bank notes outstanding 3, 412 63 13,269 19 Dividends unpaid . 985 56 Individual deposits 1 10 United States deposits 370 79 Deposits of U. S. disbursing officers . 303 00 Due to other national banks 396 63 Due to State banks and bankers 155 00 9, 000 00 Notes and bills re-discounted Bills payable 152, 017 41 Total. $50, 000 00 5, 500 00 2, 581 69 45, 000 00 44,121 69 3, 388 36 1, 425 67 152,017 41 REPORT OF THE COMPTROLLER OF THE CURRENCY. 539 OHIO. Citizens' National Bank, Galion. No. 1984. W. H. MARVIN, President. J. H. GREEN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $89, 385 71 261 28 60, 000 00 293 20,641 1,620 4,000 889 51 92 17 00 45 500 00 22 25 83 12 7, 0U0 00 Capital stock paid in . $60,000 00 Surplus fund , Other undivided profits. National bank notes outstanding State bank notes outstanding 6, 300 00 4,149 27 54, 000 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 60, 430 38 2, 010 76 2,193 00 Total. 186, 890 41 186,890 41 First National Bank, Gallipolis. EDW. DELETOMBE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid.... Premiums paid Checks and other cash items .., Exchanges for clearing house.. Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates-of deposit. Due from U. S. Treasurer No. 136. $247, 410 26 2,014 55 100, 000 00 12,479 11 9,781 47 3, 507 25 189 03 1, 546 211 327 21, 340 00 63 00 00 J. A. HAMILTON, Cashier. Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits 36, 000 00 14, 351 57 National bank notes outstanding State bank notes outstanding 88, 880 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted.. Bills payable Total. Total. 163, 534 40 140 07 400 26 403, 306 30 First National Bank, Garrettsville. W. C. THRASHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses aud taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $180, 824 79 1,478 21 60, 000 00 '"ib'hbb'bo 8, 936 80 993 94 9, 645 43 1,856 70 125 12 658 00 34 65 188 25 13, 000 00 31 C. W. GOODSELL, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $100, 000 00 215 01 1, 790 20 54, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 2, 900 00 291,241 89 Total. H. Ex. 3 No. £014. Total. 123, 574 85 318 99 742 84 10, 600 00 291, 241 89 510 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Geneva. No. 153. SALMON SEYMOUR, President. J. B. STEPHENS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of depo *it Due from U. S. Treasurer $81, 480 47 1, 952 00 100, 000 00 Capital stock paid in . 12, 500 00 5,405 04 National bank notes outstanding . 8, 476 92 9, 562 73 State bank notes outstanding 616 63 Dividends unpaid. 13,464 35 1,829 8L Individual deposits , United States deposits 1,277 34 Deposits of U. S. disbursing officers 88, 290 00 490 00 106 58 160 00 5, 000 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 22, 437 04 284 75 4, 500 00 228, 916 83 Total. $100, 000 00 Surplus fund Other undivided profits Total. 228,916 83 First National Bank, Germantown. JOHN F . KERN, President. J. H. CROSS, Cashier. No. 86. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie « Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $110, 039 99 66 97 75, 000 00 1, 900 00 5, 264 20 1, 615 97 5,647 17 1,274 96 2,418 00 76 72 687 00 8,103 00 Capital stock paid in. $75, 000 00 Surplus fund Other undivided profits 25,000 00 16, 514 26 National bank notes outstanding State bank notes outstanding 67, 500 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 31, 454 72 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 3,375 00 Total. 215, 468 98 215,468 ! First National Bank, Granville. H. L. BANCROFT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures-.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 388. $65, 746 22 883 50 50, 000 00 3, 014 13 2,815 00 720 83 1, 745 00 637 00 190 02 6, 500 00 E. M. DOWNER, Cashier. Capital stock paid in., $50,000 00 Surplus fund Other undivided profits 10, 000 00 3, 870 99 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , 24, 026 02 629 43 275 26 "l,*550"66" 133,801 70 Total. 133, 801 70 REPORT OF THE COMPTROLLER OF THE CURRENCY. 541 OHIO. First National Bank, Green Spring. ROBERT SMITH, President. No. 2037. LESTER W. ROYS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . . Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $49,116 12 Capital stock paid in.. 3,13L 76 50, 000 00 Surplus fund Other undivided profits. 450 00 2, 808 22 12,105 71 3,317 90 731 93 3, 312 80 332 50 $50, 000 00 6, 000 00 2, 390 10 National bank notes outstanding State bank notes outstanding Dividends unpaid., 45,000 00 30 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 29,152 48 423 00 Due to other national banks 123 24 Due to State banks and bankers 1,749 40 3, 320 00 Notes and bills re-discounted. Bills payable , 1, 650 00 Total. 132, 572 58 132, 572 58 Farmers' National Bank, Greenville. H. W. EMERSON, Presid nt. No. 1092. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency.... Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. T. S. WARING, Cashier. $146, 325 27 Capital stock paid in . 2, 947 87 84, 000 00 Surplus fund Other undivided profits 24,001 84 6, 295 31 1,259 26 6, 000 00 169 13 $84, 000 00 60,000 00 10,939 14 National bank notes outstanding State bank notes outstanding Dividends unpaid . 72, 400 00 144 00 Individual deposits United States deposits 1, 605 07 Deposits of U. S. disbursing officers. 73,464 77 2, 538 00 Due to other national banks 524 86 Due to State banks and bankers . 501 30 21,000 00 Notes and bills re-discounted. Bills payable 3, 780 00 300, 947 9i Total. 300, 947 91 First National Bank, Hamilton. MlCAJAH HUGHES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation -U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . . . Due from U. S. Treasurer Total. No. 56. JOHN B. CORNELL, Cashier. $450, 703 86 Capital stock paid in . 6, 058 28 100, 000 00 Surplus fund Other undivided profits . 26, 550 00 26, 492 15 National bank notes outstanding 123, 669 85 State bank notes outstanding 6,565 41 11,158 68 Dividends unpaid. Individual deposits United States deposits 3, 491 07 Deposits of U. S. disbursing officers. 12, 552 00 Due to other national banks 2, 486 77 Due to State banks and bankers 40, 000 00 Notes and bills re-discounted., Bills payable " "4," 328'90 " 814,056 97 Total. $100, 000 00 90, 000 00 8,102 93 90, 000 00 506, 893 71 5, 927 87 "^ 132 46 542 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Second National Bank, Hamilton. W M . E. BROWN, President. No. 829. HENRY WALTNER. Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., Liabilities. $319,787 50 Capital stock paid in. 821 35 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding 16,147 01 State bank notes outstanding 5,615 55 24,667 56 Dividends unpaid. Individual deposits 3, 696 55 United States deposits 630 75 Deposits of U. S. disbursing officers 2, 855 00 Due to other national banks 1,190 74 Due to State banks and bankers 1,214 80 20, 000 00 I Notes and bills re-discounted. ! Bills payable 5, 870 20 Total. 502, 497 01 $100, 000 00 20, 052 21 7,315 46 90, 000 00 j ' 279, 225 00 ! j 4, 337 57 1, 566 77 502,497 01 Citizens' National Bank, Hillsborough. JOHN C. GREGG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2039. C. M. OVERMAN, Cashier. $155, 892 89 Capital stock paid in . 450 13 100, 000 00 Surplus fund Other undivided profits . 20, 700 00 10, 681 84 7, 365 34 3,206 19 750 40 11,458 50 238 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. $100, 000 00 9, 000 00 9,046 64 90, 000 00 110, 036 75 700 00 140 10 Due to other national banks Due to State banks and bankers . 12, 000 00 Notes and bills re-discounted. Bills payable 4,500 66" Total. 328, 083 39 10.0C0 00 3-28, C83 3 Hillsborough National Bank, Hillsborough. JOHN A. SMITH, President. Loans and discounts Overdrafts i U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents.. • Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 787. $131,167 90 CARLISLE BARRERE, Cas, Capital stock paid in. "166 "666* 66 8,666 66 Surplus fund Other undivided profits. National bank notes outstanding 3, 353 17 State bank notes outstanding 12, 692 44 Dividends unpaid . 5,647 44 955 42 Individual deposits United States deposits 20 00 Deposits of U. S. disbursing officers. 1100, 000 00 35, 000 00 7,497 01 90, 000 00 58, 303 94 2, 900 00 Due to other national banks 164 58 Due to State banks and bankers . 20, U00 00 Notes and bills re-discounted. Bills payable ""5,"9oo 66 290, 800 95 Total. 290, 800 95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 543 OHIO. First National Bank, Ironton. No. 98. GEORGE WILLARD, President. H. B. WILSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $468,145 51 618 85 300, 000 00 $300, 000 00 Capital stock paid in . Surplus fund Other undivided profits 100, 000 00 • 27,105 59 National bank notes outstanding 49,381 47 State bank notes outstanding 15,415 76 Dividends unpaid . 9. 538 97 6, 987 56 Individual deposits United States deposits 631 90 Deposits of U. S. disbursing officers. 14, 899 00 824 44 2, 887 55 25,120 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , 266, 000 00 203,487 19 1,248 79 10,109 44 13, 500 00 Total., 907,951 01 907, 951 01 Second National Bank, Ironton. THOS. W. MEANS, President. No. 242. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency ...-Specie ^--Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $447, 809 61 Capital stock paid in . 528 03 250, 000 00 Surplus fund I"466"65" Other undivided profits 15, 965 34 National bank notes outstanding 14, 765 58 State bank notes outstanding 4,285 48 16, 900 00 Dividends unpaid . 8,261 07 Individual deposits 212 00 United States deposits 1,129 28 Deposits of U. S. disbursing officers. 1, 959 00 Due to other national banks 587 27 Due to State banks and bankers 611 30 25,279 00 Notes and bills re-discounted. Bills payable 13/250 00 Total., 802, 942 96 Total. RICHARD MATHER, Cashier. $250, 000 00 62,500 00 20,168 08 222, 000 00 242, 487 12 3, 361 62 2, 426 14 802, 942 96 First National Bank, Jackson. H. L. CHAPMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds*on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks.. Fractional currency Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer.. Total No. 1903. D. ARMSTRONG, Cashier. $161, 844 37 Capital stock paid in. 1,178 31 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding... State bank notes outstanding 1, 780 37 10, 339 34 3, 065 48 7, 000 00 1,104 20 10, 500 00 3, 248 45 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 4, 792 00 Due to other national banks 289 45 Due to State banks and bankers 152 84 17, 350 00 Notes and bills re-discounted., Bills payable , 4, 500 00 313, 396 36 $100, 000 00 Total. 103, 769 50 3, 775 63 102 78 2, 000 00 3L3.396 36 544 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Jefferson. R. M. NORTON, President. No. 427. J. C. A. BUSHNELL, Cashier Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $110, 997 62 1,856 77 70, 000 00 950 00 16,498 00 32,490 14 2,218 53 8,434 74 965 08 673 32 3,116 00 160 36 9, 000 00 3,390 66" Capital stock paid in . 14,000 00 5,770 05 59, 930 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted.. Bills payable 260, 550 56 Total. $70, 000 00 Surplus fund Other undivided profits. National bank notes outstanding . State bank notes outstanding 110, 538 11 312 40 260, 550 56 Total . Second National Bank, Jefferson. No. 2026. ABNER KELLOGG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $84, 407 15 3,810 08 100, 000 00 $100, 000 00 Capital stock paid in. Surplus fund Other undivided profits 2, 676 12 4, 536 28 9, 000 00 7,963 38 4, 577 24 6, 663 87 50 7, 500 00 110 97 National bank notes outstanding State bank notes outstanding 3, 655 00 95 00 125 00 4,000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 90, 000 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers. 39, 950 80 34 99 10 00 5, 300 00 237,208 19 Total. S. T. FULLER, Cashier. Total. 237,208 19 Kent National Bank, Kent. MARVIN KENT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes JJ. S. certificates of depoBit Due from U. S. Treasurer Total. No. 652. $163, 509 45 180 55 100, 000 00 3,109 71 7, 954 24 24,827 47 1, 760 64 1, 016 69 2, 043 00 193 85 17 00 5, 975 00 JAS. S. COOKE, Cashier.. Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits 15, 256 12 8,108 70 National bank notes outstanding State bank notes outstanding 88, 260 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 102,254 35 554 07 654 36 4, 500 00 315, 087 60 Total. 315,087 60 REPORT OF THE COMPTROLLER OF THE CURRENCY. 545 OHIO. First National Bank, Lancaster. No. 137. JNO. D. MARTIN, President. GEO. W. BECK, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $181, 742 47 60, 000 00 10, 293 04 1, 087 67 9, 500 00 500 00 ],810 00 136 11 197 50 61, 450 00 $60,000 00 Capital stock paid in . Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding 12, 000 00 2, 681 34 52, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , 201, 727 37 873 51 134 57 2, 700 00 329,416 79 329, 416 79 Total. Hocking Valley National Bank, Lancaster. G. A. MITHOFF, President. No. 1241. Loans and discounts Overdrafts U. S. bonds to secure circulation IJ. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $123, 822 74 74,666 66 6, 049 73 2, 892 70 12, 700 00 1,987 16 3, 322 36 555 83 667 46 16,160 00 J. W. FARINGER, Cashier. $80, 000 00 Capital stock paid in. Surplus fund Other undivided profits 13, 677 01 3,610 15 National bank notes outstanding State bank notes outstanding 66, 600 00 Dividends unpaid , Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted.. Bills payable , 76, 045 79 1,264 15 1,190 88 230 00 Total. 242, 387 98 242,387 ! First National Bank, Lima. R. MEHAFFEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers. -. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . . . Due from U. S. Treasurer Total. No. 2035. $99, 049 80 55,000 00 3,149 34 1,146 11 4,715 00 2,625 15 5, 267 86 215 13 W. F. COULSON, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding . State bank notes outstanding Dividends unpaid . $55,000 00 4,100 00 4,305 52 49,500 00 50 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 18,145 73 Due to other national banks Due to State banks and bankers . . 9,000 00 Notes and bills re-discounted . Bills payable " 1*975 66" 1,862 71 332 44 949 00 204 01 183, 296 41) Total . 183, 296 40 546 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Logan. C. E. Bo WEN, Cashier. No. 92. JOHN WALKER, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer Total. $104, 942 85 Capital stock paid in. 195 48 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding 22, 919 46 State bank notes outstanding 11,420 72 Dividends unpaid. 1, 400 00 2,191 83 Individual deposits United States deposits 204 40 Deposits of U. S. disbursing officers. 1, 494 431 800 25, 000 00 Due to other national banks 34 Due to State banks and bankers 00 00 Notes and bills re-discounted. Bills payable 2, 250 00 Total. 223, 250 08 $50, 000 00 10,000 00 5, 225 06 43, 300 00 112, 388 80 1,247 53 1, 088 69 223,250 08 Madison National Bank, London. J. Q. MINSHALL, President. No. 1064. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. IlARFORD TOLAND, Cashier. $256, 413 10 Capital stock paid in. 6, 959 04 120, 000 00 Surplus fund Other undivided profits $120, 000 00 24, 000 00 3, 532 09 National bank notes outstanding 17,183 22 State bank notes outstanding 8, 569 77 Dividends unpaid . 2, 226 50 1, 733 45 Individual deposits United States deposits 8,429 20 Deposits of U. S. disbursing officers. 6, 702 691 97 18, 985 00 Due to other national banks 70 30 Due to State banks and bankers 00 Notes and bills re-discounted. Bills payable 5, 400 00 Total. 453, 390 28 107, 450 00 157,743 84 2,364 60 4,149 03 24,150 72 10,000 00 453, 390 28 Malta National Bank, Malta. E. M. STANBERY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2052. H. D. MILLER, Cashier. $69,903 54 Capital stock paid in. '" "75," 000 "66" Surplus fund Other undivided profits. 1, 900 00 2, 607 04 5, 697 32 1, 929 29 783 56 6,200 00 662 77 National bank notes outstanding State bank notes outstanding 4,500 00 2, 086 89 66, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 3,103 00 Due to other national banks 116 25 Due to State banks and bankers-. 710 00 7, 000 00 Notes and bills re-discounted. Bills payable 4, 823 05 180, 435 82 $75, 000 00 Total. 32, 522 84 326 09 180, 435 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 547 OHIO. Manchester National Bank, Manchester. W M . A. BLAIR, President. J. P. ELLISON, Cashier. No. 1982. Liabilities. Resources. Loans and discounts , Overdrafts , U. S. bonds to secure circulation — U. S. bonds to secure deposits , U. S. bonds on hand , Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $127, 540 23 Capital stock paid in. 451 00 100, 000 00 Surplus fund " " i i "666*60" Other undivided profits 13,248 81 National bank notes outstanding. 11,430 61 State bank notes outstanding.. * 10,055 57 12,126 28 Dividends unpaid . 2, 711 79 Individual deposits 2,197 25 United States deposits Deposits of U. S. disbursing officers. 3, 388 00 Due to other national banks 5 36 Due to State banks and bankers 1,088 50 13, 500 00 Notes and bills re-discounted., Bills payable $100, 000 00 9, 000 00 7,935 25 89,100 00 107,964 38 511 86 431 91 6, 200 00 314, 943 40 Total. 314, 943 40 Farmers' National Bank, Mansfield. GEO. A. CLUGSTON, Cashier No. 800. JAMES PURDY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie „ Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $155, 033 78 Capital stock paid in., 79 49 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding 6, 544 07 State bank notes outstanding 5, 587 26 21, 354 00 Dividends unpaid . 45 268 60 Individual deposits United States deposits Deposits of U. S. disbursing officers. 9, 485 00 Due to other national banks 308 43 Due to State banks and bankers 22, 505 00 Notes and bills re-discounted. Bills payable 5,400 66" 326, 566 08 Total. Total. $100, 000 00 3,078 64 90, 000 00 121, 452 49 3, 978 27 3, 056 68 5, 000 00 326, 566 08 First National Bank, Marietta. BEMAN GATES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house , Bills of other banks Fractional currency Specie Legal tender notes , U. S. certificates of deposit , Due from U. S. Treasurer Total. No. 142. E. R. DALE, Cashier $247,134 44 Capital stock paid in. 725 78 150, 000 00 Surplus fund Other undivided profits 6,"266"66' 19, 140 00 15, 017 17 9, 115 75 8, 430 00 5,347 07 6, 000 00 4, 615 94 National bank notes outstanding State bank notes outstanding . . . . 30, 000 00 10,202 48 134, 960 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 3, 035 00 Due to other national banks 245 93 Due to State banks and bankers 1, 056 00 22, 000 00 Notes and bills re-discounted.. Bills p p yable , 4, 950 00 503, 013 08 $150, 000 00 Total. 162, 811 60 10,834 00 4, 205 00 503, 013 08 548 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Mas sill on. No. 216. SALMON HUNT, President. CHARLES STEESE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $200,000 00 $378, 306 89 Capital stock paid in. 3, 840 35 215, 000 00 Surplus fund Other undivided profits. 6, 500 00 5,332 97 15, 467 33 3,000 00 3, 982 84 50, 000 00 67,173 70 National bank notes outstanding . State bank notes outstanding 190, 790 00 3,274 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 144,214 56 1,146 00 Due to other national banks 2 44 Due to State banks and bankers . . 141 46 23, 080 00 Notes and bills re-discounted. Bills payable 9, 636 00 7, 600 63 945 78 97 19 Total. 665, 533 47 1,534 80 665, 533 47 Union National Bank, Massillon. J. E. MCLAIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. J. H. HUNT, Cashier. No. 1318. $181, 099 48 663 71 100, 000 00 $100,000 00 Capital stock paid in. Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding 5, 000 00 1,816 50 12,179 74 6, 063 95 Dividends unpaid. 3, 572 16 Individual deposits United States deposits 628 76 Deposits of U. S. disbursing officers. 62 00 16 94 54 90 12, 425 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 20,000 00 12,112 06 90, 000 00 75 00 101, 574 16 1,917 42 2, 404 50 4, 500 00 328,083 14 Total. 328, 083 14 Vinton County National Bank, Me Arthur. DANIEL WILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2036. J. W. DELAY, Cashier. $158,351 17 Capital stock paid in . 942 25 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding . . . 4, 700 65 State bank notes outstanding 3, 383 91 Dividends unpaid., 6, 964 38 1,384 98 7,500 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 600 00 122 24 2,147 50 17, 030 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable $100, 000 00 6,000 00 5,231 23 90, 000 00 105, 619 83 1,776 02 3, 500 00 308, 627 08 Total. 308, 627 08 REPORT OF THE COMPTROLLER OF THE CURRENCY. 549 OHIO. First National Bank, McConnelsville. No. 46. ARZA ALDERMAN, President. R. STANTON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., $168, 572 71 Capital stock paid in. 20 77 125, 000 00 Surplus fund Other undivided profits National bank notes outstanding 15, 629 34 State bank notes outstanding 9, 895 47 Dividends unpaid . 800 00 2,171 02 Individual deposits United States deposits 896 55 Deposits of U. S. disbursing officers. 5, 610 00 Due to other national banks 114 20 500 00 Due to State banks and bankers 4,000 00 Notes and bills re-discounted . Bills payable 6,245 00 24, 000 00 10,287 76 110, 695 00 67, 863 30 1, 244 92 364 08 339, 455 06 Total. 339, 455 06 $125, 000 00 Farmers' National Bank, Mechanicsburg. R. D. WILLIAMS, President. No. 2325. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on hand .. Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency . Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. THOMAS DAVIS, Cashier. $120, 559 33 Capital stock paid in. 1, 233 28 33, 500 00 Surplus fund Other undivided profits. 267 1, 077 3,785 2, 785 6, 000 1, 796 25 85 00 89 00 12 National bank notes outstanding State bank notes outstanding $100, 000 00 8, 071 45 30,140 oa Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 487 254 407 13, 045 00 Due to other national banks 15 Due to State banks and bankers . 15 00 Notes and bills re-discounted. Bills payable 2,107 00 188, 305 07 Total. 43,779 70 1,313 92 "s'ooo'od 188, 305 07 Phoenix National Bank, Medina. J. H. ALBRO, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit... Due from U. S. Treasurer... Total., No. 2091. R. M. MCDOWELL, Cashier. $144, 424 31 Capital stock paid in. 4,773 06 75, 000 00 Surplus fund Other undivided profits 210 00 National bank notes outstanding 22,114 79 State bank notes outstanding 1, 335 98 Dividends unpaid . 2, 398 95 Individual deposits 5, 345 26 United States deposits 579 57 Deposits of U. S. disbursing officers. 218 159 211 3, 500 00 Due to other national banks 70 Due to State banks and bankers 97 00 Notes and bills re-discounted.. Bills payable 1, 475 00 261, 746 59 Total. $75, 000 005, 000 00 6, 815 70 67,500 oa 125 00 106, 669 49 636 40 261, 746 59 550 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Middleport. No. 2210. R. R. HUDSON, President. J. B. MCELHINNY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums p aid , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $103, 923 97 1,152 45 35, 000 00 9, 449 58 6,255 12 2, 250 00 1,822 41 900 00 10 00 Capital stock paid in. 1, 200 00 2,275 32 National bank notes outstanding State bank notes outstanding Dividends unpaid 31, 500 00 |. Individual deposits United States deposits j. Deposits of U. S. disbursing officers..j. 1,356 00 Due to other national banks 270 58 Due to State banks and bankers 200 00 3,050 00 Notes and bills re-discounted ""*I"575'o6' Bills payable 167,215 11 Total. $100,000 00 Surplus fund Other undivided profits Total. 21,617 90 3,193 82 428 07 7,000 00 167,215 11 First National Bank, Middletown. ;S. V. CURTIS, President. No. 1545. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $216, 962 23 Capital stock paid in., '""i66,"656"oo" Surplus fund Other undivided profits 22, 000 00 5, 617 54 National bank notes outstanding 8,194 02 State bank notes outstanding 470 42 1, 700 00 Dividends unpaid . 1,888 17 Individual deposits 1,101 55 United States deposits 147 90 Deposits of U. S. disbursing officers. 89,990 00 !, 900 00 100 00 13, 000 00 ""i'soo'oo" $100, 000 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 350, 964 29 Total . DANIEL H E L W I G , Cashier. Total. 128, 419 31 4, 937 44 350, 964 29 Merchants' National Bank, Middletown. 3. F. GUNCKEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . -Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 2025. $130, 677 12 3. 562 45 40, 000 00 8, 466 82 16,187 29 1, 426 28 468 00 7, 000 00 102 01 7,163 00 "1,800 65" 216, 852 97 J. M. LOEHR, Cashier. Capital stock paid in., $75,000 00 Surplus fund Other undivided profits 2, 500 00 14, 387 20 National bank notes outstanding State bank notes outstanding 36, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. !8,965 77 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. 216, 852 97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 5511 OHIO. First National Bank, Minerva. J. C. HOSTETTER, President. No. 1930. A. F. HOSTETTER, Cashier^ Resources. Loans and discounts , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits , U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. -, Current expenses and taxes paid Premiums paid Checks and other cash items , Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $167, 624 66 1, 585 05 50, 000 00 16, 000 00 2,003 50 1,994 13 1, 700 00 2, 051 26 27 58 11,108 08 5, 395 00 3 17 2, 500 00 2~25O"66" Capital stock paid in. 30, 000 00 2, 357 37 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 131, 712 76 Due to other national banks Due to State banks and bankers — Notes and bills re-discounted * Bills payable 4, 856 91 315 33 264, 242 43 Total. $50, 000 00 Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding Total. 264,242 43 First National Bank, Mount Gilead. JAS. M. BRIGGS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie „ Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 258. R. P. HALLIDAY, Cashier. $136,281 87 Capital stock paid in. 286 04 124, 000 00 Surplus fund Other undivided profits 10, 000 00 National bank notes outstanding 35, 348 85 State bank notes outstanding 7, 909 31 Dividends unpaid . 6,445 49 1, 537 07 Individual deposits United States deposits 1,467 50 Deposits of U. S. disbursing officers. 2,261 00 Due to other national banks 123 79 Due to State banks and bankers 100 00 2, 500 00 Notes and bills re-discounted 6*560"oo' Bills payable Total. 334, 760 92 $120, 000 00 28, 000 00 10, 666 42 110, 000 00 65,897 11 197 39 334, 760 92 First National Bank, Mount Pleasant. J. T. UPDEGRAFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. I. K. RATCLIFF, Cashier. No. 492$152,110 59 ""i75,"66o"66" 29, 000 00 6, 287 6, 867 1,282 300 72 98 16 00 59 43 345 00 565 63 369 00 """7,*875*66' 380, 062 51 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $L75, 000 00 19,700 00 10,355 87 153,680 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , Total. 21, 076 64 250 00 380, 062 51 552 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Mount Vernon. COLUMBUS DELANO, President. No. 908. F R E D . D. STURGES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency $82, 243 25 1, 474 74 50, 000 00 $50, 000 00 14,204 60 994 80 2, 243 12 27 00 Surplus fund Other undivided profits . 10,000 00 1,898 10 National bank notes outstanding State bank notes outstanding 22, 500 00 1, 601 41 38, 042 00 Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer.., Capital stock paid in. 40, 700 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 110, 010 32 2,197 70 972 20 Notes and bills re-discounted. Bills payable 2, 447 40 215, 778 32 Total. 215,778 32 Total. Knox County National Bank, Mount Vernon. H. B. CURTIS, President. No. 1051. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. $176, 244 82 4, 603 10 150, 000 00 Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 6,403 45 8, 481 96 5, 000 00 1,155 54 418 20 5,415 1, 440 1,336 10, 000 00 75 13 00 $150, 000 00 Surplus fund Other undivided profits. National bank notes outstanding . . . State bank notes outstanding 22.26L 96 4, 047 01 135, 000 00 3,072 00 30 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing oflicers 52,061 85 Due to other national banks Due to State banks and bankers . . 445 21 330 92 Notes and bills re-discounted . Bills payable 10, 000 00 6, 750 00 377, 248 95 Total . JNO. M. EVVALT, Cashier. Capital stock paid in. 377,248 95 Total. First National Bank, Napoleon. E. S. BLAIR, President. No. 1917. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. $70,153 20 1,301 68 50,000 00 Due from approved reserve agents.. Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae fromU. S. Treasurer 4, 498 61 Total . 4,000 00 1, 123 93 834 05 A D. TOURTILLOTT, Cashier. Capital stock paid in . Surplus fund Other undivided profits., National bank notes outstanding State bank notes outstanding $50, 000 00 7, 000 00 5,278 48 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 823 00 279 92 Due to other national banks Due to State banks and bankers . 5,000 00 31, 954 07 Notes and bills re-discounted. Bills payable , "2*250"65 142,264 39 Total. 3,031 84 142,264 39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 553 OHIO. First National Bank, Newark. VIRGIL H. WRIGHT, Cashier. No. 858. J. BUCKINGHAM, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes u. TJ. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $116, 097 22 652 38 100, 000 00 $100, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 38, 763 66 28, 645 99 Dividends unpaid 17, 761 01 527 81 Individual deposits United States deposits 4, 207 50 Deposits of U. S. disbursing officers.. 9, 165 00 Due to other national banks 346 95 Due to State banks and bankers 4, 932 53 35, 000 00 Notes and bills re-discounted . Bills payable 6, 900 00 90, 000 00 149, 567 25 67 17 45 86 363, 000 05 Total , 363, 000 05 18,651 13 4, 668 64 First National Bank, New Lisbon. JOHN MCDONALD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures..Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes , U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2203. $65, 207 09 1,694 19 30,000 00 O. W. KYLE, Cashier. Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits . National bank notes outstanding 4,680 18 State bank notes outstanding 1,748 62 Dividends unpaid. 8, 684 65 919 63 3, 450 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 568 00 120 25 Due to other national banks Due to State banks and bankers . 5, 360 00 Notes and bills re-discounted. Bills payable 1,350 66" Total. 123, 782 61 706 42 3, 969 66 27, 000 00 40, 619 93 1, 486 60 123, 782 61 First National Bank, New London. J. C. RANSOM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1981. $51, 682 42 452 05 50, 000 00 5, 797 44 2, 966 68 10, 633 75 435 20 5, 800 00 725 70 130 00 60 95 2, 700 00 *2*756"66" 134,134 19 M. H. SMITH, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $50, 000 00 5,100 00 422 69 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 33, 611 50 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , Total. 134,134 19 554 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Citizens' National Bank, New Philadelphia. No. 1999. ANDREW PATRICK, President. HENRY KALDENBAUGH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $190,218 72 Capital stock paid in. 1, 549 57 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding . . . 3,980 52 State bank notes outstanding 5, 630 77 Dividends unpaid . 9, 188 09 2, 270 54 1U, 319 09 Individual deposits United States deposits Deposits of U. S. disbursing officers. 734 00 75 46 Due to other national banks Due to State banks and bankers... 10, 000 00 Notes and bills re-discounted Bills payable " 4,500 66 Total. 338, 466 76 $100, 000 00 7, 210 00 6, 054 83 90, 000 00 330 00 30, 957 07 1, 654 30 102, 260 56 338,466 76 First National Bank, New Richmond. No. 1068. W. G-. MOORE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks . . . . Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer D. E. FEE, Cashier. $100,000 00 $140, 256 81 Capital stock paid in. 100, 000 00 Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding 20, 360 06 1, 000 00 Dividends unpaid . 701 20 Individual deposits United States deposits Deposits of U. S. disbursing officers. 45, 000 00 7,943 80 90, 000 00 38, 022 73 1, 000 00 Due to other national banks Due to State banks and bankers . 88 46 13, 000 00 Notes and bills re-discounted. Bills payable , 4, 500 00 Total.. Total. 280, 966 53 First National Bank, Norwalk. W. F. KlTTREDGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.." | Due from other banks and bankers .. I Real estate, furniture, and fixtures . . | Current expenses and taxes paid j Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 215. $119,578 18 1,725 52 50, 000 00 . 19, 850 00 5, 000 00 581 77 3, 419 99 2, 000 00 1, 870 22 DANL. A. BAKER, Cashier. Capital stock paid in $50, 000 00 Surplus fund Other undivided profits 21, 500 00 5, 689 40 National bank notes outstanding 40, 590 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits 620 00 Deposits of U. S. disbursing officers. 316 73 Due to other national banks 1, 027 96 Due to Sta:e banks and bankers 26, 900 00 Notes and bills re-discounted Bills payable 117, 918 50 1,633 35 Total., 2, 181 58 254 24 238,133 72 REPORT OF THE COMPTROLLER OF THE CURRENCY. 555 OHIO. Norwalk National Bank, Norwalk. No. 931. JOHN GARDINER, President. CHAS. W. MILLEN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures. ..j Current expenses and taxes paid j Premiums paid . J Checks and other cash items | Exchanges for clearing house j Bills of other banks j Fractional currency i Specie I .Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $147,115 02 467 72 100, 000 00 10, 000 00 8,466 48 2, 562 23 6, 500 00 1, 105 13 Capital stock paid in. 18,500 00 6, 623 00 86, 200 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 4, 192 00 Due to other national banks 472 81 3, 018 23 Due to State banks and bankers 30,100 01) Notes and bills re-discounted. Bills payable " " 3 "566" 66" 317,499 62 Total. $100, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Total. 100,548 16 4,939 36 689 10 317,499 62 First National Bank, Oberlin. No. 72. HIRAM HULBURD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit — Due from U. S. Treasurer $130,104 48 44 97 100, 000 00 $100, 000 00 Capital stock paid in . Surplus fund 700*65" Other undivided profits National bank notes outstanding 3, 000 00 7, 966 83 State bank notes outstanding 829 97 1,246 27 4,484 26 4,717 00 1,837 76 929 23 6, 000 00 Dividends unpaid. 27, 000 00 15, 730 91 90, 000 00 985 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , 32, 624 08 1, 020 78 5, 500 00 267, 360 77 Total. T. F. DANIELS, Cashier. Total. 267,360 77 First National Bank, Painesville. SETH MARSHALL, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.-, Exchanges for clearing house. Bills of other banks.... Fractional currency Specie Legal tender notes .J. U. S. certificates of deposit Due from U. S. Treasurer Total. fl. Ex. No. 220. $349, 814 65 3, 000 00 200, 400 00 R. M. MURRAY, Cashier. Capital stock paid in . Surplus fund Other undivided profits 9*450 65 11, 359 40 National bank notes outstanding State bank notes outstanding 19,173 61 8, 059 86 5, 670 38 4, 748 02 504 30 2, 000 00 430 01 2, 715 00 37, 000 00 Dividends unpaid. Individual deposits United States deposits „ Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable $200, 000 00 113,506 09 11, 098 25 175, 917 00 7, 289 00 612 00 148,206 60 4,043 02 2, 653 27 9,000 00 663, 325 23 Total. 663, 325 23 556 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Citizens' National Bank, Piqua. G . VOLNEY DORSEY, No. 1061. President. H. C. LANDES, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $93,443 34 1,380 30 ! 90, 000 00 | $100, 000 00 Capital stock paid in. Surplus fund """I"5o6'6o"| Other undivided profits 1, 875 00 j National bank notes outstanding 4, 618 96 State bank notes outstanding 5, 555 07 I 21,457 08 I Dividends unpaid . 1, 267 99 | Individual deposits United States deposits 1,681 11 Deposits of U. S. disbursing officers. 1,928 00 Due to other national banks 1,126 46 Due to State banks and bankers 509 81 9, 560 00 Notes and bills re-discounted. Bills payable 5, 548 97 Total . 241,452 09 9, 567 39 2,109 63 81, 000 00 460 00 43, 956 76 ],828 91 1, 429 40 1,100 00 241, 452 09 Piqua National Bank, Piqua. No. 1006. WILLIAM SCOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $215,438 03 1,961 48 200, 000 00 Capital stock paid in. $200, 000 00 Surplus fund Other undivided profits 5,275 00 National bank notes outstanding 60, 508 45 State bank notes outstanding 3, 963 91 4,000 00 Dividends unpaid . 131 58 Individual deposits United States deposits 418 87 Deposits of U. S. disbursing officers. 4,235 00 650 53 200 00 6,000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 40, 000 00 5,254 54 179, 000 00 355 00 83, 937 75 1,706 19 3, 026 90 10, 497 53 513, 280 38 Total. H. B. GREENHAM, Cashier. 513, 280 38 Total. First National Bank, Plymouth. J. BRINKERHOFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 1904. $68,165 68 946 94 W. B. CUYKENDALL, Cashier. Capital stock paid in., Surplus fund Other undivided profits 2,104 20 j! National bank notes outstanding 2, 998 75 j' State bank notes outstanding 876 26 N 7,203 79 j Dividends unpaid . 1,668 38 Individual deposits United States deposits Deposits of U. S. disbursing officers. 50,000 00 il 2, 400 00 Due to other national banks 280 74 Due to State banks and bankers 10, 000 00 Notes and bills re-discounted . Bills payable «... $50, 000 003,725 00 2,843 18 45, 000 00 46,179 961 346 60 ""i,"45o"66" 148, 094 74 Total. 148, 094 74 REPORT OF THE COMPTROLLER OF THE CURRENCY. 557 OHIO. First National Bank, Pomeroy. a . W. PLANTZ, Cashier. No. 132. H. G-. DANIEL, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U- S. certificates of deposit Due from U. S. Treasurer Liabilities. 40, 000 00 9, 998 68 National bank notes outstanding 8, 242 68 State bank notes outstanding 5, 069 52 11, 000 00 Dividends unpaid. 3, 443 44 Individual deposits 45, 000 00 72, 072 03 United States deposits Deposits of U. S. disbursing officers. 468 Q.0 Due to other national banks 291 91 Due to State banks and bankers 2, 239 50 23, 000 00 Notes and bills re-discounted . 7, 549 30 314 17 Bills payable 2, 250 00 374,934 18 Total . $200, 000 00 >266, 045 43 Capital stock paid in 2,883 70 50, 000 00 Surplus fund Other undivided profits.- 374,934 18 Total. Pomeroy National Bank, Pomeroy. No. 1980. H. S. HORTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $286, 544 49 674 54 100,000 00 700 00 23,428 95 3,115 05 17,315 00 2, 395 48 2, 000 00 866 18 2, 580 00 760 88 941 90 23, 295 00 J. S. BLACKALLER, Cashier. Capital stock paid in . $250, 000 00 Surplus fund Other undivided profits 11, 250 00 6, 000 70 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid. 45 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 104, 703 21 6,102 19 1, 016 37 Notes and bills re-discounted. Bills payable 4, 500 00 469,117 47 Total. 19,117 47 First National Bank, Portsmouth. P. No. 68. S. IAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand . Other stocks, bonds, and mortgages. $440, 976 02 1,985 01 250, 000 00 75, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 13, 571 5, 703 10, 022 5,180 3, 500 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . 77 55 00 22 00 6, 389 24 2, 350 418 669 22, 076 00 31 00 00 JAS. T . GORDON, Cashier. Capital stock paid in . Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding $250, 000 00 58,000 00 28,436 43 225, 000 00 Dividends unpaid. / . Individual deposits United States deposits Deposits of U. S. disbursing officers. 231, 462 75 56,056 16 Due to other national banks Due to State banks and bankers - . . 108 06 27 72 Notes and bills re-discounted. Bills payable 11,250 00 849,091 12 Total. 9,091 L 558 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Farmers' National Bank, Portsmouth. GEORGE DAVIS, President. No. 1088. JNO. M. W A L L , Cashier. Resources. Liabilities. $407, 603 90 Capital stock paid in. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks an.l other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit.. Due from U. S. Treasurer $250, 000 00 ""250"666 66 I Surplus fund ! Other undivided profits 1, 465 20 National bank notes outstanding State bank notes outstanding 24, 896 97 764 10, 000 4,643 6, 393 35 00 35 75 1, 400 00 118 35 952 75 23, 500 00 50,000 00 20,062 69 225, 000 00 Dividends unpaid. Individual deposits , I United States deposits Deposits of U. S. disbursing officers.. i Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 194, 005 21 2, 069 51 1, 851 21 "il~256"66" Total. Total . 742, 988 62 742, 988 62 Kinney National Bank, Portsmouth. No. 1958. PETER KINNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand j Other stocks, bonds, and mortgages.-! Due from approved reserve agents. ..j Due from other banks and bankers .. i Real estate, furniture, and fixtures .. j Current expenses and taxe3 paid j Premiums paid j Checks and other cash items j Exchanges for clearing house j Bills of other banks I Fractional currency ! Specie j Legal tender notes j U. S. certificates of deposit j Due from U. S. Treasurer j Total ! J. W . KINNEY, Cashier. $119, 026 75 Capital stock paid in 755 00 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding 9, 268 63 State bank notes outstanding 4, 586 37 15, 995 10 j Dividends unpaid 8, 210 37 Individual deposits 4,406 25 ! United States deposits 1, 885 73 Deposits of U. S. disbursing officers. 133 00 Due to other national banks 96 50 607 00 Due to State banks and bankers 10, 500 00 Notes and bills re-discounted Bills payable 4,500 00 279,970 70 $100,000 00 4,257 45 6, 592 19 90, 000 00 75,754 44 15 29 351 33 3, 000 00 279, 970 70 Total Portsmouth National Bank, Portsmouth. JNO. G. PEEBLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 935. SAMUEL REED, Cashier. $683,491 43 Capital stock paid in. ""256,666 66* 600 00 16, 957 24,159 8, 000 4, 740 05 37 00 54 1, 227 48 3, 787 4,105 190 57, 258 00 17 36 00 "I" 050" 66" 1, 062, 566 40 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $250, 000 00 50, 000 00 47, 030 59 225, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks. Due to State banks and bankers 487, 804 31 1, 491 70 1, 239 80 Notes and bills re-discounted Bills payable Total.. 1,062,566 40 REPOET OF THE COMPTROLLER OF THE CURRENCY. 559 OHIO. Quaker City National Bank, Quaker City. T. M. JOHNSON, Cashier. ISAAC W. HALL, President. Resources. Liabilities. Loans and discounts . Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid..... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $106,934 12 loofooo 65 1,000 00 Capital stock paid in. 8, 500 00 4,842 75 90, 000 00 304 18 5,138 89 1,863 13 Individual deposits 8,386 75 United States deposits 10 00 Deposits of U. S. disbursing officers . 374 00 25, 669 83 3, 862 86 Due to other national banks Due to State banks and bankers. " " 5 "633" 66' Notes and bills re-discounted Bills payable 79 37 """4"506"66' 233, 249 44 Total. $100, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. Total I 233,249 44 First National Bank, Ravenna. No. 106. N. D. CLARK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks. . Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. „ Total C. E. WITTER, Cashier. $176, 520 48 i Capital stock paid in. 1,251 82 I 100, 000 00 Surplus fund 2O6'66 I Other undivided profits 14, 000 00 I National bank notes outstanding State bank notes outstanding 14,843 52 2, 094 22, 050 1,849 881 88 I 00 16 05 i'soo'oo" 50, 000 00 5, 241 29 90, 000 00 Dividends unpaid . Individual deposits United States deposits 1,049 61 • Deposits of U. S. disbursing officers . l,"'214"6o" 114 34 902 50 12, 100 00 !100, 000 00 Duo to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 106,158 31 441 23 1, 730 53 353, 571 36 Second National Bank, Ravenna. WlYI. H. BEEBE, Cashier. GEO. ROBINSON, President. Loans and discounts Overdrafts U. S; bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $255,831 95 Capital stock paid in. 1, 990 17 150, 000 00 Surplus fund Other undivided profits 9, 700 00 National bank notes outstanding 19,320 79 State bank notes outstanding 6,547 81 32, 506 52 Dividends unpaid . 2,644 15 Individual deposits 1,561 63 United States deposits 392 25 Deposits of U. S. disbursing officers. 3, 939 00 203 61 2,150 00 23, 800 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable $150, 000 00 45,000 00 10,003 66 135,000 00 65 00 162, 769 43 6, 087 64 412 20 8, 200 00 6, 950 00 517,537 93 Total. 517,537 93 560 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Ripley. J. T. WILSON, President. No. 289. W. T. GALBREATH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer $165,147 35 j Capital stock paid in. 72 90 ! 150, 000 00 j Surplus fund Other undivided profits $150, 000 00 30, 000 00 16,273 59 130, 900 00 National bank notes outstanding 15, 026 83 State bank notes outstanding 7, 566 93 Dividends unpaid , 9, 758 60 1,948 67 Individual deposits United S tates deposits Deposits of U. S. disbursing officers. 2,469 ! 54, 227 57 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable Total Total. 38], 401 16 Farmers' National Bank, Ripley. D. P. EVANS, Cashier. No. 933. JAMES GILLILAND, President. Loans and discounts Overdrafts U S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency. Specie Legal tender notes U. S. certificatesof deposit Due from U. S. Treasurer $188, 807 38 j 236 00 J 200, 000 00 j 8,978 83 8, 529 86 12, 275 18 1 018 01 , 276 28 Capital stock paid in. 29, 549 87 11,431 64 177, 500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 13,224 00 !Due to other national banks 395 00 i Due to State banks and bankers 1, 718 25 ! 11,500 00 j Notes and bills re-discounted Bills payable 9,~6oo 65"! 455, 958 79 j Total. $200, 000 00 Surplus fund. Other undivided profits National bank notes outstanding State bank notes outstanding i Total. 455, 958 79 First National Bank, Salem. ALEXANDER P O W , President. Loan s and discounts Overdrafts U. S. bonds to secure circulation — U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid... Premiums paid. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. Total. No. 43. $179,055 70 228 56 50, 000 00 RICHARD POW, Cashier. Capital stock paid in Surplus fund Other undivided profits. I.'ooo'oo" National bank notes outstanding 7, 200 00 7, 617 36 State bank notes outstanding 1, 189 27 6, 520 00 Dividends unpaid 1, 989 59 Individual deposits 643 59 United States deposits 539 57 Deposits of U. S. disbursing officers. 2,074 00 Due to other national banks 76 93 Due to State banks and bankers..... 111 50 14, 000 00 Notes and bills re-discounted Bills payable 2, 250 00 274, 496 07 Total $125, 000 CO 11,500 00 16,541 20 45, 000 00 62 50 76,135 24 257Is 274,496 07 REPORT OF THE COMPTROLLER OF THE CURRENCY. 561 OHIO. Farmers' National Bank, Salem. No. 973. J. T W I N G BROOKS, President. R. V. HAMPSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid - . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie . Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer $266,191 79 ; Capital stock paid in 1, 402 49 100, 000 00 Surplus fund Other undivided profits 40,000 00 8, 832 84 National bank notes outstanding 7, 610 08 State bank notes outstanding 7, 086 60 5,275 00 Dividends unpaid . 1,977 52 Individual deposits United States deposits 6,810 79 Deposits of U. S. disbursing officers. 5, 842 00 Due to other national banks 200 00 i Due to State banks and bankers 1,183 50 ! 15,000 00 I Notes and bills re-discounted . Bills payable 4,500 00 423, 079 77 Total. $200, 000 00 Total. 90, 000 00384 00 78, 570 04 5, 015 19 277 70 423, 079 77 First National Bank, Sandusky. No. 16. A. H. Moss, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $221, 532 51 1,280 05 150, 000 00 60, 000 00 50 00 27,272 14 27, 058 28 7, 500 00 6, 308 85 3, 086 39 14, 616 00 1,353 60 1, 066 00 40, 000 00 H. O. Moss, Cashier. $150, 000 00 Capital stock paid in., Surplus fund , Other undivided profits - 50,000 00 14, 969 84 National bank notes outstanding State bank notes outstanding Dividends unpaid . 135, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 175, 789 57 37, 605 68 1,908 03 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 2, 600 70 6, 750 00 567, 873 82 Total . Second National Bank, Sandusky. R. B. HUBBARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand •w. Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expen-es and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., A. W. PROUT, Jr., Cashier. No. 210. $266, 826 01 Capital stock paid in. 540 00 100, 000 00 Surplus fund Other undivided profits 1, 160 00 ) National bank notes outstanding State bank notes outstanding 14, 655 26 22,140 65 10, 000 00 6, 412 56 3, 546 28 3, 227 00 2, 348 38 42 90 40, 000 00 "4,"506"00 475, 399 04 $100, 000 00 50, 000 00 12,664 89 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 213, 042 71 2,954 07 6, 737 37 Notes and bills re-discounted Bills payable Total. 475, 399 04 562 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Third National Bank, Sandusky. No. 2061. LAWRENCE CABLE, President. HENRY G-RAEFE, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $168,159 97 ;j Capital stock paid in ""ioo'ooo bo' iioo, ooo oa Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid , 2, 500 00 !| * 41,378 19 \| 12, 841 92 11,000 00 6,911 6] 11, 500 00 j Individual deposits j United States deposits 3,131 41 • Deposits of U. S. disbursing officers 7, 652 00 Due to other national banks 698 95 ; Due to State banks and bankers - 89, 000 00 180, 238 20 1, 000 00 25, 000 00 ! i Notes and bills re-discounted. . | Bills payable 4,500 00 ; 395, 274 05 395, 274 05 ; Total. 10, 000 00 15, 035 85 First National Eank, Shelby. No. 1929. W. R. BRICKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $70, 556 27 j Capital stock paid in 1, 448 45 j 50, 000 00 ! Surplus fun d Other undiv ided profits National bank notes outstanding 3, 516 04 State bank notes outstanding 1,489 21 ! 6, 993 50 ! Dividends unpaid . 1, 432 40 I Individual deposits 3, 871 76 ! United States deposits. 63 90 ! Deposits of U. S. disbursing officers. 350 00 : Due to other national banks 296 36 Due to State banks and bankers 10 91 I 4, 500 00 Notes and bills re-discounted. Bills payable !, 250 00 146,828 80 Total. B. J. WILLIAMS, Cashier. $50, 000 00 3, 000 00 2,847 43 44,100 00 50 00 44, 526 64 1,407 46 897 27 146, 823 80 Total. First National Bank, Sidney. J. F. FRAZER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of oth^r banks Fractional currencj7" Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 257. W. R. MOORE, Cashier. $68, 639 23 Capital stock paid in 1,443 19 52,000 00 J Surplus fund I Other undivided profits 12,850 00 ! National bank notes outstanding 4, 009 44 State bank notes outstanding " "6*700"66" I Dividends unpaid 1 1, 266 99 391 27 ! """i," 718" 66": 386 85 848 00 I 4, 500 00 I " "2," 34b" 65 "j 163,142 97 ' Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total $52, 000 00 10,400 00 19,824 55 46, 800 00 34,118 42 163,142 97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 563 OHIO. First National Bank, Smithfield. No. 50J. JOS. H. COPE, President. WM. VERMILLION, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $142, 389 23 Capital stock paid in. $100, 000 00 "166*000 66' Surplus fund 27, 600 00 9, 740 20 5, 200 00 1, 203 75 Other undivided profits National bank notes outstanding State bank notes outstanding 2, 820 00 90, 000 00 Dividends unpaid. Individual deposits " I j United States deposits 1, 557 01 1 Deposits of U. S. disbursing officers. 1 167 35 13, 000 00 7,112 76 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 63, 616 55 1,448 23 20,000 00 4,500 00 295,177 54 295,177 54 Total . First National Bank, South Charleston. L. W. HAUGHEY, President. No. 171. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $144, 670 78 1,155 53 100, 000 00 2,618 99 61 01 4, 889 49 1,682 2L 20 00 600 00 107 94 MILTON CLARK, Cashier. Capital stock paid in., $100, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 29, 000 00 5,684 16 89, 686 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks .. Due to State banks and bankers . 45, 570 37 2, 365 42 First National Bank, Springfield. JOHN LUDLOW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes ~ U. S. certificates of deposit Due from U. S. Treasurer Total. No. 238. C. A. PHELPS, Cashier. $620,170 38 Capital stock paid in . 412 09 250, 000 00 Surplus fund I,"7o6"6o" Other undivided profits 32, 503 00 National bank notes outstanding 19, 646 11 State bank notes outstanding 3,101 67 17, 600 00 Dividends unpaid . 3, 710 24 Individual deposits United States deposits Deposits of U. S. disbursing officers . . 12, 611 1, 655 3,071 28, 600 00 10 85 00 Due to other national banks Due to State banks and bankers $400, 000 00 100, 000 00 36, 885 82 225, 000 00 238, 750 73 4, 053 76 1,336 13 Notes and bills re-discounted. Bills payable 11,250 00 1,006,031 44 Total . 1,006,031 44 564 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Second National Bank, Springfield. No. 263. WILLIAM FOOS, President. F. W. Foos, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . Liabilities. $175, 446 57 2,110 48 100, 000 00 $100, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 35, 535 48 12, 669 79 Dividends unpaid. 1,500 00 3, 899 21 Individual deposits 734 75 United States deposits , 700 44 Deposits of U. S. disbursing officers 5, 553 1,149 2, 230 25, 000 00 Due to other national banks 59 j Due to State banks and bankers . 98 00 Notes and bills re-discounted . Bills payable 4,500 00 375, 180 29 Total. 60, 000 00 23, 067 37 90, 000 00 96, 850 73 5, 262 19 375,180 29 Lagonda National Bank, Springfield. CHRIS. THOMPSON, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures. .Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie ., Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 2098. D. P. JEFFEEIES, Cashier. $122, 261 31 j Capital stock paid in.. 1, 289 27 100, 000 00 Surplus fund i,"356"oo* Other undivided profits 9, 000 00 National bank notes outstanding 14,495 01 State bank notes outstanding 9, 573 45 4,270 00 Dividends unpaid. 2,903 93 11,912 00 Individual deposits United States deposits 2, 365 91 Deposits of U. S. disbursing officers2,683 565 1,043 7, 663 00 ji Due to other national banks 71 i Due to State banks and bankers 72 j: 00 j Notes and bills re-discounted. Bills payable 6, 000 00 6,162 29 90, 000 00 90, 973 84 1,381 41 1, 383 77 .. Total. Total. $100, 000 00 295, 901 31 Mad River National Bank, Springfield. J. W. BALDWIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearinghouse Bills of other banks Fraction al currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. THOS. F. Me GREW, Cashier. No. 1146. $403, 879 64 Capital stock paid in. 4, 485 36 300, 050 00 Surplus fund Other undivided profits ""l5~6O0"66' 10, 200 00 National bank notes outstanding 9, 534 08 State banknotes outstanding 9, 530 99 27, 400 00 Dividends unpaid. 1,976 19 13, 000 00 Individual deposits United States deposits 1, 570 83 Deposits of U. S. disbursing officers. 16,961 00 1,059 42 3, 543 85 40, 000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable $300, 000 00 60, 000 00 31,482 80 268, 000 00 200,551 03 4,252 10 5,005 38 5, 000 00 15, 500 00 874,291 36 Total. 874,291 36 REPOKT OF THE COMPTROLLER OF THE CURRENCY. 565 OHIO. First National Bank, St. Clairsville. D. D. T. COWEN, President. H. C. WELDAY, Cashier. No. 315. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ; 29,000 00 6, 808 46 27,200 00 | National bank notes outstanding.... 31 855 85 !; State bank notes outstanding . 90, 000 00 6 900 00 • Dividends unpaid . 2,881 87 j individual deposits . United States deposits 1, 230 00 i Deposits of U. S. disbursing officers. 515 00 j Due to other national banks 344 59 I Due to State banks and bankers . . . 470 50 ' 26,620 00 j Notes and bills re-discounted. Bills payable 4,500 00 Total. 353,130 47 Total. $100, 000 00 $146,822 88 ! Capital stock paid in 590 65 I; 100,000 00 \ Surplus fund Other undivided profits 125, 895 24 848 55 578 22 353,130 47 Jefferson National Bank, Steubenville. JAMES GALLAGHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1062. CHAS. GALLAGHER, Cashier. $160, 610 25 Capital stock paid in . 70 I 150, 000 00 ! Surplus fund *44, 500 00 I Other undivided profits 23, 460 00 National bank notes outstanding 1 3, 314 40 State bank notes outstanding 3, 442 49 15, 500 00 1,207 90 4, 567 66 697 84 $150, 000 00 40, 000 00 12,548 66 132, 953 00 i Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 5, 369 00 372 17 225 84 Due to other national banks Due to State banks and bankers 24, 336 00 j Notes and bills re-discounted "6*750" 00"! Bills payable 103,300 37 . Total . 444, 354 25 I 5, 025 00 527 20 444, 354 25 National Exchange Bank, Steubenville. W M . DOUGHERTY, President. Loans and discounts Overdrafts I U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid • . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total T. A. HAMMOND, Cashier. No. 2160. $143,690 02 Capital stock paid in . 40 89 100,000 00 Surplus fund Other undivided profits 9, 556 25 4, 652 82 13, 968 55 2, 100 00 1,629 13 11, 800 00 1, 008 91 National bank notes outstanding State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 9, 290 00 ! I Due to other national banks 563 89 Due to State banks and bankers 193 33 i 22, 060 00 I Notes and bills re-discounted........ Bills payable " "47500 00 ! 325,053 8:2 || Total $100, 000 00 1, 800 00 6,190 87 90, 000 00 100 00 100,164 91 14, 876 60 11,921 44 325, 053 82 566 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. National Exchange Bank, Tiffin. JNO. D. LOOMIS, President. No. 907. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie -.. Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer Total. $293,471 06 3, 000 00 125, 000 00 0 . C. ZELLER, Cashier. Capital stock paid in j Surplus fund Other undivided profits 32,"656"6o"! 35, 000 00 5,689 64 1 1 6, 500 00 | National bank notes outstanding State bank notes outstanding | 10, 005 32 2,776 29 Dividends unpaid . 22. 275 00 3, 149 26 Individual deposits j 79 87 United States deposits 1, 415 90 Deposits of U. S. disbursing officers. 1, 372 843 1, 285 50, 000 00 24 03 00 "5," 625" 66" $125,000 00 I Due to other national banks ! Due to State banks and bankers i j Notes and bills re-discounted Bills payable 558, 447 97 i Total j j !. ' 112, 500 00 276, 276 05 1,541 57 2, 440 71 .. „ 558,447 97 First National Bank, Toledo. V. H. KETCHAM, President. No. 91. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid „, « Checks and other cash itums. Exchanges for clearing bouse Bills of other banks Fractional currency -. Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total S. S. HUBBARD, Cashier. , 162, 298 31 I Capital stock paid in . 752 00 ! 325, 000 00 ; Surplus fund 75, 0 JO 00 Other undivided profits. $500, 000 00 100, 000 00 161, 9L1 43 National bank notes outstanding . . . j State bank notes outstanding ! I Dividends unpaid. : Individual deposits United States deposits 540 14 Deposits of U. S. disbursing officers. 93, 942 37, 772 56, 963 9,624 287,500 00 36 07 5L 10 14, 903 00 774 89 2,499 42 30,000 00 587, 526 66 73, 183 86 847 16 Due to other national banks . . . . . . . Due to State banks and bankers . . . 10,151 06 50,544 63 Notes and bills re-discounted. Bills payable 14, 6:25 01) j 1, 824, Second National Bank, Toledo. GEO. W. DAVIS, Preside! Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency , Specie Legal tender notes U. S. certificates of deposit. ... Due from U. S. Treasurer Total. No. 248. C. F . ADAMS, Cashier. $651, 765 22 | Capital stock paid in ""3o6,"6oo"6o" I1 Surplus fund | i Other undivided profits | $350, 000 00 ! i 100,000 00 107, 375 29 5, 000 00 j National bank notes outstanding I \ 46 j State bank notes outstanding 74 Dividends unpaid ; 60 29 Individual deposits !i Unite l .States deposits ' 935 83 j! Deposits of U. S. disbursing officers. 130, 634 39,603 9, 300 9,132 S3. 880 00 ; Duo to other national banks , 1, 590 00 Duo to State banks and bankers . . . . 266,700 00 36 00 396,349 88 75, 772 79 38, 658 18 90, 000 00 j j Notes and bills re-discounted j| Bills payable "l3,50") 60" 1,335,392 14 Total j 1,335,392 14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 567 OHIO. Commercial National Bank, Toledo. CYRUS H. COY. President. No. 2296. H. S. HALSTED, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.... Liabilities. $16-2, 652 10 Capital stock paid in. 4, 3LI 07 100, 000 00 Surplus fund. Other undivided profits 1*200 00 I National bank notes outstanding 14,077 63 ; State bank notes outstanding 6,809 37 i: 2, 50 J 00 |i Dividends unpaid . 1, 408 2.* ij Individual deposits United States deposits 3,481 52 Deposits of U. S. disbursing officers. 3,277 00 i Due to other national banks 15 07 j| 939 70 j Due to State banks and bankers 10,000 00 1 Notes and bills re-discounted. 1 Bills payable $100, 000 00 2,000 00 8, 745 83 90, 000 00 108,193 23 4, 156 34 1, 576 29 4,000 00 ij Total 314,671 69 j 314,671 69 Merchants' National Bank, Toledo. W. W. GRIFFITH, President. No. 1895. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit . . . Due from U. S. Treasurer $803,754 60 8, 540 26 200, 000 00 6,120 86 9, 283 49 18,991 01 7,694 11 10, 000 00 2, 925 89 C. C. DOOLITTLE, Cashier. Capital stock paid in. $500, 000 00 Surplus fund Other undivided profits 25, 000 00 39, 970 20 National bank notes outstanding State bank notes outstanding Dividends unpaid . 55 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 3, 433 00 Due to other national banks 260 93 722 55 Due to State banks and bankers 40, 000 00 Notes and bills re-discounted. Bills payable 9, 000 00 1, 120, 726 70 Total. 179, 980 00 265,164 93 44, 925 20 43,611 12 22, 020 25 1, 120, 726 70 Northern National Bank, Toledo. No. 809. E. C. BODMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures..Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . F. B. SHOEMAKER, Cashier. $249, 316 53 Capital stock paid in ""156,6o6 66 2,325 00 27, 099 14,829 7, 406 3, 332 42 21 80 15 635 40 4,500 00 1, 550 18 10, 500 00 "l7,*656" 66' 489,144 69 Surplus fund Other undivided profits. $150,000 00 35, 000 00 17,537 53 National bank notes outstanding State bank notes outstanding Dividends unpaid . 135, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 140, 438 47 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 4, 072 43 7, 096 26 489,144 69 568 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Toledo National Bank, Toledo. No. 607. SAML. M. YOUNG, President. H. S. YOUNG, Cashier. Resources. Liabilities. Loans and discounts ' Overdrafts U. S. bonds to secure circulation ' U. S. bonds to secure deposits ! U. S. bonds on hand. Other stocks, bonds, and mortgages.. Due from approved reserve agents .. Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $405, 653 18 Capital stock paid in. 2, 434 23 234, 000 00 Surplus fund Other undivided profits .. National bank notes outstanding State bank notes outstanding 7, 559 86 | Dividends unpaid. $300, 000 007, 656 65 8, 916 56 210, 550 00 37,401 84 i 2, 255 22 | Individual deposits United States deposits 4,080 00 Deposits of U. S. disbursing officers. 8,47] 00 219 85 139, 802 59- Due to other national banks Due to State banks and bankers 71 ,-499 15 11,100 23 40,000 00 | Notes and bills re-discounted. Bills payable 3, 080 00 ""io"536"66" I Total. 752,605 18 752,605 18 First National Bank, Troy. HENRY W. ALLEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., No. 59. JNO. L. MEREDITH, Cashier. $200, 000 00 $249,108 27 Capital stock paid in . 1, 590 26 200, 000 00 • Surplus fund \ Other undivided profits. 800 00 8,000 00 National bank notes outstanding State bank notes outstanding 31,258 47 j Dividends unpaid . 2, 200 00 2,445 97 ; Individual deposits . |i United States deposits 315 40 |j Deposits of U. S. disbursing officers. 3, 226 00 694 53 1, 300 00 36, 000 00 40, 000 00 41,051 69 176,000 00 16, 113 77 2,418 39 355 05- Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 9, 000 00 545, 938 90 Total. 545, 938 90 First National Bank, Upper Sandusky. SYLVESTER WATSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks • Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 90. $158,664 92 5, 172 21 105, 000 00 3," 666" 66" 5, 021 88 11, 136 82 2, 994 35 1,114 29 913 51 3, 799 15 2, 967 00 65 20 1, 709 80 11, 500 00 JAS. G. ROBERTS, Cashier. Capital stock paid in I Surplus fund Other undivided profits | j i | National bank notes outstanding State bank notes outstanding $105, 000 00 47, 000 00 4, 803 75 94, 416 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 61,712 89 1, 025 35 1,726 14 2, 625 00 315, 684 13 Total. 315,684 13 REPORT OF THE COMPTROLLER OF THE CURRENCY. 569 OHIO. Third National Bank, TJrbana. JOHN H . YOUNG, No. 2071. President. E. G. WILEY, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $101, 504 22 Capital stock paid in 1, 342 72 100, 000 00 Surplus fund Other undivided profits 11, 076 05 National bank notes outstanding 21, 760 34 State bank notes outstanding 10, 390 47 9,600 00 Dividends unpaid . 534 15 2,206 24 Individual deposits United States deposits 5, 609 30 Deposits of U. S. disbursing officers. 1,361 00 Due to other national banks 388 81 Due to State banks and bankers 625 00 32, 000 00 Notes and bills re-discounted. Bills payable 4, 500 00 Total. 302, 948 30 $100, 000 00 6,000 00 527 18 90, 000 00 98, 422 6, 527 28 i, 471 74 302, 948 30 Champaign National Bank, Urbana. No. 916. P. B. Ross, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notea U. S. certificates of deposit Due from U. S. Treasurer Total. $137, 001 61 280 23 100, 000 00 50, 000 00 17, 000 00 4, 096 65 26,744 05 10, 656 17 9, 000 00 788 45 204 21 5,170 37 H. P. ESPY, Cashier. Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits . 20, 000 00 14, 890 70 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers. 3, 959 00 Due to other national banks 393 98 1,000 00 Due to State banks and bankers. 26, 860 00 Notes and bills re-discounted. Bills payable 4, 500 00 397,654 77 Total. 131, 029 7238, 666 64 983 00 2,084 71 397, 654 77 Citizens' National Bank, Urbana. No. 863. OLIVER TAYLOR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid.... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . MAT. WEAVER, Cashier. $156, 550 59 Capital stock paid in . 293 97 100, 000 00 Surplus fund Other undivided profits 16, 770 00 12, 926 29,123 1, 000 1, 369 69 69 00 05 2, 669 31 354 00 1,146 88 20, 000 00 344,204 18 National bank notes outstanding State bank notes outstanding $100, 000 00 20, 000 00 10, 059 67 90, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Not'-s and bills re-discounted. Bills payable Total. 117,112 68 4,531 73 2, 500 10 344,204 18 570 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO, First National Bank, Van Wert. No. 422. J. M. C. MARBLE, President. Gr. A. SAHLQUIST, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 111,622 23 Capital stock paid in . 2,774 24 67, 000 00 Surplus fund Other undivided profits. 3, 271 20 National bank notes outstanding 5, 913 44 State bank notes outstanding 10,974 19 13. 000 00 Dividends unpaid . 2,681 01 Individual deposits . United States deposits 1,060 30 Deposits of U. S. disbursing officers.. 5,314 00 1,266 17 11, 776 00 3, ioo'oo" Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable _ Total. 239, 752 78 Total. $60, 000 00 15, 000 00 2,174 02 60, 000 00 92, 732 97 573 77 9, 272 02 239, 752 78 First National Bank, Warren. No. 74. H. B. PERKINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. * Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer £330,756 27 1,569 18 250, 000 00 57, 257 80 53, 042 99 30, 0U0 00 7, 690 33 596 33 3, 006 00 507 65 2, 500 00 63, 300 00 "iI"250 bh' $300, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding 56, 500 00 11, 549 61 216,605 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 611,476 55 Total. M. B. TAYLER, Cashier. Total. 219,013 68 7, 065 48 742 78 811,476 55 Trumbull National Bank, Warren, CHARLES SMITH, President. Loans and discounts •Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from U.S. Treasurer Total. K I R T . M. FITCH, Cashier. $168, 080 76 2, 806 81 I 150, 000 00 j Capital stock paid in. Surplus fund Other undivided profits. National bank notes outstanding 10, 773 07 State bank notes outstanding 13,603 97 Dividends unpaid . 22, 297 71 5,014 79 Individual deposits United States deposits 5, 643 05 Deposits of U. S. disbursing officers. 911 00 Due to other national banks 150 86 Due to State banks and bankers 2,050 00 17, 360 00 I Notes and bills re-discounted . S J! Bills payable 6, 750 00 | 405,442 02 \\ Total. $150, 000 00 16, 500 00 11,199 85 135,000 00 91, 776 25 161 77 804 15 405, 442 02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 571 OHIO. First National Bank of Washington, Washington C. H. No. 284. D A N I E L MCLEAN, President. R. A. ROBINSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures - . . Current expenses and taxes paid Premiums paid Checks and other cash items, Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $577, 560 07 56,665 66 2. 900 00 34, 706 70 443 69 18,191 29 3,523 01 Capital stock paid in I Surplus fund Other undivided profits 100, 000 00 53, 560 25 National bank notes outstanding State bank notes outstanding 45,000 00 | Dividends unpaid 1,736 00 Individual deposits h United States deposits 1,125 39 | Deposits of U. S. disbursing officers. 109, 453 57 224 00 Due to other national banks 357 57 I Due to State banks and bankers 117 65 I 12, 637 00 Notes and bills re-discounted Bills payable 1, 920 22 5,106 54 47, 259 79 40,000 00 "2*250'65'i 704, 036 37 Total. $300, 000 00 704, 036 37 Waynesville National Bank, Waynesville. No. 2220. S E T H S. HAINES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures- Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $46, 430 67 33, 000 00 J O E L EVANS, Cashier. Capital stock paid in . $50, 000 00 Surplus fund Other undivided profits 336 50 2, 233 70 National bank notes outstanding 5, 593 69 227 28 2, 245 15 1,494 0!) 4,999 56 j State bank notes outstanding j 29, 200 00 Dividends unpaid Individual deposits 146 45 United States deposits Deposits of U. S. disbursing officers . 1, 054 00 Due to other national banks 160 24 | Due to State banks and bankers . . . 50 00 2, 675 00 Notes and bills re-discounted. Bills payable 1,485 00 Total., 99,561 04 ji 17, 790 84 99,561 04 First National Bank, Wellington. S. S. W A R N E R , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit D ue from U. S. Treasurer Total. H. Ex. 3- -33 No. 464. R. A. HoRR, Cashier. $127, 302 00 I Capital stock paid in 473 25 i 100, 000 00 j Surplus fund j Other undivided profits 16666 1, 000 00 37, 475 63 6, 000 00 588 63 4,000 00 3, 520 20 339 00 382 25 407 00 8, 059 00 3, 000 00 292, 646 96 I National bank notes outstanding State bank notes outstanding $100, 000 00 16,500 00 5, 088 88 90, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. 75, 573 31 263 77 221 C O 5, 000 00 572 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Wellsville. J. W. RETLLY, President. JAMES HENDERSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits XJ S bonds on hand . ........ Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers - . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Liabilities. $146,116 49 | Capital stock paid in 17 Mi ; Surplus fund 80, 000 00 Other undivided profits.., 14,842 9,540 14,510 3, 822 3,610 20 Legal tender notes 16, 367 89 2,355 43 National bank notes outstanding State bank notes outstanding 56 06 58 78 Checks and other cash items Exchanges for clearing house Bills of other banks .. Fractional currency $80, 000 00 Dividends unpaid ! 9,500 00 Individual deposits L nited States deposits Deposits of XJ. S. disbursing officers 382 00 Due to other national banks 75 00 | Due to State banks and bankers O gQQ 114, 087 39 313 16 1, 693 07 Notes and bills re-discounted 00 Total 286, 816 94 Total 72, 000 00 286,816 94 First National Bank of Bates ville, William sburgh. No. 2219. F. M. ATKINSON, President. Loans and discounts Overdrafts X S. bonds to secure circulation L XT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer A. P. SPENCER. Cashier. $75,724 80 Capital stock paid in. 852 22 ! 40, ooo oo ; Surplus fund Other undivided profits 7, 214 07 1, 600 73 4, 545 66 755 73 5, 716 50 1, 325 00 33 11 29 40 5, 076 00 $60,000 00 2, 725 56 2,890 75 National bank notes outstanding State bank notes outstanding 36, 000 00 306 00 Dividends unpaid . Individual deposits „ XJnited States deposits Deposits of XJ. S. disbursing officers.. 42,703 48 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 1, 800 00 Total. Total. 144, 673 22 First National Bank, Wilmington. Loans and discounts | Overdrafts • U. S. bonds to secure circulation ; XJ. S. bonds to secure deposits XJ. S. bonds on hand ! Other stocks, bonds, and mortgages . . j Due from approved reserve agents... \ Due from other banks and bankers . . ! Real estate, furniture, and fixtures... Current expenses and taxes paid j Premiums paid j Checks and other cash items | ! Exchanges for clearing house Bills of other banks | Fractional currency j Specie Legal tender notes XJ. S. certificates of deposit Due from U. S. Treasurer Total C. C. NICHOLS, Cashier. No. 305. C. M. BOSWORTH, President. $194,477 86 I Capital stock paid in. 6. 562 34 Surplus fund 100, 000 00 Other undivided profits. 100 00 National bank notes outstanding 4, 759 00 2, 521 97 i State bank notes outstanding 2, 621 48 1, 800 00 Dividends unpaid . 2,777 16 Individual deposits 5, 918 75 United States deposits 3,866 81 Deposits of U. S. disbursing officers 1,148 335 465 16,358 00 Due to other national banks 00 Due to State banks and bankers 00 00 Notes and bills re-discounted... Bills payable 348,211 37 Total. $100,000 00 35, 000 00 6,187 69 90, 000 00 115,776 58 703 47 543 63 348,211 37 REPORT OF THE COMPTROLLER OF THE CURRENCY. 573 OHIO. Clinton County National Bank, "Wilmington. F . M. MOORE, No. 1997. President. MADISON BETTS, Cashier. Resources. Liabilities. $129,666 68 3, 705 64 100, 300 00 Loans and dis ;ounts . Overdrafts U. S. bonda to secure circulation U. S. bond;^ to secure deposits U.S.bond on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items E x changes for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 1, 750 00 1,684 60 1,236 07 19,845 01 1,016 16 11,985 81 4,068 81 4,914 00 151 67 296 00 15,000 00 Capital stock paid in., $100, 000 00 Surplus fund Other undivided profits 5, 000 00 26,495 15 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid. 130 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 99,751 57 Due to other national banks Due to State banks and bankers . 334 14 Notes and bills re-discounted. Bills payable 4, 840 41 321,710 86 Total. Total. 321, 710 86 National Bank, Wooster. G-. P. EM RICH, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand j Other stocks, bonds, and mortgages.. j Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures. ..j Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house .... Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1912. CURTIS V. H A R D , Cashier. $82, 623 87 • Capital stock paid in 592 34 I 77. 000 00 I Surplus fund $77, 000 00 ' i I | Other undivided profits 500 00 25,509 75 7,678 16 17, 557 60 874 46 !, 362 54 National bank notes outstanding . . . . j State bank notes outstanding j t Dividends unpaid 69, 300 00 Individual deposits United States deposits | Deposits of U. S. disbursing officers. J 71,725 75 1,911 00 | Due to other national banks 252 79 ! Due to State bauks and bankers • 902 50 ' 4, 500 00 Notes and bills re-discounted Bills payable. , 224,030 0L Total. 3, 549 04 1, 469 55 500 00 398 66 G7 0L 224,030 O L "Wayne County National Bank, Wooster. I-I. ARMSTRONG. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house BiMs of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Bue from U. S. Treasurer Total No. 828. E. QuiNBY, Jr., Cashier. $71,061 92 i Capital stock paid in. "3o,"66o"6o"| $50, 000 00 5, 495 13 7,01)0 00 726 06 10, 000 00 2, 921 84 National bank notes outstanding . . . State bank notes outstanding I,~3o6"66" | Surplus fund Other undivided profits 27, 000 00 Dividends unpaid. Individual deposits li United States deposits 1,309 00 1 Deposits of U. S. disbursing officers. 1 I 00 | Due to other national banks 439 92 Due to State banks and bankers . . . 190 25 ! 24,81.0 00 | Notes and bills re-discounted Bills payable 80, 983 14 1, 745 61 11 69 ""i,"35o"66'i 172, 662 28 ' Total . 172,662 28 574 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Xenia. No. 369. ABRAHAM HIVLING, President. F. A. McCLURE, CasMer. Resources. Liabilities. $324,793 19 5, 6(58 36 120, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixturesCurrent expenses and taxes paid . . Premiums paid 1,935 20, 934 9,812 25, 800 3,527 Capital stuck paid in. 00 82 21 00 79 108, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits ot U. S. disbursing officers. 1,000 00 Duo to other national banks Due to State banks and bankers 19,722 00 Total . 37, 200 00 11, 946 54 National bank notes outstanding State bank notes outstanding 6, 866 16 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificate? of deposit Due from U. S. Treasurer $120, 000 00 Surplus fund Other undivided profits Notes and bills re-discounted Bills payable 1, 480 86 2,984 42 . Total. 545,459 53 263, 847 71 545,459 53 Second National Bank, Xenia No. 277. T. P. TOWNSLEY, President. Loans and discounts Overdrafts j U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand j Other stocks, bonds, and mortgages.. $100, 000 00 Surplus fund Other undivided profits . 20, 000 00 19, 310 75 National bank notes outstanding Siaie bank notes outstanding 100 00 11,204 00 3, 651 90 5, 326 73 34,000 00 1, 785 52 367 30 8,651 76 1,059 00 429 10 2,561 85 19, 073 00 S. A N K E N E Y , Cashier. Capital stock paid in $203, 407 25 6,271 94 100, 0U0 00 Due from approved reserve a g e n t s . . . j Due from other banks and bankers.-! Real estate, furniture, and f i x t u r e s . . . | Current expenses and taxes paid Premiums paid | Checks and other cash items , Exchanges for clearing house Bills of other banks , Fractional currency Specie Legal tender notes , U. S. certificates of deposit Due from U. S. Treasurer J. 90, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. ] ; Due to other national banks Due to State banks and bankers 162,366 18 9,859 54 850 88 Notes and bills re-discounted . Bills payable. 4,498 00 402, 387 35 Total. First National Bank, Youngstown. W M . S. PARMELE, President. No. 3. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits ' U. S. bonds on hand . Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... j Real estate, furniture, and fixtures. . . | Current expenses and taxes p a i d . . . . . | Premiums paid ! Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total ! • \ \ I ' j i ROBERT Me CURDY, Cashier. $781, 376 51 Capital stock paid in. 4,413 56 378, 500 00 Surplus fund Other undivided profits. $500,000 00* 56, 039 67 70,276 61 23,167 60 308, 320 00 36, 593 9, 626 18. 872 6,359 292, 841 48 National bank notes outstanding 36 State bank notes outstanding 52 25 Dividends unpaid . 99 Individual deposits United States deposits 1, 780 30 Deposits of U. S. disbursing officers. 2, 045 507 5, 078 42, 510 00 Due to other national banks 87 Due to State banks and bankers 79 00 Notes and bills re-discounted. Bills payable 17,032 00 1, 327, 863 75 Total 5, 599 93 20,286 06 74, 500 00 3,327,363 75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 575 OHIO. Second National Bank, Youngstown. No. 2217. HENRY TOD, President. H. M. GARLTCK, Asst. Resources. Cashier. Liabilities. i Capital stock paid in . Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures Current expenses and taxes paid . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $200, 000 00 | Surplus fund | Other undivided profits National bank notes outstanding 10, j 239 84 643 77 56, 200 00 State bank notes outstanding 570 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers i Notes and bills re-discounted j Bills payable ; j j. | . |J. ; 259 18 377 C O ' • Total . Total. 076 40 363,366 19 First National Bank, Zanesville. P E T E R BLACK, President. GEO. H. STEWART, Cashier. Loans and discounts ! Overdrafts I U. S. bonds to secure circulation | U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid j Checks and other cash items I Exchanges for clearing house ! Bills of other banks I Fractional currency j Specie j Legal tender notes U. S. certificates of deposit j Due from U. S. Treasurer. j Total I $398,960 59 Capital stock paid in 170, 000 00 13,900 00 ]5, 432 72 50, 700 99 21, 000 00 566 09 . Surplus fund Other undivided profits i ! j National bank notes outstanding . . . . ; State bank notes outstanding | Dividends unpaid Total. 50, 000 00 54, 962 82 147, 300 00 _. ! : Individual deposits United States deposits : ! 12, 558 37 ! Deposits of U. S. disbursing officers.. ; 11, 355 00 i Due to other national banks J, 86 L 94 Due to State banks and bankers 58 L 07 | 38,611 00 Notes and bills re-discounted. Bills payable 8,650 00 744,177 77 $200, 000 0C 283, 802 23 88, 112 72 744,17 576 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA, First National Bank, Attica. No. 577. P. S. VEEDER, President. SAMUEL FINNEY, Cashier. Resources. Liabilities. $105, 237 55 Capital stock paid in Loans and discounts Overdrafts ! U. S. bonds to secure circulation j U. S. bonds to secure deposits | U. S. bonds on hand ! Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items E xchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 430 97 i 84, 000 00 $84, 000 00 Surplus fund Other undivided profits 24, 556 93 4, 694 76 National bank notes outstanding 60, 285 75 State bank notes outstanding 1, 782 44 1,800 00 Dividends unpaid . 1,741 88 Individual deposits United States deposits 105 00 Deposits of U. S. disbursing officers. 75, 389 00 115, 721 62 10, 112 14 2, 245 32, 826 00 Due to other national banks 82 Due to State banks and bankers . 90 00 Notes and bills re-discounted Bills payable 3, 780 00 Total. 304, 362 31 301, 362 31 Fir^t National Bank, Auburn. No. 2238. J. R. LANNJNG, Preside, Loans and discounts Overdrafts . U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on haad Other stocks, bonds, and mortgages...:. Due from approved reserve agents... Due from other banks and bankers.... Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid ; Checks and other cash items Exchanges for clearing house :. Bills of other banks , Fractional currency j Specie i. Legal tender notes « j : U. S. certificates of deposit Due from U. S. Treasurer I Total. J. V. IlAZZARD, Cashier. $50, 000 00 $Gi), 942 97 j.i Capital stock paid in. "so'ooo'oo 1 'ioi 8 So 729 4, 500 03 00 39 00 1,000 00 2, 478 87 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding.. Dividend, unpaid 27, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 27,870 17 1, 800 00 ; Due to other national banks 329 15 • Due to State banks and bankers . 3, 500 00 [ Notes and bills re-discounted | Bills payable 113,349 04 5, 000 00 113,349 04 First National Bank, Aurora. No. 699. THOMAS GAFF, President. Loans and discounts ! Overdrafts ! U. S. bonds to secure circulation | U. S. bonds to secure deposits U. S. bonds on hand j Other stocks, bonds, and mortgages .. j Due from approved reserve agents... j Due from other banks and bankers ..j Real estate, furniture, and fixtures ...! Current expenses and taxes paid ) Premiums paid ' Checks and other cash items Exchanges for clearing house Bills of other banks ! Fractional currency j Specie j Legal tender notes | U. S. certificates of deposit j Due from U. S. Treasurer j Total j E. H. DAVIS, Cashier. $392, 745 29 Capital stock paid in. 2, 668 95 200, 000 00 Surplus fund Other undivided profits National bank notes outstanding 6, 461 69 State bank notes outstanding 902 49 Dividends unpaid., 18, 334 31 52L 80 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 1,881 00 83 43 5,836 41 8, 400 00 20, 000 00 9, 000 00 666, 835 37 Due to other national banks Due to State bank3 and bankers . Notes and bills re-discounted. Bills payable Total. $200, 000 00 40, 000 00 2, 503 28 180,000 00 244,173 04 159 05 666, 835 37 REPORT OF THE COMPTROLLER OF THE CURRENCY. 577 INDIANA. Bedford National Bank, Bedford. W. C. WlNSTANDLEY, President. THOS. H. MALOTT, Cashier. No. 1892. Liabilities. Resources. $105,639 90 2, 870 43 50, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae from U. S. Treasurer $100,000 00 Capital stock paid in. Surplus fund 100 00 Other undivided profits 7, 924 59 National bank notes outstanding i 10,921 99 State bank notes outstanding 8, 362 20 : 2, 436 00 Dividends unpaid 1, 529 05 Individual deposits j 2,000 00 United States deposits j 217 70 Deposits of U. S. disbursing officers.. j 110 00 Due to other national banks 219 40 Due to State banks and bankers 173 25 13,119 00 Notes and bills re-discounted. Bills payable 3, 065 00 208, 688 5L Total. ' j Total. 1, 600 00 4, 272 89 45, 000 00 57, 647 i 78 16 89 78 208, 688 51 First National Bank, Bloomington. JOHN WALDRON, President. No. 1838. ROBT. C. FOSTER, Cashier. Loans and discounts ! $205, 350 37 Capital stock paid in ., Overdrafts ...! 1,120 56 • U. S. bonds to secure circulation j 150, 000 00 Surplus fund..U. S. bonds to secure deposits ! Other undivided profits ; U. S. bonds on hand ! Other stocks, bonds, and mortgages..' National I ank notes outstanding Due from approved reserve agents. . J 5, 706 00 State bank notes outstanding Due from other banks and bankers.... 6, 080 64 Real estate, furniture, and fixtures...; " 6, 194 4L Dividends unpaid . Current expenses and taxes paid. 2, 327 09 Individual deposits Premiums paid , 9, 215 00 United States deposits Deposits of U. S. disbursing officers. Checks and. other cash items. ' Exchanges for clearing house ' Bills of other banks \ 3,973 00 Due to other national banks ; Fractional currency 102 74 Due to State banks and bankers Specie • 486 00 Legal tender notes j 27,130 00 Notes and bills re-discounted ; U. S. certificates of deposit Due from U. S. Treasurer < 3, 050 00 Bills payable. Total I 420, 735 8 L $150, 000 00 11,500 00 7, 820 38 132, 300 00 119,115 43 420,735 81 Boonville National Bank, Boonville. E. W. BETHELL, Cashier. L. J. MILLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $67,837 17 445 24 30, 000 00 8, 400 00 15,391 10, 500 3, 970 1, 992 3,000 60 12 00 77 00 Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $50, 000 00 2, 000 00 4,246 49 27, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 72,961 50 3,050 00 Due to other national banks 31 09 Due to State banks and bankers . 240 00 10, 000 00 Notes and bills re-discounted. Bills payable 1, 350 00 156, 207 99 Total. 156,207 99 578 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. Brookville National Bank, Brookville. JNO. G. ADAIR, President. JNO. Resources. $3 54,025 84 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages j | ; Due from approved reserve agents... Due from other banks and bankers... j Real estate, furniture, and fixtures . . ' Current expenses and taxes paid | Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer R. GOODWIN. Cashier. Liabilities. ' ' ; ' ; ; 100, 000 00 Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits 23,000 00 4, 806 71 National bank notes outstanding State bank notes outstanding 10, 531 52 8, 711 62 Dividends unpaid . 1(5,753 75 1, 493 89 Individual deposits United States deposits Deposits of U. S. disbursing officers . 5, 015 00 278 04 ] 00 00 12, 000 00 90, 000 00 '6, 502 95 Due to other national banks Dae to State banks and bankers. Notes and bills re-discounted. Biils payable 5, 400 00 314,309 66 Total. 314, 309 66 Total. First National Bank, Cambridge City. H. II. EL WELL, President. JOHN JACKSON, Cashier. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures. - . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. ceftincates of deposit Due from U. S. Treasurer $245, 682 34 *50, 005 00 Capital stock paid in $200, 000 00 Surplus fund Other undivided profits 11,600 00 7, 759 90 National bank notes outstanding State bank notes outstanding 7, 289 86 4,838 19 13,491 00 Dividends unpaid . 2, 775 97 Individual deposits 5, 512 61 United States deposits 400 00 Deposits of U. S. disbursing officers. 45, COO 00 1, (500 489 400 9, 000 00 99 00 00 Due to other national banks... Due to State bank» and bankers . Notes and bills re-discounted. Bills payable 2, 250 00 343, 759 99 343, 759 99 Total. 79, 400 09 First National Bank, Centreville. JAMES FORKNER, President. Loans and discounts j Overdrafts • U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... i Due from other banks and bankers . . j Real estate, furniture, and fixtures ..> Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 37. $112, 066 15 " "166"ooo*66' J. K. JONES, Cashier. Capital stock paid in $100, 000 00 202 25 85:V66' 533 10 1,515 00 4, 000 00 5"166 66" 234,146 95 21, 000 00 6, 393 41 National bank notes outstanding 4, 028 91 2, 687 49 2, 000 00 1,043 95 117 10 Surplus fund Other undivided profits 90, 000 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 16, 753 54 Notes and bills re-discounted Bills payable Total. 234,146 95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 579 INDIANA. First National Bank, Columbus. . E . MOONEY, No. 1066. President. F. M. BANFILL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts * U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid.... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $138, 984 82 Capital stock paid in 4]470 37 100, 000 00 Surplus fund Other undivided profits 5, 000 19, 096 23, 888 17, 500 2, 051 10 1,2.34 00 82 45 00 03 21 04 j $100, 000 00 ! j 30,000 00 11, 293 78 National bank notes outstanding I 89, 300 00 State bank notes outstanding ; Dividends unpaid Individual deposits | United States deposits j 474 00 Deposits of U. S. disbursing officers..: j 356 06 Due to other national banks 510 35 Due to State banks and bankers ; 11,800 00 Note1; and bills re-discounted ! l 4,500 00 Bills payable Total 329, 876 15 ; 98, 061 15 1, 22L 22 . 329, 876 15 First National Bank, Ccnnersville. No. 1034. P. H. ROOTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits . U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer CHARLES MOUNT, Cashier. $171, 023 94 Capital stock paid in "I66"66o"6o" 8, 133 11 10, 000 00 1, 597 90 | $100,000 00 Surplus fund j Other undivided profits I National bank notes outstanding j State bank notes outstanding . . . . j 30, 000 00 3, 248 19 90, 000 00 Dividends unpaid I Individual deposits j United States deposits J Deposits of U. S. disbursing officers.. j Due to other national banks Due to State banks and bankers . 10, 000 00 • Notes and bills re-discounted. Bill* payable 3, 900 00 99 31 "h". 165" 66". 306, 854 26 : Total. 83, 606 07 306,854 26 First National Bank, Crawfordsville. ALEX. THOMSON, President. Loans and discounts =— , Overdrafts ... U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. BENJ. WASSON, Cashier. $258, 335 59 Capital stock paid in 4,979 02 100, 000 00 Surplus fund Other undivided profits I $ L O 000 00 O, I j 100, 000 00 22,408 13 National bank notes outstanding....] j. 11,011 61 State bank notes outstanding ! 5,174 73 4,720 00 Dividends unpaid 3, 093 90 Individual deposits United States deposits 29 62 Deposits of U. S. disbursing officers. 90, 000 00 109, 586 34 4, 650 45 455 25, 000 00 Due to other national banks 00 Due to State banks and bankers . 00 00 Notes and bills re-discounted Bills payable 4,500 00 421,994 47 Total. 421,994 47 5S0 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Crown Point. D A V I D TURNER, President. No. 2183. W . C. MURPHEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents . . Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes Due from U. S. Treasurer Profit and loss account $88, 448 03 i Capital stock paid in . 855 78 30, 000 00 j Surplus fund I; Other undivided profits 27, 000 00 1 National bank notes outstanding 1 3,404 07 ! State bank notes outstanding . 3, 342 29 4,022 03 | Dividends unpaid . 72,641 61 ' -fin" an' • Individual deposits ,OUU U ;j U n i t e d S t a t e 8 d e i t g _ U Deposits of U. S. disbursing officers 2, 550 22 350 7,000 1,350 3,796 00 < Due to other national banks j 52 | Due to State banks and bankers . 00 I 00 !; Notes and bills re-discounted 00 j Bills payable 89 il ] 49, 641 61 Total. $50, 000 00 Total. 149,641 6L First National Bank, Danville. J E S S E R. C O P E , No. 152. President. Loans and discounts Overdrafts .. U. S. bonds to secure circulation ; U. S. bonds to secure deposits I.. U. S. bonds on hand \.. Other stocks, bonds, and mortgages..'.. Due from approved reserve agents.. J Due from other banks and bankers . . j Real estate, furniture, and fixtures...; Current expenses and taxes paid ! Premiums paid ;.. Checks and other cash items j Exchanges for clearing house .. Bills of other banks ; Fractional currency Specie \ Legal tender notes j U. S. certificates of deposit !.. Due from U. S. Treasurer i $211,951 56 I! Capital stock paid in 50, 000 00 814 6, 042 23, 28:2 2, 282 20 87 37 99 ! $165,000 00 ! | 27,500 00 6, 425 79 National bank notes outstanding . . . . j State bank notes outstanding . . . . . . . ' 45, 000 00 Surplus fund. Other undivided profits 318 00 Dividends unpaid Individ a al deposits United States deposits j 600 64 j; Deposits of U. S. disbursing officers . i 60, 831 95 J,549 00 Due to other national banks 47 Due to State banks and bankers . 1, 801 64 4, 500 00 i Notes and bills re-discounted. | Bills payable 305, 075 74 Total. BEN.T. F . T H O M A S , Cashier. Total. 305, 075 74 First National Bank, Delphi. JAS. P. DUGAtf, President. Loans and discounts I Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits ! U. S. bonds on hand j Other stocks, bonds, and mortgages.-! Due from approved reserve agents... j Due from other banks and bankers . . I Real estate, furniture, and fixtures. ..I Current expenses and taxes paid ! Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1949. R E E D CASE, Cashier. $242, 843 35 Capital stock paid in 26 31 Surplus fund 50, 000 00 Other undivided profits 6,597 70 18, 252 18 30, 512 80 9, 300 00 2, 077 54 559 25 808 80 425 16, 500 00 77 61 00 " 2 , 2 5 6 6o 380,233 51 National bank notes outstanding $100,000 00 35, 000 00 5, 515 34 45, 000 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers 194,718 17 Notes and bills re-discounted Bills payable Total. 380, 233 51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 581 First National Bank, Elkhart. No. 206. B. L. DAVENPORT, President. J O H N COOK, Cashier. Liabilities. Resources. lioans and discounts Overdrafts . U. S. bonds to secure circulation U. S. bonds to secure deposits { U. S. bonds on hand | Other stocks, bonds, and mortgages . . | Due from approved reserve agents...! Due from other banks and bankers . . j Real estate, furniture, and fixtures ..j Current expenses and taxes paid.* . .1 Premiums paid ! Checks and other cash items ( Exchanges for clearing house i Bills of other banks j Fractional currency ! Specie \ Legal tender notes j U. S. certificates of deposit , j Due from U. S. Treasurer j $140,197 14 100, 000 00 . Surplus fund Other undivided profits 21, 600 00 8, 852 31 National bank notes outstanding State bank notes outstanding 89, 990 00 100 00 18, 320 42 8, 000 00 1, 077 37 2,124 18 Dividends unpaid. 69, 792 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 7,414 00 Due to other national banks 111 20 Due to State banks and bankers . 550 00 7, 500 00 Notes and bills re-discounted. Bills payable 4, 240 00 Total 290,234 31 Total. $100,000 00 Capital stock paid in. 290,231 31 First National Bank, Evansville. No. 28. J. S. HOPKINS, President. Loans and discounts Overdrafts., U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Dae from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid .. Checks and other cash items Exchanges for clearing house Bills of otksr banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $729, 066 45 3, 126 16 500, 000 00 31,500 00 55, 275 83 74, 111 28 42, 200 00 60 4 41 3, 046 97 84(5 97 76 75 47, 306 00 JAS. H. CUTLER, Cashier. Capital stock paid in | $500, 000 00 Surplus fund Other undivided profits j ' 250, 000 00 24, 622 00 446, 000 00 National bank notes outstanding State bank noteb outstanding Dividends unpaid . Individual deposits | United States deposits j Deposits of U. S. disbursing officers. J 295, 316 32 Due to other national bank . s . . . . . . . . . ! Duo to State banks and bankers j 4, 163 85 573 51 Notes and bills re-discounted Bills payable Total. j \ Total. i, 521), 675 68 Citizens' National Bank, Evansville. No. 2188. R. C. SLAUGHTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie „ Legal tender notes U. S. certificates of deposit Due fro.u U. S. Treasurer Total. „. 3. P. GTLLETT, Cashier. Capital stock paid in I Surplus fund Other undivided profits s { National bank notes outstanding State bank notes outstanding I J. $225,000 00 3, 356 00 28, 275 20 130, 400 00 Dividends unpaid. Individual deposits | United States deposits j Deposits of U. S. disbursing officers.. | Due to other national banks Due to State banks and bankers J j 118, 790 74 22, 390 16 Notes and bills re-discounted. Billri payable Total 528,212 10 582 REPORT OF THE COMPTROLLER OP THE CURRENCY. INDIANA. Evansville National Bank, Evansville. No. 730. SAMUEL BAYARD, President. HENRY REIS, Cashier. Liabilities. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $392, 637 70 ;: Capital stock paid in . $800, 000 00 712,000 00 Surplus fund 100, 000 00 Other undivided profits.. 94, 690 00 National bank notes outstanding 79, 767 49 State bank notes outstanding 64,549 68 34,200 0') Dividends unpaid . 17, 200 51 Individual deposits United States deposits 5, 31G 06 Deposits of U. S. disbursing officers.. 5, 250 00 783 16 2, 325 20 76, 960 00 160, 000 00 34, 446 09 640, 000 00 308, 632 72 41,291 40 2, 577 06 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable. 61, 944 68 71, 557 85 34, 700 00 2, 120, 449 80 Total. 2, 120, 449 German National Bank, Evansville. SAMUEL ORR, President. No. 1772. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U . S . Treasurer Total . P H I L . C. DECKER, Cashier. $232,225 71 Capital stock paid in .... $250, 000 00 .... 15,000 00 25,794 11 '" 150," 000 00! Surplus fund Other undivided profits 13, 725 20 National bank notes outstanding .„ 22,313 20 State bank notes outstanding 30,714 65 Dividends unpaid . 700 00 6, 375 69 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 3, 151 00 Due to other national banks 596 39 Due to State banks and bankers. 2,454 50 8, 000 00 Notes and bills re-discounted. Bills payable 6, 750 03 477, 006 37 135, 000 00 46, 572 ! !. ; 3,153 09 1, 486 21 477, 006 37 Total. Merchants' National Bank, Evansville. C. R. BEMENT, President. No. 989. MATTHEW HENNING, Cashier. $380, 469 30 Capital stock paid in . Loans and discounts Overdrafts U. S. bonds to secure circulation j 300, 6oo"oo' Surplus fund U. S. bonds to secure deposits ; Other undivided profits j U. S. bonds on hand j Other stocks, bonds, and mortgages... j 35, 000 00 National bank notes outstanding Due from approved reserve agents . . . 18, 404 77 State bank notes outstanding Due from other banks and bankers... 14, 835 44 Real estate, furniture, and fixtures . . . | 25, 000 00 Dividends unpaid Current expenses and taxes paid j 7, 938 52 Individual deposits Premiums paid } I United States deposits Checks and other cash items j 9, 329 83 j Deposits of U. S. disbursing officers.. Exchanges for clearing house j Bills of other banks \ 5, 172 00 i Due to other national banks 831 25 i Due to State banks and bankers Fractional currency j 577 95 Specie 86, 418 00 Legal tender notes Notes and bills re-discounted. U. S. certificates of deposit . . _. i Bills payable Due from U. S. Treasurer \ 9, 047 17 Total. . 902, 024 23 Total. $350,000 00 140, 000 00 11,320 37 245,170 00 127,894 06 6,441 01 21, 198 79 902, 024 23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 583 INDIANA. First National Bank, Fort "Wayne. J . D . NUTTM AN, No. 11. President. LEM. II. HARTMAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $498, 738 49 89 28 50, 000 00 3, 664 14 68, 893 33 58,710 96 7, 308 53 8, 402 62 8,074 05 5,045 12 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. 114,638 38 22, 887 27 45, 000 00 250 00 Individual deposits . . United States deposits Deposits of U. S. disbursing officers . 12,411 2,232 3, 942 52, 996 00 Due to other national banks 23 79 Due to State banks and bankers 00 Notes and bills re-discounted.. Bills payable 2, 250 00 782, 758 54 . Total. $400, 000 00 Capital stock paid in . Total. 179,117 91 9, 740 04 11,124 94 782, 758 54 Fort "Wayne National Bank, Fort "Wayne. S. B. BOND, President. J. D. BOND, Cashier. No. 865. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $543,264 11 Capital stock paid in. 2,410 67 300, 000 00 Surplus fund Other undivided profits 15, 906 29 | National bank notes outstanding 29, 004 63 ! State bank notes outstanding 34, 130 49 23, 902 64 Dividends unpaid. 5, 002 82 I Individual deposits United States deposits ! 791 90 Deposits of U. S. disbursing officers . , 33, 087 00 i Due to other national banks 2, 692 97 IDue to State banks and bankers 4, 340 59 I 72,9L7 00 ' Notes and bills re-discounted. Bills payable , 14, 500 00 Total. 1,089,951 11 $350, 000 00 125, 164 87 17, 884 55 266, 000 00 1, 695 00 311,033 23 1,543 76 16, 629 70 1,089,951. 11 First National Bank, Frankfort. WM. R. CARTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid . -. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1854. DAVID P. BARNER, Cashier. $297, 594 04 ! Capital stock paid in. 1, 108 84 j 200, 000 00 I Surplus fund Other undivided profits 25, 000 00 6, 382 10 12, 907 27 National bank notes outstanding State bank notes outstanding Dividends unpaid . 2, 936 52 | Individual deposits United States deposits 517 78 Deposits of U. S. disbursing officers . 4, 234 00 ! Due to other national banks 328 75 I Dae to State banks and bankers . 242 50 15, 100 00 ! Notes and bills re-discounted Bills payable 9"666"o6"| 575,351 80 ! Total. $200, 000 00 37,163 68 17, 570 22 180, 000 00 135, 617 90 5, 000 00 575,351 80 584 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Franklin. No. 50. JAMES FORSYTH, President. R. T . TAYLOR, Cashier, Resources. Loans and discounts Overdrafts . . U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers- Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender noies U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $189, 327 46 1 Cap stock paid in ital ...1 2,100 00 50, 000 00 Surplus fund Other undivided profits 7, 200 00 National bank notes outstanding 3,176 40 State bank notes outstanding 34, 106 29 ] Dividends unpaid . 8,931 48 2,441 20 Individual deposits United States deposits 3,5L3 14 Deposits of U. S. disbursing officers. 26, 400 00 27,028 17 45, 000 00 96, 427 8!) 7, 000 210 100 16, 500 00 ! Due to other national banks 00 ! Due to State banks and bankers. 00 00 Notes and bills re-discounted ! Bills payable 2,250 00 326, 855 97 Total. $132,000 00 Total j 326, 855 97 Second National Bank, Franklin. R. T. OVERSTREET, Cashier. JOHN CLARKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on hand Other stocks, bonds, and mortgages.. i Due from approved reserve agents.. J Due from other banks and bankers ..I Real estate, furniture, and fixtures.. J Current expenses and taxes paid j Premiums paid Checks and other cash items ' Exchanges for clearing house Bills of other banks Fractional currency Snecie .: Legal tender notes U. S. certificates of deposit. '..'. Due from U. S. Treasurer . Total. $136, 654 30 j Capital stock paid in . $150,000 0C ! 50, 000 00 Surplus fund Otiier undivided profits National bank notes outstanding \ 19, 192 34 ; State bank notes outstanding 39,092 68 j 8, 159 09 \ Dividends unpaid . 1, 878 70 ! Individual deposits , United States deposits j Deposits of U. S. disbursing officers.. i 6, 972 00 Due to other national banks 145 95 j.Due to State banks and bankers . !' 11,500 00 | Notes and bills re-discounted. Bills payable 30, 000 00 16, 094 48 134, 940 00 50,968 82 8,"25o"5o"j 382,145 06 Total. 382, 145 06 City National Bank, Goshen. H. H. HITCHCOCK, President. Loans and discounts \ Overdrafts ! U. S. bonds to secure circulation | U. S. bonds to secure deposits !. U. S. bonds on hand |. Other stocks, bonds, and mortgages... i. Due from approved reserve agents... | Due from other banks and bankers..! Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2067. IRA W. NASH, Cashier. $74, 952 40 Capital stock paid in . 2,284 72 30, 000 00 Surplus fund Other undivided profits National bank notes outstanding 3, 653 80 State bank notes outstanding 8, 626 53 12, 575 00 Dividends unpaid . 862 16 3, 000 00 Individual deposits United States deposits 350 00 Deposits of U. S. disbursing officers. $50, 000 00 20,000 00 2,439 25 27, 000 00 48,154 88 4, 905 95 436 5, 000 00 Due to other national banks 07 Due to State banks and bankers . 95 00 Notes and bills re-discounted. Bills payable 852 50 j 147,594 13 I Total. 147,594 13 REPORT OF THE COMPTROLLER OF THE CURRENCY. 585 IN B I AN A. First National Bank, Green Castle. T. G. HAMMOND, President. No. 219. JEROME ALLEN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. $199,090 65 "i34"obb"bo" 32,844 01 43,458 81 25,816 58 3, 933 84 300 00 12, 450 250 324 8, 000 00 00 29 00 Capital stock paid in. $125, 000 00 64, 500 00 9,117 33 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 120, 000 00 Dividends unpaid.. 800 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 148, 050 85 Due to other national banks , Due to State banks and bankers., Notes and bills re-discounted . Bills payable 7, 000 00 Total , 467,468 18 467,468 18 First National Bank, Greensburgh. A. R. FORSYTH, President. Loans and discounts Overdrafts U. S. bondsJ to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 356. E. R. F-ORSYTH, Cashier. $228, 326 53 Capital stock paid in 3,558 69 50, 000 00 Surplus fund Other undivided profits 2, 500 00 6, 000 00 National bank notes outstanding 42,037 54 State bank notes outstanding 9,484 97 15,714 35 Dividends unpaid. 3, 674 84 Individual deposits 506 25 United States deposits 400 00 Deposits of U. S. disbursing officers. 800 590 1, 246 10,000 $150, 000 00 9, 000 00 7, 778 56 45, 000 00 165,311 44 00 Due to other national banks 83 Due to State banks and bankers. 00 00 Notes and bills re-discounted . . . . . . . . Bills payable Total. Total . 377, 090 00 Citizens' National Bank, Greensburgh. DAVID LOVETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. No. 1890. $173, 402 88 2,871 56. 50, 000 00 3, 600 00 26, 095 13, 608 2, 377 2, 960 90 83 00 26 C50 48 SAMUEL CHRISTY, Cashier. Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits 6, 360 00 7, 542 70 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers. 138,431 21 " 3 "560" bb" Due to other national banks Due to State banks and bankers . 1,017 00 15, 000 00 Notes and bills re-discounted. Bills payable "*2,"25b"bb" 297,333 91 Total. -| 297,333 91 586 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Huntingdon. No. 145. J. W. PURVIANCK, President. W I L L I A M MCG-REW, Oashitr. Resources. Liabilities. $157, 183 90 Capital stock paid in 2, 261 57 " 100, 000 00 ;: Surplus fund ; Other undivided profits Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks j Fractional currency j Specie Legal tender notes U. S. certificates of deposit j Due from U. S. Treasurer j ! ' ' , National bank notes outstanding ' ; 75 i State bank notes outstanding 49 00 ! Dividends unpaid 36 00 j' Individual deposits j! United States deposits 873 00 ;: Deposits of U. S. disbursing officers 1,680 9,612 12, 800 2, 255 5, 500 1,145 00 477 75 282 44 19, 800 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable $100,000 00 20,000 00 3,885 35 90, 000 00 3,1585 88 90, 655 81 281 05 10, 000 00 4, 535 83 Total. Total . 318,408 09 318,408 09 First National Bank, Indianapolis. No. 55. W. H. ENGLISH, President. $1, 085,155 98 41,571 94 50!\ 000 00 100, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. 40, 279 36, 370 65, 966 7,451 10, 551 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing hou.se Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer J. L. SLAUGHTER, Cashier. Capital stock paid in . $500,000 00 Surplus fund Other undivided profits. National bank notes outstanding . . . State bank notes outstanding 90 88 92 56 28 200,000 00 116,485 48 445, 500 00 Dividends unpaid . 189 00 Individual deposits United States deposits 21,500 00 | Deposits of U. S. disbursing officers. 527,570 04 54,219 46 67,667 25 28, 500 00 Due to other national banks 3,066 74 Due to State banks and bankers . . . 5,000 00 100, 000 00 ! Notes and bills re-discounted. 50, 000 00 j Bills payable 29, 476 25 140,295 05 75,965 17 2, 127,891 45 Total. 2, 127,891 45 Citizens' National Bank, Indianapolis. A. G-. PETTIBONE, President. No. 617. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. $672, 858 74 Capital stock paid in . 331 90 500, 000 00 j Surplus fund Other undivided profits Due from approved reserve agents . . Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid 23, 097 6, 029 64, 653 6,717 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer National bank notes outstanding State bank notes outstanding 11,157 75 Total G-. B. YANDES, Cashier. 27 96 23 45 $500,000 00 160, 000 00 21, 870 62 445, 995 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 235, 606 23 ' 38, 592 1,544 1, 085 45, 000 ! i 00 58 33 00 ! Due to other national banks Due to State banks and bankers 11, 080 80 19, 015 56 Notes aud bills re-discounted. Bills payable 22, 500 00 I 1,393,568 21 Total i 1, 393, 568 21 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 587 INDIANA, Indiana National Bank, Indianapolis. GEORGE TOUSEY, President. No. 984. D. M. TAYLOR, Cashier. Liabilities. Resources. Loans and discounts Overdrafts -U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $709,893 67 jlCapital stock paid in. 6,766 68 jl 500,000 00 || Surplus fund Other undivided profits 5OO*Oo"i| 125,000 00 | National bank notes outstanding 97, 483 06 I State bank notes outstanding 2, 845 39 | 41,005 13 i Dividends unpaid 3,142 63 ! Individual deposits 2, 967 11 United States deposits Deposits of U. S. disbursing officers - 21,499 00 j Due to other national banks 997 58 I Due to State banks and bankers 2, 043 95 97, 000 00 Notes and bills re-discounted . Bills payable 23, 043 03 Total 1, 634,187 23 Total. | $500,000 00 175,000 00 20, 465 26 446, 180 00 147 00 i ! \ 381,141 61 62,171 31 49,182 05 1,634,187 23 Indianapolis National Bank, Indianapolis. T. P. HAUGHEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 581. $670, 296 1,778 500, 000 100, 000 60 ! Capital stock paid in. 92 00 'I Surplus fund , 00 | Other undivided profits. 1,300 00 ;j National bank notes outstanding— 135, 489 26 | State bank notes outstanding 1, 858 35 ~ 6, 762 75 'i Dividends unpaid. 7, 392 20 , | Individual deposits 908 40 j| United States deposits 6, 689 61 |! Deposits of U. S. disbursing officers. 9, 814 00 J! 351 69 ji 660 37 75, 000 00 j| |! 22, 500 00 Due to other national banks Due to State banks and bankers $500, 000 00 100, 000 00 35, 064 47 450, 000 00 213, 957 58 72, 058 32 64, 839 69 96, 674 43 8,207 66 Notes and bills re-discounted. Bills payable 1,540,802 15 Total. H E N R Y LATHAM, Cashier. Total. 1,540,802 15 Merchants' National Bank, Indianapolis. J . S. NEWMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items. Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer... Total. H. Ex. 3- -34 No. 869. J . P. FRENZEL, Jr., Cashier. $342,196 94 !| Capital stock paid in 9,582 67 ! 100, 000 00 j j Surplus fund Other undivided profits National bank notes outstanding 42, 647 54 State bank notes outstanding 6,934 38 Dividends unpaid. 6, 589 85 3,831 38 j Individual deposits j United States deposits 15, 962 53 | Deposits of U. S. disbursing officers. 19, 943 563 112 20, 000 00 Due to other national banks 05 Due to State banks and bankers... 85 00 ! Notes End bills re-di3counted. Bills payable 4, 500 00 : 572,864 19 || Total. $200,000 00 27,100 00 10, 760 32 90, 0C0 00 230,TO10 9, 389 83 174 94 5, 000 00 572,864 19 588 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. Meridian National Bank, Indianapolis. No. 1878. D A V I D MACY, President. J. G. KENNEDY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.-j $562, 983 03 5,401) 22 300, 000 00 Capital stock paid in . $300, 000 00» Surplus fund Other undivided profits 29, 000 00 17,918 14 j 16, 000 00 ; National bank notes outstanding 45,131 49 | State bank notes outstanding 3, 959 74 : Dividends unpaid . 5, 224 64 6, 83 L 29 Individual deposits 14,000 00 United States deposits 17,633 19 Deposits of U. S. disbursing officers. j j 15,517 00 499 60 Due to other national banks Due to State banks and bankers 50, 000 00 Notes and bills re-discounted. Bills payable Due from approved reserve agents... i Due from other banks and bankers . J, Real estate, furniture, and fixtures.. J Current expenses and taxes paid ! Premiums paid ! Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer | I 000 00 268,759 41 98, 347 93 69,704 72 10*550" Ot)" 1, 053, 730 20 Total. 270, Total 1, 053, 730 20 First National Bank, Jeffersonville. J. H. MCCAMPBELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes U. S. certificates of deposit .. Due from U. S. Treasurer No. 956. $248, 497 78 Capital stock paid in $225, 000 00 ""loo," 666* 66' Surplus fund Other undivided profits 21, 590 00 | National bank notes outstanding State bank notes outstanding 2,028 18 54, 667 38 Dividends unpaid . 36,487 36 1,809 13 | 768 12 1, 578 54 1, 450 9, 000 00 50 00 00 30, 444 10 9,108 47 90, 000 00 290 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 407, 996 24 Due to other national banks Due to State banks and bankers . . . 3, 524 33 13, 157 26 Notes and bills re-discounted . Bills payable 1, 590 00 479, 520 45 j Total. W. H. FOGG, Cashier. Total. 479,520 45 Citizens' National Bank, Jeffersonville. DiLLARD RiCKETTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1466. $246,456 32 ""I66,"66o"66 6, 435 10, 713 15, 863 2, 118 6, 500 21 34 21 42 0U 880 00 97 30 11,000 00 " I "566" 66' 404, 563 80 JOHN ADAMS, Cashier. Capital stock paid in. $150, 000 00 Surplus fund Other undivided profits 28, 700 00 19,510 68 National bank notes outstanding State bank notes outstanding 89, 998 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 113,482 25 2, 872 87 Notes and bills re-discoucted Bills payable Total 404, 563 80 REPORT OF THE COMPTROLLER OF THE CURRENCY. 589 INDIANA. First National Bank, Kendallville. E. H. SHULZE, Cashier. JOH.V MITCHELL, President. Liabilities. Loans and discounts ! Overdrafts | U. S. bonds to secure circulation | U. S. bonds to secure deposits | U. S. bonds on hand I Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S, Treasurer Total . $138, 308 52 2,703 57 100, 000 00 26, 529 61 3, G80 53 2, 506 57 1,192 18 1,214 00 589 97 155 00 14, 500 00 ""4,"5OO"66" Capital stock paid in.. j $100,000 00 Surplus fund. Other undivided profits 20, 000 00 4, 993 16 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid , Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. 295, 879 95 80, 886 79 | j 295, 879 95 First National Bank, Knightstown. ROBERT WOODS, President. CHAS. D. MORGAN, Cashier. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes -.. U. S. certificates of deposit Due from U. S. Treasurer Total. $159,951 25 i Capital stock paid in 2, 103 24 50, 000 00 Surplus fund Other undivided profits . National bank notes outstanding 14, 087 52 State bank notes outstanding 6, 803 69 Dividends unpaid . 8, 500 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. . $100, 000 00 50, 000 00 17, 611 85 45, 000 00 3, 975 00 44, 896 69 200 00 Due to other national banks 166 10 2,421 75 Due to State banks and bankers . Notes and bills re-discounted. 15, 000 00 Bills payable "" 2,"250*00" Total . 261, 483 55 261, 483 55 First National Bank, Kokomo. ITHAMER RUSSELL, President. Loans and discounts O v srdrafts U S. bonds to secure circulation U. S. bonds to secure deposits U. S bonds on hand Other stocks, bonds, and mortgages. Due fi om approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. WM. P. VAILE, Cashier. No. 894. $136,501 10 Capital stock paid in. 3, 665 00 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding 8, 832 74 2, 277 43 State bank notes outstanding 6, 833 25 Dividends unpaid , 5, 179 28 2, 357 18 Individual deposits United States deposits 5 40 Deposits of U. S. disbursing officers. 679 00 185 63 560 00 8, 000 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $50, 000 00 27, 000 00 3, 710 36 45, 000 00 83, 320 84 17, 000 00 955 19 226, 031 20 Total. 226, 031 20 590 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA, First National Bank, La Fayette. M. L. PEIRCE, President. No. 23. A. H. BYRNS, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents. . . Due from other banks and bankers . . Real estate, furniture, and fixtures. . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $657, 091 1, 559 50, 000 60, 000 145, 000 90 00 00 00 00 24,557 174, 756 42,119 6, 033 01 22 50 76 Capital stock paid in 240,000 00 29,590 15 National bank notes outstanding 1, 527 66 16, 669 476 3,000 70, 000 00 19 00 00 45, 000 00 State bank notes outstanding Dividends unpaid 813 00 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers 317, 914 78 21,722 31 Notes and bills re-discounted Bills payable 1, 255, 040 24 Total. $600,000 00 Surplus fund Other undivided profits Total 1,255,040 24 Second National Bank, La Fayette. DANIEL ROYSE, President. No. 417. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $376, 274 98 ! Capital stock paid in. 1, 426 23 50, 000 00 Surplus fund Other undivided profits 21,774 46, 038 10,074 5, 830 36 70 00 18 4,630 16 3,000 00 655 30 1 820 00 25, 000 00 National bank notes outstanding State bank notes outstanding $200, 000 00 90, 000 00 10, 882 68 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 202, 566 65 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 2,404 71 Total. 548, 928 62 | Total. CHAS. T. MAYO, Cashier, 548,928 62 Indiana National Bank, La Fayette. JAMES J. PERRIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation XJ. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. $275, 358 95 1,752 27 200, 000 00 Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid 804 32,271 3, 006 5, 041 C hecks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . J. C. BROCKENBROUGH, Cashier. No. 1967. 93 39 77 96 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 13, 000 00 5,924 79 180, 000 00 Dividends unpaid. 4,952 79 Individual deposits United States deposits Deposits of U. S. disbursing officers. 8, 752 00 643 35 Due to other national banks . Due to State banks and bankers . 13, 000 00 $200, 000 00 145,336 56 3, 843 26 Notes and bills re-discounted. Bills payable """2," 520*20 548,104 61 Total. 548,104 61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 591 INDIANA. La Fayette National Bank, La Fayette. J \V. H E A T H , No. 2213. President. L. C. SLOCUM, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures. - . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $258, 352 20 " "3OO,"6oO 00 15,470 44 111,575 54 5, 874 29 659 85 24,000 00 3, 625 57 42, 000 00 1,817 38 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 270, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 12, 53-2 00 1, 394 24 20,000 00 153, 166 75 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable '"i3,"5oo"o6" 766,984 13 Total . $300,000 00 Capital stock paid in. 766,984 13 Total. National State Bank, La Fayette. MOSES F O W L E R , President. No. 930. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . $787,228 10 7,601 60 234, 000 00 Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures - . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S.Treasurer 333,491 95 88, 186 41 40,999 80 2,747 73 Total. 47, 700 00 44,193 55 13,576 00 1, 000 36 2,255 10 35, 000 00 "I6,"530 66" B. BROCKEKBKOUGH, Cashier. Capital stock paid in . $300/000 00 Surplus fund Other undivided profits 265, 000 00 59,198 35 National bank notes outstanding State bank notes outstanding 210,000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 777, 265 99 20,119 68 16,926 58 Notes and bills re-discounted. Bills payable Total 1,648,510 60 1,648,510 60 First National Bank, La Grange. J . S. M E R R I T T , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and b a n k e r s . . . Real estate, furniture, and fixtures... Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes' U. S. certificates of deposit Due from U. S. Treasurer Total . No. 2184. H. M. H E R B E R T , Cashier. >6, 359 11 Capital stock paid in . $50, 000 03 Surplus fund Other undivided profits 399 39 14,721 69 National bank notes outstanding State bank notes outstanding 43, 000 00 50, 000 00 3,180 1,262 2, 300 5, 996 33 91 13 00 242 37 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 6, 802 00 510 16 Due to other national banks Due to State banks and bankers . 7, 000 00 27,781 93 Notes and bills re-discounted . Bills payable 2,25666 135, 903 01 Total 135,903 01 592 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA, First National Bank, La Porte. R. S. MORRISON, Cashier. EZEKIEL MORRISON, President. Resources. Liabilities. $124, 013 20 68 52 100, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Capital stock paid in 10,000 00 Surplus fund Other undivided profits 6, 600 00 National bank notes outstanding 14,539 27 State bank notes outstanding 5, 227 44 10, 000 00 Dividends unpaid . 921 97 Individual deposits , United States deposits 342 71 Deposits of U. S. disbursing officers..' 37,961 41 3, 936 40 89, 200 00 53, 340 56 5,147 00 Due to other national banks 263* 29 Due to State banks and bankers . 1, 345 00 11,836 00 Notes and bills re-discounted. Bills payable 4,134 00 Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer.. 284, 4!38 40 Total. Total . 284, 438 40 First National Bank, Lawrenceburgh. No. 82. D. W. C. FITCH, President. HENRY FITCH, Cashier. Loans and discounts i $147,535 86 [; Capital stock paid in .i $100,000 00 Overdrafts * I 61 17 ' 1 ; 20, 000 00 U. S. bonds to secure circulation | 100, 000 00 1i Surplus fund . \ i Other undivided profits ! 7, 229 39 U. S. bonds to secure deposits j U. S. bonds on hand j .'I i Other stocks, bonds, and mortgages.. j . | National bank notes outstanding....! 90,000 00 Due from approved reserve agents...' 14, 482 55 jj State bank notes outstanding j Due from other banks and bankers...} 4, 153 r70 ! Real estate, furniture, and fixtures..., 11,302\ - - ! Dividends unpaid . Current expenses and taxes paid 3, 426 26 ! Individual deposits 79, 560 89 Premiums paid ! ! United States deposits Checks and other cash items ' 798 36 Deposits of U. S. disbursing officers. Exchanges for clearing house L ! Bills of other banks j 3,525 00 j Due to other national banks Fractional currency i 124 73 Due to State banks and bankers . Specie 879 90 j Legal tender notes I 6, 000 00 | Notes and bills re-discounted U. S. certificates of deposit j i \ Due from U. S.Treasurer i 4,500 00 j Bills payable Total | 296,790 28 j Total. 296, 790 28 First National Bank, Lebanon. J. C. DAILY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2057. $158,324 53 75, 000 00 A. O. MILLER, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 1,805 71 5,637 51 Dividends unpaid . 1,861 00 639 40 3, 600 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 1, 600 00 90 72 400 00 10, 000 00 >151, 000 00 6, 400 00 5, 499 85 32, 834 02 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable "" "3,"375"65" 262, 333 87 Total 2rj2, 333 87 REPORT OF THE COMPTROLLER OF THE CURRENCY. 593 IN mI ANA . First National Bank, Liberty. JOS. CORRINTGTON, President. r No. 1925. Resources. J. B. KENNEDY, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $119,748 27 Capital stock paid in. 395 01 60,000 00 I Surplus fund Other undivided profits 5, 655 65 1,861 48 49 03 5, 500 00 $60, 000 00 6, 000 00 2, 669 78 National bank notes outstanding State bank notes outstanding 53, 200 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 78, 032 65 1, 500 00 Due to other national banks 81 34 I Due to State banks and bankers . 9, 000 00 Notes and bills re-discounted. Bills payable 6, 605 15 *2,"7OO"6o' 206, 507 58 i Total. 206, 507 58 Union County National Bank, Liberty. J. E. MORRIS, W . M. CLARK, Cashier. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve a g e n t s . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency •Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $84, 240 14 Capital stock paid in. 85 L 00 50, 000 00 Surplus fund Other undivided profits 4, 289 44 3,952 16 4, 503 i National bank notes outstanding State bank notes outstanding 8, 858 55 1,023 32 2, 745 86 406 40 Individual deposits United States deposits Deposits of U. S. disbursing officers. 558 12 505 5, 000 00 03 00 00 "2"746"15* Total. $50, 000 00 45, 000 00 Dividends unpaid. 52, 084 31 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable Total. 161,444 33 j 6,118 42 161, 444 33 National State Bank, Lima. S. P . WILLIAMS, President. No. 1234. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . $100,197 85 4, 925 00 50, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 810 36 9, 730 03 5, 150 00 63 14 3 00 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., 775 79 4,708 00 136 00 5 00 8, 850 00 J A M E S B. H O W E , Cashier. Capital stock paid in $100, 000 00 Surplus fund Other undivided profits . 25,532 27 3,615 13 National bank notes outstanding State bank notes outstanding 43,071 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 14, 688 72 697 05 Notes and bills re-discounted . Bills payable 2, 250 00 187, 604 17 Total. 187, 604 17 594 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. Logansport National Bank, Logansport. No. 1031. T. H. WILSON, President. A. J. MURDOCH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid $252, 608 35 Capital stock paid in si, 666 66" .$175. 000 00 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tendernotes U. S. certificates of deposit Due from U. S. Treasurer 75 77 00 57 39, 616 46 12, 345 46 National bank notes outstanding 32, 735 40, 546 14,000 3,698 Surplus fund Other undivided profits 48, 600 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 3, 900 61 4, 366 00 441 11 233 50 23, 530 00 Notes and bills re-discounted Bills payable 2, 430 00 432, 490 66 Total. 156, 928 74 Total . 432, 490 66 First National Bank, Madison. No. 111. DANL. E. DOHERTY, President. $321,042 41 172 77 50, 000 00 70, 000 00 13, 400 00 46, 900 00 11,579 31 11,671 79 31, 163 14 3,021 68 8,441 31 1, 256 80 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie L egal tender notes U. S. certificates of deposit Due from U. S. Treasurer , THOS. A. POGUE, Cashier. Capital stock paid in. $250, 000 00 Surplus fund Other undivided profits. 14,520 00 16, 080 71 National bank notes outstanding State bank notes outstanding 44, 900 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 325 00 i Due to other national banks 562 76 Due to State banks and bankers 257 50 ! 23, 048 00 ! Notes and bills re-discounted ""*2~256"66": Bills payable 504 13 768 49 49, 000 00 Total 597,092 50 j Total. 192,169 80 26,213 17 2, 936 20 597, 092 50 National Branch Bank, Madison. No. 1457. NATHAN P O W E L L , President. Loans and discounts • Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits ! U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures I Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency ; Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $765,514 39 50, 000 00 D. a . P H I L L I P S , Cashier. Capital stock paid in. Surplus fund Other undivided profits $300,000 00 200,000 00 22,204 98 28,500 00 105, 404 92 30,599 41 8, 500 00 6,241 89 710 160 2.214 29, 5U9 00 75 70 00 : 1,030,605 06 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. !! Due to other national banks i Due to State banks and bankers J! [ | Notes and bills re-discounted. Bills payable 461,871 IT 476 36 1,052 55 3, 250 00 I National bank notes outstanding State bank notes outstanding Total 1,030,605 06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 595 First National Bank, Martinsvilie. No. 794. MILTON HITE, President. HARVET SATTERWHITE, Cashier., Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $204, 963 59 Capital stock paid in . $166, 000 0O 94,500 00 Surplus fund Other undivided profits 17,566 6o" National bank notes outstanding 5,364 64 State bank notes outstanding 569 03 3, 033 28 Dividends unpaid. 893 80 Individual deposits United States deposits Deposits of U. S. disbursing officers 6, 628 00 328 79 88 00 12, 000 00 57, 000 00 6, 845 06 85, 000 00 35,274 07 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bilis payable Total . Total- 350, 119 First National Bank, Michigan City. H. H. WALKER, President. No. 2101. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes . U. S. certificates of deposit Due from U. S. Treasurer Total. $114, 560 06 674 23 50, 000 00 5, 030 2, 358 6, 000 823 1, 018 287 00 96 00 19 38 15 800 00 348 02 601 50 4, 916 00 WALTER VAIL, Cashier. $75, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 7, 000 00 4, 086 56 44, 500 0O Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 57, 881 75 1,199 18 2, 250 00 189, 667 49 189, 667 49 Total. First National Bank, Monticello. Jos. C. WILSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchan? es for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2208. JNO. T. ROACH, Cashier. $62,396 87 Capital stock paid in "30" 660' 65" 7,937 58 18, 577 98 7,315 74 3,204 69 334 65 500 46 157 00 31 15 195 55 3,090 00 "I'dhh "00 135, 091 67 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $50, 000 00 5, 502 22 4, 098 641 27, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted.. Bills payable Total 47, 926 80 564 01 135,091 67 5 96 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Mount Vernon. J . M. LOCKWOOD, President. No. 3G6. J N O . B. GARDINER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits , U. S.bonds on hand Other stocks, bonds, and mortgages . $144,468 60 8LL 61 100,000 00 Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from IT. S. Treasurer 6,851 1, 455 15, 350 1,537 5o"6o" $100,000 00 Capital stock paid in. Surplus fund Other undivided profits | National bank notes outstanding State bank notes outstanding 04 74 ! 21 J Dividends unpaid 42 Individual deposits United States deposits i 155 00 Deposits of U. S. disbursing officers. 6, 100 361 405 10, 000 00 87 80 00 Due to other national banks Due to State banks and bankers. 20, 000 00 30, 010 60 89, 400 00 200 00 50,861 68 1,575 01 Notes and bills re-discounted. Bills payable 4, 500 00 Total. 292, 047 29 Total. 292 047 29 Citizens' National Bank, Muncie. No. 2234. •GEO. W. SriLKER, President. $194, 057 73 290 41 47, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation ! U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures - •Current expenses and taxes p a i d . . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 13, 293 99 7, 785 74 2, 500 00 J O H X MARSH, Cashier. $140,000 00 Capital stock paid in 2,385 00 3,801 88 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding....... Dividends unpaid . Individual deposits .^. United States deposits .*. Deposits of U. S. disbursing officers.. j 3, 210 00 204 48 651 50 15,910 00 " "2*115"00* Total. 105,131 97 Due to other national backs Due to State banks and bankers .. Notes and bills re-discounted Bills payable 293,618 85 Total. | i 293, 618 85 Muncie National Bank, Muncie. F. No. 793. T. W H I T E , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits. U. S. bonds on hand Other stocks, bonds, and mortgages I | j ; | Due from approved reserve agents... Due from other banks and bankers . . ' Real estate, furniture, and fixtures...| Current expenses and taxes paid j Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit.. Due from U. S. Treasurer.. Total. S. A. WILSON, Cashier. $367,934 22 Capital stock paid in., 9,419 74 200, 000 00 Surplus fund j O ther undivided profits 875 4, 256 14, 000 1, 554 41 63 00 76 National bank notes outstanding . . . . State bank notes outstanding $200, 000 00 100, 000 00 27,186 52 180, 000 00 Dividends unpaid . Individual deposits United States deposits 141,393 15 4, 409 63 Deposits of U. S. disbursing officers. 5, 250 00 Due to other national banks 2, 180 00 Due to State banks and bankers . 33, 435 00 9,"666"66" 652,315 44 |j 3, 735 ' Notes and bills re-discounted. Bills payable Total. 652, 315 44 REPORT OF THE COMPTROLLER OF THE CURRENCY. 597 INDIANA. First National Bank, New Albany. J. J. BROWN, President. HENRY H. COMBS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. 8. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, aud fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 75, 000 00 15,518 01 180, 000 00 74,236 85 9,501 !)70 60 11, 703 00 Due to other national banks 08 Due to State banks and bankers 00 00 Notes and bills re-discounted., Bills payable 11,000 00 727, 977 44 Total . $300, 000 C O $309,698 33 I Capital stock paid in . 1,172 98 \\ 200,000 00 |j Surplus fund Other undivided profits 150*00 10,362 91 National bank notes outstanding 117,914 71 State bank notes outstanding 33,436 81 Dividends unpaid . 21,959 65 Individual deposits United States deposits 47 97 Deposits of U. S. disbursing officers. 1,593 55 81, 629 03 Total. 727,977 44 Second National Bank, New Albany. LAURENCE BRADLEY, President. Loans and discounts Overdrafts ,. U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie r. Legal tender not JS U. S. certificates of deposit Due from U. S. Treasurer $117,142 43 $100, 000 00 Capital stock paid in . "l66,o6o 60" Surplus fund 20. 000 00 6, 606 65 Other undivided profits 4, 750 00 National bank notes outstanding 10, 055 49 State bank notes outstanding 8, 167 26 Dividends unpaid . 300 00 584 30 10, 600 00 Individual deposits United States deposits 509 51 Deposits of U. S. disbursing officers . 87, 503 00 46, 053 02 1, 225 00 Due to other national banks 159 55 Due to State banks and bankers . 1,500 00 3, 300 01) Notes and bills re-discounted Bills payable 262,793 54 ! Total. M. A. WEIR, Cashier. No. 2166. 2, 633 87 Total. 262,793 54 Merchants' National Bank, New Albany. JACOB HANGARY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. Total. No. 965. $189, 064 74 ""206"666 co' 3, 000 00 23, 993 5, 000 24,149 353 15 00 80 96 211 53 1, 285 00 145 15 5, 437 00 *9, 666 66" 461, 640 33 E. C. HANGARY, Cashier. Capital stock paid in Surplusfund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits ., Deposits of U. S. disbursing officers. $200, 000 00 | 52,158 69 2, 023 51 174, 600 00 1, 038 00 31,820 13 Due to other national banks . Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. 461,640 33 598 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. New Albany National Bank, New Albany. J. M. HAIN3, President. No. 775. H. A. SCRIBNER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits \ U. S. bonds on hand | Other stocks, bonds, and mortgages.. Due from approved reserve agents. ..j Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash Hems Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes .• U. S. certificates of deposit Due from U. S. Treasurer Total. $460, 587 61 Capital stock paid in $400, 000 C O 1, 768 33 400,000 00 Surplus fund ioo'66" Other undivided profits 511 61 National bank notes outstanding 29, 256 69 State bank notes outstanding 36, 635 82 21, 249 97 2, 629 28 80, 000 00 33, 635 93 351,650 00 Dividends unpaid 50 00 Individual deposits 1, 673 57 United States deposits Deposits of U. S. disbursing officers. 627 00 579 02 Due to other national banks 1, 780 61 Due to State banks and bankers 5,554 00 Notes and bills re-discounted Bills payable 106, 641 68 7. 718 70 1, 257 20 "18*660*66" 980, 953 Total 51 980,953 51 First National Bank, New Castle. WM, MURPHEY, President. No. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer 804. R. M. NIXON, Cashier. $140, 879 18 Capital stock paid in. 734 51 100, 000 00 Surplus fund , Other undivided profits. $150, National bank notes outstanding 2,311 55 State bank notes outstanding 2, 438 01 Dividends unpaid . 6, 494 13 1,960 07 Individual deposits United States deposits 175 00 Deposits of U. S. disbursing officers. 1,012 380 1,140 10, 000 00 24 20 00 000 00 20, 000 00 15,286 40 90, 000 00 46, 738 49 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 4, 500 00 Total Total. 272,024 89 Bundy National Bank, N e w Castle. M. L. BUNDY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes .... LJ. S. certificates of deposit Due from U. S. Treasurer Total No. $72,075 37 284 62 30, 000 00 3,109 53 510 12 2, 236 00 684 99 3, 862 45 392 47 L. E. BUNDY, Cashier. 2202. Capital stock paid in., Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding 3, 706 68 1,267 64 27, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.- 1, 578 00 • Due to other national banks 221 72 Due to State banks and bankers 3, 500 00 | Notes and bills re-discounted Bills payable 1 "356*66" * 119, 805 27 $50, 000 00 Total 24,111 33 419 62 13, 300 00 119, 805 27 REPORT OF THE COMPTROLLER OF THE CURRENCY. 599 INDIANA. First National Bank, Peru. No. 363. E. H. SHIRK, President. MILTON SHIRK, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer $548,269 74 7, 526 17 100,000 00 32, 315 62 25,670 62 14, 766 10 18, 547 88 1, 727 55 3, 494 50 2,120 00 426 44 413 00 20,000 00 Capital stock paid in 150,319 94 134,817 49 90, 060 00 Dividends unpaid . Individual deposits . . United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 779, 767 62 Total. $100,000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Total. 302, 223 54 2,401 65 779, 767 62 Citizens' National Bank, Peru. D. C. DARROW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid .. Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1879. $139, 097 55 Capital stock paid in. 2,046 13 50, 000 00 | i Surplus fund Other undivided profits 3, 000 00 National bank notes outstanding 3, 668 67 State bank notes outstanding 17,949 24 Dividends unpaid . 6, 205 48 1, 347 98 Individual deposits United States deposits 472 65 Deposits of U. S. disbursing officers - $100,000 00 6, 000 00 4, 013 79 45, 000 00 120 00 93, 042 27 440 00 Due to other national banks 633 06 1, 365 30 Due to State banks and bankers. 19, 500 00 Notes and bills re-discounted . Bills payable 2, 450 00 248,176 06 Total. M. S. ROBINSON, Cashier. Total. 248, 176 06 First National Bank of Marshall County, Plymouth. M. A. O. PACKARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2119. $76,156 94 189 35 50, 000 00 4,253 44 2,876 10 6 95 1,311 39 JAS. A. GILMORE, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers 7, 571 00 Due to other national banks 143 17 Due to State banks and bankers . 363 00 4, 000 00 Notes and bills re-discounted . Bills payable 2,250 00 149, 121 34 Total. $50, 000 00 6, 819 67 402 83 43,100 00 100 00 46,487 02 211 82 2, 000 00 149,121 34 600 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA, People's National Bank, Princeton. W M , L. EVANS, President. No. 2180. W M , L. DORSET, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie | Legal tender notes | U. S. certificates of deposit j Due from U. S. Treasurer Liabilities. $76,710 33 ! 388 28 i 50, 000 00 I 2,174 65 35,741 95 2, 165 60 6, 287 50 204 88 3,198 00 78 L0 45 00 11,100 00 2, 550 00 Capital stock paid in Surplus fund Other undivided profits National bauk notes outstanding State bank notes outstanding 44, 500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 88, 506 6t> Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable Total. 190,614 34 Total. 1, 500 00 6,137 6S 190, 644 34 First National Bank, Richmond. No. 17. J. E. REEVES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid ._ Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. J. F. REEVES, Cashier. $346,639 15 Capital stock paid in . 1, 644 64 200, 000 00 Surplus fund 3,"266"o6" 8, 29, 34, 5, 615 125 339 817 55 73 08 76 $200, 000 00 100, 000 00 27,105 62 Other undivided profits National bank notes outstanding.... State bank notes outstanding 175, 900 00 Dividends unpaid . Individual deposits . United States deposits Deposits of U. S. disbursing officers.. 3, 500 350 980 74,713 00 I Due to other national banks 80 | Due to State banks and bankers 00 | 00 j Notes and bills re-discounted. Bills payable "*9,*698*80*i 718,624 51 Total. 215,493 64 125 25 718,624 51 Second National Bank, Richmond. A. F . SCOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1988. $240, 368 59 2,706 14 150, 000 00 4,611 55 3, 252 25 18,414 25 647 87 20,261 07 2,051 51 JNO. B. DOUG AN, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 23, 938 25 2,184 76 135, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 5, 000 00 Due to other national banks 198 03 Due to State banks and bankers 900 00 20, 000 00 Notes and bills re-discounted. Bills payable , 6, 750 00 475,161 26 $200,000 00 Total. 110,367 86 670 39 3, 000 00 475, 16 L 26 REPORT OF THE COMPTROLLER OF THE CURRENCY. 60! INDIANA. Richmond National Bank, Richmond. No. 2090. CHAS. F. COFFIN, President. CHAS. H.. COFFIN, Cashier Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers., Real estate, furniture, and fixtures ., Current expenses and taxes paid ... Premiums paid , Checks and other cash items Exchanges for clearing h o u s e . . . . . . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit , Due from U. S. Treasurer , $424,917 24 1,485 02 400,000 00 Capital stock paid in $400, 000 00 48, 000 00 14,128 93 Surplus fund Other undivided profits 1,800 50 8,391 30 21,602 02 53, 532 43 6, 706 38 54, 800 00 2. b"56 53 National bank notes outstanding State bank notes outstanding 9, 1, 1, 45, Due to other national banks Dae to State banks and bankers Notes and bills re-discounted Bills payable 699 000 685 500 00 00 00 00 Dividends unpaid | 360, 000 00 , Individual deposits j United States deposits Deposits of U. S. disbursing officers. ! 1 | j 201,131 14 90 40 624 95 28, 000 00 i Total. ! 1,051,975 4:.J Total National Bank, Rising Sun. No. 1959. SAMUEL SEWARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums p aid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae from U. S. Treasurer Total. J. N. PERKINS, Cashier, $98, 970 45 Capital stock paid in. "166"666"66" Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding . . . . 3~e66"6o 4,556 51 sfeoo'oo" 888 93 7,000 00 126 95 $100, 000 00 5, 000 00 3, 562 99 88, 300 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 31, 037 75 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted 5,119 00 I Bills payable 2,'874 66' 1, 996 00 ! 145 90 | 23 00 I 227, 900 74 227, 900 74 First National Bank, Rockville. J. M. XiCHOLS, Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers . Real estate, furniture, and fixtitres.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. S. L. MCCUNE, Cashier, No. 63. President. $168, 890 53 Capital stock paid in. 260,066 66" Surplus fund..., 15, 879 50 14, 360 61 23, 443 63 32, 900 00 3, 058 75 346 67 2,354 1,099 525 27, 636 00 47 04 00 " 9,665 66' 499, 494 20 Other undivided profits National bank notes outstanding State bank notes outstanding $200, 000 00 45, 000 00 13,096 68 177, 500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 63, 897 52 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. 499, 494 20 602 REPORT OF THE COMPTROLLER OF THE CURRENCY. I N B I A N A. Rush County National Bank, Rushville. OLIVER POSEY, President. No. 1869. JOHN MEGEE, Cashier. Resources. Loans and discounts O verdr afts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. IDVLQ from approved reserve agents . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $112, 931 64 730 53 100, 000 00 3, 624 514 5, 000 1, 430 56 90 00 48 Capital stock paid in j Surplus fund Other undivided profits , National bank notes outstanding ' $100,000 00 10, 000 00 2, 732 73 89, 300 00 l State bank notes outstanding Dividends unpaid Individual deposits United States deposits 3,190 00 Deposits of U. S. disbursing officers..: 113 55 Due to other national banks 400 00 Due to State banks and bankers 3, 500 00 Notes and bills re-discounted \ 4,500 66' Bills payable 35, 274 19 1,371 26 Total 237, 306 92 237,306 92 Rushville National Bank, Rushville. G E O . C. CLARK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1456. E D W I N PAYNE, Cashier. 1163, 798 26 Capital stock paid in. 3, 398 55 50, 000 00 I Surplus fund Other undivided profits 5100, 000 00 50, 000 00 6, 784 57 45,000 00 j National bank notes outstanding 7, 450 94 State bank notes outstanding 13, 943 43 Dividends unpaid . 10, 000 00 1,228 35 Individual deposits United States deposits Deposits of U. S. disbursing officers. 64, 600 04 ! Due to other national banks i Due to State banks and bankers Notes and bills re-discounted Bills payable Total. Total. 266, 384 61 National Bank, Salem. A. J. PARKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents . . . Due from other banks and bankers... Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2173. $89, 873 96 50," 666" 66" 5, 720 00 6, 444 06 5, 981 66 877 30 82 60 293 00 184 69 JAMES BAYNES, Cashier. Capital stock paid in. i Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding \ Dividends unpaid. 5,800 00 395 67 45, 000 00 1,240 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 63.273 61 Due to other national banks Due to State banks and bankers . 4, 000 00 | Notes and bills re-discounted '2,"252*6I"| Bills payable 165,709 28 I • '... $50,000 00 Total . j ! 165, 709 28 REPORT OF THE COMPTROLLER OF THE CURRENCY. 603 INDIANA. First National Bank, Seymour. No. 1032. J. L. GARDINER, President:. G-. H. MURPHY, Cashier. Liabilities. Loans and discounts I Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.S. Treasurer $L27, 197 04 Capital stock paid in. 4, 755 98 101), 000 00 Surplus fund "io'soo'oo" Other undivided profits 5,231 36 National bank notes outstanding 19, 793 53 State bank notes outstanding 1, 9<)0 00 Dividends unpaid 1, 086 96 Individual deposits 31 25 United States deposits 400 04 Deposits of U. S. disbursing officers . 20, 000 00 18, 729 41 90,000 00 65, 041 88 2, 723 00 23 13 Due to other national banks 2,741 00 Due to State banks and bankers. 11, 483 00 Notes and bills re-discounted . Bills payable 5, 600 00 293, 771 29 Total. $100, 000 00 Total. 293, 771 29 First National Bank, Shelbyville. JOHNT. A. YOUNG, Cashier. No. 1263. JOHN ELLIOTT, President. Loans and discounts « Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $303. 965 83 Capital stock paid in . 3,014 55 50, 000 00 i Surplus fund Other undivided profits 29,172 27 17,118 04 36, 000 00 17,296 89 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . 2,714 65 Individual deposits | United States deposits 157 52 | Deposits of U. S. disbursing officers. 240,184 97 8, 700 00 ; Due to other national banks 769 00 i 620 00 j Due to State banks and bankers . io, ooo oo ; Notes and bills re-discounted. 10, 000 00 Bills payable 2, 250 00 438,481 86 Total. $100, 000 00 Total. 438,481 86 First National Bank, South Bend. No. 126. J. R. FOSTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks... Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 46, 387 48 8, 500 00 3, 063 49 10, 792 64 10,268 835 705 21, 900 00 64 00 00 "7*560'00 487, 615 78 Total. ILEx. 3- $207, 363 53 3D0 00 170, 000 00 -35 C. A. KlMBALL, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $150, 000 00 75, 000 00 11, 305 67 148, 800 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers 102, 510 11 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. 487, 615 78 604 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. South Bend National Bank, South Bend. JOHV BROWNFIELD, President. No. 173?. WILLIAM MILLER, Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. . Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $126, 521 23 1, 663 90 100, 000 00 595 16, 101 710 1,724 208 00 49 55 75 33 9,584 65 8,451 211 214 12, 000 00 66 75 00 $100, 000 00 Capital stock paid in . Surplus fund Other undivided profits 11, 793 01 1,204 60 National bank notes outstanding State bank notes outstanding 90,000 00 467 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 79, 020 76 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable ""i"498*06" 282, 485 37 282, 485 37 Total. First National Bank, Sullivan. No. 1932. T. K. SHERMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $64,768 05 1,276 20 50, 000 00 1,604 67 1.634 82 4,181 60 8 55 4,368 40 $50, 000 00 Capital stock paid in . Surplus fund Other undivided profits 16,500 00 94 72 National bank notes outstanding . . . State bank notes outstanding 45,000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 21,735 18 100 00 Due to other national banks 137 61 i Due to State banks and bankers . 3, 000 00 : Notes and bills re-discounted. Bills payable 2,"250"66"| 133, 329 90 Total. C. J. SHERMAN, Cashier. Total. 133,329 90 First National Bank, Tell City. F E R D . BECKEK, President. Loans and discounts . . . . ..... Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits No. 2201. $69, 837 73 i Capital stock paid in . . . . . . . . . . . . . . . 599 91 31, 000 00 Surplus fund Other undivided profits Other stocks, bonds and mortgages Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total G-. HUTHSTEINER, Cashier. 1,348 725 1,725 1, 012 3,551 National banknotes outstanding 81 State bank notes outstanding . . . . . . 33 ! 20 29 25 Individual deposits 16 52 $50, 000 00 860 00 1, 332 24 27, 900 00 195 oa 36, 476 01 Deposits of U. S. disbursing officers.. 1 236 00 110 21 Due to other national banks 4 205 00 Notes and bills re-discounted Bills payable 1*395 6" 6 116,763 25 Total 116, 763 25 REPORT OF THE COMPTROLLER OF THE CURRENCY. 605 I N D I A N A. First National Bank, Terre Haute. No. 47. DEM AS DEMING, President. HENRY S. DEMING, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $569, 017 92 Capital stock paid in . 3,998 46 200, 000 00 Surplus fond Other undivided profits 1,408 10 National bank notes outstanding 67, 617 47 State bank notes outstanding 40, 795 06 Dividends unpaid . 16, 000 00 5, 463 48 Individual deposits United States deposits 828 32 Deposits of U. S. disbursing officers . 7, 800 00 943 7L 1,200 00 35, 000 00 Due to other national banks. . ^ Due to State banks and bankers Notes and bills re-discounted. Bills payable..., 100, 000 00 70, 852 33 180, 000 00 1, 030 00 304, 669 93 1,194 15 1,523 9L 9,197 80 Total. 959, 270 32 Total. $300, 000 00 959, 270 32 National State Bank, Terre Haute. PRESTON HUSSEY, President. No. 1103. Loansand discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash item s Exchanges for clearing house Bills of other banks Fractional currency -Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. CHAS. M. WARREN, Cashier. $511,510 16 Capital stock paid in. 2, 952 63 400, 000 00 Surplus fund Other undivided profits „. 5,795 00 National bank notes outstanding 34, 742 13 State bank notes outstanding 56, 582 01 20, 000 00 Dividends unpaid . 2,434 65 Individual deposits United States deposits 4,634 99 Deposits of U. S. disbursing officers. 2, 973 00 Due to other national banks 670 55 Due to State banks and bankers 21,690 25 47,000 00 ;Notes a not bills re-discounted 19, 787 04 $400, 000 00 100,000 00 32,801 36 350, 240 00 233, 335 97 6, 099 62 8, 295 46 Bills payable Total 1, 130, 772 41 1,130,772 41 First National Bank, Thorntown. JOHN NIVEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1046. $132, 000 12 '""I66"66o"6o" 8, 754 41 9, 288 65 1, 527 80 J. M. PATTON, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $100,000 00 22, 000 00 5, 587 14 90, 000 00 Dividends unpaid . Individual deposits , United States deposits Deposits of U. S. disbursing officers. 54 82 2, 000 00 Due to other national banks 230 81 Due to State banks and bankers . 10, 000 00 Notes and bills re-discounted . Bills payable 51, 098 04 371 43 "*5,"266"6o" 269,056 6L Total. 269, 056 61 606 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Union City. No. 815. J . S. JOHNSON, President. R. S. FISHER, Cashier. Liabilities. Resources. $145,124 30 Capital stock paid in Loans and discounts Overdrafts U. S. bonds to secure circulation j 50, 000 00 Surplus fund U. S. bonds to secure deposits ' Other undivided profits U. S. bonds on hand i National bank notes outstanding Other stocks, bonds, and mortgages ..! Due from approved reserve agents...; 11,046 10 ; State bank notes outstanding Due from other banks and bankers... j Real estate, furniture, and fixtures -.. \ 10, 955 14 Dividends unpaid Current expenses and taxes paid j 284 64 Premiums paid : Individual deposits Checks and other cash items I 640 93 United States deposits Exchanges for clearing house S Bills of other banks I 414 00 Deposits of U. S. disbursing officers . Fractional currency 336 83 Due to other national banks Speci Due to State banks and bankers p L l tender notes ..., 26,100 00 Notes and bills re-discounted Legal U. S. certificates of deposit * " " 6 " 6o" Bills payable Due from U. S. Treasurer Total. 3?, 000 00 1, 072 20 45, 000 00 113,079 74 247, 151 94 Total. 247,151 94 $50, 000 00 First National Bank, Valparaiso. Loans and discounts i Overdrafts | U. S. bonds to secure circulation i IT. S. bonds to secure deposits j.. U. S. bonds on hand j.. Other stocks, bonds, and mortgages...;.. $S6, 244 43 4, 435 63 50, 000 00 Due from approved reserve a g e n t s . . . j Due from other banks and b a n k e r s . . . j Real estate, furniture, and fixtures...; Current expenses and taxes paid Premiums paid ,.. 1, 325 79 239 11 14,041 41 471 62 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer M. L. MCCLELLAND, Cashier. No. 105. S. S. SKINNER, President. ! !.. ; ; : ; :. j Capital stock paid in National bank notes outstanding 1, 447 25 605 291 403 5, 574 00 01 27 00 1, 250 00 38, 638 67 3, 060 71 45, 000 00 State bank notes outstanding 168 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 166, 328 52 Total.., $50, 000 00 Surplus fund Other undivided profits Total.. 29, 461 14 166,328 52 First National Bank, Vevay. U. P. SCHENCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits ! U. S. bonds on hand ; Other stocks, bonds, and mortgages... j Due from approved reserve agents...' Due from other banks and bankers .. j Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items -. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit... Due from U. S. Treasurer Total. No. 346. WILLIAM HALL, Cashier. $178,299 54 |l Capital stock paid in . 120, 000 00 '• Surplus fund I Other undivided profits [ National bank notes outstanding 22, 470 81 I State bank notes outstanding 11, 583 36 Dividends unpaid . 6, 720 00 1, 765 5f Individual deposits United States deposits Deposits of U. S. disbursing officers. $150,000 00 25, 500 00 11, 063 89 108,000 00 90 00 65, 065 51 1, 910 00 ; Due to other national banks 82 13 ! Due to State banks and bankers . 460 00 j 10,028 00 j Notes and bills re-discounted.. Bills payable 6, 400 00 i 359, 719 40 Total . 359,719 40 REPORT OP THE COMPTROLLER OP THE CURRENCY. 607 INDIANA. First National Bank, Vincennes. JNO. No. 1873. H. ROBB, President. J. L. BAYARD, Cashier. Resources. Liabilities. $197,983 51 Capital stock paid in . ""165" 655 "56" Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Surplus fund Other undivided profits 16,000 00 3,732 62 National bank notes outstanding State bank notes outstanding 90, 000 00 4, 500 00 25, 620 12 17 51 11,000 00 1, 050 00 500 00 47 86 1,200 00 7, 300 00 $100, 000 00 250 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 140,914 55 Due to other national banks Due to State banks and bankers . . . . 640 64 2,18L 39 Notes and bills re-discounted. Bills payable 4, 500 00 353, 719 00 Total. Total. 353,719 00 Vincennes National Bank, Vincennes. W. J . WlLLlAxMS, President. No. 1451. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid WILSONT M. TYLER, Cashier. $241, 393 98 Capital stock paid in. *"165"6oo bo' Surplus fund Other undivided profits $100, 000 00 70, 000 00 21, 999 39 1, 826 44 National bank notes outstanding 5, 388 08 State bank notes outstanding 1,554 54 17, 500 00 Dividends unpaid. Checks and other cash items.., Exchanges for clearing house., Bills of other banks , Fractional currency Specie , Legal tender notes , X S. certificates of deposit L Due from U. S. Treasurer , 61 75 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 967 00 Due to other national banks 50 00 Due to State banks and bankers 3, 680 46 20, 000 00 { Notes and bills re-discounted. 90, 000 00 115,381 41 992 25 549 20 Bills payable 4, 500 00 Total. ~398, 922 25 Total 398, 922 25 First National Bank, Wabash. J . S. DAUGHERTY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages F. W. MORSE, Cashier. ! Due from approved reserve a g e n t s . . . Due from other banks and b a n k e r s . . . Real estate, furniture, and fixtures ...[ Current expenses and taxes paid ; Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total ! \ $197,178 72 1,369 82 ; 54, 000 00 j ; j j 15,720 8, 853 14, 819 2,195 424 425 243 6,447 2, 430 I Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding 27 j State bank notes outstanding 56 j Dividends unpaid . 99 ! 81 j Individual deposits j| United States deposits J Deposits of U. S. disbursing officers. I 00 || Due to other national banks 66 \ i Due to State banks and bankers. 04 j| 00 |;Notes and bills re-discounted. || Bills payable , 00 1 1 304,107 87 Total. $75,000 00 37, 500 00 5, 272 58 48,600 00 50 00 137,185 29 500 00 304, 107 87 608 REPORT OF THE COMPTROLLER OF THE CURRENCY. IND I AN A. First National Bank, Warsaw. No. 83. S. H. CHIPMA.V, President. W. C. GRAVES, Cashier. Resources. Liabilities. Loans and discounts j Overdrafts U. S. bonds to secure circulation ; U. S. bonds to secure deposits ; U. S.bonds on hand , Other stocks, bonds, and mortgages.. j Due from approved reserve agents. . J Due from other banks and bankers ,.\ Real estate,furniture, and fixtures...] Current expenses and taxes paid \ Premiums paid : Checks and other cash items Exchanges for clearing house I Bills of other banks • Fractional currency ' Specie : Legal tender notes ; IJ. S. certificates of deposit Due from U. S. Treasurer Total ! $67, 172 59 Capital stock paid in., 1,430 06 56, 000 00 Surplus fund Other undivided profits 350 00 3, 687 50 National bank notes outstanding 6, 798 62 State bank notes outstanding 13, 106 25 Dividends unpaid . 11, 644 07 93 Individual deposits United States deposits 7, 262 78 Deposits of U. S. disbursing officers. , 6, 001 00 Due to other national banks 348 20 Due to State banks and bankers . 1,224 21 12.513 00 Notes and bills re-discounted Bills payable 2,425 00 $50,000 00 189,964 26 189, 964 26 Total . 15, 000 00 205 52 48, 500 00 76,258 74 Washington National Bank, Washington. No. 2043. M. L. BRETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation | U. S. bonds to secure deposits ' U. S. bonds on hand | Other stocks, bonds, and mortgages.. \ Due from approved reserve agents.. J Due from other banks and bankers ..! Real estate, furniture, and fixtures. ..j Current expenses and taxes paid | Premiums paid | Checks and other cash items j Exchanges for clearing house ' Bills of other banks i Fractional currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer , R. N. READ, Cashier. $107,107 64 : Capital stock paid in. $50, 000 00 50, 000 00 Surplus fund , Other undivided profits , | National bank notes outstanding 12, 284 70 S State bank notes outstanding 5, 236 52 Dividends unpaid . 1, 500 00 1, 405 30 Individual deposits 6, 275 00 United States deposits 79 04 Deposits of U. S. disbursing officers. 2, 4U0 00 Due to other national banks 433 97 Due to State banks and bankers . 12, 000 00 Notes and bills re-discounted. Bills payable "" 2,250 65' 200,972 17 Total. 6, 500 00 4, 349 87 45, 000 00 94,723 41 398 89 200,972 17 First National Bank, Winchester. ASAHEL STONE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes p a i d . . . . . Premiums paid Checks and other cash items . Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit... Due from U. S. Treasurer Total. No. 889. JOS. PUCKETT, Cashier. 5129,301 39 Capital stock paid in . $60, 000 00 Surplus fund Other undivided profits. 30, 000 00 5, 378 93 National bank notes outstanding.... 1,670 54 State bank notes outstanding 671 63 1, 470 00 Dividends unpaid. 1, 503 28 Individual deposits United States deposits Deposits of U. S. disbursing officers. 54, 000 00 60, 000 00 332 00 146 10 26 83 5, 805 00 54, 247 84 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2,700 00 ~203, 626 77 Total. 203, 626 77 REPORT OF THE COMPTROLLER OF THE CURRENCY. 609 ILLIIVOIS. First National Bank, Alton. No. 1445. W. H. MITCHELL, President. D. D. RYRIE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $235, 339 30 Capital stock paid in . 476 27 100, 000 00 Surplus fund 4o6"oo" Other undivided profits 15, 919 00 National bank notes outstanding State bank notes outstanding 71,488 71 4, 975 57 18, 124 67 1,884 70 7, 860 30 22, 000 00 8, 013 49 89,100 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers . 8,874 00 Due to other national banks 300 10 Due to State banks and bankers 5, 335 29 34,543 00 Notes and bills re-discounted. Bills payable 4, 500 00 510,020 91 Total. $100, 000 00 278, 336 31 12, 571 11 510, 020 91 Total. Alton National Bank, Alton. C. A. CALDWELL, Cashier. No. 1428. EBENEZER MARSH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $196,101 69 615 26 52, 000 00 50, 000 00 2, 800 00 13,000 00 53,899 67 31,252 13 21,102 09 $100,000 00 Capital stock paid in. Surplus fund Other undivided profits. 69,000 00 9, 732 40 National bank notes outstanding State banknotes outstanding 46, 800 00 Dividends unpaid. Individual deposits United States deposits i, 221 11 Deposits of U. S. disbursing officers. 8, 036 00 Due to other national banks 594 05 Due to State banks and bankers 8,119 93 75, 082 00 Notes and bills re-discounted . Bills payable 3, 775 60 524,599 53 Total. 261, 931 07 28, 969 71 8,166 35 524, 599 53 First National Bank, Arcola. A. L. CLARKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits.... U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer .. Total No. 2204. GEO. L. WICKS, Cashier. $105, 482 85 Capital stock paid in. 336 92 30, 000 00 Surplus fund Other undivided profits National bank notes outstanding . 7, 860 27 State bank notes outstanding 1, 981 98 6, 093 25 Dividends unpaid. 1,275 51 3, 450 00 Individual deposits United States deposits 940 84 Deposits of U. S. disbursing officers. 2, 256 110 575 7, 200 00 Due to other national banks 37 Due to State banks and bankers . 00 00 Notes and bills re-discounted. Bills payable 1, 350 00 168,912 99 Total. $50, 000 00 3, 000 00 4,406 43 27, 000 00 84,442 19 64 37 168,912 99 610 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 L L I \ OI S . First National Bank, Atlanta. No. 2283. JOHN A. HOBLIT, President. FRANK HOBLIT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $94,990 09 Capital stock paid in124 69 30, 000 00 Surplus fund Other undivided profits National bank notes outstanding 7, 823 97 State bank notes outstanding 5, 000 00 Dividends unpaid. 1,1«3 01 Individual deposits United States deposits 184 03 Deposits of U. S. disbursing officers. 5, 000 0Q 4, 048 51 27, 000 00 68, 071 24 2,150 00 Due to other national banks 63 96 Due to State banks and bankers . 250 00 11, 000 00 Notes and bills re-discounted Bills payable "'i'ihb'bb' 154,119 75 Total. $50, 000 00 Total . 154,119 75 First National Bank, Aurora. No. 38. J. VAN NORTWICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. E. A. BRADLEY, Cashier. $219, 466 04 Capital stock paid in. 500 00 50, 000 00 Surplus fund Other undivided profits 8, 800 00 National bank notes outstanding 16, 351 32 State bank notes outstanding Dividends unpaid . 3,139 35 Individual deposits United States deposits Deposits of U. S. disbursing officers. $100, 000 00 70,000 00 11, 028 52 45, 000 00 90, 590 58 2,940 00 Due to other national banks 372 39 Due to State banks and bankers . 800 00 12, 000 00 Notes and bills re-discounted. Bills payable 2, 250 00 Total. 316,619 10 316,619 10 Second National Bank, Aurora. ALONZO GEORGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and baakers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1909. DANL. VOLINTINE, Cashier. $193,167 40 Capital stock paid in . 372 36 50, 000 00 Surplus fund Other undivided profits 1,364 00 14,017 64 14, 372 87 8, 825 27 1,460 17 3,175 50 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. $100, 000 00 21,000 00 4, 603 21 44, 000 00 1, 265 00 133, 649 64 1, 376 00 Due to other national banks 1,136 64 Due to State banks and bankers. 8, 000 00 Notes and bills re-discounted. Bills payable "% 250 "65' 304, 517 85 Total. 304, 517 85 REPORT OF THE COMPTROLLER OF THE CURRENCY. 611 ILLINOIS. Union National Bank, Aurora. T. B. COULTER, Cashier. No. 1792. H. C. PADDOCK, President. Resources. Liabilities. $326, 941 58 501 99 50, 000 00 Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits Other stocks bonds and mortgages Due from approved reserve agents. . Due from other banks and b a n k e r s . . . Real estate, furniture, and fixtures... Current expenses and taxes paid Checks and other cash items Exchanges for clearing house Bills of other b a n k s . . . . . . . . . .... Fractional currency Specie Legal tender notes . . . . ... ..... 22,140 83 Capital stock paid in $1'25, 000 00 Surplus fund .. Other undivided profits 32, 500 00 3,721 30 National bank notes outstanding State bank notes outstanding 45, 000 00 1,853 07 i 221 16 Individual deposits United States deposits 55 44 Deposits of U. S disbursing officers 2, 929 690 1, 062 27, 000 00 00 40 00 229, 424 22 Due to State banks and bankers 2,250 00 Due from U. S. Treasurer 435, 645 52 Total Total 435, «45 52 First National Bank, Batavia. WILLIAM COFFIN, President. WM. K. COFFIN, Cashier. No. 339. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve a g e n t s . . Due from other banks and b a n k e r s . . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency ......... Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer .. $108,391 38 Capital stock paid in . 3, 657 43 74, 500 00 Surplus fund 8, 831 07 5,849 96 Other undivided profits 1,680 00 National bank notes outstanding 7, 910 86 State bank notes outstanding 1, 000 00 Dividends unpaid . 67, 000 00 2, 065 64 Individual deposits United States deposits !, 748 61 Deposits of U. S. disbursing officers. 57, 524 55 978 00 168 06 50 00 2,700 00 3, 355 60 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 209, 205 58 Total. $70, 000 00 209, 205 58 Total. First National Bank, Belleville. JULIUS KOHL, President. No. 2154. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. >149, 287 19 70 35 50, 000 00 Due from approved reserve a g e n t s . . Due from other banks and b a n k e r s . . Real estate, furniture, and fixtures. , Current expenses and taxes paid Premiums paid 5,721 4, 560 2, 884 1, 465 6, 645 58 72 00 52 42 4,083 1, 549 737 19,100 00 65 50 00 Checks and other cash items Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. 18, 500 00 266, 854 93 CASIMIR AXDEL, Cashier. Capital stock paid in , Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . $100, 000 00 4,886 17 3, 933 22 45, 000 00 312 00 112, 673 54 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total 266,854 93 €12 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Belvidere. J. S. TERWILLIGER, Cashier. No. 1097. W M . S. DUNTON, Preside?it. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $125, 336 06 618 96 100, 000 00 750 00 9, 000 00 10, 077 64 8, 019 33 7, 665 10 80 $100, 000 00 Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding 21, 600 00 2,662 29 90, 000 00 State bank notes outstanding 10 00 Dividends unpaid Individual deposits 101 65 United States deposits 856 00 Deposits of U. S. disbursing officers . 1, 394 69 Due to other national banks 649 00 Due to State banks and bankers 12, 047 00 Notes and bills re-discounted Bills payable Total. 66,195 59 598*35 281,066 23 Total.. National Bank, Bloomington. D. M. FUNK, President. E D W A R D T H O R P , Cashier. No. 819. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash item8 Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $3-21, 807 55 Capital stock paid in. 3, 420 52 50, 000 00 Surplus fund Other undivided profits.. 1, 000 00 National bank notes outstanding 105, 282 15 State bank notes outstanding 19, 647 03 23, 153 94 Dividends unpaid . 842 85 Individual deposits United States deposits 2, 754 21 Deposits of U. S. disbursing officers . 289 00 370 38 2. 635 00 79,150 00 173, 000 00 3,130 23 45, 000 00 248, 472 40 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 4, 250 00 Total. 619, 602 63 | Total . $150,000 00 619, 602 63 Miners' National Bank, Braidwood. D. U. COBB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1964. $52, 440 33 ""5O,"666"65" 11, 642 95 1,714 00 2,413 73 667 01 5, 997 52 35 74 1, 667 00 313 35 164 65 2, 500 00 WM. H. ODELL, Cashier. Capital stock paid in,, Surplus fund O ther undivided profits National bank notes outstanding State bank notes outstanding $50,000 00 10, 535 84 2, 119 80 44, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 25,150 64 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 2, 250 00 131, 806 28 Total. 131, 806 28 REPORT OF THE COMPTROLLER OF THE CURRENCY. 613 ILLINOIS. Farmers' National Bank, Bushnell. No. 1791. CHARLES WILSON, President. J. B. CUMMINGS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and moitgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $83, 649 36 Capital stock paid in. 2,134 06 50, 000 00 Surplus fund Other undivided profits . National bank notes outstanding 5, 523,19 State bank notes outstanding 24,762 98 Dividends unpaid . 6,009 12 1, 172 20 Individual deposits 1, 000 00 United States deposits 2,139 29 Deposits of U. S. disbursing officers. 4, 193 128 732 10, 900 00 Due to other national banks 78 Due to State banks and bankers 00 00 Notes and bills re-discounted. Bills payable 3, 150 00 Total. 195, 493 98 $50, 000 00 6,000 00 7, 836 88 45,000 00 76,157 10 10, 500 00 195, 493 i City National Bank, Cairo. No. 785. W. P. HALLIDAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. A. B. SAFFORD, Cashier. $167, 439 44 Capital stock paid in . """5o,"666"66" Surplus fund Other undivided profits 25, 000 00 49, 355 34 National bank notes outstanding State bank notes outstanding 45, 000 00 23^ 812 50 145,309 22, 496 25, 000 3, 878 14 92 00 42 4,994 22 $100, 000 00 Dividends unpaid . Individual deposits , United States deposits Deposits of U. S. disbursing officers 3, 660 00 Due to other national banks 8,500 15 Due to State banks and bankers 7, 957 23 25, 000 00 Notes and bills re-discounted. Bills payable 7, 250 00 Total. 531, 798 02 237, 997 66 5,044 84 69,400 18 531,798 02 First National Bank, Canton. No. 415. D. W. VlTTUM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer .. Total 1L09, 098 42 641 86 61, 500 00 i66"6o" 950 13, 008 200 6, 100 1, 359 8 00 57 75 00 87 89 535 45 13,263 96 480 28, 723 00 19 50 00 C. T. HEALD, Cashier. Capital stock paid in. $75, 000 00 Surplus fund Other undivided profits 30, 000 00 6, 337 93 National bank notes outstanding State bank notes outstanding 55, 345 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 72, 266 07 Due to other national banks.... Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2,882 50 238, 949 0 J Total. 238, 949 00 614 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Carlinville. No. 2042. P. C. HUGGINS, President. M. R. FLINT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and ether cash items . . Exchanges for clearing house. Bills of other banks Fractional currency Specie — Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $109, 953 93 896 00 60, 000 00 1,179 24 2, 701 30 7, 536 67 993 77 7,348 10 896 45 2, 764 68 96 7, 585 00 40 45 00 $60, 000 00 Capital stock paid in , Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 2, 801 21 2, 675 91 50, 500 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. ;0, 793 02 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 7,954 17 2, 700 00 Total. 204,724 31 204,724 31 Hancock County National Bank, Carthage. H. G. FERRIS, President. No. 1167. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items. Exchanges for clearing house Bills of other banks. Fractional currency Specie Legal tender notes U. S. certificates of deposit... Due from U. S. Treasurer Total $110, 313 95 14 10 75, 000 00 750 00 13, 800 13, 527 18,273 1,708 2, 833 2, 07(J 02 05 73 22 63 93 8, 573 00 11 85 3, 038 62 16, 500 00 W. H. GRIFFITH, Cashier. Capital stock paid in. $75,000 00 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid . 16, 000 00 10, 648 92 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 90, 756 92 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 66, 870 00 324 26 10,190 00 3, 375 00 269, 790 10 Total. 269,790 10 First National Bank, Centralia. E. S. CONDIT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1001. $84,711 308 80, 000 75, 000 47 06 00 00 16,971 24, 684 15. 868 16, 530 1,860 61 14 31 98 43 414 17 3,100 51 428 17, 482 00 65 6S 00 FERDINAND KOHL, Cashier. Capital stock paid in. Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding $80, 000 00 23, 500 0Q 7,237 07 72, 000 00 Dividends unpaid . Individual deposits United gftates deposits Deposits of U. S. disbursing officers.- 119,612 52 1,868 14 37,393 77 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 4, 200 00 341,611 50 Total. 341,611 50 REPORT OF THE COMPTROLLER OF THE CURRENCY. 615 First National Bank, Champaign. H. H. HARRIS, Cashier. No. 913. B. F. HARRIS, President. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes . U. S. certificates of deposit. Due fromU. S. Treasurer.. $115,094 53 1,223 67 50, 000 00 15, 583 65 22,717 16 23, 630 87 2,371 57 1,814 91 23,183 00 312 44 2,331 65 30, 000 00 $65, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 66, 007 58 4, 042 32 45, 000 00 Dividends unpaid» Individual deposits United States deposits Deposits of U. S. disbursing officers . 115, 473 i Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 2, 250 00 Total. 295, 523 50 Total. 295, 523 50 First National Bank, Charleston. No. 763. T. G-. CHAMBERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers. Real estate, furniture, and fixtures - -. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency . Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $256,551 57 623 62 150, 000 00 1, 000 00 5, 016 92 3, 110 01 7,934 03 2,110 35 7, 880 14 1, 596 00 264 49 522 80 13, 664 00 W. E. McCRORY, Cashier. Capital stock paid in. $150, 000 00 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 30, 000 00 17,216 17 135, 000 00 600 00 124,573 09 1,157 41 77 26 Notes and bills re-discounted. Bills payable 8, 350 00 453, 623 93 Total. 458,623 93 Second National Bank, Charleston. I. H. JOHXSTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Diie from U. S. Treasurer Total. No. 1851. $185,723 44 403 77 100,000 00 5,134 5, 962 7, 000 2, 050 75 37 00 25 1,033 63 603 00 285 35 213 75 13, 752 00 CHARLES CLARY, Cashier. Capital stock paid in.. $100, 000 00 Surplus fund Other undivided profits 50, 000 00 6,055 11 National bank notes outstanding... State bank notes outstanding 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable , 79, 267 90 439 30 3, 600 00 325, 762 31 Total. 325,762 31 616 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Chicago. No. 8. S. M. NICKERSON, President. L. J. GAGE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $3, 878, 554 36 24,782 40 100, 000 00 418"206"66' 517,686 29 393,137 1L 317, 693 73 Capital stock paid in . $1, 000, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding . Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 2,619 86 427,683 86 75. 500 00 Due to other national banks 789 50 Due to State banks and bankers 48, 232 f?9 822, 000 00 Notes and bills re-discounted. Bills payable 18, 500 00 7, 045, 379 i 750,000 00 131, 698 4890, 000 00! 440 00 2, 806, 355 78 1. 342, 950 59 923,934 95 7, 045, 379 80 Total. Third National Bank, Chicago. J. IRVING PEARCE, President. No. 236. Loans and discounts Overdrafts U. S. bonds to secure circulation XL S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers , Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie i Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $2, 250, 773 78 9, 043 47 667,000 00 61,334 00 232, Ili5 277,112 1-28,732 24, 397 30 79 47 60 2, 370 67 17-2, 602 82 25, 570 00 808 57 4,918 00 315, 000 00 " " 3 0 * 6 6 0 " 66" Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 4,201,789 47 Total. L. V. PARSONS, Cashier. $750, 000 00 200, 000 00 66, 3G3 16 593,430 00 1, 830 00 1, 498, 776 22 768, 866 86 322, 583 23 4, 201, 789 47 Total. Fifth National Bank, Chicago. NELSON LUDINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total , No. 320. 11,482,575 06 6 25 50, 000 00 315, 686 71 153, 684 36 10, 628 25 6, 784 31 129, 548 54 72, 675 00 824 52 1,254 23 200, 000 00 150, 000 00 2, 250 00 2, 575, 917 23 ISAAC Gr. LOMBARD, Cashier. Capital stock paid in. Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid . $500, 000 00500, 000 00 30,298 32 45, 000 00 80 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 817,464 02 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 335,738 49* 347,336 40 Total 2,575,917 23 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 617 ILLINOIS. Central National Bank, Chicago. W. F. ENDICOTT, Preside?it. No. 2047. J. MCK. SANGER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $291,790 81 5, 679 67 50, 000 00 30, 023 82 13, 131 71 5, 465 73 10, 386 14 8, 562 50 1, 228 03 31,451 31 11,254 00 731 83 1,000 00 33, 000 00 $200, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 10, 000 00 14, 730 53 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 208, 914 66 17, 310 36 2, 250 00 Total. 495, 955 55 495, 955 55 Commercial National Bank, Chicago. No. 713. H. F. EAMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. 51,611,312 81 12,176 72 50, 000 00 80, 000 00 GEO. L. OTIS, Cashier.. $500, 000 00 Capital stock paid in. Surplus fund O ther undivided profits National bank notes outstanding State bank notes outstanding 497, 530 94 198,393 89 Dividends unpaid . 6, 300 00 20,149 47 Individual deposits United States deposits 811 70 Deposits of U. S. disbursing officers. 97, 488 72 5, 374 00 Due to other national banks 2, 325 00 Due to State banks and bankers 2, 629 30 175, 000 00 Notes and bills re-discounted.. Bills payable 2, 250 00 Total. 2,761,742 55 400, 000 00 35, 371 25 45, 000 00 230 00 1,231, 570 94 263, 439 00 286,131 36 2, 76 L, 742 55 Corn Exchange National Bank, Chicago. S. A. KENT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 1709. >, 200, 036 72 50, 000 00 103, 968 18 23, 442 48 332 00 68,291 40 34,000 00 65 13 1, 600 00 260, 000 00 ORSON SMITH, Cashier. Capital stock paid in . $500, 000 00= Surplus fund Other undivided profits 850, 000 00 38, 475 45 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 1,303,481 75 7, 028 71 2, 250 00 2,743,985 91 Total 2, 743, 985 91 618 REPORT OF THE COMPTROLLER OF THE CURRENCY. German National Bank, Chicago. HENRY G-REENEBAUM, President. No. 1734. HERMAN SCHAFFNER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. $1, 395, 032 88 Capital stock paid in . 13, 319 57 70, 000 00 Surplus fund Other undivided profits 2, 880 00 National bank notes outstanding 135,816 36 State banknotes outstanding 121,862 33 Dividends unpaid 3-2, 449 70 10, 909 32 Individual deposits United States deposits 8, 257 65 Deposits of U. S. disbursing officers 64, 697 48 24, 782 00 Due to other national banks 1, 360 65 Due to State banks and bankers 490 00 140, 922 00 Notes and bills re-discounted. Bills payable 3,150 00 Total 2, 025, 929 94 $500, 000 00 125, 000 00 26, 239 89 63, 000 00 2, 370 00 805, 879 73 182, 732 23 320, 708 09 2, 025, 929 94 Home National Bank, Chicago. A. M. BILLINGS, President. No. 2048. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit.... Due from U. S. Treasurer Total. GEO. W. FULLER, Cashier. ,359, 038 50 Capital stock paid in . 147 10 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $250, 000 00 50,000 00 8,681 56 36,500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. 695,874 60 343, 370 95 101 55 220 54 7,000 00 695,874 60 Merchants' National Bank, Chicago. C. B. BLAIR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills cf other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. JOHN D E KOVEN, Cashier. No. 642. $2, 322, 780 63 499 45 300, 000 00 Capital stock paid in . $500, 000 00 Surplus fund Other undivided profits 825, 000 00 20,328 60 National bank notes outstanding 1,041,996 65 State bank notes outstanding 365 617 18 Dividends unpaid . 1,263 10 177,548 17 166, 742 00 700 42 9,869 30 200, 000 00 570,000 00 21, 500 00 5, 178, 516 90 Individual deposits United States deposits Deposits of U. S. disbursing officers . I Due to other national banks | Due to State banks and bankers 269, 920 00 1,391.050 24 1, 549, 041 23 623,176 83 j Notes and bills re-discounted. | Bills payable Total 5,178,516 90 REPORT OF THE COMPTROLLER OF THE CURRENCY. 619 ILL1NOI S. National Bank of Commerce, Chicago. P. C. MAYNARD, President. EDWIN MAYNARD, Cashier. No. 1693. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $370, 610 31 Capital stock paid in . 2,812 57 50, 000 00 Surplus fund Other undivided profits . 3, 010 50 National bank notes outstanding 33,871 06 State bank notes outstanding 50,712 08 Dividends unpaid . 39,010 07 7, 766 07 Individual deposits 6,000 00 United States deposits 5, 434 27 Deposits of U. S. disbursing officers . 59, 656 42 3,565 00 Due to other national banks 70 00 Due to State banks and bankers 695 13 Notes and bills re-discounted . 78,600 00 Bills payable $250, 000 00 32, 500 00 8, 994 01 45, 000 00 240 00 201, 747 40 65, 798 34 109, 783 73 ""2,256 00' Total. 714,063 48 Total. 714,063 48 National Bank of Illinois, Chicago. GEO. SCHNEIDER, President. No. 1867. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $1,465,189 64 3, 520 70 50, 000 00 Capital stock paid in $500, 000 00 Surplus fund. Other undivided profits 75, 000 00 29, 089 83 23, 000 00 National bank notes outstanding 303, 94 i 72 State bank notes outstanding 275, 952 65 Dividends unpaid 32, 64 L 41 26,113 20 Individual deposits United States deposits 29,457 73 Deposits of U. S. disbursing officers. 92, 742 80 11,800 00 Due to other national banks 129 88 Due to State banks and bankers 30,000 00 Notes and bills re-discounted . 180, 000 00 Bills payable 4,250 00 45, 000 00 2, 529, 739 73 Total HENRY H. NASH, Cashier. Total 236 00 1,701,956 85' 59,818 43 118,638 62 2, 529, 739 73 North Western National Bank, Chicago. GEORGE STURGES, President. No. 508. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents. -Due from other banks and bankers... Real estate, furniture, and fixtures.-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 584,139 81 18 68 200, 000 00 3oo, 666 66 131,912 89 54,415 75 1,691 00 104,305 99 41,490 00 600 74 39,017 35 225, 000 00 9," 666" 65" 2.691,592 19 Total. H. Ex. 3- $1, -36 J A S . D. STURGES, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding... State bank notes outstanding $200, 000 00 1, 000, 000 00 16, 398 20 180, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. 1,060,384 10 103, 947 40 130, 862 49 2,691,592 19 620 REPORT OP THE COMPTROLLER OF THE CURRENCY. ILLINOIS, Traders' National Bank, Chicago. No. 966. J. O. RUTTKR, President. T. P. TALLMAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation | U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $503, 877 53 Capital stock paid in . 10, 130 80 50, 000 00 Surplus fund Other undivided profits . National bank notes outstanding M, 556 37 State bank notes outstanding 21,781 68 Dividends unpaid. 33, 000 18 13,971 66 Individual deposits United States deposits 2,836 00 Deposits of U. S. disbursing officers. 38, 260 72 1-1,467 00 2, 340 50 96, 435 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 837,907 44 Total . 5200, 000 00 40, 000 00 45, 000 00 363, 479 22 49, 775 31 111,652 91 28, 000 00 837, 907 44 Union National Bank, Chicago. W. F. COOLBAUGH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer GEO. A. IVES, Cashier. i.3,204,584 19 Capital stock paid in 1. 265 76 50, 000 00 Surplus fund Other undivided profits 300, 000 00 95, 783 21 26, 298 28 National bank notes outstanding 657, 290 27 State bank notes outstanding 360,461 47 327,859 02 Dividends unpaid 26,384 15 Individual deposits 707 00 United States deposits 370, 950 66 Deposits of U. S. disbursing officers.. 116, 000 00 1, 652 76 Due to other national banks 19, 753 06 Due to State banks and bankers 900, 000 00 Notes and bills re-discounted 40, 000 00 2,250 00 Bills payable 6, 105, 459 62 Total. 11,000,000 00 Total 45, 000 00 2,286,287 85 1,093,740 06 1,284,648 50 6, 105, 459 62 Union Stock Yard National Bank, Chicago. WM. F. TUCKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1678. E. S. STICKNEY, Cashier. $393, 470 16 Capital stock paid in . 9, 832 07 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding 185, 942 75 State bank notes outstanding 95,060 11 Dividends unpaid . 11,006 11 Individual deposits United States deposits 2, 035 34 Deposits of U. S. disbursing officei'S. 24, 323 00 Due to other national banks 843 46 Due to State banks and bankers 4,008 33 55, 0U0 00 Notes and bills re-discounted. Bills payable. $200,000 00 75, 000 00 39, 502 47 89, 990 00 447, 504 75 20, 278 92 13,745 19 4,500 00 886,021 33 886,021 33 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 621 ILLINOIS. De Witt County National Bank, Clinton. No. 1926. J . T. SNELL, President. JOS. J. KELLY, Cashier. Liabilities. Resources. Loans and discounts j Overdrafts j U. S. bonds to secure circulation i U. S. bonds to secure deposits I. U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents - - Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $110,032 97 Capital stock paid in 2,257 56 90, 000 00 Surplus fund Other undivided profits National bank notes outstanding 1,284 59 State bank notes outstanding 7, 838 47 Dividends unpaid . 24. L47 03 '477 99 9,260 16 I Individual deposits United States deposits 16,584 16 Deposits of U. S. disbursing officers. $90,000 00 31,786 78 3,192 89 80, 200 00 74,933 26 "3f"66o"oo":| Due to other national banks 180 00 : 11,000 00 "4'bhb 60" Due to State banks and bankers Notes and bills re-discounted. Bills payable 280, 112 93 \ Total. 280, 112 93 First National Bank, Danville. No. 113. J. G-. ENGLISH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $489,894 88 Capital stock paid in. 6, 435 87 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding 97, 833 64 State banknotes outstanding 27, 022 02 Dividends unpaid.. 36, 173 81 2, 691 79 Individual deposits United States deposits. 6,148 65 | Deposits of U. S. disbursing officers. 4, 783 297 3, 065 16, 500 20, 000 2, 750 00 67 39 00 00 60 $150,000 00 38, 000 00 6, 379 88 45, 000 00 524,217 44 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 763, 597 32 Total.. E. H. PALMER, Cashier. Total. . 763,597 .ri Decatur National Bank, Decatur. A T. HILL, Pi&sident. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . . U. S. bonds to secure deposits 1 U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid . . . . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie .«. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. No. 2121. $113,477 51 214 91 50, 000 00 D. S. SHELLABARGER, Fice-Prest. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 6,518 89 16,253 73 L31L 15 7, 056 25 953 56 5, 889 00 101 80 125 00 15, 000 00 $100, 000 00 6, 200 03 3, 683 98 45, 000 00 Dividends unpaid.. Individual deposits United States deposits Deposits of U. S. disbursing officers. 64, 267 82 Dae to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250 00 219,151 80 Total. 219,151 80 622 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Dixon National Bank, Dixon. No. 1861. AVERY JOHNSON, President. F. 1 j Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds and mortgages Due from approved reserve agents . . . Due from other banks and b a n k e r s . . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes $165, 165 16 30 50, 000 00 5, 816 59 2 520 10 038 98 2 816 0*> 814 50 1 038 7L 24 b 6 500 00 66 89 00 A. TRUMAN, Cashier. Liabilities. Capital stock paid in $100,000 00 Surplius fund Other undivided profits 14, 000 00 4,718 02 National bank notes outstanding State bank notes outstanding 43,100 00 50 00 Individual deposits United States deposits . , Deposits of TJ S disbursing officers Due to other national banks Due to State banks and bankers 73,061 17 219 01 4, 500 00 Notes and bills re-discounted 250 00 Due from U. S. Treasurer Total 239, 651 20 Total . . . . 239, 651 20 Lee County National Bank, Dixon. Jos. C R A W F O R D , President. No. 902. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. SAML. C. E E L L S , Cashier. $154, 025 39 Capital stock paid in.. 55 83 ! 100, 000 00 Surplus fund Other undivided profits i"600*00" 2, 500 00 National bank notes outstanding State bank notes outstanding 26, 562 76 280 89 2, 428 00 Dividends unpaid . 2, 333 98 Individual deposits 247 54 United States deposits 1, 067 80 Deposits of U. S. disbursing officers. $100,000 00 20, 000 00 19, 105 60 89, 100 00 79, 706 30 2, 325 00 Due to other national banks 365 21 Due to State banks and bankers . 619 50 9, 000 00 Notes and bills re-discounted. Bills payable. 4, 500 00 307,911 90 307,911 90 First National Bank, Elgin. J . C. BOSWORTH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer Total. No. 1365. $171,550 49 4,120 02 50, 000 00 25, 775 27 3,247 10 14,222 09 5,167 50 9, 083 40 879 300 72 14, 670 00 32 20 00 M. C. TOWN, Cashier. Capital stock paid in. $100, 000 00 Surplus fund Other undivided profits 20, 000 00 6, 036 49 National bank notes outstanding. Stat e bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 130, 300 90 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted.. Bills payable 2, 250 00 301, 337 39 Total. 301, 337 39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 623 ILLINOIS. Home National Bank, Elgin. ORLANDO DAVIDSON, President. No. 2016. WM. H. HINTZF, Oasliier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures...| Current expenses and taxes paid Premiums paid Checks and other cash items E xchanges for clearing house Bills of other banks Fractional currency , Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $158,314 73 Capital stock paid in. 4,376 18 100,000 00 Surplus fund . Other undivided profits National bank notes outstanding 5,805 51 State bank notes outstanding 51 37 750 00 Dividends unpaid . 2, 126 45 Individual deposits 8, 000 00 United States deposits 671 70 Deposits of U. S. disbursing officers. 329 63 257 50 9,500 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $100,000 00 5. 600 00 3, 057 84 90, 000 0J 85,991 18 1,034 05 9, 000 00 4,500 00 Total. 294, 683 07 First National Bank, Fairbuiy. No. 1987. I. P. MCDOWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. DAVID S. CRUM , Cashier. $54,066 17 Capital stock paid in. 996 40 50, 000 0 ) Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 3,831 93 Dividends unpaid . 8, 700 00 1,229 61 5, 900 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 5, 000 00 133 11 Due to other national banks Due to State banks and bankers 7, 000 0J $50, 000 03 15, 027 50 2, 492 05 45, 000 00 33, 832 60 Notes and bills re-discounted. Bills payable !, 755 12 2,250 00 149, ] 07 27 Total. 149, 107 27 First National Bank, Farmer City. J. II. HARRISON, President. 0 verdratts U. S. bonds to secure circulation U. S. bonds to secure deposits U S bonds on hand Other stocks bonds, a n d mortgages A. F. DAVIDSON, Gas] $73, 947 37 976 48 50, 000 00 Capital stock paid in Surplus fund Other undivided profits National b a n k notes outstanding State bank notes outstanding D u e from approved reserve a g e n t s . . . D u e from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid 4,146 22 6, 872 1,007 Checks and other cash items Exchanges for clearin 01 house Bills of other banks Fractional currency Specie Le°"al tender notes . .. ... .... U. S. certificates of deposit D u e from U. S. Treasurer 00 ' D u e to other national b a n k s 88 Due to State banks and bankers 0;J Notes and bills re-discounted 00 Bills p a y a b l e . . . L . « . 2, 250 00 Total 35 45 70 16 5, 880 80 3,423 50 45, 000 00 Dividends unpaid Individual deposits 1 United States deposits 10 41 Deposits of U. S. disbursing officers 5, 285 32 265 6,500 151,315 80 $50, 000 00 Total 42,011 50 5 000 00 151,315 80 624 REPORT OF THE COMPTROLLER OF THE CURRENCY. I L L I N O I S . First National Bank, Flora. No. 1961. OSMAN PlXLEY, President L. F. WILSON, Cashier. Resources. Liabilities. Loans and discounts j O verdrafts ; U. S. bonds to secure circulation U. S. bonds to secure deposits j. U. S. bonds on hand |. Other stocks, bonds, and mortgages..j Due from approved reserve agents.... Due from other banks and bankers .. \ Real estate, furniture, and fixtures...| Current expenses and taxes paid Premiums paid : Checks and other cash items '• Exchanges for clearing house Bills of other banks , Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $70,991 75 Capital stock paid in. 2, 606, 96 75, 000 00 Surplus fund Other undivided profits 3,26L 25 National bank notes outstanding 5, 784 90 State bank notes outstanding ,. 3, 628 40 13, 653 18 Dividends unpaid . 722 23 2, 336 87 Individual deposits . United States deposits 1,070 52 D eposits of U. S. disbursing officers.. I 1, 173 00 Due to other national banks 184 18 Due to State banks and bankers . 24 75 3, 300 00 Notes and bills re-discounted. Bills payable 3,375 00 8, 375 00 4,820 31 66, 700 00 27,217 68 5, 000 00 187,112 99 187, 112 99 Total. $175,000 00 First National Bank, Freeport. No. 319. O. B. BID WELL, Preside?!'. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid- - - Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from IT. S. Treasurer Total. G. F. D E FOREST, Cashier. $191,426 92 Capital stock paid in 1,434 09 50, 000 00 Surplus* fund Other undivided profits National bank notes outstanding 17, 277 62 State bank notes outstanding 846 6:1 Dividends unpaid $100,000 00 j 50,000 00 1, 058 13 45, 000 00 1, 002 00 £ Jl l Individual deposits q{ ••• United States deposits 6,399 89 Deposits of U. S. disbursing officers. 115,690 31 5,201 01 ;; Due to othf-r national banks 198 87 Due to State banks and bankers . 1,037 93 23,763 00 ! Notes aril bills re-discounted :i Bills payable 2,250 00 i 312,750 41 Total. 312,750 44 Second National Bank, Freeport. J. H. A Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. . Due from approved reserve agents... Due from other banks and bankers Real estate, furniture, and fixtures... Current expenses and taxes paid '\ Premiums paid Checks and other cash items j Exchanges for clearing house ,. Bills of other banks I Fractional currency | Specie Legal tender notes j U. S. certificates of deposit '. Due from U. S. Treasurer Total. No. 385. L. W. GUITEAU, Cashier. $200, 048 56 Capital stock paid in 511 13 50, 000 00 Surplus fund Other undivided profits 55,000 00 5, 704 62 j 45, 0C0 00 Individual deposits j United States deposits i Deposits of U. S. disbursing officers.. j 188, 698 27 200 00 3. 150 17 13, 055 21 4,817 93 3, 223 37 99 16 500 50 $100, 000 00 j | National bank notes outstanding State bank notes outstanding Dividends unpaid 10, 600 68L 2, 765 42, 500 00 Due to other national banks 3L Due to State banks and bankers . 55 00 Notes and bills re-discounted. Bills payable 2, 250 00 394, 402 89 Total.. 394, 402 89 REPORT OF THE COMPTROLLER OF THE CURRENCY. 625 ILLINOIS, Merchants' National Bank, Galena. AUGUSTUS ESTEY, President. No. 979. W. H. SNYDER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits II. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency -. Specie Legal tender notes II. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $190,263 87 Capital stock paid in 7,615 20 110,000 00 Surplus fund loo 66 O ther undivided profits National bank notes outstanding 5, 952 44 State bank notes outstanding 28,059 85 Dividends unpaid . 4,449 80 1,667 41 Iudivi-iual deposits 14 70 United States deposits 7,526 14 Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 2, 100 00 268 45 3, 927 90 14,900 00 $125, 000 00 43, 000 00 6, 788 55 99, 000 00 106,122 21 1,890 00 4,950 00 381,800 76 381,800 76 Total. National Bank, Galena. No. 831. R. H. McCLELLAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit .. Due from U. S. Treasurer Total., $464,378 69 10, 437 56 113,000 00 27, 440 77 12,412 07 720 83 2, 985 74 2, 082 84 1, 050 00 4L0 50 3,340 65 25, 000 00 E. C. RlPLEY, Cashier. $200, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . 50, 000 00 21,911 82 101, 700 00 25 00 Individual deposits « United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 281, 71.7 93 11,846 15 1,143 80 5,08") 00 668,344 70 Total. 668,344 70 First National Bank, Galesburg. M. S. SMALLEY, Cashier. FRANCIS FULLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes -. U. S. certificates of deposit Due from U. S. Treasurer Total. $339, 308 07 Capital stock paid in . 333 09 150, 000 00 Surplus fund Other undivided profits National bank notes outstanding 1, 995 70 State bank notes outstanding 2, 408 49 18, 862 28 Dividends unpaid. 4, 551 45 Individual deposits United States deposits 1,179 45 Deposits of U. S. disbursing officers. 1,564 00 306 12 423 22 26, 900 00 '"h'ho oo'|| Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable 554,581 87 jj Total. $150, 000 00 50, 000 00 21,338 11 135, 000 00 ' 197,157 14 1,086 62 554, 58 L 87 626 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Second National Bank, Galesburg. No. 491. DAVID SANBORN, President. WESTON ARNOLD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums,, paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $170,954 33 Capital stock paid in 1,305 44 100,000 00 Surplus fund Other undivided profits 12, 738 1,954 2fl, 314 3, 030 40 13 25 89 575 50 5L00, 000 00 50, 000 00 9, 424 38 National bank notes outstanding State bank notes outstanding 89, 300 00 Dividends unpaid Individual dep United States deposits.. Deposits of U. S. disbursing officers. 90,961 95 4,715 00 Due to other national banks 248 39 Due to State banks and bankers 850 00 . 18, 500 00 I Notes and bills re-discounted Bills payable 4, 500 00 339, 686 33 339, 686 33 First National Bank, Galva. No. 827. D. L. WILEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid.. -. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $168, 474 20 4. 702 57 50, 0J0 00 2, 000 00 9,924 43 320 15 6, 906 74 1,326 36 500 11 2, 845 00 40 44 55 00 10, 000 00 W. F. WILEY, Cashier. Capital stock paid in. $50, 000 00 30, 000 00 6, 679 60 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 45, 000 00 , Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 112,568 94 96 46 15,000 00 2, 250 00 Total. 259, 345 00 259, 345 00 First National Bank, G-eneseo. JAMES Me BROOM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U.S. certificates of deposit Due from U. S. Treasurer Total. No. 534. $144, 199 73 948 68 100, 000 00 48, 678 832 3,000 3,290 HIRAM WILSO.V, Cashier. Capital stock paid in. Surplus fund Other undivided profits. Nafional bank notes outstanding 97 State bank notes outstanding 26 Dividends unpaid 00 97 Individual deposits United States deposits Deposits of U. S. disbursing officers . $100, 000 00 50, 000 00 6,254 00 90, 000 00 81,454 74 3, 771 00 Due to other national banks 587 13 Due to State banks and bankers . 1,100 00 16,000 00 Notes and bills re-discounted. Bills payable 5, 300 00 327, 708 74 Total. 327, 708 74 REPORT OF THE COMPTROLLER OF THE CURRENCY. 627 I L L.IJVOIS. Farmers' National Bank, Geneseo. EVI WATERMAN, President. No. 2332. JNO. P. STEWART, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . Due from other banks and bankers . . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $61, 093 90 478 88 30, 000 00 $50, 000 00 Capital stock paid in. Surplus fund Other undivided profits National banknotes outstanding 11,101 94 State bank notes outstanding 1,875 00 Dividends unpaid 2,429 96 Individual deposits 4, 956 25 United States deposits Deposits of U. S. disbursing officers. 5, 300 00 137 90 400 00 7, 000 00 3,394 93 27,000 00 45,728 90 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable 1, 350 00 Total. 126, 123 I 126, 123 83 First National Bank, Greenville. N. DiiESSOR, President. No. 1841. Loans and discounts Overdrafts , U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. M. V. DENNY, Cashier. $125, 329 20 Capital stock paid in . 601 11 66, 000 00 Surplus fund Other undivided profits National bank notes outstanding 8,562 10 State bank notes outstanding 1,640 40 17,517 27 Dividends unpaid . 180 7L Individual deposits United States deposits 2,161 29 Deposits of U. S. disbursing officers. 177 75 10, 578 00 $100, 000 00 20, 000 00 1,973 59 59, 400 00 54, 430 21 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 235, 803 83 Total. 235,803 83 Griggsville National Bank, Griggsville. JAS. McWlLLTAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house . . . . . . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 2116. ISAAC A. HATCH, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding $50, 000 00 538 15 24,799 52 45, 000 00 Dividends unpaid. Individual deposits Uuited States deposits Deposits of U. S. disbursing officers. 66,170 57 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable Total. 186, 508 24 628 REPORT OF THE COMPTROLLER OF THE CURRENCY. Havana National Bank, Havana. No. 2242. FRANCIS LOW, President. NEWTON C. KING, Cashier. Liabilities. Loans and discounts Overdraf ts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing hous6 Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $68, 283 59 1,540 66 30, 000 00 8, 832 18, 360 9,567 782 5,956 46 87 13 12 87 152 33 300 314 10 4,500 00 71 50 00 i; 350 00 Capital stock paid in. $50, 000 00 985 83 3, 332 75 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 27, 000 00 Dividends unpaid . 500 00 Individual deposits . United States deposits Deposits of U. S. disbursing officers. 68,132 66 Due to othar national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable Total . 149, 951 24 149, 95L 24 First National Bank, Henry. No. 1482. WM. T. LAW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..! Due from approved reserve agents-.. Due from other banks and bankers . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit D ue from U. S. Treasurer Total . CHAS. R. JONES, Cashier. $56, 337 74 Capital stock paid in. 335 13 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding 4,000 00 6, 39 L 25 State bank notes outstanding 6, 984 88 ii, rw.i so 810 55 83 00 1, 320 36 552 15, 800 00 54 70 00 $50,000 00 .. 10, 000 00 1,450 50 45, 000 00 Dividends unpaid. Individual deposits . United States deposits Deposits of U. S. disbursing officers. 49,985 09 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable. 2, 250 00 156, 435 59 151), 435 59 First National Bank, Jacksonville. E D W A R D SCOTT, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Oher stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 511. F. G-. FARRELL, Cashier. $186,287 75 I Capital stock paid in 6, 953 09 j 100, 000 00 I Surplus fund 0ther undivided profits 13,912 39 1National bank notes outstanding 1 39, 265 76 II State bank notes outstanding 17,338 90 I 30,249 76 llDividends unpaid. 5 85 ll Individual deposits United States deposits 7, 122 18 Deposits of U. S. disbursing officers. 733 400 1,600 10, 850 00 70 00 00 i Due to other national banks |; Due to State banks and bankers. | i Notes and bills re-discounted. Biiis payable 4, 500 00 j 419,219 38 | Total. $100, 000 00 150,000 00 7,947 59 90, 003 00 70, 849 31 422 48 419,219 38 REPORT OF THE COMPTROLLER OP THE CURRENCY. 629 ILLINOIS. Jacksonville National Bank, Jacksonville. O. D. FiTZSIMMONS, President. B. F. BEESLEY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $366. 702 06 Capital stock paid in. 3, 57L 31 200, 000 00 Surplus fund Other undivided profits National bank notes outstanding 45, 566 47 State bank notes outstanding 4,840 61 Dividends unpaid., 4, 825 00 2, 136 40 27, 000 00 Individual deposits United States deposits 5,423 81 Deposits of U. S. disbursing officers. 145 38 487 50 11,875 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 33, 000 00 13, 998 27 180, 000 00 252,429 91 1,345 36 8, 200 00 680, 773 54 Total. $200, 000 00 680, 773 54 First National Bank, Jerseyville. HUGH N. CROSS, President. No. 2328. Loans and discounts O verdrafts , U. S. bonds to secure circulation . . . U. S. bonds to secure deposits , U. S. bonds on hand , Other stock, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie L3gal tender notes IT. S. certificates of deposit Dx3 from U. S. Treasurer Total. $72,192 58 2,151 55 30, 000 00 WALTER E. CARLTN, Cashier. $50, 000 00 Capital stock paid in. Surplus fund „ 5, 192 63 ""'3*200 66* Other undivided profits 20, 352 70 8,195 43 4,918 54 2, 121 30 861 64 6,091 37 National bank notes outstanding State bank notes outstanding 306 00 155 69 411 00 7, 944 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted.. Bills payable 27,00) 00 Dividends unpaid . Individual deposits United States deposits 3, 593 05 Deposits of U. S. disbursing officers.. 81,497 1 1, 350 00 163,844 85 Total . 163,814 85 First National Bank, Joliet. GEORGE WOODRUFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 512. $172, 638 29 1,311 98 100, 000 00 i'oso'oo' 10, 068 00 68,720 21 16, 055 21 2,204 81 3, 039 69 8, 373 520 521 30, 000 00 30 20 00 F. W. WOODRUFF, Cashier. Capital stock paid in < . $100,000 00 Surplus fund Other undivided profits 38,500 00 5, 453 20 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 186,476 61 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted.. Bills payable 5, 927 09 420, 429 81 Total. 420,429 8L 630 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Will County National Bank, Joliet. No. 1882. CALVIN KNOWLTON, President. GEO. P. JONES, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures .. Current expenses and taxes paid. Premiums paid Checks and other cash items ExchaD ges for clearing house Bills of other banks Fractional currency | Specie I Legal tender notes I U. S. certificates of deposit Due from U. S. Treasurer $88,832 01 Capital stock paid in . 9 97 75, 000 00 Surplus fund Other undivided profits 10, 226 0U 11,869 44 5, 599 94 4, 900 00 3, 396 58 10, 0J0 00 4,748 95 10, 000 00 7,541 25 I National bank notes outstanding State bank notes outstanding 67, 500 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 51,247 95 10 383 73 874 7, 000 00 i Due to other national banks 71 Due to State banks and bankers.. - 6) 00 N~>tes and bills re-discounted i Bills payable 3, 375 00 | 23f>, 289 20 Total. 100, 000 00 236,289 20 Total . First National Bank, Kankakee. EMORY COBB, President. \ No. 1793. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total... H. C. CLARKE, Cashier. $8o, 715 92 Capital stock paid in . 5 04 30, 000 00 Surplus fund Other undivided profits National bank notes outstanding 13, 863 20 State bank notes outstanding 3, 362 27 3, 171 72 Dividends unpaid. 925 51 2, 500 00 Individual deposits United States deposits 2,071 13 Deposits of U. S. disbursing officers.. $50, 000 00 7, 000 00 2,045 59 27,000 00 70, 898 33 2, 045 00 Due to other national banks 665 73 Due to State banks and bankers 1,063 35 9, 195 00 Notes and bills re-discounted Bills payable 1, 350 00 Total. 156, 943 92 156,943 92 First National Bank, Kansas. No. 2011. W. O. PlNNELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. W. F. BOYER, Cashier. $74, 237 41 Capital stock paid in 960 12 50, 0. 0 00 Surplus fund. Other undivided profits National bank notes outstanding 16, 662 Oz State bank notes outstanding 20, 374 06 Dividends unpaid 1,874 70 432 66 Individual deposits United States deposits Deposits of U. S. disbursing officers 1, 157 25 465 4,000 00 71 00 00 $50, 000 00 10, 000 00 959 25 45, 000 00 65,907 14 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,650 00 171. Total. 171, 865 39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 631 ILLINOIS. Farmers' National Bank, Keithsburg. WILLIAM DRURY, President. F. P. BURGETT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $123,394 10 5,962 3L 52, 000 00 475 00 8, 245 59 1,278 45 870 00 947 30 140 90 $100,000 00 Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 15, 000 00 3, 540 08 44,800 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 520 00 251 63 Due to other national banks . . . . Due to State banks and bankers. 4,000 00 38, 085 20 Notes and bills re-discounted. Bills payable , "% 340 "65" Total. 201, 425 28 201,425 28 First National Bank, Kewanee. No. 1785. CHAS. C. BLISH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes „ U. S. certificates of deposit Due from U. S. Treasurer C. S. WENTWORTH, Cashier. $109, 683 70 Capital stock paid in., 5, 530 06 75, 000 00 Surplus fund Other undivided profits 1, 500 00 National bank notes outstanding 5, 977 94 State bank notes outstanding 26, 183 02 Dividends unpaid. 2, 196 05 2, 357 49 Individual deposits United States deposits 2,131 I Deposits of U. S. disbursing officers. 1, 564 00 Due to other national banks 166 58 142 94 Due to State banks and bankers.. 11,000 00 Notes and bills re-discounted.. Bills payable Total. Total.. $75, 000 00 15, 000 00 8,814 05 67, 498 00 67, 083 91 U, 012 62 217,408 58 First National Bank, Kirk wood. HENRY TUBBS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand... Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer Total , No. 2313. W. C. TUBBS, Cashier. $74,283 15 Capital stock paid in . 791 37 50, O'JO 00 Surplus fund Other undivided profits National bank notes outstanding 6, 083 28 State bank notes outstanding 3,699 92 5,526 70 Dividends unpaid . 939 23 7, 750 00 Individual deposits United States deposits 26 45 Deposits of U. S. disbursing officers. 1, 275 00 183 56 $50,000 00 10, 000 00 3, 074 47 45, 000 00 48,234 19 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total . 156,308 66 632 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Knoxvills. No. 759. CORNELIUS RUNKLE, President. F. G. SANBURN, Cashier. Resources. Liabilities. $164, 533 28 Capital stock paid in Loans and discounts 6, 995 06 Overdrafts 60,000 00 j Surplus fund U. S. bonds to secure circulation U. S. bonds to secure deposits I.. ! Other undivided profits U. S. bonds on hand I.. Other stocks, bonds, and mortgages.. |.. National bank notes outstanding 31,479 26 ! State bank notes outstanding Due from approved reserve agents... I Due from other banks and bankers ..! 3, 868 92 j Real estate, furniture, and fixtures... j 3, 400 00 i Dividends unpaid Current expenses and taxes paid i 855 05 | Premiums paid ].. Individual deposits Checks and other cash items j 1, 520 94 United States deposits Exchanges for clearing house \.. Deposits of U. S. disbursing officers.. Bills of other banks j 2, 200 00 Due to other national banks Fractional currency j 72 77 Specie j 1,2-5 02 Due to State banks and bankers Legal tender notes S 13, 0U0 00 Notes and bills re-discounted U. S. certificates of deposit '.. Due from U. S. Treasurer 2, 700 00 Bills payable Total . 60,000 00 7, 624 67 54, 000 00 110, 225 63 291,850 30 Total 291, 850 30 $60, 000 00 First National Bank, Lacon. W. H. FORD, Cashier. No. 347. J . B. MARTIN, President Loans and discounts O verdrafta U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $85, 506 15 Capital stock paid in. 957 10 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding 4,800 00 State bank notes outstanding 4, 532 49 98 78 6, 302 73 1,036 31 9, 763 26 269 00 87 81 415 00 2,700 00 407 21 5, 557 40 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 66,802 3L Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 650 00 168,118 63 Total. $50, 000 03 Total. 168,118 63 First National Bank, Lanark. O. P. MILES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1755. $62, 353 97 2, 300 70 50,000 00 17,939 49 JOHN PALEY, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 9, 000 00 Dividends unpaid . 420 45 Individual deposits United States deposits. Deposits of U. S. disbursing officers. 447 76 837 00 38 49 170 00 5,000 00 2. 250 00 150, 757 ! Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total. $50, 0C0 00 9, 000 00 2,345 37 45, 000 00 40,412 49 2, 000 00 2, 000 00 REPORT OF THE COMPTROLLER OF THE CURRENCY. 633 ILLINOIS. First National Bank, Lewistown. GEO. No. 1808. S. KING, President. MOSES TURNER, Cashier. Liabilities. Loans and discounts Overdrafts » U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $85,734 10 966 62 50, 000 00 2, 200 00 23, 035 42 2, 937 2, 392 3, 639 458, 42 81 64 83 Capital stock paid in. 8, 005 22 6, 781 09 National bank notes outstanding State bank notes outstanding 45, 000 00 500 C O Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 84, 773 45 3,400 00 Due to other national banks 43 67 Due to State banks and bankers . 70 L 2? 16,500 00 Notes and bills re-discounted *"3*65O*6o" Bills payable 195, 059 76 Total. $50, 000 00 Surplus fund Other undivided profits Total. 195, 059 76 First National Bank, Lincoln. No. 2126. J. D. GlLLETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers , Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae fromU. S. Treasurer $151,391 27 Capital stock paid in. 367 13 30, 000 00 Surplus fund Other undivided profits National bank notes outstanding 25,196 99 State bank notes outstanding . . . . . . . 8, 284 87 2, 500 00 Dividends unpaid . 4, 929 05 Individual deposits 4, 997 76 Un:ted States deposits 6, 287 00 D<_p >sits of U. S. disbursing officers . $50, 000 00 20, 000 00 21,155 35 27, 000 00 150, 217 55 12, 923 00 92 83 Due to other national banks . 553 00 Due to State banks and bankers . 19, 500 00 Notes and bills re-discounted. Bills payable , 1, 350 00 Total. 268, 372 90 Total. H. B. SCHULER, Cashier. 268, 372 90 First National Bank, Macomb. CHAS. CHANDLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 967. $275,848 71 2,084 11 100, 000 00 350 00 22, 700 00 12, 800 52 7,575 31 6, 500 00 2, 320 56 347 88 1,989 30 28,000 00 J. H. CUMMINGS, Cashier. Capital stock paid in . 1100, 000 00 Surplus fund O ther undivided profits 70, 000 00 2, 226 84 National bank notes outstanding State bank notes outstanding 66,700 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 6, 000 00 216,041 07 4,048 48 Notes and bills re-discounted. Bills payable Total. 465,016 39 634 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Union National Bank, Macomb. W M . S. BAILEY, President. No. 1872. LEONARD HOLLAND, Cashiet. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits . . . U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid $33, 256 58 1,022 56 60, 000 • 0 i,"666"oo" 1, 203 11,166 80 1,258 00 34 30 00 192 00 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Capital stock paid in . $60, 000 00 Surplus fund Other undivided profits 15, 070 78 National bank notes outstanding State bank notes outstanding 52, 700 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 43, 962 18 5, 572 00 Due to other national banks 241 18 Due to State banks and bankers . 741 00 3, 300 00 Notes and bills re-discounted . Bills payable 2, 700 00 Total. 171,732 96 Total. 171,732 ! First National Bank, Marengo. No. 1870. Gr. V. WELLS, President. Loans and discounts O verdrafts ; U. S. bonds to secure circulation j U. S. bonds to secure deposits | U. S. bonds on hand I Other stocks, bond-s, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $111,353 93 2,649 51. 44, 500 00 $50, 000 00 Capital stock paid in 2 524 05 1,209 5L 1,296 24 1,517 61 975 62 603 61 2, 027 106 2, 505 4, 500 00 61 38 00 1, 400 00 13, 000 00 1, 669 63 National bank notes outstanding " ".3*256'65" Surplus fund Other undivided profits 40,050 00 State banknotes outstanding Dividends unpaid Individual deposits . United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 75, 699 44 Notes and bills re-discounted Bills payable 180,419 07 Total. R. M. PATRICK, Cashier. Total 180, 4 L 07 9 First National Bank, Marseilles. ALEX. BRUCE, President. No. 1852. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $91, 550 86 1,731 67 50, 000 00 Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid 5, 855 33 Checks and other ca sh items Exchanges for clearing house Bills of other banks Fractional currency Specie. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. 8, 137 72 1,399 15 5, 189 22 382 68 4, 900 250 468 4,000 00 12 00 00 """2"250 65 176, 114 75 J. N. CHAPPLE, Cashier. Capital stock paid in . $75, 000 00 Surplus fund Other undivided profits 5,519 18 2, 177 62 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 45, 030 00 50 50 48, 367 45 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total 176,114 75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 635 IL I, OOIS. First National Bank, Mason City. R. W. P O R T E R , President. No. 1850. Resources, OTHO S. i! KING, Cashier. Liabilities. Loans and discounts ! $68. 500 31 Capital stock paid in. Overdrafts ! 2,876 53 U. S. bonds to secure circulation • 50, 000 00 Surplus fund U. S. bonds to secure deposits I Other undivided profits U. S. bonds on hand I Other stocks, bonds, and mortgages..! 737 70 National bank notes outstanding . . . State bank notes outstanding Due from approved reserve agents. ..j 1,355 15 Due from other banks and bankers -.; 2, 746 30 Dividends unpaid Real estate, furniture, and fixtures...! 8, 465 91 Current expenses and taxes paid i 57o 41 Individual deposits Premiums paid j 6, 215 35 United S tates deposits Checks and other cash items ! 4,212 97 Deposits of U. S. disbursing officers. Exchanges for clearing house I Bills of other banks j 215 00 Due to other national banks Fractional currency ! 196 78 Due to State banks and bankers Specie j . . . . Legal tender notes I 5, 500 00 Notes and bills re-discounted IT. S. certificates of deposit j Bills payable Due from U. S. Treasurer j 2, 250 00 Total | 153,847 41 $50, 000 00 5, 500 00 49J 83 44, 995 00 673 54 140 16 Total , 153,847 41 First National Bank, Mattoon. C, M. DOLE, President, No. 1024. Loans and discounts Overdrafts U. S. bonds to secure circulation ,U. S. bonds to secure deposits II. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for cleai'ing house Bills of other banks F ractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer C. G. WEYMOUTH, Cashier. $244, 535 07 Capital stock paid in 6,446 35 50, 000 00 I Surplus fund Other undivided profits $100, 000 00 | National bank notes outstanding j !, 16, 597 65 i State bank notes outstanding 11,519 40 Dividends unpaid. 13, 500 00 2, 596 35 Individual deposits „ United States deposits 1,071 09 Deposits of U. S. disbursing officers. 6, 359 00 1, 033 i)9 Due to other national banks Due to State banks and bankers 17, 000 00 ; Notes and bills re-discounted Bills payable ; |. ""*2,"25fV6o" 372, 908 00 Total. [ ! 50, 000 00 4, 836 78 45, 000 00 100 00 146, 733 37 3, 677 80 110 05 22, 450 00 Total. 372, 908 00 Mattoon National Bank, Mattoon, WAI. B. DUNLAP, President. Jos. Loans and discounts j O verdrafts . .1 U. S. bonds to secure circulation j U. S. bonds to secure deposits j U. S. bonds on hand I Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures...j Current expenses and taxes paid I Premiums paid J Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie.... Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3- -37 j | | \ | ! j H. CLARK, Cashier. $133, 820 44 Capital stock paid in 2, 349 25 30, 000 00 I Surplus fund. Other undivided profits j §60,000 00 | | 15,711 13 3,974 24 National bank notes outstanding 24, 895 700 2, 362 4, 575 01 00 65 00 27, 000 00 State bank notes outstanding j Dividends unpaid | Individual deposits j United States deposits j Deposits of U. S. disbursing officers..! 1, 800 00 l Due to other national banks i 104 31 i Due to State banks and bankers ; ID, 000 00 i Notes and bills re-discounted Bills payable "I,"356"oo" 216, 957 1 Total 96, 755 89 720 02 1, 796 38 i -i 11, 000 00 ; 216, 957 66 636 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Mendota. No. 1177. E. A. BOWEN, President. FULTON GIFFORD, Cashier. Resources. Liabilities. Loans and discounts i Overdrafts I U. S. bonds to secure circulation • U. S. bonds to secure deposits |. U. S. bonds on hand j. Other stocks, bonds, and mortgages ..!. Due from approved reserve agents... | Due from other banks and bankers... i Real estate, furniture, and fixtures... Current expenses and taxes paid | Premiums paid |. Checks and other cash items | Exchanges for clearing house ;. Bills of other banks j Fractional currency j Specie !. Legal tender notes I U. S. certificates of deposit \. Due from U. S. Treasurer S Total. $202, 660 33 Capital stock paid in 1,445 14 50, 000 00 Surplus fund Other undivided profits 31, 368 46 5, 615 33 18,312 13 1,612 90 760 00 | $125,000 00 I i 25,000 00 23, 531 03 j J j 45, 000 00 I National bank notes outstanding State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 127,182 98 6,751 00 Due to other national banks 778 72 ; Due to State banks and bankers . 24,140 00 ! Notes and bills re-discounted. Bills payable "*"2,"250"6u" 345,714 01 345,714 01 Total. First National Bank, Moline. No. 160. J. M. G-OULD, President. Loans and discounts I Overdrafts j U. S. bonds to secure circulation ; U. S. bonds to secure deposits ! j U. S. bonds on hand Other stocks, bonds, and mortgages .. j Due from approved reserve agents... j Due from other banks and bankers... \ Real estate, furniture, and fixtures... i Current expenses and taxes paid Premiums paid \ Checks and other cash items ! Exchanges for clearing house i Bills of other banks i Fractional currency Specie Legal tender notes j U. S. certificates of deposit : Due from U.S. Treasurer Total : J. S. GILL3IORE, Cashier. ; $150,000 00 $215, 387 03 j Capital stock paid in 1,384 21 150, 000 00 ! Surplus fund 30,000 00 ! Other undivided profits 8, 934 73 j National bank notes outstanding 135, 000 00 24, 738 59 | Slate bank notes outstanding 5, 392 69 17, 711 09 ' Dividends unpaid ; 931 00 1, 456 16 2, 000 00 Individual deposits | 124, 770 53 6, 704 13 : United States deposits j 6,405 00 : Deposits of U. S. disbursing officers..|! 3, 976 05 393 33" Due to other national banks 586 70 : Due to State banks and bankers , 256 62 14, 460 00 Notes and bills re-discounted \ 2, 000 00 ! 9,250 00 : Bills payable 455,868 93 ! Total 455,868 93 Moline National Bank, Moline. S. W. WHEELOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.*. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1941. $125, 032 07 3, 643 57 100, 000 00 C. F. HE.MENWAY, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding 21, 697 54 State bank notes outstanding 433 62 20, 386 64 Dividends unpaid 1,046 94 9, 912 50 Individual deposits 1,260 50 United States deposits 5, 098 00 Deposits of U. S. disbursing officers.. 520 46 Due to other national banks 744 35 Due to State banks and bankers 22, 370 00 Notes and bills re-discounted Bills payable 5, 500 00 317,646 19 Total. $100,000 00 16, 559 68 4, 646 28 90,000 00 375 00 100, 862 89 3, 440 33 1, 762 01 317,646 19 REPORT OF THE COMPTROLLER OF THE CURRENCY. 637 ILLINOIS. First National Bank, Monmouth. Wll. B. T. O. HUBBARD, Cashier. No. 85. LAFERTY, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $194,910 33 6,071 78 50, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 8,230 05 20, 479 92 18, 800 37 2, 207 05 Checks and other cash items.., Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer Total. $75,000 00 Capital stock paid in. Surplus fund Other undivided profits 50, 000 00 9, 768 84 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 571 22 176,199 36 Due to other national banks Due to State banks and bankers . 2,518 00 200 01 3, 729 47 45,000 00 Notes and bills re-discounted. Bills payable 2, 250 00 355,968 20 Total. 355, 968 20 Second National Bank, Monmouth. CHANCY HARDIN, President. Loans and discounts O verdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks . . Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2205. F . W. HARDING, Cashier, $50, 000 00 $75,234 30 \ Capital stock paid in. 0 3,650 45 il 5 50, 000 0J Surplus fund Other undivided profits 8,500 00 2,103 32 National bank notes outstanding 14,935 08 State bank notes outstanding 9, 060 78 2, 590 70 Dividends unpaid . 801 30 4, 675 35 | Individual deposits j United States deposits 374 77 . Deposits of U. S* disbursing officers. 1 2, 724 303 190 12, 000 00 00 00 00 45. 000 00 73, 086 41 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. i Bills payable 2, 250 00 178, 689 73 Total. 178, 639 73 Monmouth National Bank, Monmouth. DAVID RANKIN, President. No. 1706. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $133, 946 65 2, 609 37 100, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 1, 239 5,144 32,074 1, 016 7, 000 91 53 80 23 00 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 615 209 100 12, 355 00 64 00 00 Total . W. B. YOUNG, Cashier. Capital stock paid in. $100,000 00 Surplus fund Other undivided profits. 20, 000 00 3, 696 46 National bank notes outstanding State bank notes outstanding 90, 003 00 ! | Dividends unpaid . ! Individual deposits i United States deposits 265 15 Deposits of U. S. disbursing officers. Due to other national b a n k s . . . . Due to State banks and bankers. Notes and bills re-discounted, Billd payable 445 00 61,124 82 671 90 23,133 10 2, 500 00 | 299, 076 23 Total. 299, 076 28 638 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Morris. JAMES CUNNEA, President. No. 1773. JOHN CUNNEA, Cashier. Resources. Liabilities. Loans and discounts ' Overdrafts ; U. S. bonds to secure circulation U. S. bonds to secure deposits '... U. S. bonds on hand ;. Other stocks, bonds, and mortgages..!.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house . Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit , Due from IL S. Treasurer . $91, 413 93 Capital stock paid in. 1,364 17 50, 000 00 Surplus fund 40, 000 00 7,251 63 Other undivided profits 72,715 79 1,503 91 5, 000 00 776 53 5, 000 00 National bank notes outstanding • State bank notes outstanding 67 32 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers - 112,921 63 4, 972 60 44 20, 000 00 Due to other national banks 11 Due to State banks and bankers 50 ; 00 Notes and bills re-discounted., Bills payable 2, 250 00 , 255,173 26 Total. $50, C O 00 O Total. 255,173 26 Grundy County National Bank, Morris. No. 531. C. H. GOOLD, President. J. C CARR, Cashier. Loans and discounts i $160, 201 24 Capital stock paid in. ! Overdrafts 818 23 U. S. bonds to secure circulation ! 50, 000 00 Surplus fund U. S. bonds to secure deposits \ Other undivided profits U. S. bonds on hand j Other stocks, bonds, and mortgages..; 11, 950 00 National bank notes outstanding Due from approved reserve agents...; 14, 065 53 State bank notes outstanding Due from other banks and bankers. Real estate, furniture, and fixtures...! 2, fQ 00 Dividends unpaid . iQ Current expenses and taxes paid 1,811 71 Premiums paid 4,792 55 Individual deposits United States deposits Checks and other cash items ' 79i 42 Deposits of U. S. disbursing officers.. Exchanges for clearing house Bills of other banks ; 7,344 00 Due to other national banks Fractional currency Due to State banks and bankers Specie 314 00 Legal tender notes i 15, 000 00 Notes and bills re-discounted U. S. certificates of deposit Bills payable Due from U. S. Treasurer 2, 250 00 Total ; 271,341 63 $100, 000 00 25. 000 00 14,619 38 45, 000 00 62 50 86, 659 80 Total. First National Bank, Morrison. No. 1033. LEANDER SMJTH, President. Loans aud discounts j Overdrafts \ 17. S. bonds to secure circulation I U. S. bonds to secure deposits | U. S. bonds on hand j Other stocks, bonds, and mortgages...; Due from approved reserve agents... | Due from other banks and bankers... j Real estate, furniture, and fixtures ...! Current expenses and taxes paid j Premiums paid j Checks and other cash items j Exchanges for clearing house j Bills of other banks ' Fractional currency Specie i Legal tender notes j U. S. certificates of deposit ! Due from U. S. Treasurer j Total ! A. J. JACKSON, Cashier. $134, 110 29 ;: Capital stock paid in . ......... \ 100, 000 00 Surplus fund Other undivided profits 1,000 00 ! 5,190 94 National bank notes outstanding 21, 942 50 State bank notes outstanding ' 2, 329 81 8. 400 00 Dividends unpaid 1, 238 81 177 50 Individual deposits 5,901 70 United States deposits Deposits of U. S. disbursing officers. Due to other national banks 816 35 Due to State banks and bankers. 2,525 76 19, 707 00 Notes and bills re-discounted Bills payable 7, 200 00 310,540 66.! Total.. $100,000 00 15,931 81 24, 727 24 90, 000 00 79,881 61 310, 540 66 REPORT OF THE COMPTROLLER OF THE CURRENCY. 639 ILLINOIS. First National Bank, Mount Carroll. Di'NCAX MACK AY, President. H. A. MILLS, Cashier. No. 409. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, andfixtures.Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $123, 594 06 Capital stock paid in . 1,866 92 50, 000 00 ! Surplus fund Other undivided profits National bank notes outstanding 1,000 00 19,122 96 State bank notes outstanding 4, 560 66 11, 000 00 Dividends unpaid 1, 549 03 Individual deposits United States deposits 932 52 Deposits of U. S. disbursing officers . $100, 000 00 20, 000 00 12, 659 00 45, 000 00 50, 200 43 3, 343 00 Due to other national banks 111 78 Due to State banks and bankers . 178 50 7, 350 00 Notes and bills re-discounted. Bills payable 3,250 00 Total 227, 859 43 227,859 43 Mount Vernon National Bank, Mount Vernon. ANGUS M. GRANT, President. No. 1996. CHRIS. D. HAM, Cashier. $50, 000 00 Capital stock paid in. Loans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agent8. Due from other banks and bankers Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes , U. S. certificates of deposit Due from U. S. Treasurer Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 5,141 54 804 17 45, 000 00 Dividends unpaid , Individual deposits United States deposits Deposits of U. S. disbursing officers. 21, 580 19 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. Total. 122,525 90 Nokomis National Bank, Nokomis. J. H. BEATTY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1934. $64, 467 45 750 22 50,000 00 1, 977 42 1,187 95 3, 444 28 914 63 4, 000 00 422 62 B. F . CULP. Cashier. Capital stock paid in . $50, 000 00 Surplus fund Other undivided profits 6, 718 10 3,108 07 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 2,915 00 Due to other national banks 68 47 Due to State banks and bankers 300 00 | 2,500 oo; Notes and bills re-discounted Bills payable 44, 000 00 225 00 26, 709 23 S2 68 3, 610 00 2,250 65"i 135,198 04 Total 135,198 04 640 REPORT OF THE COMPTROLLER OF THE CURRENCY. Oakland National Bank, Oakland. No. 2212. L. S. CASH, President. J O H N R U T H E R F O R D , Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $65, 263 83 1,275 00 30, 000 00 Capital stock paid in $53,000 00 ! 10,500 00 1,762 30 National bank notes outstanding : 27,009 00 State bank notes outstanding . . . 3,174 46 10, 623 67 1, 300 00 220 06 i Surplus fund Other undivided profits i Dividends unpaid ' Individual deposits United States deposits Deposits of U. S. disbursing officers1, 276 00 Due to other national banks 33 22 Due to State banks and bankers 495 00 11,300 00 Notes and bills re-discounted , Bills payable 1, 850 00 126,831 24 ! j -j i | Total 34, 568 94 j ! 126,831 24 First National Bank, Olney. HENRY SPRING, No. 1641. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . j Real estate, furniture, and fixtures. ..! Current expenses and taxes paid \ Premiums paid ! Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer $170, 316 08 Capital stock paid in 612 23 I 100, 000 00 I Surplus fund Other undivided profits $ 100, 000 00 100,000 00 5,413 14 National bank notes outstanding 9, 993 32 25, 806 83 20,'228 17 1,969 56 19 64 10, 463 36 4, 727 727 1,560 6, 500 6, 200 90,000 00 State bank notes outstanding | Dividends unpaid j Individual deposits j United States deposits Deposits of U. S. disbursing officers. 00 | Due to other national banks 00 Due to State banks and bankers 00 00 Notes and bills re-discounted. Bills payable 00 359,123 19 j Total. HENRY MARSHALL, Cashier. Total. 2, 365 00 61,345 05 359,123 19 First National Bank, Oregon. W. W. BENNETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation | U. S. bonds to secure deposits j U. S. bonds on hand I Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers - Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 1969. $65, 876 6 40, 000 CHARLES SCHNEIDER, Cashier. Capital stock paid in. : Surplus fund ' Other undivided profits $50, 000 00 5,200 00 2, 627 64 .-.. 36, 000 00 National bank notes outstanding i State bank notes outstanding 1. 620 2, 972 644 Dividends unpaid . 524 ! Individual deposits United States deposits Deposits of U. S. disbursing officers. 890 302 Due to other national banks Due to State banks and bankers . 7, 000 Teoo' 133.259 06 Notes and bills re-discounted Bills payable Total. 39,431 42 j ' 133,259 06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 641 ILLINOIS. First National Bank, Ottawa. No. 1154. M. PI. SWIFT. President. J. F. NASH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency ., Specie , Legal tender notes , U. S. certificates of deposit , Due from TJ. S. Treasurer $202,273 11 865 23 50, 000 00 Capital stock paid in. 55, 000 00 14,984 76 Surplus fund Other undivided profits National bank notes outstanding. State banknotes outstanding...Dividends unpaid . """•24 "TOO* 6 5 " 45, 000 00 3, 000 00 56,481 30 34,561. 31 11, 000 00 2,106 42 400 00 ! Individual deposits 1 United States deposits 1 889 02 !j Deposits of U. S. disbursing officers. 207, 442 63 i 9, 1, 2, 20, 642 677 582 000 00 ;! Due to other national banks i 00 S Due to State banks and bankers 00 ; 00 Notes and bills re-discounted Bills payable ""2,"256"6o" 422, 427 39 Total . $100,000 00 Total. 422, 427 39 National City Bank, Ottawa. No. 1465. L. PL EAMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie „ Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $100, 000 00 $202,173 56 Capital stock paid in., 2,525 17 j 50, 000 00 ; Surplus fund Other undivided profits 28,150 00 National bank notes outstanding 143, 321 23 State bank notes outstanding 186 25 10, 000 00 Dividends unpaid . 2, 239 74 Individual deposits United States deposits 22 79 Deposits of U. S. disbursing officers. 32, 000 00 5, 939 83 45, 000 00 337,064 69 6, 494 00 ! Due to other national banks 157 73 i Due to State banks and bankers . Notes and bills re-discounted Bills payable 1,284 05 i 20, 000 00 I 520,004 52 ;! Total. R. C. JORDAN, Cashier. Total. 520, 004 52 First National Bank, Paris. No. 1555. A. J. BABER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasure/ Total. WM, SIEBERT, Cashier. $350,744 46 I;Capital stock paid in 2,398 65 |i 125,000 00 !;Surplusfund Other undivided profits 7, 000 00 62, 46, 12, 1, 329 78 221 76 400 00 987 45 National bank notes outstanding State bank notes outstanding . $125, 000 00 50,000 00 13, 431 66 ' 112, 500 00 Dividends unpaid. Individual deposits United States deposits 373 53 Deposits of U. S. disbursing officers. 3, 500 00 324 60 1,149 85 25,000 00 I j j Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 341, 035 81 2, 087 61 5, 625 00 644,055 08 Total. 644, 055 08 6*42 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Edgar County National Bank, Paris. R. No. 2100. N. P A R R I S H , President. F. W. LEVINGS, Cashier Resources. Liabilities. Loans and discounts Overdrafts \ U. S. bonds to secure circulation ] U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. $160, 289 27 Capital stock paid in . 4, 620 02 100, 000 00 ; Surplus fund Other undivided profits Due from approved reserve agents... i Due from other banks and bankers ..{ Real estate, furniture, and fixtures ..I Current expenses and taxes paid j Premiums paid Checks and other cash items | Exchanges for clearing house '< Bills of other banks ! ! Fractional currency Specie " ' Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total ! $100, 000 00 9, 000 00 10, 770 47 4, 614 30 ! National bank notes outstanding : State bank notes outstanding 11, 472 94 10, 826 07 11, 438 4J 2, 796 93 9, 0U0 00 1, 478 29 88, 000 00 I Dividends unpaid. I Individual deposits ! United States deposits Deposits of U. S. disbursing officers. 583 00 Due to other national banks 199 73 Due to State banks and bankers 300 00 5, 695 00 | Notes and bills re-discounted I Bills payable 4, 500 00 327,813 96 Total. 116,874 54 1,872 32 1,296 63 327, 813 96- Farmers' National Bank, Pekin. JONA, MERRIAM, President. No. 2287. Loans and discounts ! Overdrafts ; U. S. bonds to secure circulation ' U. S. bonds to secure deposits ; U. S. bonds on hand j Other stocks, bonds, and mortgages.. Due from approved reserve agents...! Due from other banks and bankers . . Real estate, furniture, and fixtures... j Current expenses and taxes paid ' Premiums paid Checks and other cash items ; Exchanges for clearing house Bills of other banks • Fractional currency j Specie j Legal tender notes ] U. S. certificates of deposit ! Due from U. S. Treasurer ', Total ' $98, 541 25 120 86 30, 000 00 11, 500 00 16,776 16 27, 353 96 3, 000 12 1, 785 90 5, 200 00 3, 403 71 3, 548 00 176 36 504 35 8, 500 00 1, 350 00 A. B. HOBLIT, Cashier, Capital stock paid in $50, 000 00 2, 000 00 4,619 11 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. 27, 000 00 465 CO Individual deposits United States deposits Deposits of U. S. disbursing officers. 127, 676 56 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 211,760 67 Total. 211,760 67 First National Bank, Peoria. J . C. PROCTOR, No. 17G. President. Loans and discounts Overdrafts I U. S. bonds to secure circulation j U. S. bonds to secure deposits | U. S. bonds on hand Other stocks, bonds, and mortgages.. j Due from approved reserve agents... j Due from other banks and bankers . . i Real estate, furniture, and fixtures... j Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks j Fractional currency j pecie I Legal tender notes I U. S. certificates of deposit j Due from U. S. Treasurer j Total ! W. E. STONE, Cashier, $411,676 71'-'Capital stock paid in 8,560 10 50, 000 00 Surplus fund Other undivided profits 43, 434 16 55, 938 14 7, 624 35 20,371 43 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 5, 200 00 . Due to other national banks 100 00 ; Due to State banks and bankers. 15, 000 00 Notes and bills re-discounted. Bills payable $100, 000 00 150, 000 00 16, 500 83 45, 000 00 840 00 274, 511 21 13, 302 85 20, 000 00 2, 250 00 620,154 89 Total. 620,154 89 REPORT OF THE COMPTROLLER OF THE CURRENCY. 643 ILLINOIS. Second National Bank, Peoria. B. F. BLOSSOM, Cashier, No. 207. L E W I S HOWELL, President. Liabilities. Loans and discounts j Overdrafts j U. S. bonds to secure circulation j U. S. bonds to secure deposits j U. S. bonds on band ; Other stocks, bonds, and mortgages..j Due from approved reserve agents... Due from other banks and bankers .. | Real estate, furniture, and fixtures...' Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $353,269 66 4,913 75 $100, 000 00 Capital stock paid in 100, 000 00 14,434 69 Surplus fund Other undivided profits National bank notes outstanding J 00, 000 00 200, 000 00 20, 000 00 36, 617 03 12,638 09 76,439 38 6, 014 36 25, 700 00 6, 471 49 90, 000 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 3, 000 00 977 77 1,591 00 36, 000 00 4,530 00 14,211 35 18, 727 89 893,162 53 Total 893,162 53 380,694 15 174, 990 45 104 00 Mechanics' National Bank, Peoria. H. N. WHEELER, President. No. 1117. HENRY P. AYRES, Cashier. $100, 000 00 Capital stock paid in . Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bond3 on hand Other stocks, bonds, and mortgages..! Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures. -. Current expenses and taxes paid. Premiums paid Checks and other cash item3 Exchanges for clearing house Bills of other banks Fractional currency Specie ' Legal tender notes U. S. certificates of deposit ' Due from U. S. Treasurer Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . . 45, 000 00 702 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. Total . 50, 009 00 20, 583 48 199,395 54 57, 955 58 15,991 68 499, 6-28 ; First National Bank, Peru. T. D. BREWSTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits ' U. S. bonds on hand j Other stocks, bonds, and mortgages.-! Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 441. R. V. SUTHERLAND, Cashier. $124, 769 27 || Capital stock paid in. 91, 600 00 Surplus fund i Other undivided profits ! 3,100 00 National bank notes outstanding... 15, 811 63 ; State bank notes outstanding 29,631 09 Dividends unpaid . 13, 050 43 2,103 96 Individual deposits United States deposits 4,816 53 Deposits of U. S. disbursing officers. $100, 000 00 15, 060 57 5, 305 75 82, 390 00 115, 542 25 11,100 00 Due to other national banks 196 16 Due to State banks and bankers . 18, 000 00 • Notes and bills re-discounted. Bills payable 318,298 57 Total. 318, 298 57 644 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Pittsfield. No. 1G42. C. L. HlGBEE, President. D. D. HICKS, Cashier. Resources. Liabilities. Loans and discounts $140, 747 23 Overdrafts j 2, 002 90 U. S. bonds to secure circulation • 50, 000 00 U. S. bonds to secure deposits ! U. S. bonds on hand Other stocks, bonds, and mortgages.. I Due from approved reserve agents.. J 9, 354 40 Due from other banks and bankers .. j 1, 017 5 L Real estate, furniture, and fixtures...! 4, 600 00 Current expenses and taxes paid ! 193 00 'Premiums paid j Checks and other cash items \ Exchanges for clearing house Bills of other banks 3,901 00 Fractional currency 71 76 ! Specie 407 00 Legal tender notes 6, 500 00 XT. S. certificates of deposit , Due from U. S. Treasurer ! 2, 450 00 ! Total Capital stock paid in $50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 50, 000 00 5, 111 14 44, 300 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 221,244 80 221, 244 80 Total. Exchange National Bank, Polo. No. 1806. REUBEN WAGNER, President. Loans and discounts j •Overdrafts U. S. bonds to secure circulation \ U. S. bonds to secure deposits I U. S. bonds on hand ! Other stocks, bonds, and mortgages.. j Due from approved reserve agents...j Due from other banks and bankers .. I Real estate, furniture, and fixtures... i Current expenses and taxes paid \ ! Premiums paid ! Checks and other cash items Exchanges for clearing house Bills of other banks \ Fractional currency Specie : Legal tender notes 'U. S. certificates of deposit Due from U.S. Treasurer Total I \V. T. SCHELL, Cashier. $ 113, 553 92 ! Capital stock paid in. 960 14 | 60, 000 00; | Surplus fund Other undivided profits ] National bank notes outstanding 3,093 63 State bank notes outstanding 3, 313 46 25, 315 00 Dividends unpaid 2, 460 03 I 7, 000 00 Individual deposits United States deposits j. 23 95 Deposits of U. S. disbursing officers.. . 579 00 Due to other national banks 60 42 Due to State banks and bankers . 32 00 6, 000 00 Notes and bills re-discounted Bills payable 2,700 00 225,11160 $30,000 00 6, 600 00 9,504 22 54, 000 00 67, 007 33 8, 000 00 Total. 225, 111 60 Livingston County National Bank, Pontiac. E. G. KEITH, President. Loans and discounts ; Overdrafts U. S. bonds to secure circulation : U. S. bonds to secure deposits i U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents... Due from other banks and bankers ..: Real estate, furniture, and fixtures -..; Current expenses and taxes paid ' Premiums paid Checks and other cash items ' Exchanges for clearing house Bills of other banks Fractional currency i Specie Legal tender notes < U. S. certificates of deposit Due from TT, S. Treasurer | Total H. G-. GREENEBAUM, Cashier. No. 1837. i $127, 453 07 ; Capital stock paid in 1, 016 70 50, 000 00 Surplus fund Other undivided profits ! $75,000 00 I j 40.000 00 5, 334 28 National bank notes outstanding 59, 098 74 State bank notes outstanding 460 0J 6,111 76 Dividends unpaid 199 99 Individual deposits 720 40 United States deposits 4,638 00 Deposits of U. S. disbursing officers. ' Due to other national banks 46 11 Due to State banks and bankers • 936 30 5, 000 00 Notes and bills re-discounted. Bills payable 2,250 00 45, 000 00 257,931 07 Total. 92, 446 29 150 50 257, 931 07 REPORT OF THE COMPTROLLER OF THE CURRENCY. 645 ILLINOIS. National Bank, Pontiac. No. 2141. .T. E. MORROW, President. 0. P. BOURLAND, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $95, 828 79 Capital stock paid in 2 22^ 75 50, 00 J 00 Surplus fund Other undivided profits 15, 086 29 1, 737 24 1, 250 90 254 12 2, 793 75 195 00 | National bank notes outstanding State bank notes outstanding $50,000 00 ! ] 15, 000 00 * 3, 679 75 45, 000 00 j Dividends unpaid Individual deposits , United States deposits Deposits of U. S. disbursing officers. 65, 508 85 3, 305 247 11 4, 000 00 Due to other national banks 36 I Due to State banks and bankers . 40 ; 00 | Notes and bills re-discounted Bills payable 2,250 65" Total. 179,188 60 179, 188 60 First National Bank, Prairie City. H. W. KREIDER, President. No. 2254. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency. Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. JAS. H. WILSON, Cashier. ! $13,393 62 Capital stock paid in 161 22 ; 30, 000 0!) ; Surplus fund Other undivided profits ! ""2*500"00* National bank notes outstanding 7, 383 68 : State bank notes outstanding ' 5,080 10 Dividends unpaid . 2, 362 36 746 65 ; 4,600 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. $50,000 00 1,000 00 2, 375 26 25, 000 00 246 00 36, 690 83 2, 619 00 5L5 46 200 00 14, 400 00 I Due to other national banks ! Due to State banks and bankers . i | Notes and bills re-discounted., Bills payable 1, 350 00 I 115,312 09 : Total. 115,312 09 First National Bank, Princeton. B. S. FERRIS, President. No. 903. Loans and discounts $199, 404 97 Overdrafts U. S. bonds to secure circulation | ""Io5*665"66" | U. S. bonds to secure deposits U. S. bonds on hand I.. Other stocks, bonds, and mortgages. I - 10,789 11 Due from approved reserve agents... Due from other banks and bankers. 13, 342 50 Real estate, furniture, and fixtures... 125 00 Current expenses and taxes paid Premiums paid ' 63 Checks and other cash items Exchanges for clearing house 1, 580 00 Bills of other banks 88 58 Fractional currency 228 00 Specie — 16,413 00 Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 4, 725 00 Total. 351,983 79 FRANK G-OULD, Cashier. Capital stock paid in j $105,000 00 Surplus fund Other undivided profits I 24,000 00 5, 542 63 National bank notes outstanding 94,500 00 State bank notes outstanding 4,504 00 Dividends unpaid 103, 437 16 Individual deposits , United States deposits , Deposits of U. S. disbursing Due to other national banks officers Due to State banks and bankers. Notes and bills re-discounted Bills payable Total. 1 15, 000 00 351, 983 646 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Farmers' National Bank, Princeton. No. 2165. E. R. ViRDEN, President. CLARK GRAY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts , : U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand. Other stocks, bonds, and mortgages..; Due from approved reserve agents... j Due from other banks and bankers Real estate, furniture, and fixtures... !| Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency ' Specie Legal tender notes U. S. certificates of deposit ; Due from U. S. Treasurer j Total. $93. 931 35 Capital stock paid in . 265 21 50, 000 00 Surplus fund Other undivided profits j National bank notes outstanding 14, 305 53 State bank notes outstanding 7, 822 13 Dividends unpaid . ],498 56 Individual deposits , United States deposits 2,611 60 Deposits of U. S. disbursing officers. $50, 000 C O 2, 000 00 6, 826 82 45, 000 00 19, 960 49 822 110 170 5, 000 00 Due to other national banks 21 Due to State banks and bankers . 70 00 Notes and bills re-discounted. Bills payable 2, 250 00 178, 787 31 Total . 178,787 31 First National Bank, Prophetstown. A. J. MATTSON, Cashier. No. 1968. NATHAN THOMPSON, President. Loans and discounts $46,342 86 Capital stock paid in Overdrafts 2, 6.30 48 U. S. bonds to secure circulation : 50, 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits U. S.bonds on hand National bank notes outstanding Other stocks, bonds, and mortgages State "bank notes outstanding Due from approved reserve agents..., Due from other banks and bankers .. 4, 796 29 Dividends unpaid Real estate, furniture, and fixtures... 350 00 Current expenses and taxes paid ' 554 86 Individual deposits Premiums paid United States deposits Checks and other cash items 15 00 Deposits of U. S. disbursing officers. Exchanges for clearing house Bills of other banks 6, 623 00 Due to other national banks Fractional currency [ 380 27 Due to State banks and bankers . Specie Legal tender notes 8, 000 00 Notes and bills re-discounted : IT. S. certificates of deposit Bills payable ( Due from U. S. Treasurer 2, 250 00 Total. 121, 972 76 j $50,000 00 | \ | I 8,500 00 2,231 20 44, 400 00 j 16,811 56 j , Total, 121, 972 76 First National Bank, Quincy. C M. POMROY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legaltender notes U- S. certificates of deposit Due from U. S. Treasurer Total. No. 424. $735, 621 6, 423 50, 000 100, 000 15 Capital stock paid in 45 00 Surplus fund 00 Other undivided profits U. S. PENFIELD, Cashier. | $200, 000 00 | j 34,000 00 20, 769 67 j 45, 000 9, 450 00 National bank notes outstanding 53,391 26 State bank notes outstanding > 52, 469 62 6,974 28 Dividends unpaid | 6, 927 50 40 Individual deposits | " 523, 271 2,274 50 United States deposits ! 88, 392 30, 431 9,167 00 Deposits of U. S. disbursing officers..! ' 6, 789 1, 450 00 Due to other national banks 2, 774 50 Due to State banks and bankers i 42, 786 60, 073 00 j Note* and bills re-discounted | 94, 000 2, 250 00 Bills payable I Total I 1, 092, 369 1,092,369 1 G 00 50 99 98 44 29 29 00 16 REPORT OF THE COMPTROLLER OF THE CURRENCY. 647 ILLINOIS. First National Bank, Rocheile. J. T. MILLER, Cashier. No. 1922. RILEY PADDOCK, President. Liabilities. Loans and discounts '. Overdrafts i U. S. bonds to secure circulation j U. S. bonds to secure deposits ' U. S. bonds on hand j Other stocks, bonds, and mortgages Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures...; Current expenses and taxes paid | Premiums paid j. Checks and other cash items j Exchanges for clearing house ! Bills of other banks I Fractional currency Specie ; Legal tender notes . . . ; i U. S. certificates of deposit | Due from U. S. Treasurer ; Total $93,499 71 Capital stock paid in I 471 66 50, 000 00 Surplus fund Other undivided profits. National bank notes outstanding . . . . j j 5, 483 94 State bank notes outstanding 91 74 Dividends unpaid j 2. 006 26 750 92 | 4.972 83 Individual deposits United States deposits ! Deposits of U. S. disbursing officers.. I 5. 606 00 Due to other national banks 299 27 Due to State banks and bankers. 1,500 00 5, 000 00 Notes and bills re-discounted Bills payable 2,250 00 171,937 38 j j $50, 000 00 4,197 15 2, 834 04 45, 000 00 6i, 856 19 5, 000 00 171, 937 38 Total. Rocheile National Bank, Rocheile. No. 1907. M. D. HATHAWAY, President. I. N. PERRY, Cashier. Loans and discounts | $ 132. 870 62 Capital stock paid in \ Overdrafts U. S. bonds to secure circulation j 50, 000 00 Surplus fund I U. S. bonds to secure deposits i Other undivided profits j U. S. bonds on hand Other stocks, bonds, and mortgages. J National bank notes outstanding \ j Due from approved reserve agents.. J 5, 224 11 State bank notes outstanding Due from other banks and bankers Real estate, furniture, and fixtures... 8. 680 00 Dividends unpaid Current expenses and taxes paid 1, 227 30 Individual deposits ! Premiums paid United States deposits j Checks and other cash items ; Deposits of U. S. disbursing officers..i Exchanges for clearing house Bills of other banks ; 1,414 00 Due to other national banks Fractional currency 21.3, 47 Due to State banks and bankers. Specie , Legal tender notes 7, 000 00 Notes and bills re-discounted . ; Bills payable U. S. certificates of deposit Due from U. S. Treasurer ; 2, 250 00 Total j 203, 879 50 Total . $50, 000 00 28, 000 00 4, 898 89 45, 000 00 80, 980 61 -. 208, 879 50 Second National Bank, Rockford. ROBT. P. LANE. President. No. 482. a. A. SANFORD, Cashier. # $476, 460 48 |; Capital stock paid in . Loans and discounts Overdrafts 3, 663 31 Surplus fund U. S. bonds to secure deposits 100,000 00 Other undivided profits U. S. bonds to secure circulation j 7oo6o U. S. bonds on hand I Other stocks, bonds, and mortgages..) 6, 548 00 National bank notes outstanding State bank notes outstanding Due from approved reserve agents...! 23.347 73 Due from other banks and bankers ..! 2, 836 00 Dividends unpaid Real estate, furniture, and fixtures...| 36, 603 08 Current expenses and taxes paid . . . . j 3, 437 02 Premiums paid 19 05 Individual deposits United States deposits Checks and other cash items 4, 324 44 Deposits of U. S. disbursing officers. Exchanges for clearing house 3. 096 00 Due to other national banks Bills of other banks '450 00 Due to State banks and bankers . Fractional currency Specie „, \ 861 24 Legal tender notes j Notes and bills re-discounted. 31, 206 00 Bills payable U. S. certificates of deposit i Due from U. S. Treasurer ! ""57620" 52"; Total . Total . 698,573 27 ji $200,000 00 52,000 00 16,149 78 90, 000 00 327,279 49 13,144 00 18, 573 27 648 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Third National Bank, Rockford. No. 479. A. C. SPAFFORD, President. WJI. T. WALLIS, Cashier. Resources. Liabilities. Loans and discounts i $143,618 95 Capital stock paid in. . Overdrafts. 774 17 U. S. bonds to secure circulation 50, 000 00 Surplus fund U. S. bonds to secure deposits Other undivided profits U. S. bonds on hand 13,100 00 Other stocks, bonds, and mortgages.. 4. 631 00 National bank notes outstanding Due from approved reserve agents... 25, 322 43 State bank notes outstanding Due from other banks and bankers .. 6, 994 53 Real estate, furniture, and fixtures... 13, 500 00 Dividends unpaid . Current expenses and taxes paid 1, 654 96 Individual deposits Premiums paid United States deposits Checks and other cash items 4, 520 55 Deposits of U. S. disbursing officers. Exchanges for clearing house Bills of other banks i 1,174 00 Due to other national banks Fractional currency • 208 12 Due to State banks and bankers . Specie 695 85 Legal tender notes ; 10, 000 00 Notes and bills re-discounted. .*. U. S. certificates of deposit Bills payable Due from U. S. Treasurer 2, 250 00 Total | 280,444 56 j \ | | ; $70,000 0 14,000 00 5, 267 07 45, 000 00 146,177 49 ! j 280,444 56 Total. Rockford National Bank, Rockford. GILBERT WOODRUFF, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid ,.,..-,..„ Checks and other cash items Exchanges for clearing bouse Bills of other banks Fractional currency Specie Legal tender notes TT. 8. certificates of deposit Due from U.S. Treasurer Total. No. 1816. $225, 709 77 2, 769 44 50, 000 00 5, 992 45 : M. S. PARMELE, Cashier; Capital stock paid in j Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid j j j j "n "3*60*60" j 3, 071 95 Individual deposits j United States deposits j 3,667 62 Deposits of U. S. disbursing officers.. j 1, 528 00 665 32 15, 000 00 3,iso'oo" Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total 322,874 55 $100, 000 00 21,000 00 7, 831 54 45, 000 00 36 00 149, 007 01 ; j ! | j 322,874 55 Winnebago National Bank, Rockford. T. D. ROBERTSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TT. S. certificates of deposit Due from U. S. Treasurer Total No. 883. $262,170 60 524 04 51, 500 00 W. T. ROBERTSON, Cashier. Capital stock^aid in j $100, 000 00 • Surplus fund Other undivided profits ! S 30, 000 00 10, 002 58 j 4, 085 00 National bank notes outstanding j 27,333 67 State bank notes outstanding 564 90 11,989 30 Dividends unpaid 19 55 Individual deposits Unite 1 States deposits 3, 847 78 Deposits of U. S. disbursing officers.. 46,350 00 1, 572 00 193, 866 65 1, 819 00 ! Due to other national banks 1, 604 84 Due to State banks and bankers . 1,017 05 12, 976 00 Notes and bills re-discounted. Bills payable 381, 791 23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 649 ILLINOIS. First National Bank, Rock Island. P. L. MITCHELL, President. No. 108. J. M. BuFORD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $154, 769 87 80 81 50, 000 00 100,000 00 I Capital stock paid in. I ; Surplus fund ! Other undivided profits . , National bank notes outstanding 9, 739 80 23,409 61 4,162 10 2, 578 31 4,220 31 3, 765 00 150 61 2,100 00 35, 000 00 j $100,000 00 I ! j 40,000 00 15,230 48 45, 000 00 State bank notes outstanding | Dividends unpaid j Individual deposits j United States deposits j Deposits of U. S. disbursing officers.. | Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. 392, 226 42 j 129, 618 35, 540 25, 900 936 27 6.1 35 63 ! 392, 226 42 People's National Bank, Rock Island. BAILEY DAVENPORT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand ... Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. JOHN PEETZ, Cashier. No. 2155. $114,185 02 Capital stock paid in. 854 32 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding 22,274 08 State bank notes outstanding 5, 733 36 3, 853 83 Dividends unpaid . 2, 056 96 Individual deposits 8,102 45 United States deposits 466 58 Deposits of U. S. disbursing officers.. 12, 818 00 132 32 1, 606 40 16, 750 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable $100,000 00 3, 000 00 5, 130 91 !9, 955 00 205 00 95,114 12 396 75 531 54 5, 500 00 Total. 294,333 32 294,333 32 Rock Island National Bank, Rock Island. T. J. ROBINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1889. $165, 122 17 2, 851 85 60, 000 00 J. F. ROBINSON, Cashier. Capital stock paid in. Surplus fund Other undivided profits 5o"6o" 500 00 National bank notes outstanding 16, 662 19 State bank notes outstanding 34, 323 14 Dividends unpaid . 2, 850 29 2, 045 32 I Individual deposits 1 !! United States deposits , 119 00 | Deposits of U. S. disbursing officers 2, 551 00 Due to other national banks 132 45 Due to State banks and bankers . 410 01 18, 000 00 Notes and bills re-discounted. Bills payable 2,700 00 310, 317 42 Total. $100 000 00 25, 000 00 6, 451 49 44, 400 00 133,121 42 1, 344 51 310,317 42 650 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Rushville. No. 1453. WJI. H. RAY, President. AUG. WARREN, Cashier. Resources. Liabilities. : Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures. ..; Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ! Total $132, C66 91 Capital stock paid in ...| 2, 409 04 ! 100, 000 00 Surplus fund. Other undivided profits j 1,750 00 | 5, 686 25 National bank notes outstanding 3, 078 80 State bank notes outstanding . . . . . . . i j 5,597 45 jj Dividends unpaid j 3, 912 57 1, 286 54 Individual deposits j 166 50 j United States deposits I 914 61 Deposits of U. S. disbursing officers..! I 2, 046 00 I Due to other national banks \ 232 45 Due to State banks and bankers .. 214 00 11,800 00 Notes and bills re-discounted Bills payable 5, 300 12 276, 661 24 Total. $100,000 00 16,600 00 7, 632 96 90, 000 00 62, 351 88 76 40 276, 661 24 Salem National Bank, Salem. No. 1715. J. J. BENNETT, President. ! Loans and discounts Overdrafts I U. S. bonds to secure circulation ; U. S. bonds to secure deposits ' U. S. bonds on hand ; Other stocks, bonds, and mortgages .. j Due from approved reserve agents...[ Due from other banks and bankers .. j Real estate, furniture, and fixtures . . . j Current expenses and taxes paid ; Premiums paid \ Checks and other cash items j Exchanges for clearing house Bills of other banks • Fractional currency i Specie ; Legal tender notes I U. S. certificates of deposit ; Due from U. S. Treasurer ! Total : B. F. MARSHALL, Cashier. $91,485 58 Capital stock paid in 2,1:20 37 50, 000 00 I Surplus fund Other undivided profits : National bank notes outstanding 23, 824 93 State bank notes outstanding 12, 989 08 15, 191 02 Dividends unpaid 1, 06Q 54 • Individual deposits I 300 62 United States deposits 1, 520 00 Deposits of U. S. disbursing officers.. 299 80 Due to other national b a n k s . . . . . 2,131 50 Due to State banks and bankers.. 13,000 00 Notes and bills re-discounted Bills payable 4, 850 00 $50, 000 00 220,799 44 220, 799 44 Total. 10, 000 00 41,498 21 40,150 00 79,151 23 First National Bank^ Shawneetown. J. MCKEE VEEPhES, President. I oans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits , U. S. bonds on hand , Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks , Fractional currency Specie,.. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 915. T. S. RIDGWAY, Cashier. $218,693 37 Capital stock paid in . 1,4S3 04 50, 000 00 Surplus fund Other undivided profits 34,941 35 National bank notes outstanding 84,923 15 State bank notes outstanding 1,463 01 Dividends unpaid , 1,045 50 1, 449 87 Individual deposits United States deposits 2. 438 58 Deposits of U. S. disbursing officers.. 5,394 00 117 65 247 50 6,515 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable. $200, 000 00 17,300 00 37,813 36 45,000 00 110,788 72 59 94 2, 250 00 410,962 02 410, 962 02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 651 ILLINOIS. First national Bank, Shelbyville. A. MIDDLES WORTH, President. No. 2128. J. W. POWERS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $123,125 78 Capital stock paid in 966 16 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding 2, 830 28 State bank notes outstanding 2, 220 57 15,981 30 Dividends unpaid . . 1,514 07 6, 470 20 Individual deposits United States deposits 1,361 67 Deposits of U. S. disbursing officers 943 00 Due to other national banks 305 82 Due to .State banks and bankers . 885 45 8, 359 00 Notes and bills re-discounted Bills payable ' 2," 250* 66"! 217,213 30 |j Total. Total. | $100,000 00 5, 000 00 6,208 15 45, 000 00 | ! \.. 60,197 30 807 85 j. 217,213 30 First National Bank, Springfield. N. W. MATH EN Y, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid » Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 205. FRANK W. TRACY, Cashier; $595, 329 68 Capital stock paid in . 13, 504 35 50, 000 00 Surplus fund 200, 000 00 Other undivided profits. 7, 663 00 National bank notes outstanding 254, 202 12 State bank notes outstanding 5,3M 94 34, 92.) 91 Dividends unpaid. 10,145 44 Individual deposits 20,000 00 United States deposits 10,721 63 Deposits of U. S. disbursing officers. $250, 000 00 5, 948 00 Due to other national banks 575 19 Due to State banks and bankers . . . 81, 000 00 Notes and bills re-discounted. Bills payable ""2," 250 "66" 2,121 17 53, 425 48 44, 980 00 732 00 589,881 97 88,739 89 70, 377 89 1,291,571 26 Total. 1, 291, 571 26 125, 000 00 66, 312 86 Ridgely National Bank, Springfield. N. H. RiDGELY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $320,200 80 3,004 21 100, 000 00 38 WM. RIDGELY, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding . . . . . . . 71, 276 78 153, 562 84 3, 916 74 17,341 12 Dividends unpaid. Individual deposits United States deposits 5,243 16 Deposits of U. S. disbursing officers. 4, 400 00 Due to other national banks 911 52 Due to State banks and bankers 920 00 75, 073 00 Notes and bills re-discounted..Bills payable ""4,566" 66' 760, 350 17 Total. H. Ex. 3 No. 1662. Total. $100, 000 00 100, 000 00 1, 013 28 90, 000 00 443, 693 22 2, 554 94 23, 088 73 760,350 17 652 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. State National Bank, Springfield. SHELBY M. CULLOM, President. No. 1733. F. K. WHITTEMORE, Cashier Resources. Liabilities. Loans and discounts Overdrafts j U. S. bonds to secure circulation ; TJ. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiumspaid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie ! Legal tender notes U. S. certificates of deposit ; Due from U. S. Treasurer I Total ! $448, 456 76 Capital stock paid in. 7,294 71 50, 000 00 Surplus fund 100, 000 00 Other undivided profits . 9, 000 00 88, 609 21 9, 235 94 5,232 68 552 60 12,000 00 3, 662 12 $200, 000 00 45, 000 00 14, 545 32 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 7, 000 686 1, 183 37, 620 00 | Due to other national banks 64 Due to State banks and bankers 70 00 Notes and bills re-discounted Bills payable 2, 250 00 782, 784 36 45, 000 00 391,442 83 75, 934 56 1, 693 94 9,167 71 782,784 36 Total . Kane County National Bank, St. Charles. No. 2021. JAS. C. BAIRD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $71,083 15 ""30,000 66" 9, 626 55 457 97 299 30 1,641 63 4,548 13 857 92 1, 644 00 10 198 75 4, 000 00 1, 350 00 $50,000 00 Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 3,055 99 2,514 21 27, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted........ Bills payable 125, 707 55 Total. J. S. VAN PATTEN, Cashier. Total 38,137 35 5, 000 00 125, 707 55 First National Bank, Sterling. JOHN S. MILLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.S. Treasurer Total. No. 1717. $260,059 10 153 30 50, 000 00 W. A. SANBORN, Cashier. Capital stock paid in. Surplus fund Other undivided profits 12,233 30 National bank notes outstanding 28, 610 6Q State bank notes outstanding 15, 000 00 Dividends unpaid . """i86*25 2, 958 73 Individual deposits United States deposits Deposits of U. S. disbursing officers. $100, 000 00 50, 000 00 14,311 60 45, 000 00 100 00 196, 523 93 7, 858 00 Due to other national banks 4, 121 96 Due to State banks and bankers . 1,204 23 20, 000 00 Notes and bills re-discounted. Bills payable 3, 550 00 405, 935 53 Total. 405, 935 53 REPORT OF THE COMPTROLLER OF THE CURRENCY. 653 First National Bank, Streator. No. 2170. THOS. DUNAWAY, President. JAS. Gr. WILSON, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $51, 294 43 Capital stock paid in., 505 51 45, 000 00 Surplus fund Other undivided profits National bank notes outstanding 6, 935 93 State bank notes outstanding 11,571 902 5,200 293 91 41 00 85 9,4fl9 00 17 43 238 30 2, 500 00 Dividends unpaid . $50,000 00 . 3, 500 00 1, 477 71 40,500 00 142 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 40, 273 56 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2. 025 00 135, 893 77 Total. 135, 893 77 Union National Bank, Streator. No. 2176. SAMUEL PLUMB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items.., Exchanges for clearing house. Bills of other banks , Fractional currency , Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $90, 793 78 2, 872 88 50, 000 00 12, 067 56 1,694 39 3, 500 00 8, 682 80 9, 062 00 185 00 6, 800 00 2, 250 00 G. L. RICHARDS, Cashier. Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 12, 000 00 988 38 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 79, 920 03 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable , 187,908 41 Total. 187,908 41 Sycamore National Bank, Sycamore. J. S. WATERMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit... Due from U. S. Treasurer Total. P. M. ALDEN, Cashier. No. 1896. $84, 869 63 3,917 70 50, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding 11, 492 82 State bank notes outstanding . . . . 366 27 Dividends unpaid . 1 1,400 00 410 95 Individual deposits United States deposits 4, 733 51 Deposits of U. S. disbursing officers. $50, 000 00 7, 000 00 3,337 89 45, 000 00 60, 858 25 329 00 Due to other national banks 43 26 Due to State banks and bankers . 1,033 00 5, 350 00 Notes and bills re-discounted. Bills payable , 2, 250 00 166,196 14 Total. 166,196 1 654 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Tuscola. H. T. CARAWAY, President. W. H. LAMB, Cashier. Resources.- Liabilities. $222, 082 49 Capital stock paid in . 1,015 47 113, 000 00 Surplus fund Other undivided profits Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $113,000 00 26, 996 17 5,241 13 i 10, 236 53 3, 989 57 10,477 46 6 00 1, 698 65 National bank notes outstanding State bank notes outstanding , Dividends unpaid . I I. 383, 474 35 ! Total . 1,130 00 Individual deposits United States deposits. Deposits of U. S. disbursing officers. 5, 629 00 | Due to other national banks 28 68 Due to State banks and bankers 225 50 10, 000 00 Notes and bills re-discounted . Bills payable 5,085 00 101,700 00 100,807 04 i 4, 735 26 14, 864 75 15, 000 00 383,474 35 Total. Farmers and Merchants' National Bank, Vandalia. R. T . HIGGINS, President. L o a n s a n d discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on h a n d Other stocks, bonds, a n d mortgages No. 1779. ! | I j Due from approved reserve agents... | Due from other banks and bankers ..; Real estate, furniture, and fixtures...; Current expenses and taxes paid Premiums paid Checks and other cash items I Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer , Total 1 D A V I D P A L M E R , Cashier* $141,119 74 ; Capital stock paid in. 677 01 100, 000 00 | Surplus fund : i O ther undivided profits jj \] National bank notes outstanding 5, 665 78 j State bank notes outstanding 52 65 ;i 5,721 00 Dividends unpaid 438 55 :| Individual deposits : United States deposits. 801 20 !Deposits of U. S. disbursing officers. j 3, 227 00 I Due to other national banks. 62 35 Due to State banks and bankers . 247 65 J 2, 700 00! j Notes and bills re-discounted Bills payable 2, 099 40 $100, 000 00 12,115 04 1,787 84 90,000 09 2,420 00 56, 489 45 262,812 33 i National Bank, Vandalia. N. M. MCCURDY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on band Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, aud fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1517. GrEO. W. BROWN, Cashier. $153, 863 55 Capital stock paid in 1, 262 79 100, 000 00 : Surplus fund Other undivided profits „-.. National bank notes outstanding 1, 803 67 State bank notes outstanding 51 83 16, 127 77 Dividends unpaid. 1, 100 02 Individual deposits United States deposits 850 00 Deposits of U. S. disbursing officers $100,000 00 31, 698 28 4,807 41 90,000 00 61, 392 28 650 00 Due to other national banks 13 32 Due to State banks and bankers . Notes and bills re-discounted Bills payable Total 287, 897 95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 655 ILLINOIS. Centennial National Bank, Virginia. J. A. PETEFISH, President. No. 2330. JOHN H. WOOD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents-. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other- banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $57, 579 00 726 99 50, 000 00 2,663 11 3 28 5, 500 00 1, 872 78 9, 234 40 568 80 1, 436 00 8 04 Capital stock paid in. $55,000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 3,889 16 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. ,725 36 174 53 53 35 133, 842 40 Total. Farmers' National Bank, Virginia. Z. W. G-ATTON, President. No. 1471. Loans and discounts . . Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ... Total. $191,929 71 3, 640 00 150, 000 00 J. T. ROBERTSON, Cashier. Capital stock paid in . $150, 000 00 Surplus fund Other undivided profits j 4,500 00 National bank notes outstanding 10,081 85 State bank notes outstanding 1, 610 63 6, 000 00 Dividends unpaid 10,291 86 9, 300 00 Individual deposits 219 47 United States deposits 1,250 00 Deposits of U. S. disbursing officers. Due to other national banks 250 00 2, 500 00 7, 000 00 33, 967 40 135, 000 00 72, 307 02 Due to State banks and bankers. Notes and bills re-discounted. Bills payable 6, 750 00 398,323 52 398, 323 52 First National Bank, Warsaw. WILLIAM HILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 495. $132, 080 33 831 72 50, 000 00 15, 465 243 15, 915 4,101 1,849 87 79 73 08 56 503 88 J. B. DODGE, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 20, 000 00 38,623 46 45, 000 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers. 3, 954 511 627 15, 000 00 Due to other national banks 15 Due to State banks and bankers 48 00 Not'« and bills re-discounted Bills payable 2,"25O"66" 243, 334 59 $50,000 00 Total 79, 986 96 9, 667 68 56 49 243,334 59 656 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Watseka. SAMUEL W I L L I A M S , President. No. 1721. G-. C. HARRINGTON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Liabilities. $78, 942 64 717 03 50, 000 00 293 26 48, 650 69 6, 600 14 2, 285 99 3, 525 00 9, 969 86 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 5, 439 00 104 35 200 00 7, 000 00 Capital stock paid in $50,000 00 Surplus fund Other undivided profits 12, 000 00 6,582 80 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 102,395 16 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 2, 250 00 215, 977 96 Total. Total. 215, 977 96 First National Bank, Waukegan. No. 945. CHAS, R. STEELE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $84,401 45 Capital stock paid in 355 91 50, 000 00 ! Surplus fund Other undivided profits $50,000 00 10, 000 00 2, 054 56 "*2,"o6o"6o" 18,516 96 457 62 977 50 1,753 81 National bank notes outstanding.... State bank notes outstanding 45, 000 00 Dividends unpaid Individual deposits I i United States deposits 107 68 j Deposits of U. S. disbursing officers. 3,819 00 j Due to other national banks 183 79 'i Due to State banks and bankers . 18,573 02 401 14 11,205 00 I Notes and bills re-discounted. i Bills payable ""2,"25o"6o" 176, 028 72 Total . CHAS. F. W I A R D , Cashier. 176,028 72 Total. First National Bank, Wilmington. No. 177. A. J. MclNTYRE, President. Loans and discounts Overdrafts = U. S. bonds to secure circulation U. S. bonds on hand j Other stocks bonds and mortgages Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid ...... . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes JAMES W H I T T E N , Cashier. $144, 577 87 j Capital stock paid in 4,088 24 | . 100, 000 00 | Surplus fund Other undivided profits $100,000 00 -. . National bank notes outstanding State bank notes outstanding 36 26 I Dividends unpaid . <..... 19 30 Individual deposits ' United States deposits | 155 01 1 Deposits of U S disbursing officers 22,155 25, 823 13, 658 1,389 3 615 00 230 33 1,884 80 16 000 no Due to other national banks Due to State banks and bankers 53, 969 09 12, 259 79 89,195 00 82, 714 19 923 99 5;484 70 Total 339 062 06 1 Total 339, 062 06 REPORT OF THE COMPTROLLER OF THE CURRENCY. G57 ILLINOIS. First National Bank, "Winchester. DANIEL SKILLING, President. No. 1484. THOMAS HUMBLE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $170, 679 53 Capital stock paid in. 2, 041 24 5), 000 00 Surplus fund , Other undivided profits. National bank notes outstanding j ;. 18, 443 72 State bank notes outstanding 1, 225 00 Dividends unpaid. 8, 743 81 1, 007 59 Individual deposits United States deposits 3, 321 38 Deposits of U. S. disbursing officers . 326 00 Due to other national banks 122 30 Due to State banks and bankers 137 00 8, 800 00 Notes and bills re-discounted Bills payable 267,097 57 Total. $50, 000 00 17,135 24 1, 926 11 45, 000 00 149, 034 68 4,001 54 267,097 57 First National Bank, Woodstock. NEILL DONNELLY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits XL S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items — Exchanges for clearing house. Bills of other banks Fractional currency , Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 372. $173, 006 20 3,187 16 50, 000 00 19,914 1, 819 4, 200 1,370 71 58 00 03 243 ! J N O . J. MURPHY, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $50 000 00 60, 000 00 5,904 08 45,000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers - 104, 605 48 Due to other national banks Due to State banks and bankers . 552 00 9, 000 00 ! Notes and bills re-discounted. | Bills payable 1,150 00 993 00 72 98 265, 509 56 Total. 265, 509 56 658 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. First National Bank, Adrian. F . C. BEAMAN, No. 1973. President. E. I. WALDBY, Cashier. Liabilitie Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes tT. S. certificates of deposit Due from U. S. Treasurer I $100, 000 00 Surplus fund j Other undivided profits I I 36, 850 00 National bank notes outstanding . „. I 23, 405 42 State bank notes outstanding 46,615 31 Dividends unpaid I 22, 000 00 4, 519 59 Individual deposits United States deposits 875 31 Deposits of U. S. disbursing officers. 5, 400 00 11, 967 01 45, 000 00 $145, 656 84 Capital stock paid in """5O,"666"o6" 14,694 00 Due to other national banks 441 00 Due to State banks and bankers. 220 00 12, 629 00 Notes and bills re-discounted Bills payable Total. Total. 197, 789 46 j 360,156 47 National Exchange Bank, Albion. S. V. IRWIN, President. L. B. MINER, Cashier. No. 1544. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $143, 494 95 Capital stock paid in. 4,980 75 50, 000 00 Surplus fund Other undivided profits— i 2,116 27 National bank notes outstanding 6, 286 69 State bank notes outstanding 410 86 9, 334 38 Dividends unpaid . 885 95 Individual deposits United States deposits 937 52 Deposits of U. S. disbursing officers. 7, 012 69 7, 853 44 45, 000 00 70, 345 82 1, 465 00 Due to other national banks 49 58 Due to State banks and bankers . 8, 000 00 Notes and bills re-discounted. Bills payable 2,250 00 1 1 230,211 95 Total. 230,211 95 Total. $100, 000 00 First National Bank, Allegan. B. D. PR1TCHARD, President. L o a n s and discounts Overdrafts U. S. bonds to secure circulation U . S. bonds to secure deposits U. S . b o n d s on hand Other stocks, bonds, and mortgages. D u e from approved reserve a g e n t s . . D u e from other b a n k s a n d b a n k e r s . H e a l estate, furniture, and fixtures . C u r r e n t expenses and taxes paid P r e m i u m s paid Checks a n d other cash items E x c h a n g e s for clearing house Bills of other b a n k s Fractional currency. Specie L e g a l tender notes U. S. certificates of deposit D u e from U. S. T r e a s u r e r Total. No. 1829. F . G-. TRUESDELL, $48, 815 68 ! Capital stock paid in. 942 61 j 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 2,130 95 668 11,474 471 6, 286 44 44 81 47 472 30 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 217 186 146 3, 593 00 Due to other national banks 96 Due to Sta e banks and bankers . 50 00 Notes and bills re-discounted. Bills payable 4, 350 00 ! 129, 756 16 Total Cashier. $50,000 00 10,000 00 1, 632 22 45, 000 00 1,564 00 20,911 82 618 12 129,756 16 REPORT OF THE COMPTROLLER OP THE CURRENCY. 659 MICHIGAN. First National Bank, Ann Arbor. J. W. KNIGHT, Cashier. No. 22. EBENEZER W E L L S , President. Resources. Loans and discounts Overdrafts. j U. S. bonds to secure circulation | U. S. bonds to secure deposits I 17. S. bonds on hand |. Other stocks, bonds, and mortgages .. j Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $296, 807 23 Capital stock paid in 284 60 150, 000 00 Surplus fund Other undivided profits .13, 500 00 National bank notes outstanding 24,033 65 State bank notes outstanding 6, 583 49 19, 000 00 Dividends unpaid 1,544 99 Individual deposits 953 96 United States deposits 3, 878 00 Deposits of U. S. disbursing officers.. 425 50 Due to other national banks 2, 740 00 Due to State banks and bankers 31,129 00 Notes and bills re-discounted 6,"75o"o6" Bills payable 557, 630 42 TVal. $150, 000 00 £0, 000 00 22, 249 41 132, 500 00 114 00 202, 767 01 557, 630 42 Total First National Bank, Battle Creek. V. P. COLLIER, President. No. 1205. Loans and discounts ( Overdrafts j U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand i Other stocks, bonds, and mortgages..! Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes 17. S. certificates of deposit Due from U. S. Treasurer Total. WM, H. SKINNER, Cashier. $189,610 80 Capital stock paid in. 4, 547 96 100, 000 00 Surplus fund Other undivided profits 25 00 I National bank notes outstanding 31,741 82 ! State bank notes outstanding 1,496 79 \\ 14,910 81 ! |iDividends unpaid . 2, 308 04 Individual deposits United States deposits 394 07 Deposits of U. S. disbursing officers. 1, 353 00 Due to other national banks 148 50 ! Due to State banks and bankers9, 000 00 Notes and bills re-discounted "o\"6o6"66" Bills payable 361,536 79 Total. $100,000 00 42,000 00 7,815 02 90, 000 00 120,694 79 1, 026 98 361, 536 79 First National Bank, Bay City. JAMES SHEARER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation tl. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . ' Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.'S. Treasurer. Total BYRON E. WARREN, Cashier. No. 410. $546,974 04 Capital stock paid in. 573 71 50, 000 00 Surplus fund Other undivided profits 14, 285 00 36,185 25 28, 944 59 40, 000 00 5, 526 47 2, 898 48 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 4,572 00 Due to other national banks 435 54 Due to State banks and bankers 4,364 76 21, 203 00 Notes and bills re-discounted Bills payable """2*256"66' 758,212 84 !! Total $400,000 00 100, 000 00 17, 726 51 45, 000 00 650 00 178,369 79 912 10 3, 630 92 11, 923 52 758, 212 84 660 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. Second National Bank, Bay City. WM. WESTOVER, President. No. 2145. W H E E L E R L. PLUM, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $221, 757 89 |j Capital stock paid in. 477 04 | 33, 400 00 I! Surplus fund Other undivided profits 10, 000 00 9, 432 66 329 48 35, 461 47 2,280 12 3, 000 00 4, 024 71 4,500 00 788 16 National bank notes outstanding State bank notes outstanding . . . I j Dividends unpaid j 1, 460 00 421 28 631 35 13, 432 00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable lf"503"66" Individual deposits i United S tates deposits Deposits of U. S. disbursing officers. 323, 466 50 | Total. $100,000 00 30, 060 00 169, 324 24 4, 649 60 I Total. 323, 466 50 Northern National Bank, Big Rapids. No. 1832. G-, F. STEARNS, President. Loans and discounts Overdrafts U S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U.*S. certificates of deposit Due from U. S. Treasurer $102, 980 50 !Capital stock paid in. 753 18 ! 30, 000 00 Surplus fund Other undivided profits . 6, 100 00 National bank notes outstanding State bank notes outstanding 8, 804 39 2, 236 35 Dividends unpaid . 28, 342 08 1, 984 40 2, 500 00 220 00 Individual deposits United States deposits „ Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted -. 1,~35O"66" Bills payable 1,419 479 380 6,831 00 67 99 00 194,381 54 Total. L. S. BAKER, Cashier. Total. $90, 000 00 9, 500 00 3,412 65 27, 000 00 56, 878 57 5, 590 32 2, 000 00 194,381 54 First National Bank, Buchanan. WILLIAM PEARS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 2046. $71, 818 34 1,939 89 30, 000 00 A. F. Ross, Cashier. Capital stock paid in . 5,721 68 Surplus fund Other undivided profits.. National bank notes outstanding State bank notes outstanding 1,516 1,132 2,418 1, 758 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 49 56 75 71 " " 1 2 7 " 60" 489 96 4,015 00 $50, 000 00 12,137 72 2,709 89 27, 000 00 Dividends unpaid 30, 443 77 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1,350 00 122, 291 38 Total. 122,291 38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 661 MICHIGAN. First National Bank, Cassopolis. No. 1812. ASA KINGSBURY, President. Loans and discounts Overdrafts . U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $62, 795 76 649 42 50, 000 00 8, 403 34 7.126 95 ""397"06" 4.127 65 38 5, 091 00 6 74 1,173 50 5,000 00 '"hbh'~93 C. H. KINGSBURY, Cashier, Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 5, 683 48 3, 646 37 43,200 00 Dividends unpaid , Individual deposits United States deposits Deposits of U. S. disbursing officers. 42,749 38 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 145, 279 23 Total. 145,279 23 First National Bank, Centreville. No. 2095. L. A. CLAPP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand ... | Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $75, 282 21 110 94 50, 000 00 9, C04 95 2,323 90 1,834 86 642 09 5, 751 70 1, 701 99 1,464 00 854 69 152 00 2, 600 00 L. B. HESS, Cashier. Capital stock paid in., $50, 000 00 18. 940 65 2J167 24 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 37,865 44 Due to other national banks. Due to State banks and bankers. Notes and bills re-discounted Bills payable ""2,"250*66' 153, 973 33 Total. 153, 973 33 First National Bank, Charlotte. JOSEPH MUSGRAVE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1758. $100, 016 93 539 97 50, 000 00 5, 389 77 3, 465 63 12, 674 22 2,004 09 3, 000 00 2, 047 06 294 401 400 14,000 EDW. S. LACEY, Cashier. Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits 10, 000 00 2, 714 3L National bank notes outstanding State bank notes outstanding 44, 400 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 89, 369 26 00 Due to other national banks 23 Due to State banks and bankers . 67 00 Notes and bills re-discounted. Bills payable Total. 196, 483 57 662 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. Cold water National Bank, Coldwater. HENRY C. "LEWIS, President. No. 1235. GEORGE STARR, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes .„ tJ. S. certificates of deposit Due from U. S. Treasurer Liabilities. $199,791 72 Capital stock paid in. 6,260 91 • 50, 000 00 i Surplus fund Other undivided profits $100,000 00 50, 000 00 20,021 88 13, 000 00 National bank notes outstanding 47 I State bank notes outstanding 79 00 i Dividends unpaid.. 39 ! Individual deposits United States deposits 289 90 Deposits of U. S. disbursing officers. 45, 000 00 2, 257 341 4, 800 1, 847 85, 583 09 6, 226 00 Due to other national banks 239 60 Due to State banks and bankers . 626 68 ! 14, 000 00 |Notes and bills re-discounted "2,750 bb'\ Bills payable 302, 431 46 ; Total. 1, 826 49 Total. 302, 431 46 Southern Michigan National Bank, Coldwater. C. D No. 1924. RANDALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation XL S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer . . . . . . . . . . Total. L. E. ROSE, Cashier. $180,579 36 i Capital stock paid in . i 4,537 22 I 50, 000 00 ; Surplus fund Other undivided profits 9,415 830 23, 128 1, 529 5, 000 33 21 00 77 00 386 81 2, 030 229 403 11,055 00 61 52 00 " 2 "256 "65" $165, 000 00 14,000 00 5,624 88 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 61, 749 95 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total. 291,374 83 291,374 83 First National Bank, Constantine. O.-I. CROSSETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand. Other stocks, bonds, and mortgages.. Due from approved reserve agents. -. Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes , II. S. certificates of deposit Due from U. S. Treasurer Total. No. 813. $90, 443 20 21 37 65, 000 00 P E T E R HASLET, Cashier. Capital stock paid in. $65, 000 00 20, 000 00 17,788 17 Surplus fund Other undivided profits National bank notes outstanding 44 I State bank notes outstanding 82 ! Dividends unpaid . 50 96 Individual deposits United States deposits...-. 741 66 Deposits of U. S. disbursing officers . 58, 500 00 7, 525 00 17, 000 122 5, 262 858 1 333 00 746 07 80 00 15,533 00 2 925 6 6 207, 593 02 46, 309 85 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. ! 207, 598 02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 663 MICHIGAN. Farmers' National Bank, Constantine. CHAS. H. BARRY, Jr., Cashier. No. 2211. MILO POWELL, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $74,938 71 1Capital stock paid in. 1 fund Other undivided profits 1National bank notes outstanding 1State bank notes outstanding 15,214 85 I Dividends unpaid. 3, 000 41 j 364 87 I 585 16 125 5, 000 Individual deposits United States deposits Deposits of U. S. disbursing officers. 20, 000 00 7, 246 30 27, 000 00 27, 072 55 00 56 85 00 I Due to other national banks ! Due to State banks and bankers . i | Notes and bills re-discounted. Bills payable 1,350 00 !. 131,318 85 Total. $50, 000 00 722 60 jj 30,000 00 1 Surplus 1 Total . 131,318 85 First National Bank, Corunna. ROGER HAVILAND, President. A. T. NICHOLS, Cashier. No. 1256. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $93,623 22 Capital stock paid in 1, 656 30 50, 000 00 Surplus fund Other undivided profits 258 49 7, 097 95 10, 674 46 9, 765 00 671 88 6, 648 07 2, 400 00 217 01 141 26 11,018 00 "*3,"256"6o" National bank notes outstanding State bank notes outstanding $50,000 00 23,000 00 5, 609 00 44, 995 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 68, 817 64 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 197,421 64 Total. 197,421 64 5, 000 00 First National Bank, Decatur. A. B. COPLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 1722. WILLIAM HODGES, Cashier. $65, 312 19 Capital stock paid in . 50, 000 00 Surplus fund Other undivided profits 3,204 00 3, 066 23 1, 522 52 7, 93u 6H 81.7 36 2, 585 29 National bank notes outstanding State bank notes outstanding $50, 000 00 4,241 00 5,491 36 44, 956 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . . 47, 991 23 7, 900 00 Due to other national banks 91 34 Due to State banks and bankers. 8,000 00 Notes and bills re-discounted. Bills payable 2, 250 00 152,679 59 Total . 152, 679 59 664 REPORT OF THE COMPTROLLER OF THE CURRENCY. IICHIOAN, First National Bank, Detroit. J . S. F A R R A N D , No. 97. President. EMORY W E N D E L L , Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $1,121, 059 40 222 43 400, 000 00 3, 602 27 190,713 99 270, 088 40 85, 000 00 12, 918 88 5, 758 122, 938 36, 145 1, 360 8, 027 188, 511 84 61 00 88 26 00 ""i8," 761 "47" Surplus fund Other undivided profits. 125, 000 00 58, 746 68 National bank notes outstanding State bank notes outstanding 322, 200 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,176, 860 74 Due to other national banks Due to State banks and bankers — 131, 050 21 151, 250 80 Notes and bills re-discounted Bills payable 2, 465,108 43 Total. $500, 000 00 Capital stock paid in. 2, 465, 108 43 Total . Second National Bank, Detroit. H. P . B A L D W I N , No. 116. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing h o u s e . . . Bills of other banks Fractional currency Specie Legal tender cotes , . . U. S. certificates of deposit Due from U. S. Treasurer . ,798,780 94 789 82 520, 000 00 500,000 00 $1, 000, 000 00 11, 800 00 304, 883 59 202, 689 56 252 50 563 75 64,061 00 53, 857 67 33,134 00 3, 038 43 2, 309 00 196, 399 00 Surplus fund , Other undivided profits., 700,000 00 110, 295 02 National bank notes outstanding State bank notes outstanding 460, 500 00 Dividends unpaid . 11,253 00 Individual deposits United State s deposits Deposits of U. S. disbursing officers.. 764,389 60 215, 980 09 209, 674 61 Due to other national banks Due to State banks and bankers 160,791 11 63,075 63 Notes and bills re-discounted. Bills payable 23, 400 00 1 3, 695, 959 26 Total. C. M. DAVISON, Cashier. Capital stock paid in Total. 3, 695 959 26 American National Bank, Detroit. ALEX. H. D E Y , President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand j Other stocks, bonds, and mortgages... Due from approved reserve agents...! Due from other banks and b a n k e r s . . . j Real estate, furniture, and fixtures...! Current expenses and taxes paid j Premiums paid j Checks and other cash items j Exchanges for clearing house j Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 1542. ,157,816 50 9,243 15 333, 400 00 50, 000 00 70, 202 67 216, 066 85 251,828 19 6, 050 00 1 50 9, 968 74 3, 500 33 36, 832 99 7, 597 00 4, 533 19 28,826 44 158, 600 00 j Gr. B. S A R T W E L L , Cashier. Capital stock paid in. $400, 000 00 Surplus fund , Other undivided profits. 100, 000 00 86, 773 36 National bank notes outstanding State bank notes outstanding 300, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officersDue to other national banks Due to State banks and bankers 3,125 00 1, 210, 404 30 156,900 10 105,164 79 Notes and bills re-discounted . Bills payable 17, 900 00 j 2, 362, 307 55 ! Total. 2, 362, 367 55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 665 MICHIGAN. First National Bank, Dowagiac. No. 1625. DANIEL LYLE, President. N. F. CHOATE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $82,932 10 Capital stock paid in . 2,919 91 50, 000 00 Surplus fund Other undivided profits 12, 677 16 National bank notes outstanding.... 770 52 State bank notes outstanding 4, 579 53 Dividends unpaid. 2,229 68 1, 400 95 Individual deposits United States deposits 4,091 35 Deposits of U. S. disbursing officers. 1, 989 00 Due to other national banks 42 30 Due to State banks and bankers . 260 00 Notes and bills re-discounted 6, 000 00 Bills payable $50, 000 00 14, 500 00 3,226 51 48,0001* 50, 817 13 2, 598 86 6, 000 00 "*2,"256"66' Total. 172, 142 50 172,142 50 First National Bank, East Saginaw. No. 637. E. T. JUDD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. L. A. CLARK, Cashier, $167,351 83 Capital stock paid in . 1, 848 45 75, 000 00 Surplus fund Other undivided profits National bank notes outstanding 26, 738 48 State bank notes outstanding 5, 527 01 25, 807 38 Dividends unpaid. 3, 003 34 Individual deposits United States deposits 1, 042 10 Deposits of U. S. disbursing officers. $100,000 00 40, 000 00 10, 475 16 67,500 00 119, 892 93 10, 600 00 Due to other national banks 74 50 j Due to State banks and bankers . 17, 000 00 Notes and bills re-discounted. Bills payable *"3,"875"66 Total . 337,868 09 337, 868 09 Second National Bank, East Saginaw. R. Gr. HORR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1918. J. F. BOYNTON, Cashier. $205, 714 99 Capital stock paid in . 848 68 50, 000 00 Surplus fund Other undivided profits 12, 000 00 6,771 18 7, 298 23 25, 210 00 5, 292 54 14, 500 00 101 69 National bank notes outstanding State bank notes outstanding 5200, 000 00 12, 500 00 11,648 95 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 8,268 00 Due to other national banks 154 37 Due to State banks and bankers . 381 15 Notes and bills re-discounted. 21, 700 00 Bills payable , 75, 479 69 4,362 19 1,500 00 10, 000 00 ""'% 250"66" 360, 490 83 Total. 360, 490 83 666 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. Merchants' National Bank, East Saginaw. JESSE HOYT, President. No. 1550. Resources. DOUGLASS HOYT, Cashier. ii Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $272, 421 38 1Capital stock paid in . 423 0L I 200,000 00 Surplus fund Other undivided profits 25, 500 00 156,424 43 43,381 48 55, 000 00 7, 056 66 1, 506 00 12, 683 00 739 75 3, 590 66 65, 500 00 100, 000 00 95, 769 67 National bank notes outstanding State bank notes outstanding . . 98,925 00 Dividends unpaid . Individual deposits , United States deposits Deposits of U. S. disbursing officers. 328,324 02 Due to other national banks Due to State banks and bankers . . . 7, 502 07 22, 705 61 Notes and bills re-discounted. Bills payable . 9, 000 00 J 853, 226 37 | Total. $200, 000 00 Total. 853, 226 37 First National Bank, Flint. No. 1588. F . F . HYATT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer C. S. B R O W N , Cashier. $252, 463 36 i Capital stock paid in ""156*666 ob' 26, 736 16 20, 573 66 6,272 16 19, 965 52 2, 918 41 6, 183 40 "if"6o6"66" 3, 884 84 18,123 00 6,450 00 $200, 000 00 30, 000 00 14,139 36 Surplus fund Other undivided profits National bank notes outstanding . . . . State bank notes outstanding 134, 900 00 Dividends unpaid 133,031 15 Individual -deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 3,100 00 515,170 51 Total. 515, 170 51 Citizens' National Bank, Flint. W M , HAMILTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures - . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1780. W M . L. GIBSON, Cashier. $310, 864 68 ! Capital stock paid in ""i25*ooo"oo"! 13, 037 31 2,037 07 7, 375 00 1,282 73 5,994 30 727 61 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding \ . $125, 000 00 75,000 00 5, 519 22 i j 111,480 00 Individual deposits United States deposits j Deposits of U. S. disbursing officers.i 169,102 87 Dividends unpaid . 60 00 2,335 00 Due to other national banks 1, 007 69 Due to State banks and bankers. 134 70 10,741 00 ""5,"625~66" j 486, 162 09 Notes and bills re-discounted Bills payable Total. | \ 486, 162 09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 667 MICHIGAN. First National Bank, Grand Haven. E D W D . P. FERRY. President. GEORGE STICKNEY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. — U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . Liabilities. $297, 977 85 Capital stock paid in. 140 16 50, 000 00 Surplus fund Other undivided profits . National bank notes outstanding... 60, 91 2 58 State bank notes outstanding 9,989 89 Dividends unpaid . 2, 944 21 3, 119 57 Individual deposits United States deposits 813 38 Deposits of U. S. disbursing officers. 3, 404 00 309 81 632 00 16, 000 00 $200,000 CO 40, 000 00 13,135 13 45,000 00 150,358 32 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , Total. Total. 448, 493 45 First National Bank, Grand Rapids. S. L. WlTHEY, President. No. 294. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $897, 540 02 3, 273 95 50, 000 00 5, 995 47 62, 236 47 19, 524 92 11, 154 36 6, 747 49 2, 180 00 6,109 71 12, 948 00 1, 197 00 956 78 68, 500 00 $400, 000 00 Surplus fund Other undivided profits 100, 000 00 79,128 46 National bank notes outstanding State bank notes outstanding Dividends unpaid . 45, 000 00 210 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , 459, 941 55 1,141 65 36, 154 26 29, 038 25 2, 250 00 Total 1,150,614 17 Total. H. J. HOLLISTER, Cashier. Capital stock paid in . ! 1,150,614 17 City National Bank, Grand Rapids. T. D. GILBERT, President. No. 812. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. C arrent expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bill s of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer -39 Capital stock paid in . Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid.. Individual deposits United States deposits Deposits of U. S. disbursing officers.. 13, 188 00 Due to other national banks 1,568 19 Due to State banks and bankers 4,491 98 60,000 00 Notes and bills re-discounted. Bills payable 3,262 50 1,053,274 31 Total. H. Ex. 3- 5667,145 95 7, 966 78 72,500 00 50, 000 00 400 00 3, 900 00 31,843 70 59, 050 08 58, 346 06 5, 267 32 894 11 13, 449 64 J. FREDERIC BAARS, Cashier. Total. $300, 000 00 200, 000 00 26, 278 21 65, 250 00 1,771 00 423, 220 18 3, 332 47 28, 033 97 5, 388 48 1,053,274 31 668 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN, First National Bank, Greenville. No. 2054. MANNING RUTAN, President. WILLIAM J. JUST, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents...; Due from other banks and bankers... j Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items j Exchanges for clearing house Bills of other banks Fractional currency I Specie I Legal tender notes | U. S. certificates of deposit Due from U. S. Treasurer | Total | $244,198 12 Capital stock paid in . 1,354 40 50, 000 00 Surplus fund. Other undivided profits 200 00 National bank notes outstanding . . . 14, 265 49 State bank notes outstanding 5, 660 00 2, 2ft 1 59 Dividends unpaid . 1, 306 37 Individual deposits United States deposits 4,195 62 Deposits of U. S. disbursing officers 1,653 150 464 7, 000 00 Due to other national banks 79 Due to State banks and bankers 00 00 Notes and bills re-discounted. Bills payable 2, 250 00 335,179 36 Total. $132, 200 00 15,220 45 6, 448 53 45, 000 00 2,256 00 78,984 53 719 80 2, 603 52 51, 746 55 335, 179 38 First National Bank, Hancock. No. 2143. S. D. NORTH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks , Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $170,104 46 32 45 45, 000 00 """i*2oo"66" 16 005 1.510 2, 782 3,328 7 037 71 44 25 30 50 $100, 000 00 Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding . . . Dividends unpaid . 12,000 00 10, 567 66 40, 000 00 110 00 Individual deposits United States deposits 331 35 Deposits of U. S. disbursing officers. 1, 354 00 Due to other national banks 268 33 Due to State banks and bankers 344 19 12, 435 00 Notes and bills re-discounted jj Bills payable 2, 025 00 263, 758 98 Total. EDGAR H. TOWAR, Cashier. 95, 459 87 5, 621 45 263, 758 98 Total. Hastings National Bank, Hastings. A. J. BowsE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation..... U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. GEO. No. 1745. E. GOODYEAR, Cashier. $102,770 00 ! Capital stock paid in . 185 31 i 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding... 6, 948 19 State bank notes outstanding I, 761 50 19, 862 32 Dividends unpaid . 1, 375 73 Individual deposits 1, 631 52 United States deposits 350 87 Deposits of U. S. disbursing officers. 824 11 385 7,792 00 I Due to other national banks 30 Due to State banks and bankers . 00 00 Notes and bill3 re-discounted Bills payable "2,"256"66" 196,147 74 Total $50, 000 00 50, 000 00 4,111 51 45, 000 00 42, 036 23 5, 000 CO 196, 147 74 REPORT OF THE COMPTROLLER OF THE CURRENCY. 669 MICHIGAN. First National Bank, Hillsdale. No. 168. "WILLIAM WALDRON, President. FRANK M. STEWART, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items .Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $78, 487 58 3, 659 40 50, 000 00 Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 11, 500 00 1, 799 81 8, 143 49 Dividends unpaid. 5, 000 00 757 05 Individual deposits United States deposits 1,163 57 Deposits of U. S. disbursing officers. 1,052 00 Due to other national banks 18 22 Due to State banks and bankers 1,142 50 10, 930 00 Notes and bills re-discounted. Bills payable , Total. Total. 15, 000 00 15, 703 57 45, 000 00 48, 688 91 297 08 1,214 06 375,903 62 Second National Bank, Hillsdale. No. 1470. C. T. MITCHELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid . . Checks and other cash items Exchanges for clearing hou^e Bills of other banks Fractional currency . Specie .,.. Legal tender notes ,... U. S. certificates of deposit „ Due from U. S. Treasurer Total . $131, 611 59 1,767 31 50, 000 00 ROBT. M. HUBBARD, Cashier. $50, 000 00 Capital stock paid in Surplus fund Other undivided profits 2, 361 87 National I ank notes outstanding 7, 515 74 State bank notes outstanding ],224 07 6, 103 00 Dividends unpaid . 857 41 Individual deposits |1 United States deposits 14 00 Deposits of U. S. disbursing officers. 909 00 i Due to other national banks 8 66 Due to State banks and bankers . 659 06 Notes and bills re-discounted 5,0^4 00 Bills payable "" 2,*250 65 Total. . 210, 365 71 50, 000 00 8, 224 51 45, 000 00 57,141 20 210,365 71 First National Bank, Holly. JAS. B. SIMONSON, President. Loans and discounts Overdrafts . * U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1752. JAS. C. SIMONSON, Cashur. $75,762 74 Capital stock paid in851 73 30, 000 00 Surplus fund Other undivided profits. 1, 867 45 National bank notes outstanding . . . 11,616 19 State bank notes outstanding 6,226 51 5, 300 00 Dividends unpaid 158 41 Individual deposits United States deposits 1,440 15 Deposits of U. S. disbursing officers. $60, 000 00 5, 000 C O 4,510 09 27, 000 00 42, 468 85 594 00 Due to other national banks 346 76 Due to State banks and bankers . 325 00 3,140 00 Notes and bills re-discounted. Bills pay able 1, 350 00 138, 978 94 Total. 138. 978 94 670 EEPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN, Merchants' National Bank, Holly. No. 1965. THOS. HAD LEY, President. S. S. WlLHELM, Cashier, Liabilities. Resources. Loans and discounts ' $61,097 64 Capital stock paid in . Overdrafts 420 00 U. S. bonds to secure circulation ; 50, 000 00 Surplus fund U. S. bonds to secure deposits ! Other undivided profits U. S. bonds on hand Other stocks, bonds, and mortgages .j 2,200 00 National bank notes outstanding Due from approved reserve agents...! 186 78 State bank notes outstanding Due from other banks and bankers .. j 1, 553 83 Dividends unpaid . Real estate, furniture, and fixtures...: 5,313 78 Current expenses and taxes paid 855 87 Premiums paid 4, 500 00 Individual deposits United States deposits Checks and other cash items ! 402 85 Deposits of U. S. disbursing officers. Exchanges for clearing house Bills of other banks ; 1,010 00 Due to other national banks Fractional currency ' 123 81 Due to State banks and bankers . Specie j Legal tender notes j 3,689 00 Notes and bills re-discounted. Bills payable U. S. certificates of deposit Due from U. S. Treasurer | 3, 250 00 Total. Total. $50, 000 00 1, 500 00 1,751 44 45, 000 00 65 00 36,287 12 134, 603 56 First National Bank, Houghton. No. 1247. RANSOM SHELDEN, President. JOHN CHASSELL, Cashier. $437, 993 48 Capital stock paid in . 1,953 31 : 160,000 00 Surplus fund I Other undivided profits Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes , U. S. certificates of deposit Due from U. S. Treasurer $160,000 00 50,000 00 26, 784 39 3oo"66"; National bank notes outstanding 1,638 38 State bank notes outstanding 9, 342 45 Dividends unpaid . 4, 350 00 5, 367 32 Individual deposits . . United States deposits 4, 620 91 Deposits of U. S. disbursing officers. 1,380 00 Due to other national banks 454 51 Due to State banks and bankers . , . . 408 03 16,600 00 Notes and bills re-discounted Bills payable 7, 200 00 Total. 142,148 00 544 00 269, 374 06 2, 757 94 651, 608 39 651, 608 39 First National Bank, Ionia. No. 275. ALONZO SESSIONS, President. Loans and discounts , ' Overdrafts j U. S. bonds to secure circulation \ U. S. bonds to secure deposits j U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total r A. F. CARR, Cashier. $166,873 70 Capital stock paid in . 1,133 01 100, 000 00 Surplus fund Other undivided profits National bank notes outstanding 7,487 17 State bank notes outstanding 1, 155 49 14, 486 34 Dividends unpaid . 2,327 49 Individual deposits United States deposits 917 35 Deposits of U. S. disbursing officers. 2,385 00 221 15 44 60 6 000 00 , 5,500 00 308 531 30 $100, 000 00 27,281 03 5,801 93 90, 000 00 300 00 85,148 34 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. 308, 531 30 REPORT OF THE COMPTROLLER OF THE CURRENCY. 671 MICHIGAN. Second National Bank, Ionia. GEO. W. WEBBER, President. No. 3008. VIRGIL VAN VLECK, Cashier. Resources. Liabilities. Loans and discounts Overdrafts . U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $113,460 95 653 86 50, 000 00 $100, 000 00 Capital stock paid in. Surplus fund Other undivided profits 2, 860 01 15, 223 11 National bank notes outstanding 11, 902 02 State bank notes outstanding 1,135 66 15, 212 09 Dividends unpaid , 1, 451 25 Individual deposits 6, 500 00 United States deposits , 930 81 Deposits of U. S. disbursing officers 45,000 00 3, 040 00 199 07 3, 000 00 48,019 06 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 58 53 3, 650 00 211,160 71 Total. 211,160 71 First National Bank, Jackson. No. 1065. ALONZO BENNETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency .. ... Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $100, 778 51 3,666 27 100, 000 00 JNO. C. BONNELL, Cashier. $100, 000 00 Capital stock paid in . 11,992 77 6, 796 73 Surplus fund Other undivided profits | National bank notes outstanding 3, 220 04 ; State bank notes outstanding . 1,864 32 Dividends unpaid . 4, 879 70 1, 568 07 Individual deposits 3, 999 00 i United States deposits j 4, 770 53 i Deposits of U. S. disbursing officers. 90, 000 00 34, 538 11 550 00 !! Due to other national banks 361 17 I Due to State banks and bankers . 255 00 12, 915 00 Notes and bills re-discounted. Bills payable 4, 500 00 243, 327 61 243, 327 61 Total . People's National Bank, Jackson. JNO. M. ROOT, President. Loans and discounts Overdrafts U S. bonds to secure circulation U. S» bonds to secure deposits U. S bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1533. $119,620 52 4,290 13 100, 000 00 W. C. LEWIS, Cashier. Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 12, 895 02 15,413 49 Dividends unpaid . 2, 004 60 2, 257 23 Individual deposits United States deposits 640 64 Deposits of U. S. disbursing officers. 649 00 22 45 9,500 00 "I"506*6b 271, 793 08 ; | $100, 000 00 12,911 88 13, 623 40 90, 000 60 55, 257 80 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. 271, 793 08 672 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN, First National Bank, Kalamazoo. No. 191. LATHAM HULL, President. CHAUNCEY STRONG, Cashier, Resources. Liabilities. Loans and discounts ; Overdrafts I U. S. bonds to secure circulation j U. S. bonds to secure deposits U. S. bonds on hand j Other stocks, bouds, and mortgages.. • Due from approved reserve agents... ; Due from other banks and bankers .. Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items j Exchanges for clearing house Bills of other banks ; Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total , $312, 409 83 Capital stock paid in . 5, 930 04 50, 000 00 Surplus fund Other undivided profits « 12, 350 00 National bank notes outstanding 23, 852 43 State bank notes outstanding 12, 709 28 Dividends unpaid . 4, 397 41 Individual deposits United States deposits | 1,555 32 Deposits of U. S. disbursing officers.. j $100,000 00 100, 000 00 38,330 15 45,000 00 166, 897 53 2,147 00 Due to other national banks 289 34 Due to State banks and bankers . 537 00 21, 800 00 Notes and bills re-discounted. Bills payable 2, 250 00 450,227 68 Total . 450,227 68 Michigan National Bank, Kalamazoo. WM. A. WOOD, President JNO. W. TAYLOR, Cashier. No. 1359. Loans and discounts j Overdrafts ] U. S. bonds to secure circulation \ U. S. bonds to secure deposits '\ U. S. bonds on hand ! Other stocks, bonds, and mortgages.. Due from approved reserve agents...: Due from other banks and bankers...' Real estate, furniture, and fixtures...i Current expenses and taxes paid \ Premiums paid ! Checks and other cash items j Exchanges for clearing house ' Bills of other banks ! Fractional currencySpecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $241,989 70 ! Capital stock paid in. 411 93 :; 50, 000 00 Surplus fund Other undivided profits 19 420 00 ! National bank notes outstanding 65, 372 38 ! State bank notes outstanding 41,417 94 Dividends unpaid . 16, 000 00 5, 520 86 Individual deposits United States deposits 549 32 Deposits of U. S. disbursing officers. 12, 959 00 149 20 1, 973 59 34, 330 00 " 3,"250"66" $100, 000 00 100, 000 00 49, 958 46 45, 000 00 198, 385 46 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 493, 343 92 493, 343 92 Total. Second National Bank, Lansing. EPHRAIM LONGYEAR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . j Due from approved reserve agents... [ Due from other banks and bankers .. j Real estate, furniture, and fixtures...! Current expenses and taxes paid j Premiums paid ! Checks and other cash items.. Exchanges for clearing house . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer.... Total. No. 264. DENISON LONGYEAR, Cashier. $74,521 15 Capital stock paid in. 322 21 50, 000 00 j Surplus fund | Other undivided profits 7, 991 90 • i National bank notes outstanding 19, 463 25 j State bank notes outstanding 3,141 64 10, 228 02 i| Dividends unpaid . 1,137 29 | Individual deposits i United States deposits 2, 435 09 j Deposits of U. S. disbursing officers . $50, 000 00 10. 000 00 4,581 63 45, 000 00 74, 422 87 4, 524 00 Due to other national banks 210 00 Due to State banks and bankers . 500 00 7, 280 00 Notes and bills re-discounted. Bills payable 2,250 00 : ] 84, 004 55 Total. 184,004 55 673 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. Lansing National Bank, Lansing. JOHN J. BUSH, President. M. L. COLEMAN, Cashier. Resources. Liabilities. $158, 895 54 137 98 75, J00 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency >100, 000 00 Capiial stock paid in . Surplus fund Other undivided profits ""'5'bob'bo 1,200 00 ; National bank notes outstanding 29, 653 07 ! State bank notes outstanding 11,803 71 ! 19, 000 00 i Dividends unpaid. 810 67 j 7, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 748 13 16,180 45 4,129 08 67, 000 00 651 00 138,060 85 3,329 00 ; Due 68 28 !. Due to other national banks to State banks and bankers . 10,000 00 I Notes and bills re-discounted.. Bills payable 3,375 00 I Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer... 326,021 38 I. Total. Total. 326, 021 38 First National Bank, Lapeer. No. 1731. H. K. WHITE, President. Loans and discounts •....... Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits $121, 960 82 262 67 75, 500 00 Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid 10, 900 00 10, 461 92 Checks and other cash items Exchanges for clearing house.... Bills of other banks Fractional currency . C. G-. W H I T E , Cashier. Capital stock paid in National bank notes outstanding State bank notes outstanding 13, 469 04 166 67 4,119 88 4 800 00 000 00 . . . . Surplus fund Other undivided profits 23, 952 45 23, 713 60 66, 095 00 63, 131 34 United States deposits Deposits of U. S. disbursing officers . Due to other national banks 101 39 6,775 00 U. S. certificates of deposit Due from U. S. Treasurer 3,375 00 Total Bills payable 251, 892 39 • 251, 892 39 Total First National Bank, Leslie. ARNOLD WALKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2162. $50, 683 44 88 04 40, 000 00 C. C. WALKER, Cashier, Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 2, 546 00 5, 972 89 770 16 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . $50, 000 00 1, 750 00 1, 845 43 36, 000 00 155 00 14, 966 79 51 00 Due to other national banks 118 69 Due to State banks and bankers . 222 00 2, 465 00 Notes and bills re-discounted. Bills payable 1, 800 00 104, 717 22 Total. 104, 717 22 674 REPORT OF THE COMPTROLLER OF THE CURRENCY MICHIGAN. Lowell National Bank, Lowell. W M . W. HATCH, No. 1280. President. H. M. CLARK, Cashier•„ Liabilities. Resources. $100, 000 00 $172, 303 35 855 82 100, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits Other stocks, bonds, and mortgages . . Due from approved reserve a g e n t s . . . Due from other banks and b a n k e r s . . . Real estate, furniture, and fixtures... Current expenses and taxes paid Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 13, 944 84 57 19 26 54 00 13, 687 1,145 24, 596 2.226 1,260 Fractional currency Legal tender notes . . . . . . . . . . . . . . . . . U S certificates of deposit Due from U. S. Treasurer 90, 000 00 Dividends unpaid Deposits of U. S. disbursing officers . 2,317 00 200 23 494 Vo 4,960 no 1,866 02 Due to State banks and bankers R 25, 651 O Bills payable ....... .... 3,700 00 Total 341, 891 55 Total ......... ..... 102, 993 53 200 00 Checks and other cash items 17, 300 00 4,070 72 341,891 55 First National Bank, Marquette. PETER WHITE, No. 390. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand j Other stocks, bonds, and mortgages.. i Due from approved reserve a g e n t s . . . Due from other banks and bankers . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from TJ. S. Treasurer $365, 086 06 86 60 50, 000 00 18, 9, 14, 70, 700 739 98.4 350 $100,000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 00 34 21 00 40, 000 00 14, 827 44 45, 000 00 Dividends unpaid . Individual deposits . . . . . . . . . . . . United States deposits Deposits of U. S. disbursing officers- 924 96 287, 295 69 Due to other national banks Due to State banks and bankers 4,340 00 296 10 840 65 15, 000 00 "'v~ 256 "66 '| 511 64 Notes and bills re-discounted Bills payable 64, 963 15 Total. 552, 597 92 j Total. H. E . PEARSE, Cashier. Capital stock paid in . 552,597 92 First National Bank, Marshall. C. T. GORHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1515. $218, 265 89 2, 762 11 100, 000 00 ioo 66" 34,804 80 15,031 78 31,068 97 24,182 63 2, 493 25 31 73 1, 859 50 1,117 30, 000 00 60 54 00 GEO. S. W R I G H T , Capital stock paid in j Cashier. •150, 000 00 Surplus fund Other undivided profits 30, 000 00 28, 699 26 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . 167, 454 28 114 76 Notes and bills re-discounted. Bills payable 4, 500 00 466, 268 30 Total. 466, 268 30 REPORT OF THE COMPTROLLER OF THE CURRENCY. 675 M IC H IO A W. National Bank of Michigan, Marshall. H. J. PERRIN, President. No. 1518. WILLIAM POWELL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures .. Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house « Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $231,884 66 5, 518 76 200,000 00 $200, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 1,328 68 13, 650 00 1,339 08 46,388 57 644 78 180, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 253 04 266 00 Due to other national banks 118 43 Due to State banks and bankers . 626 50 6, 400 00 Notes and bills re-discounted.. Bills payable 7, 400 00 2, 329 19 20, 852 90 3, 000 00 468, 785 15 Total., 468, 785 15 15,569 71 National City Bank, Marshall. G. W. BENTLEY, President. No. 2023. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums p aid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Capital stock paid in. $138, 494 92 2, 946 55 50, 000 00 $100,000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 2,175 69 9, 275 07 4,462 93 7, 675 00 1, 206 39 2, 000 00 611 74 15, 000 00 3, 878 73 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 64, 736 27 786 00 Due to other national banks 117 61 113 10 Due to State banks and bankers6, 500 00 Notes and bills re-discounted . Bills payable 2. 250 00 228, 615 00 Total. S. V. R. LEPPER, Cashier. 228,615 00 Total. First National Bank, Mason. No. 1764. MCROBERT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents . . . Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ,..„ Total. H. L. HENDERSON, Cashier. $92, 436 14 j Capital stock paid in. 18 55 i 100, 000 00 j Surplus fund. Other undivided profits 15, 500 731 6,294 5,629 1, 159 00 03 28 00 38 National bank notes outstanding i| State bank notes outstanding |i Dividends unpaid . j| Jj Individual deposits United States deposits.., Deposits of U. S. disbursing officers. Due to other national banks. Due to State banks and bankers . 108 00 ! 1,798 00 | Notes and bills re-discounted Bills payable $100, 000 00 9, 000 00 3, 648 82 88, 500 00 19,251 46 225 00 I 90 "4"566"66" I 228, 400 28 Total. 8, 000 00 228, 400 28 676 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN, First National Bank, Monroe. No. 1587. WM. H. BOYD, President. TALCOTT E. WING, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer ; 199,718 78 139 29 50, 000 00 1, 100 00 16, 228 71 1, 729 84 10,594 50 1, 334 71 Surplus fund Other undivided profits National bank notes outstanding 3, 000 00 11,224 67 45, 000 00 State bank notes outstanding Dividends unpaid Individual deposits United State3 deposits 1,348 00 Deposits of U. S. disbursing officers.. 402 65 Due to other national banks Due to State banks and bankers 9, 500 00 Notes and bills re-discounted Bills payable 129, 804 50 1, 926 76 Total.. 296,529 17 Total. $100, 000 00 Capital stock paid in 7, 500 00 296,529 17 First National Bank, Muir. S. W. W E B B E R , President. Loans and discounts : Overdrafts \ U. S. bonds to secure circulation [ U. S. bonds to secure deposits j. U. S. bonds on hand Other stocks, bonds, and mortgages .. j . Due from approved reserve agents... | Due from other banks and bankers .. J. Real estate, furniture, and fixtures . . . j Current expenses and taxes paid \ Premiums paid j Checks and other cash items | Exchanges for clearing house | Bills of other bank3 | Fractional currency j Specie i. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 2017. JOSIAH E. JUST, Cashier. $65,693 19 i Capital stock paid in . 1, 285 56 50, O0U 00 Surplus fund Other undivided profits. National bank notes outstanding... 4,893 30 State bank notes outstanding 6, 970 12 Dividends unpaid . 997 24 3, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 4,705 28 $50, 000 00 4,200 00 3, 519 73 44,300 00 225 00 2, 800 00 Due to other national banks 9 15 Due to State banks and bankers 1, 500 00 Notes and bills re-discounted., Bills payable 22, 929 75 951 13 16, 773 23 'i'bho'bb' Total. 142,903 84 142, 903 84 Lumberman's National Bank, Muskegon. CHAUNCEY DAVIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid I Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banksr Fractional currenc3 Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Tatal. No. 2081. C. C. BILLINGHURST, Cashier. $244, 949 39 Capital stock paid in . 3,968 16 33, 400 00 Surplus fund O ther undivided profits 53, 326 74 3,829 86 9,500 00 2, 573 94 5, 000 00 379 17 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. $100, 000 00 15, 000 00 7, 626 09 30, 000 00 200 00 231, 463 10 4,014 00 Due to other national banks 123 00 Due to State banks and bankers . 224 93 21, 500 00 i Notes and bills re-discounted. Bills payable 1, 500 00 384, 289 19 Total. 384,289 19 REPORT OF THE COMPTROLLER OF THE CURRENCY. 677 MICHIGAN. Muskegon National Bank, Muskegon. W. B. MCLAUGHLIN, Actsg Cashier. No. 1730. CHAS. T. HILLS, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid.' Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie .• Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. $207,174 61 1, 062 30 50, 000 00 19,100 00 4, 952 52 7,484 52 70, 750 68 2, 666 67 5, 485 35 1,976 02 $200, 000 00 Capital stock paid in. 34, 000 00 20, 984 16 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . 57,101 36 Individual deposits United States deposits Deposits of U. S. disbursing officers. 4,375 00 Due to other national banks 591 07 Due to State banks and bankers . 75 00 5,231 00 Notes and bills re-discounted. Bills payable 2, 250 00 383,174 74 1,404 04 24,685 18 383,174 74 Total. First National Bank, Negaunee. H. E. HAYDON, Presid No. 2085. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency k Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $112, 852 81 3, 890 18 50,000 00 F. E. SNOW, Cashier. $50, 000 00 Capital stock paid in. 5, 000 00 7, 053 70 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 44,870 00 5,204 26 6, 137 12 24,329 12 Dividends unpaid. 15 31 7,170 70 Individual deposits United States deposits 3, 366 57 Deposits of U. S. disbursing officers. 3, 846 00 108 74 12, 790 00 123,524 75 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 1,512 36 "* 2,256"60' 231, 960 81 Total. 231,960 81 First National Bank, Niles. R. W. LANDON, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie & Legal tender notes U. S. certificates of deposit ..„ Due from U. S. Treasurer Total. No. 1761. $124, 070 40 2, 306 82 50, 000 00 WM. R. TAGGART, Cashier. Capital stock paid in Surplus fund Other undivided profits 793 05 National bank notes outstanding 7, 555 79 State bank notes outstanding 6, 488 09 14, 046 96 Dividends unpaid. 1,454 30 Individual deposits United States deposits 43 63 Deposits of U. S. disbursing officers. 1100, 000 00 j [ 10,000 00 4,913 48 45, 000 00 60, 394 20 5,161 00 Due to other national banks 77 64 Due to State banks and bankers. 60 00 6, 000 00 Notes and bills re-discounted . Bills payable Total. 220, 307 678 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN, Citizens' National Bank, Niles. J. C. LARI3IORE, President. No. 1866. O. S. ABBOTT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $77, 676 20 I Capital stock paid in , 2,516 03 i 30, 000 00 ; Surplus fund Other undivided profits National bank notes outstanding 6, 766 06 State bank notes outstanding 327 47 5,782 63 Dividends unpaid . 500 00 3,216 00 Individual deposits United States deposits Deposits of U. S. disbursing officers-. 470 00 129 87 30 00 5, 000 00 $50, 000 00 2, 852 10 711 88 27, 000 00 1,095 00 52,105 28 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable " "1*350*66" 133, 764 26 Total . 133, 764 26 First National Bank, Owosso. C. E. HERSHEY, Asst. Cashier. No. 1573. AMOS GOULD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency ... Specie ,. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $190,456 67 832 09 100, 000 00 2, 534 87 27,955 91 8, 509 86 2, 070 01 3, 465 34 $125, 000 00 Capital Btockpaid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 13,100 00 9, 492 45 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 110,476 11 41s 6b" Due to other national banks 403 59 Due to State banks and bankers . 6, 793 00 Notes and bills re-discounted Bills payable 4,629 22 Total. 348,068 56 348, 068 56 First National Bank, Paw Paw. ALONZO SHERMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currenc}1" > Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1521. $123, 305 69 2, 430 04 50, 000 00 3, 591 98 4, 542 49 10, 036 59 1,311 55 1 50 100 00 F. E. STEVEXS, Cashier. Capital stock paid in. Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding 14,593 71 3, 057 42 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,043 00 Due to other national banks 35 72 Due to State banks and bankers 313 42 8, 927 00 Notes and bills re-discounted Bills payabie "2'256"66" 207,888 98 ilOO, 000 00 Total 45,177 98 18 53 41 34 207,888 98 REPORT OF THE COMPTROLLER OF THE CURRENCY. 679 MICHIGAN. First National Bank, Plymouth. T. C. SHERWOOD, Cashier. No. 1916. E. J. PENNIMAN, President. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures .. Current expenses and taxes paid.. . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 10, 701 35 775 00 845 44 76 00 Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding 12,150 46 3, 395 40 27, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 37,642 98 1,334 00 Due to other national banks 105 22 Due to State banks and bankers . 135 00 4,285 00 Notes and bills re-discounted. Bills payable 1, 350 00 Total. 130,188 84 Total. $50, 000 00 $60,581 83 Capital stock paid in. "36,665 65" ""26,"666"o6* First National Bank, Pontiac. No. 434. W. W. GRAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation — U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $202,130 46 Capital stock paid in. 6, 670 56 100, 000 00 Surplus fund Other undivided profits 200*65" 6, 950 00 National bank notes outstanding 30,569 90 State bank notes outstanding 2, 295 39 15,450 00 Dividends unpaid . 1, 378 88 Individual deposits United States deposits 513 53 Deposits of U. S. disbursing officers. 3, 423 00 430 75 658 45 12, 550 00 $100, 000 00 20, 000 00 6, 289 64 90, 000 00 40 00 171, 391 28 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 4, 500 00 387, 720 92 Total. CHARLES DAWSON, Cashier. 387,720 92 Tota Second National Bank, Pontiac. HOSEA WOODARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1574. A. A. LULL, Cashier. $171,415 32 Capital stock paid in. 2, 787 99 100, 000 00 Surplus fund Other undivided profits ioo'66' 25, 615 21 4,639 33 8, 925 00 1, 788 80 247 87 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. $100, 000 00 20, 000 00 5, 040 04 90, 000 00 50 00 136, 032 08 18, 522 00 Due to other national banks 272 60 Due to State banks and bankers . 182 00 13,526 00 Notes and bills re-discounted. Bills payable 3,100 00 351,122 12 Total. 351,122 12 680 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. First National Bank, Port Huron. No. 1857. HENRY HOWARD, President. H. G. BARNUM, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $292, 089 25 Capital stock paid in ""150"666"66" 7, 855 4, 035 1, 000 397 46 31 00 48 15,000 00 6, 627 01 National bank notes outstanding I State bank notes outstanding Dividends unpaid . 348 51 800 451 491 9,545 $150, 000 00 Surplus fund Other undivided profits . 00 80 23 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 134, 000 00 163, 824 72 1,572 96 2,739 35 6,750 00 Total. 473, 764 04 473,764 04 First National Bank, Romeo. No. 354. M. A. GlDDTNGS, President. Loans and discounts , Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid — Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $174, 616 75 Capital stock paid in. ""166,606 65 3, 647 70 2, 505 10 8, 697 35 163 00 469 22 015 00 00 198 80 7,312 00 5 4*500* 5 " 304 Total. HENRY O. SMITH, Cashier. $100, 000 00 Surplus fund Other undivided profits National banknotes outstanding State bank notes outstanding 30, 000 00 5, 738 10 89, 600 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers . 78, 873 82 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable °11 304,211 92 Citizens' National Bank, Romeo. E. W. GIDDINGS, President. Loans and discounts O verdraf ts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2186. $109,709 04 34, 66656" 32, 751 91 10, 354 36 489 46 4, 345 00 8, 717 07 L. A. READE, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. $100, 000 00 1,500 00 4, 623 42 30, 600 00 80 00 72, 787 32 2, 031 00 41 60 Due to other national banks Due to State banks and bankers . 122 30 5, 500 00 Notes and bills re-discounted. Bills payable Total. 209,590 74 REPORT OF THE COMPTROLLER OF THE CURRENCY. 631 MICHIGAN. First National Bank, Saginaw. A. W. WRIGHT, President. No. 1768, A. F. R. BRALEY, Cashier. Resources. Liabilitie Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $401, 689 10 Capital stock paid in 1,881 78 70, 000 00 Surplus fund Other undivided profits $200,000 00 25, 000 00 22,391 96 National bank notes outstanding 55, 207 77 State bank notes outstanding 4, 422 66 ! 2, 766 98 I Dividends unpaid 3, 628 58 | 7,531 99 | Individual deposits 1,328 04 I United States deposits 4,388 00 Deposits of U. S. disbursing officers.. 945 51 Due to other national banks 2,394 15 Due to State banks and bankers 22, 677 00 Notes and bills re-discounted "3,150 00 Bilis payable Total 582,011 56 58,200 00 263, 415 i 12,278 18 725 49 582,011 56 First National Bank, South Haven. S. R. BOARDMAN, Prei dent. No. 1823. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer C. J. MONROE, Cashier. $64,541 37 Capital stock paid in . $50, 000 00 6, 000 00 2, 889 92 "50," 600*60' Surplus fund Other undivided profits . 1,717 00 20, 425 27 1, 430 88 2, 966 80 889 36 4,000 00 110 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . 45, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 51,997 10 2, 400 00 Due to other national banks 255 17 Due to State banks and bankers . Notes and bills re-discounted I Bilis payable Total. 98 83 155,985 85 Total. First National Bank, St. Clair. DIODO3.US SHELDON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand i Other stocks, bonds, and mortgages .. j Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S- certificates of deposit Due from U. S. Treasurer Total. No. 1789. J. C. CLARKE, Cashier. $83, 569 76 Capital stock paid in 152 87 50, 000 00 Surplus fund Other undivided profits 5,517 14 i National bank notes outstanding... 216 88 State bank notes outstanding ],075 70 Dividends unpaid 2, 189 23 1,135 82 | Individual deposits 414 16 United States deposits 556 12 ! Deposits of U. S. disbursing officers. , 65 Due to other national banks 12 01 Due to State banks and bankers . . . 515 60 1,200 00 Notes and bills re-discounted Bills payable ""27256" 66" 151,312 29 Total $50, 000 00 7,039 11 3,231 75 45,000 00 33,536 29 922 22 2, 146 75 1,436 17 8,000 00 151,312 29 682 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN, First National Bank, St. Johns. CHARLFS K I P P , President. No. 1539. SAML. S. W A L K E R , Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U . S . b o n d s on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and b a n k e r s . . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S.Treasurer $93, 837 14 6, 077 02 50, 000 00 4,198 33 10, 073 7, 4-29 18, 294 1,215 08 68 93 30 Capital stock paid in. 25, 000 00 4, 4S8 27 44, 500 00 ; National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,158 39 421 00 74 14 665 54 2, 639 00 66,051 19 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 2, 347 58 198,431 13 Total. $50, 000 00 Surplus fund i Other undivided profits . 422 30 7, 969 37 Total. 198,431 13 First National Bank, St. Joseph. No. 1866. W. E. HlGMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer $107, 400 60 899 42 30, 000 00 2,154 9, 246 3, 993 2, 346 1, 229 66 29 84 71 80 163 00 JAMES BALEY, Cashier. Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits 6,142 78 1, 903 68 National bank notes outstanding State bank notes outstanding . 27, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 988 00 78 54 250 00 7, 100 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total Total. 81,719 58 434 82 167, 200 86 First National Bank, Sturgis. WILLIAM ALLMAX, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid.... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 825. J O H N J. BECK, Cashier. $123,250 73 !' Capital stock paid in., 4.158 05 i 50,000 00 Surplus fund Other undivided profits 5, 000 00 { National bank notes outstanding 15, 061 80 •State bank notes outstanding 17, 985 56 IDividends unpaid . 11, 906 49 Individual deposits United States deposits 3, 080 76 Deposits of U. S. disbursing officers. $100, 000 00 20,000 00 11,666 07 45, 000 00 78,308 04 105 112 1,163 20, 900 00 Due to other national banks 72 i Due to State banks and bankers. 00 ! 00 | Notes and bills re-discounted.. Bills payable , 2, 250 00 ! 254,974 11 I Total.. 254,974 11 REPORT OF THE COMPTROLLER OF THE CURRENCY. 683 MICHIGAN. First National Bank, Three Rivers. No. 600. E. S. MOORE, President. CHAS. L. BLOOD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $110,478 02 Capital stock paid in. 5,912 79 5U, 000 00 Surplus fund Other undivided profits 23, 700 00 National bank notes outstanding State bank notes outstanding 1,061 71 624 20, 456 2, 456 22 49 5-2 91 69 43 50 616 00 43 02 1,245 09 6, 000 00 $100, 000 00 29, 500 00 5,471 91 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 44,958 83 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total. 224, 930 74 224,930 74 Manufacturers' National Bank, Three Rivers. J. B. Mir LARD, President. No. 1919. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paidPremiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $128, 345 06 1,966 11 50, 000 00 16, 838 8, 159 3, 935 1, 683 47 14 72 84 367 73 2, 824 400 700 7, 000 00 61 00 00 ""2,"250"66" Capital stock paid in. $50, 000 00 Surplus fund « Other undivided profits 40, 000 00 15, 120 15 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 74, 350 53 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 224, 470 68 Total. O. F. MILLARD, Cashier. Total. 224,470 68 Union City National Bank, Union City. D. R. COOLEY, President. No. 1826. Loans and di-counts Overdrafts -U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand -Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 1,691 82 507 75 5, 494 44 296 73 2,500 00 574 75 5, 064 00 103 80 328 87 4, 800 00 -40 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $50, 000 00 8,318 10 2, 657 38 45, 000 00 Dividends unpaid. Individual deposits . United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable , 27,184 82 4, 5C0 00 2, 250 00 137, 660 30 Total. H. Ex. 3- $62, 204 96 1,843 18 50, 000 00 CHAS. T. ALLEN, Cashier. Total. 137, 660 30 684 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. First National Bank, Ypsilanti. I. N. CONKLIN, President. No. 155. F. P. BOGARDUS, Cashier. Resources. Loans and discounts Overdrafts U. S, bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand | Other stocks, bonds, and mortgages.. I Due frem approved reserve agents...{ Due from other banks and bankers..} Real estate, furniture, and fixtures...i Current expenses and taxes paid ! Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit i Due from U. S. Treasurer j Total Liabilities. ! 121,346 88 3. 449 68 75, 000 00 6,010 00 9, 682 26 I, 014 99 9, 561 49 3, 043 84 1, 913 58 63 i 00 8 23 796 50 23,001 00 $75, 000 00 Capital stock paid in. Surplus fund Other undivided profits 25, 000 00 7, 922 78 National bank notes outstanding State bank notes outstanding 61, 500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 89, 906 72 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 3, 870 05 259, 339 5'J Total I 259, 329 50 REPORT OF THE COMPTROLLER OF THE CURRENCY. 685 WISC ONSIN. First National Bank, Applet on. AUG. LEDYARD SMITH, President. No. 1749. HERMAN E R B , Cashier. Liabilities. Resources. Capital stock paid in . $75, 000 00 Surplus fund Other undivided profits Loans and discounts Overdrafts U. S. bonds to secure circulation XJ. S. bonds to secure deposits U. 8.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items. Exchanges for clearinghouse. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer. 15, 000 00 1,939 13 National bank notes outstanding State bank notes outstanding i 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. Total . 97, 424 1, 8->2 57 1, 745 50 2,172 25 240,104 11 Manufacturers' National Bank, Appleton. C. G. ADKINS, President. No. 1820. Loans and discounts .-,, . . . . Overdrafts -r. „ . . . U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie -. Legal tender notos U. S. certificates of deposit Due from U. S. Treasurer $69, 587 22 1, 875 18 50, 000 00 1,155 67 2, 040 21 14, 262 43 Capital stock paid in . $50, 000 00 Surplus fund Other undivided profits 4, 700 00 7, 722 82 National bank notes outstanding State bank notes outstanding 43, 930 00 Dividends unpaid . Individual deposits United States deposits 19 30 Deposits of U. S. disbursing officers . 198 00 Due to other national banks 533 77 Due to State banks and bankers 14 L 35 5, 760 00 Notes and bills re-discounted. Bills payable 2, 250 00 Total. 147,823 13 Total. ALFRED GALPIN, Jr., Cashier. 40, 477 96 954 26 68 09 147,823 13 First National Bank, Baraboo. D. S. VlTTUM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. Total. No. 2079. $56, 086 17 R. M. STRONG, Cashier. Capital stock paid in.. ""46*606"66' Surplus fund ""10,466" 66' 4,858 53 5,142 64 15, 200 00 61 96 4, 400 00 1, 904 22 Other undivided profits National bank notes outstanding State bank notes outstanding 2,179 46 445 73 35, 717 00 Dividends UDpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 847 00 Due to other national banks . . . 52 99 Due to State banks and bankers 550 00 7,125 00 Notes and bills re-discounted. Bills payable 1, 800 00 150,428 51 $50, 0CO 00 Total. 52, 056 56 29 76 ""io'ooo'uo 150, 428 51 686 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. National Bank, Beaver Dam. J. J. WlLLTAMS, President. No. 851. C. W. WHINFIELD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $48, 616 87 663 25 50,000 00 11,366 31 2,717 35 23, 000 00 l,07L 50 31 00 Surplus fund Other undivided profits National bank notes outstanding... State bank notes outstanding 10, 000 00 1,942 21 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 43,023 52 4,775 00 Due to other national banks 151 45 Due to State banks and bankers. 57 00 5, Z6Q 00 Notes and bills re-discounted Bills payable 2, 250 00 Total. 149, 965 73 Total. $50,000 00 Capital stock paidin. 149, 965 73 First National Bank, Beloit. No. 2163. Louis C. HYDE, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits II. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures - Current expenses and taxes paid.».. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency.... . . Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $100,734 83 2,204 91 30, 000 00 2*866"66" 27, 849 72 1,431 98 883 53 494 30 325 17 10,551 00 336 07 717 75 12, 50U 00 W. M. BRITTAN. Cashier. $50, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 3, 5C0 00 5, 674 47 27, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. iS. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , 67, 446 57 38, 558 22 1, 350 00 Total.. 192, 179 26 192,179 26 First National Bank, Boscobel. J . H. SARLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U.S. certificates of deposit Due from U. S. Treasurer Total. No. 1771. M. D. TiLLOTSON, Cashier. $65, 346 29 | Capital stock paid in. 529 61 50, 000 00 Surplus fund Other undivided profits 543 69 1,372 52 1,111 33 5,418 45 103 50 National bank notes outstanding State bank notes outstanding 3, 446 43 7, 826 21 45, 0G0 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 437 90 427 3, 700 00 I Due to other national banks 40 Dae to State banks and bankers . 00 00 Notes and bills re-discounted. Bills payable 2, 250 00 131, 329 79 $50, 000 00 Total. 15, 906 23 150 92 9, 000 00 131, 329 79 REPORT OF THE COMPTROLLER OP THE CURRENCY. 687 WISCONSIN. First National Bank, Burlington, No. 1933. JEROME T. CASE, President. CHAUNCY HALL, Cashier.. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $80,209 13 176 50 50, 000 00 Surplus fund Other undivided profits 15, 000 00 3,583 28 National bank notes outstanding State bank notes outstanding 100 65 5, 400 00 11,857 59 2,929 13 2,000 00 659 00 $50,000 00 Capital stock paid in 45,000 00 Dividends unpaid Si 38, 2-23 74 ! Individual deposits ; United States deposits I Deposits of U. S. disbursing officers.. 500 00 Due to other national banks 65 67 Due to State banks and bankers 160 00 5, 500 00 ! Notes and bills re-discounted Bills payable 10, 000 00 First National Bank, Chippewa Falls. T. L. HALBERT, President. L. M. NEWMAN, Cashier. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real .estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie L ?gal tender notes U. S. certificates of deposit. Due from U. S. Treasurer. 5106, 742 49 756 89 35, 000 00 5, 000 00 8, 624 2, 124 17,713 1,568 5, 162 63 91 97 91 50 1,056 14 734 00 244 56 Capital stock paid in . j Surplus fund Other undivided profits I National bank notes outstanding State bank notes o u t s t a n d i n g ! $75,000 00 6,500 00 3, 444 97 31,500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 38, 393 83 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable Total. Total 34,390 20 189,229 00 First National Bank, Columbus. R. W. CHADBOURN, President. Loans and discounts O verdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on h a n d . . . . Other stocks, bonds, and mortgages Due from approved reserve agents , Due from other banks and bankers Real estate, furniture, and fixtures . Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks . Fractional currency Specie Legal tender note: U. S. certificates of deposit Due from U. S. Treasurer Total No. 178. $60,710 85 835 89 50, 000 00 5, 000 00 7, 720 24 7, 588 53 400 00 631 71 S. W. CHADBOURNT, Cashier. Capital stock paid in . $50, 000 00 Surplus fund Other undivided profits ] 0, 000 00 7, 907 64 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U, S. disbursing officers. 43, 520 67 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable Total - 156,428 31 683 REPORT OP THE COMPTROLLER OF THE CURRENCY. WISCONSIN. National Bank, Delavan. No. 1248. EBEN. LATIMER, President. I). Resource! B. BARNES, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation ; U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents . . . Due from other banks and bankers... Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie.. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $62, 451 59 4,034 66 30, 000 00 2, 407 10, 531 7, 800 ], 997 98 41 00 62 3, 200 00 3, 251 00 60 46 200 00 6, 000 00 , ],350 00 Total Capital stock paid in . $50, 000 00 Surplus fund Other undivided profits 8, 273 88 9, 785 30 27, 000 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . 38, 225 54 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total 133,284 72 | 133,284 72 First National Bank, Eau Claire. F. No. 2069. W. W O O D W A R D , President. $95, 640 77 4,598 67 5'), 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits . U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TT. S. certificates of deposit Due from U. S. Treasurer GEO. T. THOMPSON, Cashier. $60, 000 00 Capital stock paid in 4,000 00 5, 172 31 Surplus fund Other undivided profits i 11, 76i2 8, 171 7t 265 2, 098 3'906 1,691 11 86 28 47 25 1,665 161 553 7, 450 00 46 94 00 44 National bank notes outstanding State batik notes outstanding . ! 45, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers 82, 083 15 917 87 44 92 Notes and bills re-discounted. Bills payable 2, 250 00 197, 218 25 197, 218 25 Total. First National Bank, Elk Horn. No. 873. C H R I S . W I S W E L L , President. ; Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds 011 hand Other stocks, bonds, and mortgages.. . Due from approved reserve agents... j Due from other banks and bankers . . j Real estate, furniture, and fixtures... I Current expenses and taxes paid i Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $102,079 23 3, 614 fil 75, 000 00 14,534 41 991 06 7, 000 00 568 64 i ; , 1,695 52 953 27 86 5, 500 00 30 50 00 ,.. W. H. CONGER, Cashier. Capital stock paid in . $75, 000 00 Surplus fund Other undivided profits 4, 700 00 3,045 30 National bank notes outstanding State bank notes outstanding 67,388 00 Dividends unpaid . Individual deposits . United States deposits Deposits of U. S. disbursing officers 65,291 97 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable. 3, 375 00 215, 425 27 215, 425 27 EEPORT OP THE COMPTROLLER OF THE CURRENCY. 689 WISCONSIN. First National Bank, Fond du Lac. No. 555. A. G. RUGGLES, President. J. B. PERRY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures- Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes ,. U. S. certificates of deposit Due from U. S. Treasurer Total . $312, 335 73 Capital stock paid in., 1 76 50, 000 00 Surplus fund Other undivided profits 6o6'6o' 13,689 38 12, 846 27 31, 870 28 4,230 9L 3, 206 22 $100, 000 00 66, 448 20 21, 187 29 National bank notes outstanding State bank notes outstanding 42, 983 00 Dividends unpaid. Individual deposits United States deposits ,_. Deposits of U. S. disbursing officers. 1, 993 00 Due to other national banks 333 17 Due to State banks and bankers 1,390 44 31,200 00 Notes and bills re-discounted . Bills payable. 6,250 00 Total. 469,947 16 231, 816 63 1,012 04 6, 500 00 .469,947 16 First National Bank, Fort Atkinson. No. 157. J. D. CLAPP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures -. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S.Treasurer Total $94, 309 72 9, 873 29 30, 000 00 2, 800 00 9, 778 55 1,848 08 19,012 16 724 40 346 36 L. B. CASWELL, Cashier. Capital stock paid in . $75, 000 00 Surplus fund Other undivided profits 20, 000 00 6, 986 13 National bank notes outstanding State bank notes outstanding 27, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 44, 007 03 ""485" 56" Due to other national banks Due to State banks and bankers 2, 300 00 Notes and bills re-discounted. Bills payable "i, 350 66' Total. 172,993 16 First National Bank, Fox Lake. J. W. DAVIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 4'26. $90, 246 97 963 88 80, 000 00 "*"i,*6o6"66' 2, 686 95 4,221 52 6, 177 49 325 73 150 00 303 45 4,114 00 204 09 13,200 00 "3,~666'ob" 207,194 08 W. J. DEXTER, Cashier. Capital stock paid in . $80, 000 00 Surplus fund Other undivided profits 12, 300 00 2,424 57 National bank notes outstanding State bank notes outstanding 71, 300 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 41,160 65 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 207,194 08 690 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. First National Bank, Grand Rapids. THOS. B. SCOTT, President. No. 1993. W. H. COCHRA.V, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents .. Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total Liabilities. $86, 003 64 732 75 50,000 00 2, 362 84 1,291 31 870 42 1, 072 65 2,541 52 800 00 33 32 5, 000 00 ' 2, 250 00" Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits „ National bank notes outstanding State bank notes outstanding 17,550 17 3, 003 80 45, 000 00 Dividends unpaid. Individual deposits . United States deposits Deposits of U. S. disbursing officers. 36, 439 61 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 152,958 45 750 00 214 87 Total 152,958 45 First National Bank, Green Bay. No. 874. HENRY STRONG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $238, 983 28 1,742 84 50, 000 00 10,168 24, 937 25, 159 9, 179 2,464 38 60 53 59 79 355 02 2, 402 1, 115 1,305 40, 000 00 82 7L 00 $50,000 00 Surplus fund , Other undivided profits. National bank notes outstanding State bank notes outstanding 10, 000 00 3,310 62 45, 000 00 Dividends unpaid . Individual deposits United States deposits „., Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 410,064 56 Total. M. D. PEAK, Cashier. Capital stock paid in. Total. 300,418 62 1, 025 58 309 74 410,064 56 Kellogg National Bank, Green Bay. K. B. KELLOGG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand | Other stocks, bonds, and mortgages... Due from approved reserve agents . . . Due from other banks and bankers... Real estate, furniture, and fixtures Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes IT. S. certificates of deposit Due from U. S. Treasurer Total. No. 2132. $143, 771 45 101 05 30, 000 00 loo oo 11,094 19,955 4,784 1,418 33 73 64 18 911 15 6, 015 284 1, 25-3 20, 000 00 90 25 C O H. G-. FREEMAN, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $50, 000 00 25, 000 00 5, 936 80 27, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 131,919 73 1,428 07 44 OS l,6L0 00 241,328 68 Total . 241,328 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 691 WISC ONSIN, First National Bank, Hudson. JOHN COMSTOCK, No. 95. President. A. E. JEFFERSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $73,454 64 Capital stock paid in. 4,444 62 50, 000 00 Surplus fund Other undivided profits 91 50 National bank notes outstanding 24,430 15 State bank notes outstanding 17,048 53 Dividends unpaid . 11,811 91 4, 368 93 Individual deposits United States deposits 928 43 Deposits of U. S. disbursing officers . $50, 000 00 10,000 00 14, 489 42 45, 000 00 88, 093 64 11,834 00 Due to other national banks 67 50 Due to State banks and bankers . 402 85 5, 000 00 Notes and bills re-discounted. Bills payable * 3, 700 00 Total. 207, 583 06 207, 583 06 First National Bank, Janesville. No. 83. J. D. REXFORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $216,137 44 Capital stock paid in. 1, 510 76 140, 000 00 Surplus fund ifcoooo" Other undivided profits National bank notes outstanding 6,241 05 State bank notes outstanding 21,739 3L Dividends unpaid . 17,100 00 6, 759 29 Individual deposits United S tates deposits 1,360 56 Deposits of U. S. disbursing officers . 6,391 444 291 25, 350 $125, 000 00 55, 000 00 19,979 18 125, 000 00 127, 016 03 00 Due to other national banks 55 Due to State banks and bankers. 25 00 Notes and bills re-discounted . Bills payable 451,995 21 Total. J. B. DOF, Cashier. 451,995 2L Total. Rock County National Bank, Janesville. S. W. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 749. C. S. CROSBY, Cashier. $204, 557 71 Capital stock paid in. 2, 023 09 7o\ 000 00 Surplus fund Other undivided profits 1,500 00 6, 344 84 4, 276 73 3, 400 00 3, 502 46 National bank notes outstanding State bank notes outstanding 5100, 000 00 43, 000 00 7,000 74 68,400 00 Dividends unpaid . Individual deposits United States deposits 681 50 Deposits of U. S. disbursing officers - 102,103 80 1,672 00 Due to other national banks 78 30 Due to State banks and bankers . 347 9L 12, 000 00 Notes and bills re-discounted. Bills payable Total. 320, 504 54 692 REPORT OF THE COMPTROLLER OF THE CURRENCY. wise ONS IN. First National Bank, Kenosha. No. 212. Z. G. SIMMONS, President. J . H. VERMILYE, Cashier. Resources. Overdrafts U. S. bonds to secure circulation U S bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents. . . Due from other banks and bankers . . Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U.S. certificates of deposit..'. Due from U. S. Treasurer Liabilities. $130, 067 40 1 747 60 50, 000 00 20, 650 00 3,711 90 627 99 2,179 07 1,140 05 914 qq 181 03 487 2o 6, 126 00 Capital stock paid in $50, 000 00 Surplus fund . . . . . . . Other undivided profits 21, 000 00 2, 649 35 National bank notes outstanding 44, 200 00 Dividends unpaid . . . . . . . . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers 98, 493 75 3,740 18 Notes and bills re-discounted 2 250 00 u Total 220, 083 28 Total 220, 083 28 First National Bank, Madison. No. 144. N. B. VAN SLYKE, Preside?it. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie L egal tender notes U. S. certificates of deposit Due from U. S. Treasurer , $240,582 66 6,811 92 50, 000 00 75, 000 00 1,950 00 17, 470 27 14,341 49 551 55 23, 825 75 4, 171 50 19,357 69 2,918 30 20, 000 00 2,921 00 767 99 1, 633 44 38, 148 00 20, 000 00 i>,230 00 W A Y N E RAMSAY, Cashier. $150, 000 00 Capital stock paid in. Surplus fund Other undivided profits. 30, 000 00 9,331 94 National bank notes outstanding . . . State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 1,422 52 Notes and bills re-discounted Bills payable 522, 701 56 Total. 231, 916 23 11,666 73 43,364 14 522, 701 56 First National Bank, Manitowoc. C. C. BARNES, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency ^ S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 852. $119,367 56 2,215 65 50, 000 00 4,"ioo"no" 3;099 90 24,747 76 20, 602 34 5, 119 57 2, 052 75 132 36 CHAS. L U L I N G , Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $50, 000 00 6, 700 00 5, 072 55 45, 0C0 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 153,168 79 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable Total. 259,941 34 REPORT OF THE COMPTROLLER OF THE CURRENCY. 693 WISCONSIN. National Bank, Menasha. No. 1714. itOBERT SHTELLS, President. HENRY HEWITT, Jr., Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bondj to secure deposits U. S.bond on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $65, 660 89 296 39 50, 000 00 $50, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 1,510 32 4, 22L 84 5, 654 21 Dividends unpaid. 322 15 Individual deposits United States deposits 5 00 Deposits of U. S. disbursing officers. 542 00 194 75 422 70 7, 500 00 a,"'25O 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 138, 580 25 Total. 5, 500 00 863 04 43,891 00 36,160 20 1,359 99 806 02 138, 580 25 First National Bank, Milwaukee. No. 64. E. H. BRODHEAT), President. Loans and discounts , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand , Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankersReal estate, furniture, andfixturesCurrent expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house , Bills of other banks , Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $724, 518 57 3, 233 06 50, 000 00 200, 000 00 2, 350 00 35, 862 50 105, 725 87 65, 635 97 41,266 76 1,358 09 133 23 4, 276 16 55, 884 57 5, 191 00 3, 359 88, 750 35, 000 2, 250 53 00 00 00 $200, 000 00 Capital stock paid in Surplus fund Other undivided profits 43, 000 00 25,163 03 National bank notes outstanding 45, 000 00 State bank notes outstanding 2, 586 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable , 1, 424, 795 31 Total. H. H. CAMP, Cashier. Total 611,913 78 153,361 75 22, 943 09 171,638 06 139, 189 60 10, 000 00 1,421,795 31 Milwaukee National Bank of Wisconsin, Milwaukee. C. T. BRADLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1017. $598, 475 91 3, 603 66 50,000 00 53, 000 00 17, 450 00 119,518 20 81,643 68 63, 925 10 5, 723 56 340 00 76, 586 05 3,140 00 1,138 31 5, 000 00 86, 000 00 T. L. BAKER, Cashier. Capital stock paid in. Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding $250, 000 00 125, 000 00 11,385 18 45, 000 00 Dividends unpaidIndividual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 605, 441 97 72, 780 08 55,187 24 2, 250 00 1,164,794 47 Total. 1, 164,794 47 694 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. National Exchange Bank, Milwaukee. No. 1003. C. D. NASH, President. W. G. FITCH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $562, 1, 70, 175, 444 31 151 90 000 00 000 00 $200, 030 00 | Capital stock paid in . I Surplus fund Other undivided profits. 18, 600 00 National bank notes outstanding . . . 158,898 84 State bank notes outstanding 33, 096 23 Dividends unpaid . 43, 000 00 4,431 92 Individual deposits j| United States deposits Deposits of U. S. disbursing officers 120, 027 31 1,823 00 j Due to other national banks 3, 209 65 Due to State banks and bankers 143,027 00 I Notes and bills re-discounted.. I Bills payable 3, 150 00 1,337,860 16 90, 000 00 20, 023 54 63, 000 00 723, 826 57 4, 565 38 101, 403 15 57, 569 70 77, 47 L 82 1,337,860 16 Total . First National Bank, Monroe. ARABUT LuDLOW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency " Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 230. J. B. GALUSHA, Cashier. $141,742 57 Capital stock paid in . 721 10 90, 000 03 Surplus fund Other undivided profits National bank notes outstanding 38, 233 86 State bank notes outstanding 29 32 18, 500 00 Dividends unpaid . 1,562 50 Individual deposits United States deposits 1,294 50 Deposits of U. S. disbursing officers. $90, 000 00 28, 000 00 8,360 40 81,000 00 104,714 35 1,852 00 169 05 909 85 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted 13, 010 00 Bills payable 4, 050 65" Total. 312,074 75 312,074 75 National Bank, Neenah. HENRY HEWITT, Sr., President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1602. ROBERT SHIELLS, Cashier. $167,219 97 Capital stock paid in . 1, 899 36 75, 000 00 Surplus fund Other undivided profits National bank notes outstanding 10,887 14 State bank notes outstanding 2, 14-2 73 Dividends unpaid. " 4,'O77 35* Individual deposits 1 United States deposits Deposits of U. S. disbursing officers . 2, 39 L 00 Due to other national banks 210 92 Due to State banks and bankers . . . 722 23 ! 10, 000 00 Notes and bills re-discounted. ; Bills payable 3, 165 00 277,715 70 Total. $75, 000 00 15, 000 00 6, 275 93 66,590 00 107, 69 L 56 484 16 674 05 6, 000 00 277, 715 70 REPORT OF 'WIE COMPTROLLER OF THE CURRENCY. 6 9 5 "WISCONSIN. First National Bank, Oshkosh. No. 218. S. M. HAY, President. CHAS. SCHRIBER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $335,414 38 Capital stock paid in. 682 00 100, 000 00 Surplus fund 50,000 00 Other undivided profits . 21, 690 04 56,369 41 27,614 35 3,116 33 4,293 490 6,597 40, 270 00 96 00 00 25, 000 00 16, 687 64 National bank notes outstanding State bank notes outstanding 73,100 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers.. 403, 327 02 34, 400 36 662 33 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 6, 639 88 653,177 35 Total. $100, 000 00 Total . . 653,177 35 Union National Bank, Oshkosh. No. 1787. D. L. LlBBEY, Preside* Loans and discounts Overdrafts U. S. bonds' to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes .. . U. S. certificates of deposit Due from U. S. Treasurer. Total . $251,434 88 293 02 100,000 00 4, 996 4, 154 24, 130 4,173 54 26 52 26 1,194 74 5, 213 273 539 19, 300 00 19 50 00 R. C. RUSSELL, Cashier. Capital stock paid in. $100,000 00 Surplus fund Other undivided profits 30, 000 00 30, 757 40 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid. 30, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 136, 445 5L Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 3, 000 00 4, 500 00 Total. 420,202 9L 420,202 91 First National Bank, Racine, N. D. FRATT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 457. 1267, 572 76 2, 500 23 81, 000 00 40,322 14 4,994 85 4,000 00 4, 393 27 3, 018 79 1, 640 212 248 26, 796 00 41 90 00 D A R W I N ANDREWS, Cashier. Capital stock paid in . $100, 000 00 Surplus fund O ther undivided profits 94,321 01 9, 087 20 National bank notes outstanding State bank notes outstanding 72, 900 00 Dividends unpaid. Individual deposits , United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers 165,389 70 344 77 101 07 Notes and bills re-discounted. Bills payable , 4,444 40 442,143 75 Total. 442, 143 75 696 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. Manufacturers' National Bank, Racine. J. I. CASE, President. No. 1802. B. B. NORTHROP, Cashier. Resources. Liabilities. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $496,239 56 Capital stock paid in 3, 610 77 100, 000 00 Surplus fund . Other undivided profits 4,500 66 National bank notes outstanding 52, 10, 13, 6, 270 636 000 351 765 02 37 00 71 35 4, 952 37 10, 539 912 1,467 53,041 00 58 43 00 4,500 00 $250, 000 00 50, 000 00 13, 733 85 90, 000 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. 762,786 16 337,710 79 7, 876 12 465 40 13, 000 00 762,786 16 First National Bank, Ripon. E. P. BROCKWAY, President. No. 425. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae from U. S. Treasurer Total. GEO. L. F I E L D , Cashier. $114,156 25 Capital stock paid in. 897 80 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding 17, 464 82 State bank notes outstanding 5, 209 35 Dividends unpaid. 4, 000 00 808 30 Endividual deposits United States deposits 42 33 Deposits of U. S. disbursing officers. 138 01 430 25 11,541 00 $60,000 00 15, 000 00 6, 199 15 45, 000 00 10, 738 96 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2, 250 00 Total. 206,938 11 206,938 11 First National Bank, Sheboygan, J. W. DOW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . W. C. TlLLSON, Cashier. No. 2123. $118,257 06 Capital stock paid in . 1,057 00 50, 000 00 Surplus fund Other undivided profits . National bank notes outstanding 3, 340 66 State bank notes outstanding 13, 410 1, 339 7, 500 1, 758 62 36 00 60 700 00 1,413 56 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 245 79 235 13, 000 00 Due to other national banks 22 Due to State banks and bankers . 00 00 Notes and bills re-discounted. Bills payable 2, 250 00 213,472 52 $50,000 00 Total. 116,093 81 265 15 213, 472 52 EEPOKT OF THE COMPTROLLER OF THE CURRENCY. 697 wise ONSIN. First National Bank, Sparta. F. C. ALLEN, Cashier. No. 3115. J. P . HEMPHILL, President. Liabilities. Loans and discounts Overdrafts XJ. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $125,137 21 673 38 50, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 15,180 5,761 9, 368 93 Checks and other cash i t e m s . . . . Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes . TJ. S. certificates of deposit D XQ from U. S. Treasurer. 650 66 75 67 00 90 294 35 4, 027 656 547 10,413 00 92 15 00 Capital stock paid in. $50, 000 C O Surplus fund Other undivided profits 10, 000 00 1,142 85 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 100, 910 > Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. Total. 18, 000 00 225, 053 33 Wisconsin National Bank, Watertown. W. M. DENNIS, President. No. 1010. Loans and discounts Overdrafts U. S. bonds to secure circulation XJ. S. bonds to secure deposits XJ. S. bonds on hand Other stocks, bonds, and mortgages. $131, 990 42 2,418 37 50, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 4, 405 342 6,390 985 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer 4, 776 96 2, 447 417 3,23i 9,000 23 67 46 78 00 33 33 00 , P . V. BROWN, Cashier. Capital stock paid in. $60, 000 00 Surplus fund Other undivided profits 23, 000 00 2,620 83 National bank notes outstanding State bank notes outstanding 44, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Dae to other national banks Dae to State banks and bankers 81,456 51 7, 488 30 89 91 Notes and bills re-discounted. Bills payable Total., Total. 218, 655 55 Waukesha National Bank, Waukesha. W I L L I A M BLAIR, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1086. $159, 223 53 1,694 87 50, 000 60 """25,"850 66 3, 000 00 27,258 28, 817 7, 000 1,787 77 44 00 13 1, 327 22 907 654 665 33, 000 00 67 17 00 343, 435 80 A. J. FRAME, Cashier. Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits 10, 000 00 19, 645 72 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 218,790 08 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable Total 343, 435 1 698 REPORT OF THE COMPTROLLER OF THE CURRENCY. WIS C ONSIN. First National Bank, "Whitewater. C. M. BLACKMAN, President. No. 124.. G-EO. S. MARSH, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Blls of other banks Fractional currency S pecie Legal tender notes U. 8. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $191,222 20 1, 145 15 50, 000 00 266 66" 15,378 39 5,930 14 5, 600 50 1, 615 04 25 7L 137 08 3, 966 00 97 99 123 85 10,701 00 Capital stock paid in . $100,000 00 Surplus fund O ther undivided profits 43, 000 00 13,714 15 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid.. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted.. Bills payable 81,072 03 5, 606 87 2, 250 00 218, 393 05 Total. 288. 393 05 639 REPORT OF THE COMPTROLLER OF THE CURRENCY. A. First National Bank, Aft on. No. 2326. J. T. BEEBE, President. O. E. DAVIS, Cashier. Resources. Liabilities. $28,297 12 Capital stock paid in Loans and discounts Overdrafts . U. S. bonds to secure circulation U. S. bonds to secure deposits 30, 000 00 Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers-.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes 5, 637 24 $40, 000 00 Surplus fund Other undivided profits 111 02 1, 455 55 National bank notes outstanding State bank notes outstanding . . . . . . . 7, 012 05 Dividends unpaid 517 80 5, 227 50 I Individual deposits United States depositsDeposits of U. S. disbursing officers.. 178 00 243 13 96 65 3,164 00 27,000 00 206 16 12, 950 76 Due to other national banks Due to State banks and bankers Notes and bills re-discounted 1,350 00 Due from U. S. Treasurer Total 81, 723 49 Total.... 81, 723 49 First National Bank, Albia. No. 1799. J. H. DRAKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes .. U. S. certificates of deposit Due from U. S. Treasurer $120 038 64 1,218 44 50, 000 00 1,230 16 501 98 8, 000 00 1,641 20 8, 200 00 BEN. F. ELBERT, Cashier. Capital stock paid in. $75, 000 00 Surplus fund Other undivided profits 26, 000 00 8, 905 03 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 62,190 39 Due to other national bank Due to State banks and bankers Total. First National Bank, Allerton. WM, BRADLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums p aid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3- -41 T. P. WALDEN, Cashier. No. 2191. $52, 413 75 6 29 50, 000 00 12, 487 452 2,127 765 2,451 297 98 50 68 30 76 03 815 00 60 16 6, 445 00 Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits 10, 000 00 2, 690 02 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers . Notes and bills re-discounted.. Bills payable 21,116 37 .. .•. 1,269 06 """I,"75O"66" 130, 075 45 Total., 130, 075 45 700 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Anamosa. No. 1813. H. C. METCALP, President. T. W. SHAPLEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation j U. S. bonds to secure deposits U. S. bouds on hand Other stocks, bonds, and mortgages.. j Due from approved reserve agents - .. Due from other banks and bankers.. Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fraction al currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $70,414 96 7,514 27 50, 000 00 $50, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 138 91 349 12 1, 635 67 Dividends unpaid . 1, 693 69 6, 501 68 Individual deposits deposits 6, 526 42 U n i t e d s t a t e 8 Deposits of U. S. disbursing officers. 88 00 Due to other national banks 132 93 Due to State banks and bankers . 203 76 5,500 00 Notes and bills re-discounted. Bills payable 1, 650 00 i Total. 152,349 41 : 4, 782 26 2,036 03 45, 000 00 175 00 50; 133 00 223 12 152,349 41 First National Bank, Belle Plaine. No. 2012. J. A. DURAND, President. Loans and discounts ! Overdrafts I U. S. bonds to secure circulation I U. S. bonds to secure deposits U. S. bonds on hand j Other stocks, bonds, and mortgages..! Due from approved reserve agents... j Due from other banks and bankers..| Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. S. S. SWEET, Cashier. $75, 292 11 Capital stock paid in 812 40 50, 000 00 Surplus fund Other undivided profits $50, 000 00 7, 000 00 5, 039 40 National bank notes outstanding 570 42 State bank notes outstanding... 341 48 Dividends unpaid 1, 2L2 98 Individual deposits 146 00 United States deposits 755 00 Deposits of U. S. disbursing officers.. 27 27 Due to other national banks 180 00 Due to State banks and bankers 5, 000 00 Notes and bills re-discounted 2, 250 00 | Bills payable 136, 587 66 Total. 45, 000 00 35 00 27,513 26 2,000 C O 136, 587 66 First National Bank, Boone. W. F. CLARK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks. Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 2051. $127,617 51 64 75 50, 000 00 C. J. A. ERICSON, Cashier, Capital stock paid in Surplus fund Other undivided profits National banknotes outstanding 3, 076 33 59 80 11,850 6L 1, 685 12 7, 692 32 483 81 502 i)(V 83 08 95 00 9,134 00 $100, 000 00 ""3,804 12 45, 000 00 State bank notes outstanding Dividends unpaid Individual deposits. . United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 60, 790 21 5, 000 00 2, 250 00 214, 594 33 Total. 214,594 33 REPORT OF THE COMPTROLLER OP THE CURRENCY. 70L 1 O W A . Brighton National Bank, Brighton. No. 2033. R. C. RISK, President. J. W. PRIZER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $49,270 48 Capital stock paid in I " 50," 666" 66" Surplus fund j i Other undivided profits National bank notes outstanding State bank notes outstanding . Dividends unpaid 1, 915 94 354 25 6,950 00 755 74 5, 300 00 6, 110 19 3, 237 554 240 7, 500 I Individual deposits j United States deposits j Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 00 73 00 00 2, 250 Oi) 134, 438 33 Total. $50,00000 9, 000 00 7, 085 47 44, 500 00 23, 852 ! 134, 438 33 First National Bank, Burlington. No. 351. LYMAN COOK, President, Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer. 5214, 057 48 4, 901 46 50, 000 00 J. C. OSGOOD, Cashier. Capital stock paid in. $100, 000 00 Surplus fund O ther undivided profits National bank notes outstanding State bank notes outstanding 5,128 16, 465 11,469 2, 536 2, 570 30 23 28 50 Dividends unpaid . 87 Individual deposits United States deposits 3, 792 24 Deposits of U. S. disbursing officers. 14, 422 00 749 09 677 07 50, 000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 27, 000 00 4, 527 30 45, 000 00 188, 227 88 517 33 13,747 01 2,250 00 Total. 379,019 52 Total. 379, 019 52 Merchants' National Bank, Burlington. T. W. BARHYDT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. . Due from other banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. , Total. No. 1744. E. McKlTTERlCK, Cashier. $380,137 22 j Capital stock paid in . 8,744 09 50, 000 00 Surplus fund Other undivided profits 4,444 31 20, 044 30 | 16, 522 17 27,103 94 3, 695 41 6, 873 42 2, 532 00 853 35 371 71 99, 000 00 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits . „ United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. j Bills payable $150, 000 00 50, 000 00 13, 602 91 45, 000 00 402 00 361,135 30 1, 047 05 2, 384 66 3,250 00 623, 571 92 Total. 623,571 92 702 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. National State Bank, Burlington. No. 751. J. C. PEASLEY, President. JNO. T. REMY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $310, 373 50 917 16 50, 000 00 Capital stock paid in i Surplus fund Other undivided profits National bank notes outstanding j 37,299 27 7, 508 16 too 66 : 45, 000 00 7, 667 98 48, 413 47 State bank notes outstanding j 8,441 16 22,731 15 Dividends unpaid ...!. 3, 710 80 Individual deposits j 256, 941 08 7,018 19 United States deposits i 4,746 00 Deposits of U. S. disbursing officers .!. \ 32, 720 00 853 95 Due to other national banks ; 4,102 30 Due to State banks and bankers 9, 857 15 66, 000 00 Notes and bills re-discounted j < 4, 250 00 j Bills payable Total 539, 325 66 j Total. $150, 000 00 | 539,325 66 First National Bank, Cedar Palls. No. 2177. W. M. FIELDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $92, 650 15 Capital stock paid in . 10,179 98 i 50, 000 00 j Surplus fund Other undivided profits National bank notes outstanding... State bank notes outstanding 2, 737 54 Dividends unpaid . 5, 250 00 1,523 48 6, 062 65 Individual deposits United States deposits.... 5, 480 00 Deposits of U. S. disbursing officers. 1, 008 305 317 1, 595 00 ! 39 i 30 00 j Due to other national banks . . ., Due to State banks and bankers. $100, 000 00 2, 674 03 2, 958 64 43,962 00 40 00 29,064 12 660 70 Notes and bills re-discounted "'2,"256"o6"| Bills payable 179, 359 49 i Total. C. J. FIELDS, Cashier. Total. 179,359 49 First National Bank, Cedar Rapids. JOHN W E ARE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . Total.. No. 500. JOHN F . DEAN, Cashier. $203,406 42 Capital stock paid in . 559 71 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 2, 440 85 Dividends unpaid . 14,190 96 4,816 56 Individual deposits 11 41 United States deposits 1,141 48 Deposits of U. S. disbursing officers 5,651 00 736 30 28, 000 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $100,000 00 21,440 11 8, 076 95 45, 000 00 10 00 136, 836 23 1, 841 40 "" 2,250 66 313,204 69 Total. 313,204 69 REPORT OF THE COMPTROLLER OF THE CURRENCY. 703 IOWA. City National Bank, Cedar Rapids. S. G. BEVER, President. No. 463. JAS. L. BEVER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents...! Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer Total. Liabilities. $236, 3t»8 26 Capital stock paid in. 467 32 000 00 Surplus fund , J Other undivided profits , 13, 788 O) | National bank notes outstanding f 8, 676 07 | State bank notes outstanding 245 27 Dividends unpaid 700 00 359 25 Individual deposits ...... United States deposits i 379 27 Deposits of U. S. disbursing officers , 386 908 872 500 00 Due to other national banks 65 Due to State banks and bankers . . . 00 00 Notes and bills re-discounted., Bills payable 3,300 00 Total. 406, 950 09 $100,000 00 29,000 00 11,313 56 54,000 00 305 00 204, 787 34 5, 272 76 2,271 43 406, 950 09 First National Bank, Centerville. No. 337. W M . BRADLEY, President. Loans and discounts , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items , Exchanges for clearing house Bills of other banks . Fractional currency » Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer $158, 504 76 176 49 50, 000 00 JNO. R. HAYS, Cashier. Capital stock paid in. $50,000 00 Surplus fund ! Other undivided profits 50, 000 00 26, 960 28 j 6,806 10 7,913 17 10, 739 34 1,256 4L 3,203 3L 45, 000 00 j National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 289"65" j Due to other national banks 175 67 Due to State banks and bankers 127 00 5, 320 00 ! Notes and bills re-discounted. Bills payable. 62,942 15 1, 858 82 "I6*66o"o6 Total Farmers' National Bank, Centerville. D. C. CAMPBELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal-tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2197. $136, 661 02 """50"ooo"65 3.569 43 15) 499 09 4, 081 95 762 85 2, 494 99 2, 401 55 640 00 13, 000 00 '"" 2,'250 65 231, 363 88 t S. W. W R I G H T , Cashier. Capital stock paid in., $50, 000 00 Surplus fund Other undivided profits 20, 600 00 58, 010 63 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 57, 753 25 -. 231, 363 ! 704 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA, First National Bank, Chariton. S. H. MALLORY, President. No. 1724. E D W . A. TEMPLE, Cashier. Liabilities. Resources. Loans and discounts J Overdrafts i U. S. bonds to secure circulation i U. S. bonds to secure deposits I U. S. bonds on hand . J Other stocks, bonds, and mortgages.. | Due from approved reserve agents... | Due from other banks and bankers . . ; Real estate, furniture, and fixtures. . . | Current expenses and taxes paid | Premiums paid ! Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie * Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer l ; : i ; ! ; Total ; $73, 357 63 Capital stock paid in. 448 80 30, 000 00 Surplus fund Other undivided profits 7,740 00 6, 990 34 1, 674 95 9, 695 35 2, 614 78 $50, 000 00 7, 500 00 5,444 70 27, 000 00 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits 687 94 Deposits of U. S. disbursing officers.. 10, 638 00 Due to other national banks 177 25 Due to State banks and bankers . 924 5) 10, 500 00 Notes and bills re-discounted Bills payable 1, 349 80 Total . 150,799 34 65, 084 64 1,770 00 156, 799 34 First National Bank, Charles City. No. 1810. ALMON G-. CASE, President. H. C. B A L D W I N , Cashier. $100, 084 78 Capital stock paid in 1,304 97 50, 000 00 Surplus fund Other undivided profits —« 13, 000 03 National bank notes outstanding . . . . State bank notes outstanding Due from approved reserve agents...; 19,237 64 Due from other banks and bankers ..I 7, 618 05 Dividends unpaid . Real estate, furniture, and fixtures...! 2, 177 63 Current expenses and taxes paid , 554 22 Individual deposits Premiums paid , United States deposits ! Deposits of U. S. disbursing officers.. Checks and other cash items ; Exchanges for clearing house Bills of other banks 2, 700 00 , Due to other national banks Fractional currency 46 14 Due to State banks and bankers . Specie .' ; Legal tender notes : 11, 000 00 Notes and bills re-discounted. Bills payable -U. S. certificates of deposit | Due from U. S. Treasurer | 3, 250 00 Loans and discounts j Overdrafts ; U. S. bonds to secure circulation I U. S. bonds to secure deposits I U. S. bonds on hand j Other stocks, bonds, and mortgages'..;. Total. 30, 000 00 4, 368 64 43, 710 00 75 00 82,819 79 210,973 43 Total. 210,973 43 $50,000 00 First National Bank, Clarinda. W. E. W E B S T E R , President. No. 2028. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... $158, 013 18 16, 384 87 50, 000 00 Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures - . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 15,860 04 3|870 94 7'166 35 , 606 88 6 5uO 00 , Total - 143 20 924 90 133 14, 000 00 68 20 00 S. W E S T , Cashier. Capital stock paid in . $50, 000 00 Surplus fund Other undivided profits. 20, 000 00 822 98 National bank notes outstanding State bank notes outstanding 44, 400 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 163, 080 49 639 87 Notes and bills re-discounted. Bills pay able 2, 250 00 I 278, 943 34 Total. 278,943 34 705 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Clinton National Bank, Clinton. W. F. COAN, President. No. 994. J. C. W E S T O N , Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, a n d m o r t g a g e s . D u e from approved reserve a g e n t s . . D u e from other b a n k s and b a n k e r s . . Real estate, furniture, a n d fixtures.. Current expenses a n d taxes paid. Premiums paid Checks a n d other cash items Exchanges for clearing house Bills of other b a n k s Fractional currency Specie Legal tender notes U. S. certificates of deposit D u e from U. S. T r e a s u r e r . . . „ $203, 173 77 1,818 67 61), 0U0 01) | | 100 00 719 75 j 12,-253 70 I 13, 705 26 24, ()!);) 33 $60, 000 00 Capital stock paid in . Surplus fund Other undivided profits | | 12, 000 00 46, 247 12 National b a n k notes outstanding State bank notes outstanding j I 54,000 00 120 00 Dividends unpaid . 165,468 78 Td h'~- i Individual deposits iq L ° | United States deposits 2,148 98 ! Deposits of U. S. disbursing officers. 3, 1, 1, 13, Due to other national banks Due to State banks and bankers Notes and bills re-discounted Billy payable W)4 00 252 63 9"20 00 000 0.) 3, 700 U0 345,734 89 Total. Cashier. Liabilities. Resources. j. j i | Total. 7,898 99 345,734 89 Louisa County National Bank, Columbus Junction. ANDREW GAXMBLE, President. Loans and discounts , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2032. $86, 945 92 3,230 01 50, 000 00 J. W. TRUE, Cashier. $50, 000 00 Capital stock paid in . 3,000 00 5,873 31 Surplus fund Other undivided profits j 1,000 00 I National bank notes outstanding 8,227 15 State bank notes outstanding 6,810 85 Dividends unpaid . 7, 343 77 1,015 68 j 2, 542 73 Individual deposits United States deposits | Deposits of U. S. disbursing officers.. j 1, 205 00 14 88 Due to other national banks Due to State banks and bankers . 5, 000 00 Notes and bills re-discounted Bills payable """2*250"60" 175, 585 99 Total. 59, 543 67 1,169 01 11, 000 00 175,585 99 First National Bank, Council Bluffs. S. FAKNSWORTH, Cashier. J. F. EVANS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie * Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total $92, 899 53 1, 533 26 50, 000 00 30, 000 00 1, 804 24 21, 024 08 1,406 43 3, 700 00 Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding.... State bank notes outstanding $50, 000 00 12,000 00 6, 510 76 45, 000 00 Dividends unpaid Individual deposits 10, 875 00 United States deposits 571 54 I Deposits of U. S. disbursing officers . 138,121 47 4, 257 00 Due to other national banks 451 15 Due to State banks and bankers 360 00 30, 000 00 Notes and bills re-discounted Bills payable 2,750 00 251, 632 23 Total 251, 632 23 706 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Pacific national Bank, Council Bluffs. G. M. DODGE, President. No. 1684. W. SlEDENTOPF, Cashier. Resources. Liabilities. Loans and discounts j Overdrafts j U. $. bonds to secure circulation.. U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages .. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures ...! Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $127, 122 18 4,464 21 50, 000 00 1, 232 99 33,612 62 7, 930 75 7, 382 52 1, 949 87 4, 000 00 610 00 1, 143 00 107 04 662 50 20, 000 00 Capital stock paid in j Surplus fund. Other undivided profits National bank notes outstanding State bank notes outstanding $100,000 00 7, 000 00 3, 996 95 45,000 00 Dividends unpaid Individual deposits , United States deposits | Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 106, 086 61 130 19 253 93 2,250 00 262,467 68 Total. Total. 262, 467 68 First National Bank, Davenport. LLOYD G-. GUGE, Cashier. No. 15. T. T. Dow, President. Loans and discounts ! Overdrafts . U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents .. Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fraction al currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $323,157 59 714 63 50, 000 U0 4,700 00 47, 530 9,612 31,028 11 92 64 30 65 6,323 81 5,816 00 466 78 3, 073 35 36, 000 00 $100, 000 00 Capital stock paid in Surplus fund . Other undivided profits National bank notes outstanding State bank notes outstanding 75, 000 00 14, 213 29 45, 000 00 Dividends mipaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks .... Due to State banks and bankers Notes and bills re-discounted. Bills payable „ 286, 738 26 1,071 62 662 50 4,250 00 Total. 522,685 67 522, 685 67 Citizens' National Bank, Davenport. No. 1671. F. H. GRIGGS, President. Loans and discounts $368, 050 49 J 50, 000 00 Capital stock paid in . 4, 583 20 U. S. bonds to secure circulation I ! U. S. bonds to secure deposits ! U. S. bonds on hand Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks | Fractional currency • Specie ! Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer E. S. CARL, Cashier. Overdrafts Total. 24, 917 86 33, 31 000 00 5. 847 22 3, 510 02 3, 722 1, 437 2, 348 45, 000 00 40 50 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding. $100, 000 00 35, 000 00 18,604 13 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 323,091 55 10, 934 95 15,716 37 2, 250 00 548, 347 00 Total . 548, 347 00 REPORT OF THE COMPTROLLER OF THE CURRENCY. 707 IOWA. Davenport National Bank, Davenport. B. B. WOODWARD, President. C. A. MAST, Asst. Cashier. Liabilities. Resources. Loans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits........ J U. S. bonds on hand Other stocks, bonds, and moitgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes p a i d . . . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $423, 115 93 MCapital stock paid in 2, 826 80 s j 100 000 00 jl Surplus fund 75,000 00 Other undivided profits . 500 00 National bank notes outstanding 19, 577 87 ! State bank notes outstanding 43, 190 65 I Dividends unpaid . 10, 0. "0 00 I 6,420 0L ! Individual deposits United States deposits 1, 214 28 i Deposits of U. S. disbursing officers.. 4, 923 00 Due to other national banks 1, 074 99 Due to State banks and bankers 6, 006 15 45, 000 00 Notes and bills re-discounted. Bills payable , "" "6*500 00* 745, 349 68 Total. Total. $200, 000 00 80, 000 00 17,177 05 90,000 00-' 313, 763 70 16, 955 79 24,108 28 2, 869 42 475 44 745,349 68 First National Bank, Decorah. T. W. BURDlCK, Cashier. No. 493. JAS. H. EASTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $143, 437 55 Capital stock paid in . 1,449 60 50, 000 00 Surplus fund Other undivided profits 1, 982 22 National bank notes outstanding . . . . 3, 007 43 State bank notes outstanding 782 37 25, 323 39 Dividends unpaid . 4,741 13 Individual deposits United States deposits 973 85 Deposits of U. S. disbursing officers. 3,471 700 424 9, 500 00 Due to other national banks 47 Due to State banks and bankers. 99 00 Notes and bills re-discounted Bills payable $75,000 00 25, 000 00 16,811 19 44, 900 00 71,332 81 15, 000 .00 "**2"250"00* I Total. 248, 044 00 j 248, 044 00 Citizens' National Bank, Des Moines. SAML. MERRILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer Total No. 1970. $338,119 05 4, 555 4 L 50, 000 00 23, 492 26 J. G-. ROUNDS, Cashier. Capital stock paid in. Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding $150, 000 00 50, 000 00 13, 695 88 45, 000 00 Dividends unpaid . I Individual deposits I United States deposits ! Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. 244 603 95 3, 036 25 3, 843 80 510,179 708 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Iowa National Bank, Des Moines. HENRY K. LOVE, President. No. 2307. GEORGE H. MAISH, Cashier. Resources. Liabilities. Loans and discounts . . . . . Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. $212, 562 60 Capital stock paid in . 6, 875 56 30, 000 00 Surplus fund Other undivided profits $100, 000 00 - National bank notes outstanding State bank notes outstanding 3, 700 00 7, 689 53 2, 028 84 3, 237 35 2, 447 24 5, 025 00 ] 1, 037 42 1, 000 00 8,190 73 27,000 00 Dividends unpaid. Individual deposits. -United States deposits Deposits of U. S. disbursing officers. 3,409 00 276 15 629 84 21,295 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted.. Bills pay able Total. Total. 161, 953 87 11,322 26 2, 096 67 311, 563 53 First National Bank, Dubuque. D. N. COOLEY, President. No. 317. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers Real estate, furniture, and fixtures . Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $337,491 18 3, 160 23 50, 000 00 50, 000 00 i $200, 000 00 Capital stock paid in. Surplus fund ! Other undivided profits . 21, 000 00 ! National bank notes outstanding 30, 138 23 State bank notes outstanding 19, 980 83 25, 650 00 Dividends unpaid 5, 804 80 Individual deposits . United States deposits 2, 895 36 Deposits of U. S. disbursing officers.. 22, 325 623 1, 472 30, 000 00 Due to other national banks 00 00 i Due to State banks and bankers 00 | Notes and bills re-discounted., Bills payable 2, 248 95 602, 789 58 Total. C. H. EiGHMEY, Cashier. 12,459 89 13, 667 53 45, 000 00 245, 090 40 14, 66 L 09 16,258 84 24, 401 34 31, 250 49 602, 789 58 Total. Second National Bank, Dubuque. No. 2327. W. L. BRADLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid,... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . G-. V. SMOCK, Cashier. $92, 485 42 Capital stock paid in 19 1L 33, 500 00 Surplus fund Other undivided profits National bank notes outstanding 18,508 08 657 34 5, 442 94 676 89 167 50 1, J41 71 ? , 1,253 00 84 55 362 60 7,5;)0 00 " , 00 i,"350' 171..149 14 $100, 000 00 4,19434 27, 000 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. • Due to other national banks Due to State banks and bankers 1 • Notes and bills re-discounted Bills payable 39, 855 48 99 32 171, 149 14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 709 IOWA. Commercial National Bank, Dubuque. No. 1801. R. E. GRAVES, President. H. M. KlNGMAN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits . U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks . . . Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $222, 829 41 7,309 97 50, 000 00 50,000 00 600 00 1, 600 00 26,130 99 11, 770 98 5,896 71 6, 343 94 1, 739 22 6,150 00 8, 580 79 45, 000 00 Dividends unpaid . 194,794 00 16, 715 34 19,119 52 Individual deposits United States deposits Deposits of U. S. disbursing officers . 29, 332 09 7,048 14 10,700 2, 043 2,401 24, 322 00 Due to other national banks 56 Due to State banks and bankers 10 i 00 Notes and bills re-discounted. Bills payable 3, 050 00 426, 739 88 Total. 426, 739 88 Total. $100,000 0 0 Capital stock paid in . Surplus fund Other undivided profits . National bank notes outstanding . . . . State bank notes outstanding First National Bank, Elkader. F. H. CARTER, Cashier. No. 1815. H. B. CARTER, President. Loans and discounts O vercirafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand . Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $60, 270 53 j Capital stock paid in. 4 22 50, 000 00 Surplus fund «... Other undivided profits National bank notes outstanding 4,153 66 State bank notes outstanding 1,108 83 S Dividends unpaid .. 8,679 91 1,285 60 Individual deposits | 274 72 United States deposits ! 134 25 Deposits of U. S. disbursing officers.. j 626 79 253 8, 700 00 09 69 00 l,"350"66" Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 136,930 50 Total. $50, 000 00 5, 000 00 3,613 09 44, .1.00 00 40 00 34, 177 41 j ! 136, 930 50 Total. First National Bank, Fairfield. JAS. F. WILSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers Real estate, furniture, and fixtures.. Current expenses and taxes paid . . . Premiums paid Checks and other cash items. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1475. $107, 578 80 3, 577 52 95, 000 00 GEO. D. TEMPLE, Cashier. Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State brink notes outstanding $100, 000 00 13,000 00 2, 572 86 85,500 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. 66, 987 80 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total 268, 060 66 710 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Fort Dodge. No. 1661. L. BLANDEN, President. E. D. G. MORGAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.S. Treasurer Liabilities. $102, 580 34 1, 999 76 50, 000 00 2,050 64 3, 479 38 6,066 46 11, 464 30 1,285 58 759 36 Capital stock paid in I National bank notes outstanding State bank notes outstanding Dividends unpaid S • Individual deposits j United States deposits j Deposits of U. S. disbursing officers.. I Due to other national banks 21 35 Due to State banks and bankers 1, 049 53 3, 949 00 Notes and bills re-discounted Bills payable 186,955 70 || Total. $50, 000 00 Surplus fund Sp Oth diid Other undivided profits Total j | I j • 27, 000 00 5, 976 39 45, 000 00 54.118 20 , 52 97 3C8 14 4, 500 00 186,955 70 Merchants' National Bank, Fort Dodge. HARRY STRONG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U.S. certificates of deposit Due from U. S. Treasurer Tota*. No. 1947. $54, 215 50 574 86 50,000 00 J. M. BELL, Cashier. Capital stock paid in., 867 94 3, 817 95 10,894 76 3, 790 30 1,441 55 4, 028 93 823 46 $50,000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 10, 000 00 3, 972 50 41,200 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 3,084 00 || Due to other national banks . 514 97 ; 1,217 60 i Due to State banks and bankers . 7,000 00 j . Notes and bills re-discounted... Bills payable. "2*250"no j ! 39, 349 32 j j Total . 144,521 82 144, 521 82 Mills County National Bank, Glenwood. J. V. HlNCHMAN, President. Loans and discounts Overdrafts U. S. bonds .to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U . S . certificates of deposit Due from U. S. Treasurer Total No. 1862. W. H. ANDERSON, Cashier. $171,882 7 2 i Capital stock paid in . 2, 843 53 I 65, 000 00 i Surplus fund Other undivided profits 5,561 1L I 7, 047 67 ! 3, 705 73 I 150 12 2,066 60 7,350 00 2, 435 631 387 10, 000 00 50 i 19 i 00 j $65,000 00 | i 65,000 00 5, 924 65 National bank notes outstanding j State bank notes outstanding ..j. Dividends unpaid. 58, 500 00 Individual deposits United States deposits j Deposits of U. S. disbursing officers.; 87, 561 52 1 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2*925"66"; 281,986 17 Total 281, 986 17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 711 i OW A. First National Bank, Grinnell. ALONZO STEELE, President. No. 1629. CHAS. H. SPENCER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures-.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $172,351 18 Capital stock paid in . 19 20 50, 000 U0 Surplus fund Other undivided profits National bank notes outstanding . State bank notes outstanding 13, 6R3 85 Dividends unpaid . 8,266 66 1,843 67 Individual deposits United Slates deposits 3, 083 98 Deposits of U. S. disbursing officers .. 23,298 85 5, 513 39 45, 000 00 18, 084 32 1, 778 00 Due to other national banks 860 35 Due to State banks and bankers 319 10 7, 600 00 Notes and bills re-discounted. Bills payable !, 250 00 262, 055 99 Total. $100,000 00 262, 055 99 Total. First National Bank, Independence. RICHD. CAMPBELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid . .» Checks and other cash items Exchanges for clearing house Bills of other banks ._„. Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1581. $180, 832 98 Capital stock paid in. 1, 730 34 50, 000 00 Surplus fund Other undivided profits 182 15 National bank notes outstanding 13, 797 65 State bank notes outstanding 2, 998 65 22, 694 42 Dividends unpaid. 1, 946 86 Individual deposits 32 63 United States deposits 411 83 Deposits of U. S. disbursing officers. $100, 000 00 20, 000 00 41, 052 26 45, 000 00 91,923 26 6,712 00 Due to other national banks 491 43 1,894 58 Due to State banks and bankers . 12, ooo oo Notes and bills re-discounted Bills payable 297,975 52 Total. H. P. BROWNE, Cashier. Total . 297, 975 52 People's National Bank, Independence. E. Ross, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents..Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 1 Total. No. 2187. J. F. COY, Cashier. $89, 547 50 Capital stock paid in. 2, 284 33 40, 000 00 ! Surplus fund Other undivided profits 3,538 86 1, 093 78 2, 737 42 1,210 62 5,137 50 247 35 National bank notes outstanding State bank notes outstanding 1, 000 00 6, 214 89 36,000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 909 00 Due to other national banks 292 00 Due to State banks and bankers . 427 43 3, 000 00 Notes and bills re-discounted. Bills payable 1, 800 00 153, 225 79 $75, 000 00 Total . 30, 010 90 5, 000 00 153,225 79 712 REPORT OF THE COMPTROLLER OE THE CURRENCY. IOWA. First National Bank, Indianola. No. 1811. A. R. HENRY, President. G-. A. W O R T H , Cashier. Resources. Loans and discounts Overdrafts ; U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents. .. Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid : Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie : Legal tender notes | U. S. certificates of deposit ' Due from U. S. Treasurer Total Liabilities. $82, 487 01 873 45 50, 000 00 1 7, 054 40 12, 955 02 8, G 9 02 D 4, 777 76 167 00 Capital stock paid in. $50,000 0G Surplus fund Other undivided profits j National bank notes outstanding State bank notes outstanding Dividends unpaid . 2,500 00 3, 765 82 45, 000 00 20 00" Individual deposits United States deposits Deposits of U. S. disbursing officers . 76, 085 22 Due to other national banks 22 38 Due to State banks and bankers . 7, 635 00 Notes and bills re-discounted Bills payable 2, 700 00 177,371 04 177,371 04 First National Bank, Iowa City. No. 18. P E T E R A. DEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid . - . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer $131, "80 58 2,821 53 50, 000 00 ; loo"66" 2, 657 68 4, 203 83 8,423 14 5 35 2, 490 79 10, 636 1, 528 899 14, 435 00 66 75 00 W. M. ANDERSON, Cashier. Capital stock paid in. $100,000 00 Surplus fund Other undivided profits 20, 000 00 4,470 15 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers 61,651 57 278 94 1,031 65 Notes and bills re-discounted. Bills payable 3, 150 00 j 232,432 31 I Total . 232, 432 31 Keokuk National Bank, Keokuk. W M . PATTERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from oth\r banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1992. $139,576 71 833 02 51, 000 00 ED. F . B R O W N ELL, Cashier. Capital stock paid in. Surplus fund Other undivided profits 1, 000 00 National bank notes outstanding 16,873 99 State bank notes outstanding 2, 9fiO 88 4,380 35 Dividends unpaid . 4,526 53 4,333 71 ! Individual deposits I United States deposits 380 38 Deposits of U. S. disbursing officers.. 1, 089 00 237 07 22, 500 00 Due to other national banks Due to State banks and bankers $100, 000 00 3, 300 00 5, 030 77 45, 900 00 58 50 94,414 54 2,015 86 1, 266 97 Notes and bills re-discounted. Bills payable " "2*295~ 00* 251, 986 64 Total. 251, 986 64 REPORT OF THE COMPTROLLER OF THE CURRENCY. 713 IOWA. State National Bank, Keokuk. No. 1441. JAS. F. Cox, President. O. C. HALE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U S bonds on hand Other stocks, bonds, and mortgages . . $258, 141 18 731 o4 50, 000 00 Due from approved reserve a g e n t s . . . Due from other banks and b a n k e r s . . . Real estate, furniture, and f i x t u r e s . . . Current expenses and taxes p a i d . . . . . Premiums paid 6,787 6, 724 10, 000 8,146 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie.. : Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Capital stock paid in $150, 000 00 Surplus fund Other undivided profits 60, 000 00 16,947 47 15, 900 00 National bank notes outstanding State bank notes outstanding 93 7(5 : 00 ' Dividends unpaid 23 Individual deposits , United States deposits 6, 823 28 Deposits of U. S. disbursing officers . 45, 000 00 120, 804 03 6 698 on Due to other national banks . . 104 57 : Due to State banks and b a n k e r s . . . . . 25, 850 00 Notes and bills re-discounted Bills payable .. . 2,250 00 399,817 49 ! Total 1 191 aft 5,874 01 Total 399, 817 49 Knoxville National Bank, Knoxville. A. W. COLLINS, President. Loans and discounts , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve a g e n t s . . Due from other banks and b a n k e r s . . Real estate, furniture, a n d fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from II. S. Treasurer No. 1871. $102,094 94 3,957 18 100,000 00 A. J. BRIGGS, Cashier. $100, 000 00 Capital stock paid in Surplus fund | Other undivided profits 6, 225 00 3,340 75 National bank notes outstanding State bank notes outstanding 97 52 181 03 5,973 3L 10, 275 00 1,394 66 10, 800 00 90, 000 00 Dividends unpaid 850 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 141 48 3, 500 00 293 90 51, 775 77 Due to other national banks Due to State banks and bankers 17 50 Notes and bills re-discounted. Bills payable , 14, 000 00 ""i'hob'bo 5,000 00 257, 209 02 Total. 257, 209 02 Marion County National Bank, Knoxville. LARKIN WRIGHT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve a g e n t s . . Due from other banks and b a n k e r s . . Real estate, furniture, and fixtures.. Current expenses aud taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit D u e from U. S. Treasurer Total. O. P. WRIGHT, Cashier. ^66, 298 33 970 30 60, 000 00 Capital stock paid i n . I National bank notes outstanding State bank notes outstanding 4,591 34 8,787 14 1, 386 00 1, 082 24 6, 300 00 J I 562 60 2,900 00 13 24 $60, 000 00 Surplus fund Other undivided profits 2,800 00 2,572 13 i 54, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers . 45, 619 06 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. 164,991 19 714 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA, First National Bank, Lansing. MORITZ KERNDT, President. J. W. THOMAS, Cashier, Liabilities. Loans and discounts $57, 643 64 Overdrafts 1, 964 33 U. S. bonds to secure circulation 50, 000 00 U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents... 6, 813 92 Due from other banks and bankers . . 3, 087 11 Real estate, furniture, and fixtures... 5, 000 00 Current expenses and taxes paid 2, 337 51 Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie. Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer | j j } i j j I 3, 200 135 105 11, 107 2, 250 Capital stock paid in $50, 000 00 21, 000 00 4, 705 96 National bank notes outstanding 41, 800 00 State bank notes outstanding 147 50 Dividends unpaid 25, 990 50 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 00 Due to other national banks 45 Due to State banks and bankers . . . . 00 00 Notes and bills re-discounted Bills payable 00 143, 643 96 Total. ...... Surplus fund Other undivided profits Total . 143,643 96 First National Bank, Lisbon. HARRISON S T U C K S L A G E R , President. No. 2182. L o a n s and discounts \ Overdrafts i U. S. bonds to secure circulation j U. S. bonds to secure deposits j U. S. bonds on hand '. i Other stocks, bonds, and m o r t g a g e s . . I D u e from approved reserve a g e n t s . . . j D u e from other b a n k s and bankers . . \ Real estate, furniture, a n d fixtures . . j C u r r e n t expenses and taxes paid j P r e m i u m s paid j Checks a n d other cash items j Exchanges for clearing house j Bills of other banks j Fractional currency - i Specie I Legal tender notes I U. S. certificates of deposit | D u e from U. S. Treasurer j Total | GODLIEB AURACHER, $63, 325 78 ! Capital stock paid in . $50, 000 00 j 50, 000 00 j Surplus fund Other undivided profits | ': National b a n k notes outstanding State b a n k notes outstanding 10, 000 00 4, 051 02 45, 000 00 Dividends unpaid. 4, 761 50 '••. : Individual deposits . , ; United States deposits 14 59 ; Deposits of U. S. disbursing officers. I 290 00 D u e to other national b a n k s 5 32 Due to State b a n k s a n d b a n k e r s . 250 00 ij 1,912 00 ii Notes and bills re-discounted. |! Bills payable 2, 250 00 ! j 122,809 19 j| Cashier. 12, 750 40 997 77 Total . First National Bank, Lyons. JAS. P. GAGE, No. 66. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. $220, 516 77 4, 429 44 100,000 00 4,044 18 Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 6,677 14 3,498 42 1,786 14 3,238 77 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 7, 104 05 Total. 3, 672 857 455 15, 000 00 05 32 00 WILLIAM HOLMES, Cashier. Capital stock paid in Surplus fund Other undivided profits $100, 000 00 I j 50, 000 00 11, 545 22 National bank notes outstanding . . _. j State bank notes outstanding \ 89, 240 00 Dividends unpaid Individual deposits Uuited States deposits Deposits of U. S- disbursing officers. Due to other national banks Due to State banks and bankers. j 124, 948 64 45 42 Notes and bills re-discounted. Bills payable 4, 500 00 375,779 28 j Total . 375, 779 < REPORT OF THE COMPTROLLER OF THE CURRENCY. 715 IOWA. First National Bank, Malvern. No. 2247. J. M. STRAHAN, President. L. BENTLEY, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $57, 836 38 1,345 45 35,000 00 Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 8, 523 57 2, 736 52 31,500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 17, 692 52 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. Total . 110, 452 61 First National Bank, Maquoketa. No. 999. P. MITCHELL, President. Loans and discounts , Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits , U. S. bonds on hand .. Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $73, 875 55 1, 196 17 50, 000 00 HENRY REIGART, Cashier. Capital stock paid in . $50, 000 00 Surplus fund., Other undivided profits National bank notes outstanding State bank notes outstanding 10, 000 00 8, 885 45 45,000 00 1,145 61 654 61 4,836 00 Dividends unpaid . 563 83 Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks aud bankers Notes and bills re-discounted Bills payable Total. 34, 840 97 28 58 171 33 „ 148,926 33 Total. First National Bank, Marion. No. 117. R. D. STEPHENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums p'aid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3- -42 $86, 698 08 5,738 J3 67, 000 00 i66"66" 1, 14, 17, 3, 2, 500 324 935 670 262 00 24 44 00 62 926 48 4, 689 569 2, 600 16, 000 00 27 00 00 "3,"G66"66" 227, 613 26 J. W. BOWDISH, Cashier. Capital stock paid in . $67, 000 00 Surplus fund Other undivided profits 10, 900 00 3,813 48 National bank notes outstanding . . . State bank notes outstanding 60, 200 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 85,699 78 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable Total. 227, 613 26 716 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Marshalltown. GEORGE GLICK, President. No. 411. Resources. C. W. FRACKER, Cashier, j Loans and discounts . . . Overdrafts U. S. bonds to secure circulation U S bonds to secure deposits U. S. bonds on hand Other stocks bonds and mortgages Due from other banks and bankers . . Real estate, furniture, and fixtures . . Current expenses and taxes paid Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes . U. S. certificates of deposit .. Due from U. S. Treasurer Total Liabilities. $182,367 20 Capital stock paid in 7 188 48 50, 000 00 ! Surplus fund ». Other undivided profits National bank notes outstanding 3,715 17 28, 163 42 3,300 48 $100, 000 00 25, 000 00 2,262 88 45, 000 00 Dividends unpaid i Individual deposits i United States deposits 1,841 57 Deposits of U. S. disbursing officers.. 78, 530 82 176 216 279 3,400 12,104 72 00 70 40 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable .. ... 20, 000 00 2,250 00 Total 282, 898 42 282, 898 42 First National Bank, McGregor. No. 323.. F R A N K LARRABEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ! U. S. bonds to secure deposits | U. S. bonds on hand | Other stocks, bonds, and mortgage s . . . | Due from approved reserve agents... Due from other banks and bankers... Heal estate, furniture, and fixtures Current expenses and taxes paid | Premiums paid i Checks and other cash items : Exchanges for clearing house Bills of other banks \ Fractional currency Specie ! Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer \ $134,274 95 415 81 100, 000 00 300 00 3,679 15 $100, 000 00 Capital stock paid in . Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding 19, 750 48 6,209 84 Dividends unpaid. 17, 083 44 2, 509 83 | Individual deposits ' J United States deposits 929 59 ;! Deposits of U. S. disbursing officers 1, 332 00 Due to other national banks 387 23 , Due to State banks and bankers 768 27 i 15,540 00 Notes and bills re-discounted. Bills payable . 4,500 00 ; 307, 680 64 Total. W M . R. KlNNALRD, Cashier. 23,000 00 8, 095 52 87, 824 00 1,125 00 79, 531 48 8, 104 64 307, 680 64 Total. First National Bank, Monroe. TUNIS SCHENCK, President. No. 2215. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $75, 448 80 911 25 30, 000 00 Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid 2, 489 86 5,329 16 2, 739 60 1,132 41 5, 587 50 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes , U. S. certificates of deposit. Due from U. S. Treasurer... Total. 206 60 R. C. ANDERSON, Cashier. Capital stock paid in . $60, 000 00 Surplus fund Other undivided profits 4, 500 69 2,089 43 National bank notes outstanding . State bank notes outstanding 27, 000 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 949 00 284 37 Due to other national banks Due to State banks and bankers . 4, 500 00 Notes and bills re-discounted. Bills payable 35,338 43 3, 000 00 1,350 6o" 131, 928 55 Total. 131,928 55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 717 IOWA. First National Bank, Mount Pleasant. PRESBY SAUNDERS, No. 299. President. HENRY S. CLARKE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $100,000 00 $177,416 78 • Capital stock paid in., 1,615 59 i 50,000 00 ; Surplus fund Other undivided profits 20, 000 00 8,036 03 44, 000 00 6, 89J 00 ; National bank notes outstanding State bunk notes outstanding 10, 9G5 63 20, 996 43 I, 803 26 Dividends unpaid. Individual deposits . . . ... United States deposits Deposits of U. S. disbursing officers. Due to other national banks . . . . Due to State banks and bankers. Notes and bills re-discounted Bills payable 839 12 . 308,454 66 Total Total. 135, 579 51 National State Bank, Mount Pleasant. TIMOTHY W H I T I N G , President. No. 922. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie . Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer . ., I, 239 49 | Individual deposits j i United States deposits 2,025 95 !| Deposits of U. S. disbursing officers. 569 00 | Due to other national banks 335 56 j Due to State banks and bankers 2,957 33 33, 136 00 Notes and bills re-discounted '< Bills payable 521,357 19 Total. J. H. W H I T I N G , Cashier. $289,198 61 Capital stock paid in. 3,421 48 100,000 00" i Surplus fund I O ther undivided profits 24, 800 00 18, 405 00 ! National bank notes outstanding State bank notes outstanding 3,714 96 3,156 97 Dividends unpaid. 33, 896 84 Total. $100,000 00 100,000 00 14, 353 59 90, 000 00 202,199 00 3,804 60 "Ii," 666*66 521,357 19 Merchants' Exchange National Bank, Muscatine. SIMON G-. STEIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on h a n d . . . Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures - . Current expenses and taxes paid. . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1577. P E T E R JACKSON, Cashier. $115,230 59 Capital stock paid in . 1, 273 35 ! 50, 000 00 Surplus fund Other undivided profits , """22,806 00*! National bank notes outstanding 1,383 54 1,899 13 I State bank notes outstanding 10, 134 55 15, 600 13 Dividends unpaid . 976 96 Individual deposits United States deposits 877 53 Deposits of U. S. disbursing officers. 8,246 00 452 00 805 95 25, 000 00 Due to other national banks Due to State banks and bankers . $50, 000 00 50,000 00 4,775 96 19, 750 00 227 50 131,871 59 304 68 Notes and bills re-discounted. Bills payable 256, 929 73 718 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Muscatine National Bank, Muscatine. G. A. GARRETTSON, President. No. 692. A. B. BROWN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $174,471 14 Capital stock paid in 5,063 09 i 50, 000 00 Surplus fund Other undivided profits 7, 400 00 7,291 4,794 3,215 1,727 28 07 64 04 17, 000 00 7, 164 24 National bank notes outstanding State bank notes outstanding Dividends unpaid . 45, 000 00 Individual deposits : United States deposits Deposits of U. S. disbursing officers.. 946 00 52 05 Due to other national banks Due to State banks and bankers 11, 000 00 • Notes and bills re-discounted . Bills payable 2,250 66"; 268, 215 31 | Total. $100, 000 00 Total. 9, 306 83 4,000 00 268,215 31 First National Bank, Newton. No. 650. WILLIAM VAUGHAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. THOMAS ARTHUR, Cashier. $93, 502 90 j Capital stock paid in . 1,010 11 j 50, 000 00 ! Surplus fund O ther undivided profits $50,000 00 20, 000 00 3,859 12 National bank notes outstanding 4,980 56 State oank notes outstanding 4,231 60 2, 672 08 Dividends unpaid. ],797 33 Individual deposits United States deposits 1, 433 02 Deposits of U. S. disbursing officers. 2,500 00 ' Due to other national banks 70 60 Due to State banks and bankers 424 10 8, 000 00 Notes and bills re-discounted. Bills payable 2, 250 00 172, 872 30 35, 400 00 55,717 04 6,099 51 196 63 1, 600 00 172, 872 30 Osage National Bank, Osage. J. H. BRUSH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid Checks and other ca sh items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1613. $73, 664 01 2, 154 20 50, 000 00 J. P. BRUSH, Cashier. Capital stock paid in . $50, 000 00 Surplus fund Other undivided profits . 28, 000 00 2,905 55 National bank notes outstanding . . . 3, 048 20 State bank notes outstanding 31,726 81 Dividends unpaid . 4,911 90 333 03 Individual deposits United States deposits Deposits of U. S. disbursing officers. 36, 000 00 1, 723 00 52 14 30 00 10, 450 00 62, 987 74 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 800 00 179, 893 29 Total. 179, 893 29 REPORT OF THE COMPTROLLER OF THE CURRENCY. 719 IOWA, National State Bank, Oskaloosa. No. 1101. SETH RICHARDS, President. E. D. LINDLY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $192, 565 30 8,791 49 100, 000 00 Capital stock paid in. 21,000 00 26, 725 85 89, 980 00 122,037 79 2,328 00 Due to other national banks 826 58 Due to State banks and bankers . 507 U0 16, 700 00 Notes and bills re-discounted. Bills payable 4,500 00 Total. 359, 743 64 Total. $100,000 00 Surplus fund Other undivided profits 4,500 00 National bank notes outstanding 4,559 32 State bank notes outstanding 9,755 13 7, 785 00 Dividends unpaid . 2, 540 27 Individual deposits United States deposits 4,385 55 Deposits of U. S. disbursing officers. 359, 743 64 First National Bank, Qttumwa. W. B. BONNIFIELD, President. No. 107. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers , Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other cash items Exchanges for clearing house Bills of other baaks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer $152, 533 89 1, 984 20 67, 000 00 27, 017 60 13,521 46 14,768 08 29, 064 40 1,927 57 3, 096 17 5,031 00 1, 752 00 602 49 33, 300 00 Capital stock paid in., $60,000 00 Surplus fund Other undivided profits 40,000 00 11,107 84 National bank notes outstanding State bank notes outstanding 60,000 00 Dividends unpaid . Individual deposits Un'ted States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable , 176,945 86 2, 530 16 4, 015 00 3, 000 00 354, 598 86 Total. W l . A. McGrREW, Cashier. Total. 354, 598 86 Iowa National Bank, Ottumwa. CHAS. F . BLAKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1726. $151, 277 99 1,391 96 50, 000 00 13,631 29 5, 736 97 3, 274 64 18, 697 61 1,811 21 5, 000 00 2, 512 34 3, 478 00 691 01 592 85 12, 000 00 J. W. EDGERLY, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $100, 000 00 5,100 00 6, 636 51 45, 000 I Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable 95, 682 79 20, 000 00 2, 323 43 272, 419 30 Total. 272, 419 30 720 REPORT OF THE COMPTROLLER OF THE CURRENCY. IO W A . First National Bank, Pella. E. R. C ASS ATT, President. No. 1891. W M . F I S H E R , Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing hous6 Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae from U. S. Treasurer $96,787 60 "so" 666 "66 2, 306 4,334 4,900 1, 720 7, 000 57 97 00 31 00 63 25 168 00 62 64 10, 000 00 Capital stock paid in. $50,000 00 Surplus fund Other undivided profits 5,000 00 11, 249 62 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 62,855 09 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 188 63 5, 000 00 1,950 00 Total . 179, 293 34 Total . 179,293 34 National Bank, Pella. JOHN NOLLEN, Cashier. No. 2063. P. H. BOUSQUET, President. Loans.and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $258, 604 33 Capital stock paid in. 2, 823 22 150, 000 00 Surplus fund Other undivided profits National bank notes outstanding 16, 080 29 State bank notes outstanding 692 45 Dividends unpaid. 1,794 68 Individual deposits 23, 025 00 United States deposits Deposits of U. S. disbursing officers.. $150, 000 00 15, 000 00 10, 775 83 135, 000 00 161, 402 27 1, 047 00 Due to other national banks 361 13 Due to State banks and bankers Notes and bills re-discounted. Bills payable Total . Total. 472,178 10 First National Bank, Red Oak. C. H. LANE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Oher stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 2130. C. F . CLARKE, I $127,277 15 Capital stock paid in. 6,131 37 50, 000 00 j Surplus fund i! Other undivided profits 3, 511 48 2, 240 79 12, 420 00 2,571 06 6,100 00 434 41 National bank notes outstanding State bank notes outstanding $50, 000 00 26, 000 00 5, 247 86 45, 000 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers. 107,354 15 3,190 00 Due to other national banks 74 00 Due to State banks and bankers. 1, 601 75 15, 000 00 Notes and bills re-discounted. I j Bills payable 3, 050 00 233, 602 01 Total... 233, 602 0L REPORT OF THE COMPTROLLER OF THE CURRENCY. 721 IOWA. Valley National Bank, Red Oak. H. N. MOORE, President. No. 2230. R. M. ROBERTS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due froin U. S. Treasurer Liabilities. $55,691 55 5, 272 07 30, 000 00 576 61 14, 759 87 633 14 5,468 75 218 95 7,969 00 305 92 323 45 4, 000 00 Surplus fund Other undivided profits National bank notes outstanding . State bank notes outstanding 5, 000 00 3,271 60 27, 000 00 Dividends unpaid . Individual deposits , United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 36, 439 39 3, 558 32 50 00 125, 269 31 Total. $50, 000 00 Capital stock paid in . Total. 125, 269 31 First National Bank, Sigourney. No. 1786. JOSEPH KECK, President.. Loans and discounts Overdrafts . .. U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U.S. Treasurer Total. IRVING A. KECK, Cashier. $71,083 51 Capital stock paid in. 1,180 68 50,000 00 Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding 2, 355 25 16,320 J6 Dividends unpaid. 1,416 48 Individual deposits United States deposits 2,228 28 Deposits of U. S. disbursing officers. 6, 032 00 125 28 559 45 10, 000 00 Due to other national banks 1 Due to State banks and bankers Notes and bills re-discounted Bills payable Total. . 162, 951 09 $50, 000 00 5,000 00 4,011 42 45, 000 00 55, 293 37 834 79 2,811 51 262, 951 09 First National Bank, Sioux City. A. W. HUBBARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits.... — U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., No. 1757. $201, 706 79 810 63 100, 000 00 95, 000 00 THOS. J. STONE, Cashier. Capital stock paid in . Surplus fund Other undivided profits . National bank notes outstanding . . . State bank notes outstanding 909 96 35, 367 71 12,915 48 Dividends unpaid 38, 622 87 2, 557 74 21, 751 69 j Individual deposits United States deposits 8, 645 39 I Deposits of U. S. disbursing officers. 1,939 00 ! Due to other national banks 109 36 Due to State banks and bankers . 880 95 11, 715 00 Notes and bills re-discounted., Bills payable 5,715 21 538, 647 78 Total. $100, 000 00 20, 000 00 13, 880 22 90, 000 00 950 00 162, 797 23 27, 652 53 54, 356 99 41, 665 67 7, 345 14 20, 000 00 538, 647 78 722 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA, First National Bank, Tama City. G. H. WARREN, Cashier. No. 1880. B. A. HALL, President. Resources. Liabilities. Loans and discounts ! Overdrafts | U. S. bonds to secure circulation | U. S. bonds to secure deposits j U. S. bonds on hand Other stocks, bonds, and mortgages.. j Due from approved reserve agents...! Due from other banks and bankers ..' Real estate, furniture, and fixtures...; Current expenses and taxes paid ' Premiums paid | Checks and other cash items \ Exchanges for clearing house Bills of other banks „ Fractional currency i Specie \ Legal tender notes U. S. certificates of deposit j. Due from U. S. Treasurer. ' $48,512 87 2,507 18 50, 000 00 4, 825 00 3,395 42 Surplus fund Other undivided profits 100 00 National bank notes outstanding 2, 357 67 State bank notes outstanding „ 759 5L 16, 617 39 Dividends unpaid . 2, 231 02 Individual deposits 7,000 00 United States deposits 1,190 74 Deposits of U. S. disbursing officers. 584 22 72 2, 003 00 52 20 00 45, 000 00 21,803 06 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 136,208 10 Total. $50, 000 00 Capital stock paid in. 9,684 62 1, 500 00 Total. 136,208 10 First National Bank, Washington. No. 398. JOSEPH KECK, President. Loans and discounts ' Overdrafts j U. S. bonds to secure circulation U. S. bonds to secure deposits j U. S. bonds on hand Other stocks, bonds, and mortgages..' Due from approved reserve agents. ..| Due from other banks and bankers..j Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer.. $181,392 53 3,479 55 50, 000 00 18, 8, 14, 2, 653 908 232 377 60 92 45 00 972 29 3, 076 00 209 85 1,180 45 25, 000 00 R. R. BOWLAND. Cashier. $100, 000 00 Capital stock paid in . 20, 000 00 13, 837 28 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 44, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 132,798 16 1, 097 25 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2,250 00 i 311,732 69 ! Total. Total. 311, 732 69 Washington National Bank, Washington. A. W. CHILCOTE, President. No. 1762. Loans and discounts ! $190,749 82 ! Overdrafts \ 3,411 10 U. S. bonds to secure circulation I 100, 000 00 U. S. bonds to secure deposits • U. S. bonds on hand ; 500 00 Other stocks, bonds, and mortgages. J 18, 400 C O Due from approved reserve agents... 16, 452 07 Due from other banks and bankers ..j 342 52 Real estate, furniture, and fixtures... 14, 379 46 Current expenses and taxes paid • 1, 858 07 Premiums paid • 13, 812 50 Checks and other cash items 2,119 23 : Exchanges for clearing house Bills of other banks j 9,865 00 ! Fractional currency 523 75 Specie • 129 00 Legal tender notes i 15, 000 00 TJ. S. certificates of deposit ' Due from U. S. Treasurer , 4,500 00 Total ; 392,042 52 J. R. RICHARDS, Cashier. Capital stock paid in , Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $100, 000 00 ! 14,000 00 7, 927 69 90, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 180,114 83 Due to other national banks Dae to State banks and bankers . Notes and bills re-discounted. Bills payable , Total.. 392, 042 52 REPORT OF THE COMPTROLLER OF THE CURRENCY. 723 IOWA. First National Bank, "Waterloo. ROBERT MANSON, President. No. 792. HENRY B. ALLEN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer. $68,394 48 1, 013 05 50, 000 00 Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 4,030 61 8,119 74 21,970 81 Dividends unpaid., 5,414 77 Individual deposits United States deposits 407 36 Deposits of U. S. disbursing officers. 7, 000 00 5, 299 89 45, 000 00 25 00 60, 543 48 1, 114 00 Due to other national banks J58 55 Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total Total. 167, 873 37 First National Bank, Webster City. KENDALL YOUNG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stock, bonds, and mortgages.. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes Due from U. S. Treasurer Profit a?idloss 2, 394 00 465 00 310 00 11, 000 00 2, 250 00 7, 016 65 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 182,470 39 Total. B. S. MASON, Cashier. No. 1874. $77, 497 33 Capital stock paid in. 2, 339 72 50, 000 00 Surplus fund Other undivided profits 6, 154 88 National bank notes outstanding 10, 509 81 State bank notes outstanding 6, 047 21 5,223 14 Dividends unpaid . 1, 049 45 Individual deposits United States deposits 213 20 Deposits of U. S. disbursing officers- Total . $50, 000 00 28, 000 00 4,261 49 45, O00 00 55, 017 05 191 85 182, 470 39 Fayette County National Bank, West Union. JOSEPH HOBSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 2015. $90, 396 10 4, 675 96 50, 000 00 16,209 66 18, 000 00 1,584 20 5, 000 00 806 82 2,891 00 220 64 532 50 11, 010 00 E. A. WHITNEY, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $50, 000 00 37, 990 83 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 50, 086 05 Due to other national banks Due to State banks and bankers 10, 500 00 10, 000 00 Notes and bills re-discounted Bills payable ""2," 250'66' 203, 576 88 Total 203, 576 88 724 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Citizens' National Bank, Winterset. J. J. HUTCHINGS, President. No. 2002. L. F. SMITH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Check 3 and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., $79, 053 99 Capital stock paid in , 968 71 50, 000 00 Surplus fund Other undivided profits 96 61 National bank notes outstanding 8, 205 43 State bank notes outstanding 2, 537 03 Dividends unpaid. 3,401 71 746 14 5, 893 62 Individual deposits United States deposits. 149 84 Deposits of U. S. disbursing officers. $50, 000 00 6,118 44 3, 252 54 45, 000 00 16, 795 58 3, 033 00 Due to other national banks 22 52 Due to State banks and bankers . 140 55 14,000 00 Notes and bills re-discounted. Bills payable 2,917 41 Total. 171,166 56 171,166 56 National Bank, Winterset. No. 1403. C. D. BEVINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total.. $162,351 19 6, 447 45 50, 000 00 W. "W. MCKNIGHT, Cashier. Capital stock paid in. , $100, 000 00 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding 1,773 85 5, 540 17 8, 857 25 Dividends unpaid . 1,418 70 Individual deposits 30 76 United States deposits 192 15 Deposits of U. S. disbursing officers. 255 00 660 45 1,365 00 7, 556 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250 00 248,697 97 Total. 17, 000 00 4, 995 97 44, 990 00 71,712 00 10, 000 00 248, 697 97 First National Bank, "Wyoming. WALLACE T. FOOTE, President. Loans and discounts i Overdrafts U. S. bonds to secure circulation ! U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total JOHN K. PIXLEY, Cashier. No. 1943. $74,371 93 1,452 53 50, 000 00 6, 532 39 2,708 81 1,695 28 6, 500 00 3,682 17 Capital stock paid in. Surplus fund Other undivided profits . : National bank notes outstanding State bank notes outstanding $50, 000 00 2, 250 00 3, 997 25 45, 000 00 Dividends unpaid . Individual deposits ...» United States deposits Deposits of U. S. disbursing officers. 54, 352 86 1, 353 00 Due to other national banks 23 00 Due to State banks and bankers 150 00 4,881 00 Notes and bills re-discounted. Bills payable , 2, 250 00 j -I 155,600 11 Total. 155, 600 11 REPORT OF THE COMPTROLLER OF THE CURRENCY. 725 MINNESOTA. First National Bank, Austin. No. 1690. 0. W. SHAW, President. HARLAN W. PAGE, Cashier. 1 Resources. U. S. bonds to secure circulation U S bonds to secure deposits U S bonds on hand Other stocks, bonds, and mortgages.. $131, 254 95 253 42 30, 000 00 Liabilities. $50, 000 00 Capital stock paid in Surplus f u n d . . . . . . . . Other undivided profits 25, 000 00 21, 107 08 27, 000 00 6 558 62 National bank notes outstanding Due from approved reserve a g e n t s . . . Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid 4,200 5, 110 9,000 2,543 Dividends unpaid Checks and other cash items Exchanges for clearing house Bills of other banks 3,737 77 12 60 00 94 1,787 00 1,066 39 915 13, 299 00 U S certificates of deposit Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted 81,358 66 242 90 6,368 29 Bills Davable 1,350 00 21J, 076 93 Total 211,076 93 Total First National Bank, Faribault. No. 1686. T. B. CLEMENT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $110,561 23 Capital stock paid in. 2,246 19 i 50, 000 00 ! Surplus fund O ther undivided profits National bank notes outstanding 7, 009 18 State bank notes outstanding 6,102 20 17,350 00 Dividends unpaid . 1,831 64 6, 828 05 Individual deposits United States deposits 2, 908 51 Deposits of U. S. disbursing officers. 240 524 549 12, 060 00 Due to other national banks 35 Due to State banks and bankers 80 00 Notes and bills re-discounted l,"756"6o" Bills payable 219,961 15 Total., THOMAS MEE, Cashier. $50, 000 00 10, 000 00 9,149 07 45, 000 00 86, 605 71 206 37 4, 000 00 15, 000 00 219,961 15 Total. Citizens' National Bank, Faribault. HUDSON WILSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., No. 1863. C. H. WHIPPLE, Cashier. $141, 757 74 Capital stock paid in. 2, 464 86 50, 000 00 Surplus fund Other undivided profits 7, 000 00 National bank notes outstanding 6, 828 31 State bank notes outstanding 9,169 09 ~ 15, 387 47 I Dividends unpaid . 486 68 Individual deposits 5, 000 00 United States deposits 2, 250 47 Deposits of U. S. disbursing officers.811 00 ! Due to other national banks 108 14 Due to State banks and bankers 1,035 05 12, 500 00 Notes and bills re-discounted. Bills payable... e , 2, 250 00 257, 048 81 Total. $80,000 00 11,200 00 1, 653 34 44,300 00 50 00 113,655 88 544 12 645 47 5,000 00 257,048 81 726 EEPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. First National Bank, Fergus Falls. HENRY G. PAGE, President. No. 2030. JAMES COMPTON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts ] U. S. bonds to secure circulation j U. S. bonds to secure deposits j U. S. bonds on hand ! Other stocks, bonds, and mortgages.. | Due from approved reserve agents. . . | Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid i Premiums paid j Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer I j $60,919 10 1,514 04 30, 000 00 $50, 000 00 Surplus fund Other undivided profits 2, 750 00 882 38 National banknotes outstanding 6,185 06 State bank notes outstanding. 7, 101 85 1, 449 27 Dividends unpaid 96 34 2, 500 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 2, 855 00 Due to other national banks 320 49 Due to State banks and bankers i • i 4,300 00 | Total Capital stock paid in 118,591 15 1,350 00 27, 000 00 37, 958 77 Notes and bills re-discounted Bills payable Total.. First National Bank, Hastings. No. 496. S T E P H E N GARDNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $161,935 99 1,761 31 61, 000 00 L. S. FOLLETT, Cashier. $100, 000 00 Capital stock paid in 15, 396 48 21,601 64 7, 612 92 695 75 51 00 94 20 451 00 171 80 3, 456 59 12, 050 00 2,"756"6o' 34, 000 00 15,101 97 National bank notes outstanding 360*60' Surplus fund Other undivided profits 54, 900 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 5 19 Notes and bills re-discounted Bills payable 289,328 68 Total. 85,321 52 Total. 289, 328 68 First National Bank, Kasson. D A V I D ANTHONY, No. 2159. President Loans and discounts Overdrafts U. S. bonds to secure circulation U S. bonds to secure deposits U. S. bonds on hand j. Other stocks, bonds, and mortgages...!. Due from approved reserve agents...!. Due from other banks and bankers . . | Real estate, furniture, and fixtures j Current expenses and taxes paid .j Premiums paid ! Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. ! '. j : ' ;. \ E. E. F A I R C H I L D , Cashier. $69, Capital stock paid in. $50, 000 00 40, Surplus fund | Other undivided profits 11, 000 00 737 81 National bank notes outstanding State bank notes outstanding 25 Dividends unpaid . ncm no ! Individual deposits uuu uu |, U n i t e d states deposits. 178 45 I Deposits of U. S. disbursing officers. 1,840 19 70 1,500 36, 000 00 : | Due to other national banks j Due to State banks and bankers ;| Notes and bills re-discounted. '! Bills payable..., 30, 310 54 131 70 668 67 4, 395 58 1, 800 00 133, 244 30 Total. 133,244 30 REPORT OF THE COMPTROLLER OF THE CURRENCY. 727 MINNESOTA. First National Bank, Lake City. No. 1740. M. A. BALDWIN, President. A. J. FOWLER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents-.. Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $90, 869 48 50 50, 000 00 41,374 4,211 13,413 680 83 59 55 14 5, 679 00 184 m 8, 000 00 "4,"256" 6o" Capital stock paid in 8,185 86 2, 306 36 45, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 103,171 49 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable r 218, 663 71 Total. $60, 000 00 Surplus fund O ther undivided profits National bank notes outstanding State bank notes outstanding Total.. 218, 663 71 First National Bank, Mankato. No. 1683. J. B. HUBBELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $153, 896 89 4,222 40 50, 000 00 Capital stock paid in . $120, 000 00 Surplus fund Other undivided profits 11, 980 00 National bank notes outstanding 4, 056 01 State bank notes outstanding 532 96 21, 598 81 Dividends unpaid . 8,951 81 Individual deposits 5, 000 00 United States deposits 254 99 Deposits of U. S. disbursing officers. 773 00 Due to other national banks 118 25 Due to State banks and bankers. 50 15 5, 900 00 Notes and bills re-discounted. Bills payable , 2,"256"65" 269, 585 27 Total. JOHN N. HALL, Cashier. Total. 10,113 28 8, 458 80 45, 000 00 67, 907 89 20 15 18,085 15 269, 585 27 Citizens' National Bank, Mankato. J. F. MEAGHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from IT. S. Treasurer Total. No. 2005. JOHN H. RAY, Cashier, $140, 260 84 Capital stock paid in . 111 91 50, 000 00 Surplus fund, Other undivided profits 7, 405 98 36, 390 26 16, 612 38 2,663 60 6, 875 09 76 72 3,951 00 156 4J 20, 000 00 """2,*85o"bo" 287,354 18 National bank notes outstanding State bank notes outstanding Dividends unpaid.. Individual deposits United States deposits Deposits of U. S. disbursing officers. $70, 000 00 11, 000 00 3,748 71 45, 000 00 300 00 157, 305 47 Due to other national banks . . . . Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. 287,354 18 728 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA, First National Bank, Minneapolis. No. 710. J. K. SIDLE, President. H. G-. SIDLE, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $759, 522 35 4, 027 82 150, 000 00 77, 561 67 7,709 32 45, 950 57 6,519 23 11, 937 27 4, 111 61 90S 00 1,192 51 73 00 82, 579 00 $200, 000 00 Capital stock paid in., 31,182 22 19,172 91 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 134, 900 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 772, 333 83 2, 6^6 84 216 55 8, 850 00 Total 1,160, 942 35 1,160,942 35 Merchants' National Bank, Minneapolis. E L I AS MOSES, President. No. 1830. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.-. Due from other banks and bankers .. Real estate, furniture, and fixtures, .-i Current expenses and taxes paid ..! Premiums paid Checks and other cash items Exchanges for clearing house j Bills of other banks Fractional currency ! Specie ' Legal tender notes U. S. certificates of deposit Due fromU. S. Treasurer Total. $233, 016 93 2,510 43 150, 000 00 12,934 76 6, 647 49 31,645 73 2, 786 39 6, 452 76 3, 452 68 11, 622 00 189 57 14, 000 00 J. M. WILLIAMS, Cashier. $150, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 42, 000 00 16, 520 81 134, 500 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total 482, 008 74 107, 487 93 31, 500 00 482,008 74 National Exchange Bank, Minneapolis. HIRAM MILLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. W. P. WESTFALL, Cashier. No. 719. $236, 079 98 5, 910 72 100, 000 00 1, 500 00 50, 660 98 24,916 84 21,272 41 3, 619 44 11, 000 00 11,323 54 Capital stock paid in.. 20, 000 00 10,134 03 National bank notes outstanding State bank notes outstanding Dividends unpaid . 90, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 14, 250 00 Due to other national banks 602 81 Due to State banks and bankers . 241 21 20, 000 00 Notes and bills re-discounted., Bills payable 2, 700 00 504, 077 93 $100, 000 00 Surplus fund Other undivided profits.. Total. 283,441 18 502 72 504, 077 93 REPORT OF THE COMPTROLLER OF THE CURRENCY. 729 MINNESOTA. North "Western National Bank, Minneapolis. S. E. NEILER, Cashier. H. T. WELLES, President. Resources. Liabilities. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits CJ. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer $604, 413 79 16,931 13 100, 000 00 2, 500 00 88, 967 18, 547 42,210 4,313 9, 000 63 99 56 15 00 $300, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding . State bank notes outstanding Dividends unpaid . 11, 862 638 887 33, 300 00 Due to other national banks 21 50 Due to State banks and bankers . . . 00 Notes and bills re-discounted. Bills payable 4, 500 00 941,846 49 90, 000 00 600 00 Individual deposits United States deposits 3, 774 53 Deposits of U. S. disbursing off Total. 12, 000 00 26, 624 80 Total. 499,391 97 182 85 3, 046 87 10, 000 00 941,846 49 State National Bank, Minneapolis. No. 1623. T. A. HARRISON, Presides Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $234, 968 68 4, 319 65 100, 000 00 7,103 38 14,002 25 14, 386 07 24,069 64 1, 970 24 1, 223 44 262 33 388 82 11,369 00 """2," 298" 81* Total. R. J . BALDWIN, Cashier. $100, 000 00 Capital stock paid in. Surplus fund Other undivided profits 20, 000 30 18, 955 22 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. iS. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 416,362 31 Total.. 186, 631 84 580 78 iy4 17 416,362 31 Citizens' National Bank, New Ulm. MICHAEL MULLEN, President. No. 2318. Loans and discounts „ Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents...' Due from other banks and bankers... i Real estate, furniture, and fixtures ...\ Current expenses and taxes paid • Premiums paid ; Checks and other cash items Exchanges for clearing house Bills of other banks i Fractional currency ! Specie ! Legal tender notes j U. S. certificates of deposit Due from U. S. Treasurer Total i J. C. RUDOLPH, Cashier. $44,504 95 Capital stock paid in. 3, 335 43 30, 000 00 Surplus fund Other undivided profits National bank notes outstanding. 467 71 State bank notes outstanding 1, 837 65 Dividends unpaid . 1, 891 14 ], 682 72 Individual deposits , 5, 025 00 United States deposits 357 01 Deposits of U. S. disbursing officers , 1,950 00 Due to other national banks 30 00 Due to State banks and bankers. 458 28 5,150 00 Notes and bills re-discounted. Bills payable 1, 350 00 98,039 89 Total. iO, 000 00 4,379 73 27, 000 00 16, 660 16 98, 039 89 730 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. First National Bank, Northfield. No. 2073. J. C. NUTTING, President. G-. M. PHILLIPS, Cashier Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers-. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . Liabilities. $129, 063 55 262 13 30, 000 00 1, 000 716 11,449 2, 450 1,501 2, 000 330 00 79 18 00 41 00 69 1, 046* 00 358 13 1,302 75 9, 000 00 Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 9, 000 00 3, 487 65 26, 849 00 Dividends unpaid . 150 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 89,188 74 373 93 971 31 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 11, 810 00 "" i~35o"o5" Total. 191,830 63 191, 830 63 First National Bank, Owatonna. No. 1911. W. R. KlNYON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid. Premiums paid Checks and other canh items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $130, 830 34 599 75 50, 000 00 11,399 4,510 6, 475 2, 506 2,800 3, 700 20 67 00 89 00 45 598 275 410 7, 500 00 28 00 00 Capital stock paid in. $60, 000 00 Surplus fund Other undivided profits 7,500 00 40, 077 60 , National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid. Individual deposits , United States deposits , Deposits of U. S. disbursing officers 71, 277 98 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250 00 223, 855 58 Total. C. J. KlNYON, Cashier. Total. 223, 855 58- Farmers' National Bank, Owatonna. L. L. BENNETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums p a i d . . . . . . ....... Checks and other cash items . Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 2122. A. C. GUTTERSON, Cashier. $50,163 72 I Capital stock paid in 858 44 50, 000 00 Surplus fund Other undivided profits 3, 348 2, 748 6,494 892 4,770 402 95 26 09 15 12 10 2, 005 00 319 16 4,500 00 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $50, 000 00 j 3, 000 00 1,919 68 44, 980 00 125 00 26,342 11 2, 385 20 ""*2*,~256"66' 128,751 99 Total. 128,751 REPORT OF THE COMPTROLLER OF THE CURRENCY. 731 MINNESOTA. First National Bank, Red Wing. T. B. SHELDON, President. No. 1487. JESSE MCINTIRE, Cashier. Liabilities. Resources. L o a n s and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U S bonds on hand Other stocks bonds, a n d mortgages D u e from approved reserve a g e n t s . . . D u e from other b a n k s a n d bankers . . Real estate, furniture, and fixtures... Current expenses a n d taxes paid Premiums paid Checks a n d other cash items Exchanges for clearing house Bills of other b a n k s Fractional currency Specie Legal tender notes U. S. certificates of deposit D u e from U. S. T r e a s u r e r $192,386 15 2, 465 50, 000 00 75 53 61 46 2,*250 "oo" Surplus fund Other undivided profits 20, 000 00 38, 029 00 National bank notes outstanding 7,842 7,024 14, 029 2, 531 555 00 34 72 I, 238 biJ 18, 000 00 45, 000 00 Dividends unpaid Individual deposits . United States deposits Deposits of U S disbursing officers 95, 328 97 Due to State banks and bankers Notes and bills re-discounted Bills payable ... 298, 357 97 Total 298, 357 97 Total $100, 000 00 Capital stock paid in First National Bank, Rochester. No. 579. JOHN R. COOK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand. Other stocks, bonds, and mortgages. . Due from approved reserve agents . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid.... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer.. $170,225 06 2,213 67 100, 000 00 10, 822 47 2, 590 37 12, 576 68 1, 809 35 2, 000 00 61L 33 4, 820 00 173 64 39 30 10, 000 00 WALTER HURLBUT, Cashier. $100, 000 00 Capital stock paid in. Surplus fund Other undivided profits 23,000 00 4,267 44 National bank notes outstanding State bank notes outstanding 90, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable Total.. Total . 104, 345 22 769 21 322,381 87 Rochester National Bank, Rochester. C. H. CHADBOURN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. Ex. 3- No. 2316. $85,375 00 1, 480 68 30, 000 00 13, 592 1, 819 2,291 3, 020 5,135 15, 665 44 80 80 82 50 90 11,348 00 365 66 233 49 7, 000 00 CHAS. H. BLISS, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $50,000 00 6,100 00 8, 580 33 24, 900 00 Dividends unpaid. Individual deposits , United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 86, 420 69 2,178 07 850 00 178,179 09 178,179 09 732 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. Union National Bank, Rochester. No. 2088. J. V. DANIELS, President. M. J. DANIELS, Cashier.. Resources. Liabilities. Overdrafts. U. S. bonds to secure circulation U. S. bonds to secure deposits X S. bonds on hand T Other stocks, bonds, and mortgages.. $91,249 04 , Capital stock paid in 2,618 57 50, 000 00 I Surplus fund . . Other undivided profits $50, 000 00 10, 000 10, 967 National bank notes outstanding Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid 4,594 7, 320 1,250 1, 282 4,300 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ S certificates of deposit Due from U. S. Treasurer oo 58 43, 400 00 1,299 24 • Deposits of U S disbursing officers 15 29 48 75 00 3,530 00 1,134 52 10, 000 00 Dividends unpaid 66, 451 46 Individual deposits Due to other national banks Due to State banks and bankers 10 00 Notes and bills re-discounted ! Bills payable 2,250 00 180, 829 04 Total 180, 829 04 Total First National Bank, Shakopee. No. 1597. H. B. STRAIT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash itMns Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $79, 466 24 1, 800 00 50, 000 00 600 00 6, 7, 4, 1, 813 093 552 776 53 55 48 45 15 00 DAVID L. H O W , Cashier. $50, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 8, 800 00 3, 289 90 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 3, 600 00 Due to other national banks 135 71 421 10 Due to State banks and bankers . 7, 000 00 Notes and bills re-discounted. Bills payable 2, 250 00 Total. 165, 524 06 58, 341 3S 92 83 L65, 524 06 First National Bank, St. Paul. HORACE THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 203. H. P. UPHAM, Cashier. ,873,640 35 Capital stock paid in . 4, 938 70 222, 500 00 Surplus fund 200, 000 00 Other undivided profits. 32, 336 00 National bank notes outstanding State bank notes outstanding 369, 472 53 31, 855 82 6, 000 00 14, 507 08 30, 623 86 250, 000 00 104, 201 90 199, 980 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers.. 12, 462 00 Due to other national banks 726 71 Due to State banks and bankers 1,288 60 100, 000 00 Notes and bills re-discounted. Bills payable 10, 000 00 2, 910, 351 65 $1, ooo, ooo oa Total 1, 071. 262 73 28i 080 27 124, 702 96 49, 815 47 82, 308 32 2,910,351 65 REPORT OF THE COMPTROLLER OF THE CURRENCY. 733 MINNESOTA, Second National Bank, St. Paul. No. 725. E. S. EDGERTON, President. Gk R. MONFORT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $393,264 20 3, 650 65 200, 000 00 260, 000 00 75, 682 32 2,192 44 27, 263 92 6, 389 68 9, 859 38 34,257 00 3, 089 69 1,070 55 135, 000 00 55, 000 00 23,847 83 Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid . 180, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . 406, 716 49 79,679 67 209, 472 53 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 537 50 8, 065 81 11, 600 00 1,163, 319 83 Total. $200, 000 00 Capital stock paid in . 1,163,319 63 Total.. Merchants' National Bank, St. Paul. MAURICE ADERBACH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house..Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 2020. $1, 079, 932 09 6,658 14 100, 000 00 100,000 00 Capital stock paid in. $500, 000 00 Surplus fund Other undivided profits., 63, 000 00 22, 713 38 12, 000 00 21, 250 75 10,040 77 3, 246 68 10, 623 78 14,988 17 16, 852 17 National bank notes outstanding.. State bank notes outstanding 90,000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 492,643 16 43, 560 00 6,603 95 10,881 00 446 96 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 44,286 35 65, 225 26 84, 652 00 Dividends unpaid , 2,300 00 150,740 41 4,~5O6"66" 1,481,072 51 Total. W. R. MERRIAM, Cashier. Total. 1,481,072 51 First National Bank, St. Peter. WM. SCHIMMEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. F. A. DONAHOWEK, Cashier. No. 1794. $71,177 31 Capital stock paid in . 2, 326 02 60, 000 00 Surplus fund Other undivided profits. 250 00 7, 633 51 266 04 1, 400 00 999 45 3, 000 00 96 10 National bank notes outstanding . State bank notes outstanding 6,150 97 5, 417 26 50, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 4,793 00 Due to other national banks 153 33 Due to State banks and bankers „ 274 20 9, 500 00 Notes and bills re-discounted . Bills payable. 4, 200 00 166, 068 96 $60, 000 00 Total. 42, 264 81 2, 235 92 166, 068 96 734 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. First National Bank, Still water. No. 1514. Louis PIOSPES, President. F. SIEBOLD, Cashier Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures. . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $206, 420 20 Capital stock paid in 5,094 35 130, 000 00 Surplus fund Other undivided profits 1, 825 00 16,084 90 2, 528 81 21,926 02 3, 890 79 $130,000 00 18, 200 00 6, 884 71 National bank notes outstanding State bank notes outstanding 116, 990 00 Dividends unpaid., Individual deposits United States deposits 2, 221 24 Deposits of U. S. disbursing officers.. 3, 177 00 Due to other national banks 188 83 Due to State banks and bankers 425 89 14,505 00 Notes and bills re-discounted. Bills payable 5, 850 00 Total. 414, 138 03 141,963 32 100 00 414, 138 03 Lumbermen's National Bank, Stillwater. No. 176 \ ISAAC STAPLES, Pret Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures -. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. W. CANNON, Cashier. $236,831 71 ! Capital stock paid in . 5, 776 37 150, 000 00 Surplus fund j Other undivided profits ,II 4, 930 13 I 9, 082 76 3, 600 00 2,121 12 13, 400 00 2, 664 81 $150,000 00 17,000 00 6,406 83 National bank notes outstanding State bank notes outstanding Dividends unpaid.. 135, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 136,588 34 571 00 Due to other national banks Due to State basks and bankers 988 32 27, 494 00 Notes and bills re-discounted Bills payable , 6, 750 00 Total. 464, 210 22 j 60 00 1, 552 35 1, 602 70 16, 000 00 464, 210 22 First National Bank, Winona. L. C. PORTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 550. !206, 521 44 8, 227 37 50, 000 00 3,036 00 20, 622 51 4, 333 54 17, 419 64 1,981 12 2,100 55 6,921 00 228 64 210 00 10, 000 00 1,550 00 333,151 81 H. E. CURTIS, Cashier. Capital stock paid in . $50, 000 00 Surplus fund Other undivided profits 86, 500 00 5, 530 71 National bank notes outstanding State bank notes outstanding 44, 990 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. 126, 569 37 8, 808 81 752 92 10, 000 00 333,151 81 REPORT OF THE COMPTROLLER OF THE CURRENCY. 735 MINNESOTA. Second National Bank, Winona. THOMAS SIMPSON, President, No. 1842. L. R. BROOKS, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid . . . Premiums paid Checks and other cash items. Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit... Due from U. S. Treasurer . . . Total . Liabilities. $192, 394 83 Capital stock paid in . 4,341 86 100,000 00 i Surplus fund Other undivided profits.., $100, 000 00 20, 000 00 5, 357 19 National bank notes outstanding 5, 827 76 State bank notes outstanding 15,300 36 20,694 96 ! Dividends unpaid. 1,373 97 Individual deposits 4, 843 20 i United States deposits 1, 722 87 Deposits of U. S. disbursing officers. 1,961 206 688 18, 600 00 06 91 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 90, 000 00 12 00 146, 805 56 281 03 10, 000 00 4, 500 00 372, 455 78 Total. 372, 455 78 Merchants' National Bank, Winona. MARK W I L L S ON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 2268. $119, 755 72 919 38 40, 000 00 11, 308 1,581 10, 819 1,532 7, 000 57 32 22 14 00 1,775 18 1, 903 181 601 12, 285 00 18 60 00 N. F . HlLBERT, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $100,000 00 7, 546 37 35,100 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 67, 037 40 1,259 88 518 66 Notes and bills re-discounted. Bills payable 1, 800 00 211,462 31 Total. 211, 462 31 Winona Deposit National Bank, Winona. H. W. LAMBE'RTON, President. No. 1782. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. $168, 546 74 729 62 50, 000 00 Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid 20, 283 32 16, 358 51 8, 304 32 298 73 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total 578 75 11, 823 169 1, 407 10, 739 00 05 00 00 W. H. LAMBERTON, Cashier. Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits 43, 000 00 3, 092 77 National bank notes outstanding State bank notes outstanding 43,100 00 Dividends unpaid. Individual deposits United States deposits :.... Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . 102,282 02 13 25 Notes and bills re-discounted. Bills payable 2, 250 00 291, 488 04 Total . 291, 488 04 736 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Central National Bank, Boonville. No. 1584. J. L. STEPHENS, President. ROBERT WADESON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $200, 000 00 $143,762 45 ; Capital stock paid in. 4,865 03 200, 000 00 Surplus fund Other undivided profits. 242,261 21 j | National bank notes outstanding 50, 488 71 State bank notes outstanding..... 19,177 20 |j Dividends unpaid . 6, 089 32 2, 402 82 S Individual deposits 1 United States deposits 1 148 93 |i Deposits of U. S. disbursing officers. 16, 525 00i Due to other national banks 70 19 ! Due to State banks and bankers 3,197 12 35, 000 00 Notes and bills re-discounted "97626'66" 100,000 00 29, 255 76 180, 000 00 212,549 92 1, 202 90 . "16," 666" 66 Bills payable 733, 008 58 733, 008 58 Total. Bates County National Bank, Butler. F. J. TYGARD, Cashier. No. 1843. L E W I S CHENEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 6, 000 00 4, 817 57 44,300 00 107,567 42 1,068 00 Due to other national banks 584 15 Due to State banks and bankers. 507 50 9, 920 00 Notes and bills re-discounted. Bills payable 2,250 00 214, 041 54 Total. $50, 000 00 $109, 906 67 Capital stock paid in. 477 01 50, 000 00 Surplus fund Other undivided profits 5, 245 00 National bank notes outstanding 1,436 32 State bank notes outstanding 5, 336 55 19, 479 02 Dividends unpaid. 1, 845 95 5, 708 85 Individual deposits United States deposits 276 52 Deposits of U. S. disbursing officers. Total. 1,356 55 - 214,041 54 Moniteau National Bank, California. S. H. OWENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 171 \ 19, 621 20 R. Q. ROACHE, Cashier. Capital stock paid in . 50, 000 00 Surplus fund , Other undivided profits. "22,566 66" National bank notes outstanding State bank notes outstanding 24, 995 02 1, 126 07 Dividends unpaid. 6, 000 00 1, 229 60 4,035 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 653 00 526 08 Due to other national banks Due to State banks and bankers Notes and bills re-discounted., Bills payable , 11, 000 00 " 2 "756" 66' 156, 435 97 Total. $50, 000 00 12, 000 00 3, 279 20 45, 000 00 45,158 31 998 46 156, 435 97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 737 MISSOURI. First National Bank, Carthage. No. 2013. J E S S E THACKER, President. D. S. THOMAS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes .. U. S. certificates of deposit Due from U. S. Treasurer $50, 000 Oo Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 8, 067 53 967 66 45,000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. 53, 197 29 891 54 5, 000 00 163,124 02 Total First National Bank, Clinton. J. G-. DORM AN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1940. $75, 511 12 1,423 91 50, 000 00 12, 792 36 2,410 95 1,700 19 8,838 U 513 84 5, 535 06 104 87 750 00 87 40 314 03 9, 000 00 W. D. TYLER, Cashier. Capital stock paid in., $50, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding . . . 15, 500 00 972 35 45, 000 00 Dividends unpaid . Individual deposits ,. United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 1,050 00 170, 031 84 Total. 53, 481 36 78 13 "5,066" 66 170, 031 84 Boone County National Bank, Columbia. R. B. PRICE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency •Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1770, $138, 501 61 3,748 90 100, 000 00 52,419 75 36, 927 40 2, 983 77 17, 607 84 1,219 39 8, 000 00 722 15 I. O. HOCKADAY, Cashier. Capital stock paid in. $100, 000 00 Surplus fund Other undivided profits 50, 000 00 3,348 06 National bank notes outstanding State bank notes outstanding 89, 998 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 145,155 35 3, 850 00 Due to other national banks 391 60 Due to State banks and bankers . 229 00 16, 000 00 Notes and bills re-discounted. Bills payable 5,900 00 388,501 41 Total. 388, 501 41 738 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Exchange National Bank, Columbia. No. 1467. J. H. WAUGH, President. R. L. TODD, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie ." Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $176, 943 20 1, 561 60 100, 000 00 17,200 00 17, 984 44 21, 447 74 12,800 00 2,193 21 5,200 00 1, 297 40 1,361 00 282 95 1, 384 30 13, 500 00 Capital stock paid in . 1100, 000 00 Surplus fund Other undivided profits 29, 000 00 3,641 83 National bank notes outstanding State bank notes outstanding 87, 700 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S, disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 105 40 5, 300 00 378,455 84 Total. 158, 008 61 378,455 84 Total. First National Bank, Hannibal. J. J. CRUIKSHANK, Sr., President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie I Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. A. J. STILL WELL, Cashier. No. 1571. $93, 634 54 63 50 100, 000 00 1 ,100 00 6,700 00 24, 964 01 54, 058 33 19, 032 80 834 29 11 50 618 04 Capital stock paid in. $100, 000 00 Surplus fund. Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. 86, 800 00 117 00 Individual deposits United States deposits Deposits of U. S. disbursing officers.. 1, 744 00 | Due to other national banks 19 15 j Due to State banks and bankers. 399 00 7, 500 00 Notes and bills re-discounted. Bills payable 4, 500 00 Total. 315,179 16 458 65 9,714 17 117,819 1$ 270 16 315,179 16 First National Bank, Independence. PRESTON ROBERTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1529. $107, 806 07 2, 364 26 30, 000 00 WILLIAM MCCOY, Cashier. Capital stock paid in. $50, 000 00 Surplus fund Other undivided profits 36, 500. 00 3, 245 82 National bank notes outstanding 294 04 State bank notes outstanding 11, 274 74 8, 366 90 Dividends unpaid968 39 Individual deposits United States deposits 188 41 Deposits of U. S. disbursing officers. 27, 000 00 8, 320 22 2, 553 00 Due to other national banks 125 06 Due to State banks and bankers 3, 022 70 2, 185 00 Notes and bills re-discounted. 10, 000 00 Bills payable 1, 350 00 188, 818 79 Total. 70,142 44' 465 82 1,464 71 18,818 79 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 739 MISSOURI. First National Bank, Jefferson City. A. M. DAVISON, President. No. 1809. W M . Q. DALLMETER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency -. Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $134, 205 41 266 09 50, 000 00 $75, 000 00 Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 24, 520 00 15,160 05 7,561 57 19, 703 51 Dividends unpaid. 1,943 13 Individual deposits 6 38 United States deposits 3, 925 29 Deposits of U. S. disbursing officers. 3, 500 00 846 28 259 00 14, 300 00 18, 000 00 5,224 51 45, 000 00 135, 822 20 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted.. Bills payable 2, 850 00 Total. 279, 046 71 279, 046 71 National Exchange Bank, Jefferson City. PHIL. E. CHAPPELL, President Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid , Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency..«,.. Specie Legal tender notes U. S, certificates of deposit Due from U. S. Treasurer Total. No. 2055. NICK. E. MILLER, Cashier. $122,304 90 | Capital stock paid in . $50, 000 00- so," 665 66" 11 Surplus fund 11,507 70 29, 888 50 11, 053 44 4, 446 69 979 59 3, 406 25 4, 300 00 86 92 1,506 07 11,250 00 Other undivided profits National bank notes outstanding State bank notes outstanding 10, 000 00 6,854 16 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 142, 025 90 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 3,150 00 Total. 253, 880 06 253, 880 06 First National Bank, Kansas City. H. M. HOLDEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, aad mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1612. $1,151,129 90 7,860 40 50, 000 00 30,912 17 125, 563 76 85,183 20 73,642 8L 51,416 22 6, 250 00 59, 962 68 M. W. ST. CLAIR, Cashier. Capital stock paid in . $500, 000 00 Surplus fund Other undivided profits 15, 613 00 65,191 64 National bank notes outstanding . State bank notes outstanding 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 51, 215 3, 918 2,102 84, 216 00 i Due to other national banks 25 Due to State banks and bankers 20 ! 00 Notes and bills re-discounted. Bills payable 2,"250"66" 1, 785, 622 59 Total. 205 oa 869,214 03 83,983 50 158,415 42 48,000 00 1, 785, 622 59 740 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Commercial National Bank, Kansas City. L. K. THACHER, President. No. 1995. MEADE WOODSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. 1170, 753 24 3,611 07 50, 000 00 Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits . 6, 392 00 20,160 11 3, 474 47 | National bank notes outstanding . . . 43,100 00 26 861 47 i State bank notes outstanding 700 00 12 683 57 I dividends unpaid 2'ono *n i| Individual deposits , , o, MZ ou i U n i t e d g t a t e s deposits 7, 497 00 ! Due to other national banksofficers. 5,196 28 Deposits of U. S. disbursing 668 23 Due to State banks and bankers 383 00 12, 500 00 Notes and bills re-discounted. Bills payable 2, 250 00 Total . 333, 473 90 133,100 44 14, 790 25 15,231 10 333, 473 90 First National Bank, Lancaster. No. 2218. CHAS. H. HOWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. :8, 478 87 30, 000 00 326'27* 2,489 14 7, 374 86 5, 523 89 1, 225 80 4, 256 25 281 00 8 32 195 00 600 00 CHRISTIAN F I G G E , Jr., Cashier. $50,000 00 Capital stock paid in. Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 450 00 6, 032 77 27, 000 00 18,626 63 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 350 00 Total. 102, 109 40 102,109 40 First National Bank, Palmyra. JAS. M. BATES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U- S. certificates of deposit Due from U. S. Treasurer Total. No. 1735. $84, 531 75 1,213 74 50, 000 00 41, 757 98 34, 264 59 15,138 86 2,041 80 1, 665 50 4,151 45 2, 868 78 3, 809 401 2,103 15, 000 00 79 74 00 "" *2,"250"66" 261, 198 98 SAMUEL LOGAN, Cashier. Capital stock paid in . Surplus fund ._. Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual dep United States deposits. Deposits of U. S. disbursing officers. $100, 000 00 25, 000 00 5, 912 79 45, 000 00 775 00 84,511 19 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total 261,198 98 REPORT OF THE COMPTROLLER OF THE CURRENCY. 741 1ISSO CRI. First National Bank, Paris. No. 1803. DAVID H. MOSS, President. JNO. S. CONYERS, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on band Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . $89, 670 85 "IOO/OOO bo 18, 590 96, 579 9, 835 1,300 1,015 5,967 Capital stock paid in . ilOO, 000 00 Surplus fund „ Other undivided profits.. National bank notes outstanding State bank notes outstanding 00 20 85 00 Dividends unpaid .. 76 Individual deposits -.. 62 United States deposits Deposits of U. S. disbursing officers. 2,414 00 230 00 2, 006 06 10, 000 00 8, 700 00 4,106 59 89,881 00 1,300 00 138,121 75 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 4, 500 00 Total. 342,109 34 342, 109 34 First National Bank, Pleasant Hill. T H E O . STANLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes , U. S. certificates of deposit . . . Due from U. S. Treasurer Total. No. 1751. $144, 010 36 2, 782 15 50, 000 00 16, 580 00 7, 310 78 3,142 66 13, 405 67 2,006 16 2, 964 27 1, 670 35 2, 000 00 736 73 600 00 11,000 00 GEO. B. HARPER, Cashier. $60, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 10, 500 00 10,233 14 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 2, 250 00 1,474 57 8,666 66 260,459 13 Total., 260,459 13 125, 251 42 National Bank, Rolla. C. H. FROST, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house . Bills of other banks « Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1865. 42 81 D. W. MALCOLM, Cashier. Capital stock paid in $50, 000 00 '220 09 I 30, 000 00 j Surplus fund Other undivided profits 10, 600 44 3,751 64 1,448 90 5,061 59 1,341 66 3,564 00 234 62 National bank notes outstanding... State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 00 Due to other national banks 03 I Due to State banks and bankers . 85 | 00 Notes and bills re-discounted. Bills payable 1, 350 00 10, 300 00 3,718 43 27, 000 00 99 00 53,556 20 2,301 99 257 9, 000 154, 673 63 Total. 10, 000 00 154, 673 63 742 REPORT OF THE COMPTROLLER OP THE CURRENCY. MISSOURI. First National Bank, Sedalia. No. 1627. A. D. JAYNES, President. CYRUS NEWKIRK, Cashier Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $324, 676 79 Capital stock paid in., 3, 455 15 50, 000 00 Surplus fund Other undivided profits $100, 000 00 i... National bank notes outstanding State bank notes outstanding 12, 280 48 36, 442 21 47, 957 39 4,083 30 3, 086 65 2, 210 85 20, 000 00 70, 385 30 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . 9, 432 00 635 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 860 79 40, 000 00 291,724 90 9,900 02 360 39 2, 250 00 Total. 537, 370 61 537,370 61 Citizens' National Bank, Sedalia. No. 1971. CLIFTON WOOD, Presides Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . . . Due from U. S. Treasurer $188, 473 48 3, 423 89 100, 000 0U 65, 487 1, 954 20, 200 10, 779 3,731 4, 384 00 46 47 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 21, 500 00 17, 846 48 90, 000 00 Dividends unpaid .. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 19P, 524 32 866 78 858 39 4, 500 00 Total 429, 595 97 Total. $100, 000 00 ,i Capital stock paid in. 39 42 00 29 22 35 7, 426 421 314 18, 500 ADAM ITTEL, Cashier. 429,595 97 First National Bank, Springfield. R. J. McELHANY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures Current expenses aud taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1701. R. L. McELHANY, Cashier. $144,177 81 Capital stock paid in . 950 63 100, 000 00 Surplus fund. Other undivided profits 27, 925 69 12, 319 83 3,413 22 4,624 67 2,539 91 9, 000 00 324 75 National bank notes outstanding State bank notes outstanding 14,000 00 4, 882 40 90, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 880 00 ! Due to other national banks 91 75 I Due to State banks and bankers 1,120 00 20, 000 00 j Notes and bills re-discounted Bills payable ""*5*60506"; 334, 973 25 $100, 000 00 Total... 117, 374 60 8, 716 25 334, 973 25 REPORT OF THE COMPTROLLER OF THE CURRENCY. 743 MISSOURI. Greene County National Bank, Springfield. W. J. Me DANIEL, President. No. 1677. CHARLES SHEPPARD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from othet banks and bankers . Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $150,000 00 $214,445 61 Capital stock paid in. "l50 f "6o6"66"' Surplus fund Other undivided profits . 23, 154 07 I National banknotes outstanding 5, 121 38 |j State bank notes outstanding 1,133 99 12, 877 02 Dividends unpaid . 2,471 30 Individual deposits 11,000 00 United States deposits 56 96 Deposits of U. S. disbursing officers. 3, 300 20 494 16, 480 00 11 50 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 135, 000 00 125, 515 00 1,164 59 6, 750 00 447, 304 94 447,304 94 Total . 30, 000 00 5, 625 35 First National Bank, St. Charles. VALENTINE BECKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Pue from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $90,421 55 Capital stock paid in.. $50, 000 00 "50," 000* 66" ^Surplus fund Other undivided profits J National bank notes outstanding State bank notes outstanding 3,039 10 14, 995 94 Dividends unpaid . 713 95 Individual deposits . United States deposits Deposits of U. S. disbursing officers. 1, 600 00 52 63 1,000 00 8, 000 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250 00 172,073 17 Total. J. E. STONEBRAKER, Cashier. No. 260. Total. 10, 000 00 5, 824 68 44, 525 00 185 00 37,166 31 24,372 18 172,073 17 First National Bank, St. Joseph. THOS. E. TOOTLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures -. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes , U. S. certificates of deposit Due from U. S. Treasure Total. Jos. C. HULL, Cashier. No. 1580. $222, 822 48 1, 776 12 100, 000 00 26,664 71 59, 393 09 9. 851 19 5,017 81 2, 443 05 1,664 17 Capital stock paid in. 43, 577 22 5, 290 71 National bank notes outstanding State bank notes outstanding 89, 200 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 3,095 00 Due to other national banks 283 20 Due to State banks and bankers 737 85 15, 000 00 Notes and bills re-discounted. Bills payable 4, 500 00 453, 248 67 $100, 000 00 Surplus fund Other undivided profits Total. 530 00 156, 853 27 2, 780 80 30, 016 67 25,000 00 453, 248 67 744 REPORT OF THE COMPTROLLER OF THE CURRENCY MISSOURI. Second National Bank, St. Louis. No. 139. GEO. D. CAPEN, President. C. S. CHARLOT, Cashier. Resources. Liabilities. $472, 988 28 Capital stock paid in. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid — Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 56,665 65" 76, 263 22 $300, 000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding ... 50,820 26 28, 075 94 Dividends unpaid . 4, 500 00 7,281 97 Individual deposits 7, 700 00 United States deposits Deposits of U. S. disbursing officers. 44, 071 79 29, 542 00 Due to other national banks 96 88 Due to State banks and bankers 1, 300 00 120, 000 00 Notes and bills re-discounted . Bills payable Total . 160 30 13, 466 55 45, 000 00 427, 842 90 58, 82 L 69 49,598 90 894, 890 34 Total. Third National Bank, St. Louis. No. 170. THOS. E. TUTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits I $1,666,652 43 li Capital stock paid in. j 1,183 70 | 392, 950 00,.. j j Surplus fund | '.'[ Other undivided profits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers .. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid ! Checks and other cash items Exchanges for clearing house Bills of other banks. - - Fractional currency , Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . T. A. STODDART, Cashier. $1, 000, 000 00 1,150 00 || 113,755 89 j National bank notes outstanding 237, 975 69 jjState bank notes outstanding 177, 392 24 Dividends unpaid . 168, 298 48 11, 340 64 Individual deposits United States deposits 6,451 93 Deposits of U. S. disbursing officers. 101, 938 98 20, 375 00 Due to other national banks 3, 150 00 15, 770 29 Due to State banks and bankers . . . 60, 000 00 Notes and bills re-discounted . 100, 000 00 Bills payable 17,678 50 3, 096, 043 77 159, 593 74 84, 435 66 331,830 00 3, 688 00 632,268 13 398,221 81 486, 006 43 3, 096, 043 77 Total . Fourth National Bank, St. Louis. J. C. H. D. BLOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Dae from IT. S. Treasurer Total .. No. 283. F . W. BlEBlNGER, Cashier. $1,112, 898 77 Capital stock paid in . 15, 044 95 200, 000 00 Surplus fund Other undivided profits 119, 780 00 National bank notes outstanding . 245, 363 84 State bank notes outstanding 191,173 43 Dividends unpaid. 15,120 35 17, 447 36 Individual deposits , 1, 901 88 United States deposits , 1, 263 00 Deposits of U. S. disbursing officers 47, 017 25 16, 759 00 Due to other national banks 946 46 Due to State banks and bankers - 18,188 60 210,000 00 Notes and bills re-discounted. Bills payable 9, 000 00 2, 221, 904 89 Total $200, 000 00 200, 000 00 118, 924 13 175, 200 00 174 00 1,138,876 72 213, 556 76 175,173 28 2,221, 904 89 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 745 MISSOURI. Merchants' National Bank, St. Louis. JAS E. YEATMAN, President. No. 1501. ROBERT EAGLE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $1,187, 405 46 Capital stock paid in. 283 82 50, 000 00 Surplus fund Other undivided profits 14,994 00 National bank notes outstanding 83, 452 42 State bank notes outstanding 45, 008 38 Dividends unpaid. 12, 767 26 9,210 91 Individual deposits United States deposits Deposits of U. S. disbursing officers. 61,137 47 10, 000 00 Due to other national banks 100 00 Due to State banks and bankers 8,518 90 90, 000 00 Notes and bills re-discounted. Bills payable 2, 250 00 1, 575, 128 62 $700, 000 00 72, 490 78 87, 948 98 45, 000 00 2,854 68 458,165 10 24, 505 50 184,163 58 1, 575,128 62 Total. National Bank of the State of Missouri, St. Louis. J. H. BRITTON, President. No. 1665. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $3, 830, 692 73 !2, 500, 000 00 50, 000 00 106, 000 00 Surplus fund Other undivided profits. 421,386 00 284,277 00 35, 516 81 283, 823 73 97, 488 02 National bank notes outstanding... State bank notes outstanding 67, 886 58 57, 007 42 27, 586 00 1,253 75 7, 327 45 ] 18, 000 00 5,"250*66' 248, 775 52 77,502 74 44, 860 00 21, 058 50 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 682, 814 59 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted Bills payable 111, 950 53 207, 683 97 5, 393, 495 49 Total. E D W . P. CURTIS, Cashier. Capital stock paid in . 84, 849 64 414, 000 00 5,393,-495 49 Total. St. Louis National Bank, St. Louis. WM. E. BURR, Presu Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Legal tender notes U. S. certificates of deposit. Due from U. S. Treasurer . No. 1112. R. A. BETTS, Cashier. $1,256, 537 22 Capital stock paid in. 5, 209 60 50, 000 00 Surplus fund 150, 000 00 Other undivided profits 101, 895 78 120, 846 65 93, 377 73 64,338 29 23, 623 39 14,507 18 243 18 182, 738 26 29,741 00 346 50 22, 895 30 125, 500 00 150, 000 00 3, 250 00 2, 395, 050 08 National bank notes outstanding State bank notes outstanding Dividends unpaid . $500, 000 00 200, 000 00 45,736 85 45, 000 00 2, 941 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 501, 892 23 55, 915 71 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 573, 809 93 469,754 36 Total. 2,395,050 08 746 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Valley National Bank, St. Louis. J. A. J. ADERTON, President. No. 1858. JAS. T. HOWENSTEIN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid . . . Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from IL S. Treasurer Liabilities. $744, 018 55 Capital stock paid in . 2, 234 37 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding 114,952 70 State bank notes outstanding 72,859 81 6,071 01 Dividends unpaid . 15, 792 60 Individual deposits 5, 930 98 United States deposits 464 25 Deposits of U. S. disbursing officers . 68,413 83 8,190 00 Due to other national banks 201 95 Due to State banks and bankers Notes and bills re-discounted Bills payable Total. Total . $250, 000 00 18,000 00 28, 398 84 45, 000 00 258, 664 59 290, 373 38 342, 555 74 1, 233, 492 55 First National Bank, Warrensburg. A. W. RIDINGS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for cleariag house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer. Total No. 1856. JAMES W A R D , Cashier. $169, 497 99 Capital stock paid in . 9, 422 75 50, 000 00 Surplus fund Other undivided profits 35, 694 44 National bank notes outstanding 2, 595 68 State bank notes outstanding 3, 217 63 Dividends unpaid . Individual deposits 6,713 68 United States deposits 2, 091 47 Deposits of U. S. disbursing officers. Due to other national banks . Due to State banks and bankers $100, 000 00 9,133 06 5, 387 48 45, 000 00 135, 790 36 291 87 Notes and bills re-discounted. Bills payable Total. 295, 602 77 REPORT OF THE COMPTROLLER OF THE CURRENCY. 747 SAS. K. First National Bank, Atcliison. No. 1672. DAVID AULD, President. J. T. COPLAN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. $120,206 93 2, 350 00 80, 000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 8,472 87 33, 678 66 18, 750 35 1, 325 38 5, 972 79 Capital stock paid in. 10,563 63 3, 678 98 72, 000 00 12, 672 02 1 National bank notes outstanding 1 State bank notes outstanding Dividends unpaid . 1,518 92 Individual deposits United States deposits Deposits of U. S. disbursing officers. 6, 000 00 500 00 Due to State banks and bankers 116,434 36 89 87 3, 981 08 11,000 00 | Notes and bills re-discounted Bills payable " 4*300 00 306, 747 92 Total.. $100, 000 00 Surplus fund Other undivided profits Total 306 747 92 Atchison National Bank, Atchison. G-. D. HARRISON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures . . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer. No. 2082. $91,016 30 2,464 38 50, 000 U0 Capital stock paid in. $100,000 00 Surplus fund. Other undivided profits ! National bank notes outstanding 15, 679 26 13, 907 58 2, 496 23 1,219 98 7,306 71 State banknotes outstanding 3,165 00 8, 629 90 45, 000 00 ' Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers.. 4, 620 00 ! Due to other national banks 277 31 Due to State banks and bankers . 44, 442 85 10,000 00 jjNotes and bills re-discounted. Bills payable 2*250*00* |! 201,237 75 Total. MILTON BARRATT, Cashier. Total. 201,237 75 Burlington National Bank, Burlington. H. L. JARBOE, President. No. 1979. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Other stocks, bonds, and mortgages. $67, 964 68 2,421 26 50,000 00 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid 11,750 61 25,794 13 8,170 00 1,163 66 6, 200 00 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . H. Ex. 3- -44 1,117 50 615 00 95 50 195 00 9,100 00 N. P. GARRETSON, Cashier. Capital stock paid in. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding $50, 000 00 4, 000 00 3, 852 74 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 83,284 60 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted., Bills payable , 1,550 00 186,137 34 186, 137 34 748 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Council Grove. J. W. SlMCOCK, President. No. 2001. T. E, NEWLTN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $81,151 77 Capital stock paid in . 3,081 77 30, 000 00 Surplus fund O cher undivided profits National bank notes outstanding State bank notes outstanding 374 00 11.604 71 2, 034 63 3,198 00 i5o"oo" Individual deposits United States deposits Deposits of U. S. disbursing officers . 27, 000 00 37, 856 26 1,137 27 92 80 3, 000 00 7,500 00 Notes and bills re-discounted j Bills payable 136, 822 58 Total. 5, 500 00 4, 736 25 Dividends unpaid. 221 00 ! j Due to other national banks 6 70 I j Due to State banks and bankers 5, 000 00 $50, 000 00 Total. 136, 822 58 First National Bank, Emporia. No. 1915. H. C. CROSS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks. Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer $179,823 52 Capital stock paid in . 6,327 77 100, 000 00 Surplus fund Other undivided profits 1,241 07 National bank notes outstanding 47, 793 74 State bank notes outstanding 50, 000 00 Dividends unpaid . 6,172 05 1, 683 23 .... 11, 000 00 Individual deposits United States deposits 737 63 Deposits of U. S. disbursing officers. 5, 000 00 Due to other national banks 479 99 Due to State banks and bankers 1, 072 60 40, 000 00 Notes and bills re-discounted. Bills payable 4,500 00 455,831 60 Total. R. B. HURST, Cashier. $100,000 00 15,000 00 8,347 35 90, 000 00 222,589 44 5,516 62 11,932 17 2,416 02 455,831 60 Total. Emporia National Bank, Emporia. P. B. PLUMB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1983. L. T. HERITAGE, Cashier. 5206, 535 75 i Capital stock paid in 1, 554 57 I 50, 000 00 I Surplus fund , I Other undivided profits 3, 983 92 10, 785 10 43,371 20 6 960 00 2, 307 09 1,400 00 383 36 3, 003 110 419 23, 000 National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 00 Due to other national banks 13 Due to State banks and bankers 35 00 Notes and bills re-discounted Bills payable Total $85,000 00 17,000 00 15, 546 85 45, 000 00 175, 945 90 7, 352 89 10,217 83 356, 063 47 REPORT OF THE COMPTROLLER OF THE CURRENCY. 749 KANSAS, First National Bank, Fort Scott. No. 1763. B. P . MCDONALD, President. L. C. NELSON. Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents,. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer, $159, 719 96 1, 509 35 100, 000 00 Capital stock paid in . $100, 000 00 Surplus fund , Other undivided profits 30, 000 00 13,887 38 5, 048 3,501 25, 678 28, 809 12,251 15, 000 69 National bank notes outstanding State bank notes outstanding 67 30 Dividends unpaid . 59 12 00 Individual deposits United States deposits 424 55 Deposits of U. S. disbursing officers. 2, 380 400 610 15, 000 00 09 00 00 90, 000 00 140, 945 94 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable. 4, 500 00 374,833 32 Total. 374, 833 32 Merchants' National Bank, Fort Scott. H. A. PHILLIPS, President. No. 1927. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer 5102, 903 31 1,500 00 50, 000 00 956 40 10, 560 15, 963 10, 337 1,636 5, 848 36 40 97 31 39 16, 385 682 343 9, 0U0 00 04 50 00 G. A. ScoviLL, Cashier. Capital stock paid in . $50, 000 00 Surplus fund Other undivided profits 12, 768 54 6, 410 90 National bank notes outstanding State bank notes outstanding 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable Total. Total . 113,442 10 228,366 68 National Bank, Lawrence. WM. G. COFFIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers. Real estate, furniture, and fixtures . Current expenses and taxes paid — Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit... Due from U. S. Treasurer Total. . WASHINGTON HADLEY, Cashier. $151,964 39 5,754 47 50, 000 00 175, 000 00 5, 000 00 24, 085 15, 612 82, 488 3, 478 16 78 48 98 11, 419 13 1,090 150 1,572 27, 617 00 00 50 00 Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits. 50, 000 00 9,258 17 National bank notes outstanding State bank notes outstanding 45,030 CO Dividends unpaid. Individual deposits United States deposits Deposits of U, S. disbursing officers. 100 00 179, 673 86 121, 643 82 19, 240 14 Due to other national banks Due to State banks and bankers 16,415 78 6,051 12 Notes and bills re-discounted. Bills payable 10, 000 00 2, 150 00 557, 382 89 Total. 557, 382 89 750 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Leavenworth. LUCIEN SCOTT, President. No. 182. LYMAN SCOTT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . . Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items.. Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $271, 332 41 Capital stock paidin j 50, 000 00 Surplus fund 200, 000 00 Other undivided profits. National bank notes outstanding 175, 836 01 State bank notes outstanding 107, 666 04 30,500 00 Dividends unpaid . 4,023 40 Individual deposits United States deposits 5, 686 05 Deposits of U. S. disbursing officers. 1, 337 809 907 20, 677 00 Due to other national banks 59 Due to State banks and bankers... 80 00 Notes and bills re-discounted. Bills payable 2, 250 00 871, 025 30 Total. $100, 000 00 76,000 00 21, 982 43 45, 000 00 387,821 01 33, 222 45 174, 081 65 5,337 10 27,580 66 871, 025 30 First National Bank, Manhattan. No. 2094. STEPHEN FRENCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits i U. S. bonds on hand I Other stocks, bonds, and mortgages... Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures - - Current expenses and taxes paid.. — Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer J. K. WIN CHIP, Cashier. $54, 509 61 Capital stock paid in I 3,948 74 50, 000 00 Surplus fund '; Other undivided profits • 2, 500 00 | National bank notes outstanding 2, 407 98 State bank notes outstanding 772 15 11, 704 70 Dividends unpaid 1, 101 12 Individual deposits 7, 068 00 United States deposits , 890 17 Deposits of U. S. disbursing officers. $50, 000 00 2,600 00 330 46 45,000 00 47,844 48 Due to other national bank Due to State banks and banker First National Bank, Ottawa. A. M. BLAIR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes — TJ. S. certificates of deposit Due from U . S . Treasurer Total. No. 1718. HORACE J. SMITH, Cashier. $91, 727 44 Capital stock paid in. 709 70 50, 000 00 Surplus fund Other undivided profits National bank notes outstanding 3, 320 38 State bank notes outstanding 30, 567 72 8,390 01 Dividends unpaid . 1,050 19 Individual deposits 5,125 00 United States deposits 2, 646 79 Deposits of U. S. disbursing officers. $50, 000 00 2, 000 00 6,139 85 45,000 00 104, 484 84 Due to other national banks Due to State banks and bankers 8, 910 00 Notes and bills re-discounted. Bills payable 2, 250 00 2, 476 00 327 03 94 43 207, 624 69 ! Total. 207,624 69 REPORT OF THE COMPTROLLER OF THE CURRENCY. 751 KANSAS, People's National Bank. Otf&wa. No. 1910. H. H. LUDINGTON, President. B. C. McQUESTEN, Cashier. Liabilities. $50, 000 00 Capital stock paid in. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house. Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer. Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 5, 500 00 6, 636 37 45, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 54, 623 17 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total. Total. 161, 854 20 First National Bank, Paola. No. 1864. F. M. SHAW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid . . . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. C. A. LEIGHTON, Cashier. $56,944 92 Capital stock paid in. 2, 927 59 50, 000 00 Surplus fund Other undivided profits 7,759 66 ! National bank notes outstanding 10, 990 59 State bank notes outstanding 12, 823 65 ! Dividends unpaid . 8,131 25 583 49 6, 307 90 Individual deposits United States deposits 272 05 Deposits of U. S. disbursing officers . 986 45 109 11, 000 00 08 60 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $50, 000 00 7, 974 06 3, 752 70 45, 000 00 48, 514 52 15, 005 50 900 00 2, 265 00 171,146 78 171,146 78 Total. First National Bank, Parsons. R. S. STEVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., ANGELL MATTHEWSON, Cashier. $S8, 832 75 Capital stock paid in. 281 67 50, 000 00 Surplus fund ., 5,666 6o" Other undivided profits 500 00 National bank notes outstanding 6, 926 84 State bank notes outstanding 5,543 10 13, 723 88 Dividends unpaid . 2, 576 26 Individual deposits 4,795 32 United States deposits 1, 002 29 Deposits of U. S. disbursing officers. 171 00 178 13 183 45 12, 000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted., Bills payable $75, 000 00 5, 000 00 4,955 22 44, 500 00 57, 005 63 7, 503 84 2, 250 00 193, 964 Total. 193, 964 69 752 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. Topeka National Bank, Topeka. No. 1945. F . W. GILES, President. SAML. K. LAKIN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . . Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificatss of deposit . Due from U. S. Treasurer Total. Liabilities. $118, 129 09 Capital stock paid in 501 50 100, 000 00 Surplusfund Other undivided profits ! , 18 595 69 17, 465 12 21, 590 30 23, 443 90 29 00 10, 943 50 1, 392 58 5,462 98 3,114 77 .. National bank notes outstanding State bank notes outstanding 2, 997 00 453 30 2,720 15 15, 000 00 $100,000 00 i 90, 000 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 132, 471 14 1, 798 06 4, 914 18 4, 500 0D .! Total. 337,761 13 337,761 13 First National Bank, Wyandott. BYRON JUDD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer Total. FRANKLIN SANFORD, Cashier. No. 1840. $50,000 00 $41,393 15 Capital stock paid in. 1, 883 90 50, 000 00 Surplus fund Other undivided profits 22,33L 11 National bank notes outstanding 2,714 85 State bank notes outstanding 12, 142 64 3, 920 45 Dividends unpaid . 1, 525 96 6, 100 00 6, 017 28 1, 254 31 125 2, 500 00 60 00 00 l,~450 65' 153, 369 94 2,007 54 4,658 94 45, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing offi&ers- 46, 723 16 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. . 5, 000 00 153, 389 94 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 753 First National Bank, Brownville. No. 1846. J N O . L. CARSON, Tresident. A. R. DAVISON, Cishier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer 12,135 29 5, 432 81 19,218 04 42 17 1,678 73 8,186 26 1, 681 03 3,137 00 44 30 891 15 5, 420 00 12, 000 00 6, 313 08 National bank notes outstanding State bank notes outstanding Dividends unpaid - 90, 000 00 25 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 66, 206 19 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 4,500 00 274, 544 27 Total. 274,544 27 Total. $100, 000 00 $112, 022 12 Capital stock paid in. ]55 37 100,000 00 Surplus fund Other undivided profits First National Bank, Fremont. No. 1974. THERON NYE, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Ciu-rent expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $129, 848 82 5, 472 38 34, 000 00 2, 875 38 8, 367 39 21, 750 93 10,481 43 1,881 25 3, 335 00 665 70 E. H. ROGERS, Cashier. $100, 000 00 Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 1,600 00 5,189 02 30, 600 00 Dividends unpaid. Individual deposits , United States deposits Deposits of U. S. disbursing officers 99, 864 11 7, 775 00 Due to other national banks 434 00 335 85 Due to State banks and bankers . 8, 500 00 Notes and bills re-discounted. Bills payable , Total. 237, 253 13 First National Bank, Lincoln. AMASA COBB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit . Due from U. S. Treasurer Total. No. 1798. JNO. R. CLARK, Cashier. $174, 280 01 Capital stock paid in . 2, 232 82 50, 000 00 Surplus fund Other undivided profits $50, 000 00 *.. 71, 955 77 National bank notes outstanding State bank notes outstanding 91 66, 095 79,127 21, 548 29 4,690 27 57 90 62 2, 024 83 8,516 00 891 20 207 10 30, 000 00 25, 000 00 2,155 08 45, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 383,041 43 52 65 10, 700 84 4, 350 00 515,950 00 Total. 515, 950 00 754 REPORT OF THE COMPTROLLER OF THE CURRENCY. WE B U A S K A . State National Bank, Lincoln. D. B. ALEXANDER, President. No. 1899. L. C. RICHARDS, Cashieu Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes ,. U. S. certificates of deposit Due from U. S. Treasurer Total . Liabilities. $123,092 28 1,647 34 50, 000 00 5,221 92 39,789 16 17, 376 20 23,100 00 1, 026 03 8, 000 00 746 06 31,452 00 768 96 178 46 15, 000 00 $50, 000 00 Capital stock paid in. Surplus fund Other undivided profits. 10, 000 00 5,505 06 National bank notes outstanding State bank notes outstanding Dividends unpaid. 45, 000 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 202,548 35 2,891 13 3,108 87 1, 655 00 Total. 319,053 41 319,053 41 Nebraska City National Bank, Nebraska City. W. L. W I L S O N , President. Loans and discounts. ..„ Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents-. Due from other banks and bankers. Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S-Treasurer Total. No. 1855. $127, 615 76 1,554 53 100, 000 00 I 13,940 60 4,054 50 9,788 65 10,3-20 5L 2, 465 44 10, 000 00 1,036 31 G-. L. W O O L S E Y , Cashier. $100, 000 00 Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 12,000 00 2,804 80 90, 000 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 225 00 Due to other national banks 226 06 Due to State banks and bankers 549 20 10, 956 00 Notes and bills re-discounted Bills payable 298, 175 11 Total. 92, 748 40 608 54 13 37 298, 175 11 Otoe County National Bank, Nebraska City. W. E. HILL, Prtsident. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . No. 1417. J U L I A N M E T C A L F , Cashier. $88,173 01 Capital stock paid in . 1, 442 09 100, 000 00 Surplus fund Other undivided profits 36, 806 11 National bank notes outstanding 1,022 81 State'bank notes outstanding 1,495 85 14, 459 94 Dividends unpaid . 5,294 19 Individual deposits United States deposits 92 85 Deposits of U. S. disbursing officers. 1, 340 00 Due to other national banks 560 22 Due to State banks and bankers 722 70 9, 405 00 li Notes and bills re-discounted . Bills payable 5,499 40 1 1 266,314 17 !l' Total. 5100, 000 00 12, 000 00 5, 387 69 90, 000 00 90 00 58, 787 20 47 «>3 266,314 17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 755 N E B K A SK A. First National Bank, Omaha. No. 209. HERMAN KOUNTZE, President. H. W. YATES, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand . Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $200, 000 00 $731 332 07 Capital stock paid in. 27, 921 60 200, 000 00 Surplus fund 150, 000 00 Other undivided profits. 39, 898 87 National bank notes outstanding 322, 695 19 State bank notes outstanding 55, 067 59 64,804 07 Dividends unpaid . 10,599 78 Individual deposits I United States deposits 22, 310 20 Deposits of U. S. disbursing officers 50, 000 00 16, 458 09 179, 880 00 1, 065, 901 26 75, 645 38 85,159 38 40, 266 92 31, 871 54 19, 840 00 Due to other national banks 6, 086 49 Due to State banks and bankers 14,286 32 70, 000 00 Notes and bills re-discounted. Bills payable 10, 340 39 Total. 1, 745,182 57 1,745,182 57 Omaha National Bank, Omaha. No. 1633. EZRA MILLARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks . .... Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $632, 694 25 15,774 49 200, 000 00 150, 000 00 350 00 66, 262 31 89,804 04 33, 760 31 25, 000 00 9. 385 50 32,810 01 4,812 41 Capital stock paid in $200, 000 00 Surplus fund Other undivided profits National bank notes outstanding 40, 000 00 27, 136 73 180, 000 00 State bank notes outstanding Dividends unpaid 566, 269 77 78, 436 98 87,137 18 Individual deposits United States deposits 33,371 00 Deposits of U. S. disbursing officers 2, 674 98 Due to other national banks 6, 874 45 Due to State banks and bankers 69, 015 00 Notes and bills re-discounted Bills payable 1,381,1 ) 75 Total. J. H. MILLARD, Cashier. 84,358 75 67, 750 34 50, 500 00 1, 381, 589 75 Total First National Bank, Plattsmouth. JOHN FITZGERALD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., No. 1914. !9, 831 79 50, 000 00 "sI/JII 36 14,146 33, 188 10, 000 2,112 5, 000 88 57 00 86 00 5, 200 00 622 77 8, 000 00 232, 264 23 A. W. MCLAUGHLIN, Cashier. $50, 000 00 Capital stock paid in., 9, 000 00 3,176 97 Surplus fund Other undivided profits National bank notes outstanding | 45, 000 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks 125, 087 26 Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. 232,264 23 756 REPORT OF THE COMPTROLLER OF THE CURRENCY. OREGON, First National Bank, Portland. HENRY FAILING, President. No. 1553. JAMES STEKL, Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Capital stock paid in . Surplus fund Other undivided profits . National bank notes outstanding State bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted Bills payable Total $250,000 00 50, 000 00 301, 799 47 222, 700 00 8, 700 00 626, 502 66 107,775 66 151, 680 70 4 288 78 1,723,447 27 REPORT OF THE COMPTROLLER OP THE CURRENCY. 7 5 7 CALIF ORMIi, First National Gold Bank, Oakland. G. M. FISHER, Cashier. No. 2248. V. D. MOODY, President. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. 8. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer •-. $133,276 11 2, 302 74 100, 000 00 2,713 6,004 875 5, 646 2,555 99 05 95 00 86 41 75 Surplus fund Other undivided profits | National bank notes outstanding jj State bank notes outstanding i jI Dividends unpaid . ! Individual deposits j United States deposits | Deposits of U. S. disbursing officers. 50 00 | Due to other national banks 54 j Due to State banks and bankers 35,344 70 I 1,121 00 1 Notes and bills re-discounted. Bills payable 290, 190 11 Total. $100, 000 00 Capital stock paid in . 1, 600 00 10,528 86 79, 990 00 206 00 96, 376 43 1,488 82 Total. 290, 190 11 Union National Gold Bank, Oakland. A. C. HENRY. President. No. 2266. Loans and discounts „. Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits IT. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house . Bills of other banks Fractional currency Specie Legal tender not >s U- S. certificates of deposit Due from U. S. Treasurer $28B, 522 44 4,987 6L 50, 000 00 '""io,*666"6o" 28, 943 84 15,416 95 $100, 000 00 Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding Dividends unpaid . | I j. 3,069 08 Individual deposits 971 35 United States deposits 2,783 13 Deposits of U. S. disbursing officers . 2, 650 00 47,271 05 .1, 647 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 454, 262 45 Total. H. A. PALMER, Cashier. 20, 234 98 39, 780 00 280,948 93 13,298 54 454,262 45 Total. First National Gold Bank, Petaluma. I. Gr. WlCKERSHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation TT. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers... Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total .. No. 2193. $275, 814 86 2, 359 98 100, 000 00 21,015 75 385 48 1, 026 88 220 13 6 70 29, 832 90 355 00 431,017 68 H. H. AT WATER, Cashier. Capital stock paid in Surplus fund Other undivided profits. National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers $200, 000 00 12,534 13 5, 315 39 80, 000 00 133,076 61 91 55 Notes and bills re-discounted Bills payable Total. 431, 017 68 758 REPORT OF THE COMPTROLLER OF THE CURRENCY. CALIFORNIA, National Gold Bank of D. O. Mills & Co., Sacramento. EDGAR MILLS, President. No. 2014. FRANK MILLER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid ! Checks and other cash items Exchanges for clearing house ! , Bills of other banks Fractional currency Specie Legal tender notes j U. S. certificates of deposit \ Due from U. S. Treasurer Total. Liabilities. $325,778 60 Capital stock paid in. 1,179 22 150, 000 00 ' Surplus fund Other undivided profits. 41, 647 70 National bank notes outstanding 23, 595 58 | State bank notes outstanding 156, 077 15 ! Dividends unpaid . 72, 500 00 I 4,434 92 j Individual deposits , j United States deposits 8,499 58 Deposits of U. S. disbursing officers. $300, 000 00 27,000 00 9,796 51 119,095 00 363, 615 19 4,885 00 Due to other national banks 34 50 Due to State banks and bankers 87,862 26 12, 798 00 Notes and bills re-discounted Bills payable , Total 889, 292 51 69, 785 81 , 889, 292 51 First National Gold Bank, San Francisco. R. C. "VVOOLWORTH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures - Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer No. 1741. $2, 059, 443 99 62,709 63 800, 000 00 Capital stock paid in $2, 000, 000 00 Surplus fund Other undivided profits 112,333 33 53, 515 58 National bank notes outstanding State bauk notes outstanding 3,852 00 148, 157 99 21, 539 77 1,011 87 15,691 41 Dividends unpaid . 3, 940 52 Individual deposits United States deposits Deposits of U. S. disbursing officers. 392 60 113, 394 86 5, 770 00 12 18 526, 480 00 27, 280 00 911,965 37 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 3,817,736 30 Total. GEO. "W. RODMAN, Cashier. Total 3,817,736 30 National Gold Bank and Truat Company, San Francisco. C. H. BURTON, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds,and mortgages. Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 1994. H. H. HEWLETT, Cashier. , 104, 534 20 ! Capital stock paid in 99 196 94 | 50, 000 00 J Surplus fund I Other undivided profits..-.-.. 00 i National bank notes outstanding1 76 State bank notes outstanding. 70 Dividends unpaid . 00 Individual deposits United States deposits 13, 021 86 j Deposits of U. S. disbursing officers 67, 916 1,185 3, 766 51,100 1,405 25 101,957 2,600 00 68 78 00 || Due to other national banks v Due to State banks and bankers |j |i Notes and bills re-discounted || Bills payable 1,496,845 22 • Total. ;L, ooo, ooo oo 150,000 00 26, 663 86 40, 000 00 240, 096 30 39, 085 06 1, 000 00 1, 496, 845 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. 759 CALIFORNIA. Farmers' National Gold Bank, San Jose. JNO. W. HINDS, President. No. 2158. W. D. TISDALE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S, Treasurer Total . Liabilities. $512,421 16 12,229 55 250, 000 00 20, 747 57 52,126 42 11,204 68 100, 896 47 4, 625 56 4, 982 86 2,608 60 1,915 00 33, 687 85 1, 406 00 Capital stock paid in \ Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding i | Dividends unpaid , Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total. 1, 038, 851 72 $500,000 00 10,214 25 8,115 23 198, 325 00 448 00 319,440 83 1,433 90 874 51 1, 038, 851 72 First National Gold Bank, Santa Barbara. MILO SAWYER, President. No. 2104. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers.. Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $115, 690 85 1, 598 59 34,000 00 2, 279 79 78 92 892 61 23, 740 67 1,307 05 A. L. LINCOLN, Cashier. Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits National bank notes outstanding... State bank notes outstanding Dividends unpaid . 204, 814 43 I 27,110 00 40 00 Individual deposits United States deposits 171 50 Deposits of U. S. disbursing officers. 474 00 70 23, 794 75 785 00 8, 673 48 4, 843 34 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable Total . 51,202 20 233 65 12,711 76 204,814 43 First National Gold Bank, Stockton. FRANK STEWART, President. Loans and discounts Overdrafts U S. bonds to secure circulation U. S, bonds to secure deposits U.S bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. H. H. HEWLETT, Cashier' $399,183 56 457 09 250, 000 00 Capital stock paid in Surplus fund Other undivided profits National bank notes outstanding 16, 618 07 58, 482 72 5, 357 76 5 00 $400, 000 00 25, 000 00 28,068 98 199,475 00 State bank notes outstanding Dividends unpaid Individual deposits United States deposits "'""225OO" Deposits of U. S. disbursing officers. 92 Due to other national banks 44, 132 29 Due to State banks and bankers . . . 52 00 Notes and bills re-discounted Bills payable 1,267 00 102, 732 83 5, 061 47 779, 575 ! Total 75 89 1,178 73 21, 777 45 779,575 88 760 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW MEXICO. First National Bank, Santa Fe. S. B. ELKINS, President. No. 1750. W. W. GRIFFIN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures . . Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Liabilities. $216,498 79 Capital stock paid in. 2, 000 56 150, 000 00 Surplus fund Other undivided profits 922 01 National bank notes outstar ding 7, 540 20 State bank notes outstanding . . . . 30,913 99 Dividends unpaid . 3,150 03 1,410 00 12, 500 00 Individual deposits United States deposits 1,076 89 Deposits of U. S. disbursing officers. 1, 733 00 Due to other national banks 130 65 Due to State banks and bankers 1,093 85 16,110 00 Notes and bills re-discounted. Bills payable 6, 050 00 451,129 97 Total. Total , $150, 000 00 32,000 00 2, 830 36 134, 630 00 130, 697 63 971 98 451, 129 97 Second National Bank of New Mexico, Santa Fe. LEHMAN SFIEGELBERG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses aad taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie L egal tender notes TJ. S. certificates of deposit Cue from U. S. Treasurer , Total. No. 2024. W I L L I SPIEGELBERG, Cashier. $138,128 02 | Capital stock paid in. 2,463 70 150, 000 00 Surplus fund Other undivided profits National bank notes outstanding . . . . 436 03 6,416 96 State bank notes outstanding 43,410 11 2, 044 86 Dividends unpaid . j Individual deposits 15, 000 00 ! United States deposits 155 30 I Deposits of U. S. disbursing officers. $150, 000 00 8,064 65 21, 833 26 134, 370 00 93, 227 37 1,058 00 Due to other national banks 1, 139 60 Due to State banks and bankers . 65 70 20,427 00 Notes and bills re-discounted . Bills payable 6, 750 00 407, 495 28 Total , 407, 495 28 REPORT OF THE COMPTROLLER OF THE CURRENCY. 761 COLORADO, First National Bank, Central City. J. A. THATCHER, President. No. 2129. FRANK C. YOUNG, Cashier. Liabilitie Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer $205,260 09 Capital stock paid in. 3, 760 42 50, 000 00 Surplus fund Other undivided profits 2, 522 69 8, 279 65 31,084 41 30, 000 00 21 55 6, 000 00 4,684 84 $50, ooo oa 20, ooo oa 205 76 National bank notes outstanding State bank notes outstanding 44, 505 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 260, 059 52 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 2,143 84 Total Total. 376,914 12 Rocky Mountain National Bank, Central City. HERMAN KOUNTZE, President. Loans and discounts Overdrafts U. S. bonds? to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total No. 1652. J. S. RAYNOLDS, Cashiei $208,423 91 Capital stock paid in. 6, 749 24 50, 000 00 Surplus fund Other undivided profits 7,881 24 National bank notes outstanding 20, 978 61 State bank notes outstanding 65, 734 29 Dividends unpaid. 6, 500 00 856 97 , 3, 800 00 Individual deposits United States deposits 16, 078 45 Deposits of U. S. disbursing officers. 1,683 00 559 40 58,514 66 25, 101 00 $50, 000 00 2, 500 00 1,125 89 45,000 00 361,296 63 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 17,190 29 "" 4*252 04* Total. 477,112 81 477, 112 81 First National Bank, Colorado Springs. G H. STEWART, President. L Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes LJ. S. certificates of deposit Due from U. S. Treasurer Total. No. 2179. I, 879 14 !, 453 35 1,000 00 JAMES KNOX, Cashier. Capital stock paid in . $50, 000 00 Surplus fund Other undivided profits 3, 000 00 4,133 82 National bank notes outstanding State bank notes outstanding 178 15 !,242 57 i 653 11 , ',479 70 ! P95 57 , : 260 56 , 254 28 Dividends unpaid., 997 199 352 i 050 Due to other national banks Due to State banks and bankers . „ . . Notes and bills re-discounted. Bills payable 00 63 00 00 6 5 27, 000 00 148 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Total....... 72, 066 17 5, 897 07 I 162,245 06 7G2 REPORT OF THE COMPTROLLER OF THE CURRENCY. COLORADO. First National Bank, Denver. J. B. CHAFFEE, President. No. 1016. I). H. MOFFAT, Jr., Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages . Due from approved reserve agents .. Due from other banks and bankers.. Real estate, furniture, and fixtures .. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total ;647, 564 15,975 50,000 50, 000 47 16 00 00 Capital stock paid in . Surplus fund « Other undivided profits.. 50, 000 00 55, 964 82 657 85, 209 40, 508 33,404 312 10, 000 4,382 76 92 84 30 85 00 35 National bank notes outstanding State bank notes outstanding 44, 900 00 12, 474 733 6, 757 90, 000 00 50 50 00 $200, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers 623, 885 02 28, 866 08 1, 948 50 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable 16, 990 22 27, 676 01 !, 250 00 I 1,050,230 65 Total I 1, 050, 230 65 City National Bank, Denver. Jxo. R. HANNA, Cashier, HENRY CROW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits . U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house . . . Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total., $236, 439 31 10, 079 59 100, 000 00 4,314 80 18, 825 33 13,012 89 27, 950 00 7, 332 74 14,158 95 4, 267 00 2, 157 70 291 00 45, 221 00 Capital stock paid in..., $100,000 00 Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 25, 000 00 13, 350 08 j 90, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 490,143 26 Total. 221,990 85 25,117 18 4, 685 15 j | 10, 000 00 490, 143 25 Colorado National Bank, Denver. C. B. KOUNTZE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. No. 165 L. $410, 269 64 9, 307 28 100, 000 00 50, 000 00 4,100 00 10, 000 00 26, 740 71 72, 754 88 16,000 00 352 61 5, 532 06 3, 114 00 820 20 7, 019 48 65, 000 00 WM. B. BERGER, Cashier. Capital stock paid in . $100, 000 00 Surplus fund Other undivided profits.. 20, 000 00 10,707 12 National bank notes outstanding State bank notes outstanding 89, 000 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers 463, 534 03 31, 463 77 3, 883 2-5 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable 61,088 21 7, 712 26 Total. 787, 388 67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 763 CO ABO. First National Bank, Georgetown. W M . H. CUSHMAN, President. No. 1991. W M . L. HADLEY, Cashier. Liabilities. Resources. $170,635 16 17, 622 68 50, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid . Capital stock paid in. $75,000 00 Surplus fund Other undivided profits Checks and other cash items j Exchanges for clearing house Bills of other banks | F ractional currency ........ | Specie Legal tender notes . . . . . . . ^ U. S. certificates of deposit Due from U. S. Treasurer 885 59 " I , 724*66 "43*050*02" 19,000 00 125, 000 00 13, 471 06 National bank notes outstanding | 45, 000 00 State bank notes outstanding 33, 956 51 56,945 13 16,000 00 j I j Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. i| Due to other national banks Due to State banks and bankers 151, £ 787 60 34 05 Notes and bills re-discounted., Bills payable 1, 280 50 411,099 59 Total. 411,099 59 First National Bank, Pueblo. No. 1833. J . A. THATCHER, President. $254,214 77 7, 962 01 50, 000 00 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages. Capital stock paid in 20, 000 00 7, 102 47 ' 45,000 00 State bank notes outstanding j Dividends unpaid | i \ j j Notes and bills re-discounted Bills payable 3,266 00 i Individual deposits United States deposits Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers 2, 090 00 305 35 1,421 59 18,365 00 Legal tender notes , U. S. certificates of deposit. Due from IT. S. Treasurer.. $100, 000 00 j j National bank notes outstanding 2, 834 52 Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency j Surplus fund Other undivided profits 772 45 3,852 99 45,388 0L 12, 000 00 2,259 60 Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid M. D. THATCHER, Cashier. I j 222, 276 35 4, 019 85 6, 333 62 i 404, 732 29 Total. Total I 404,732 29 Stock Growers' National Bank, Pueblo. No. 2310. C. B. LAMBORX, President. , Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages.. Due from approved reserve agents... Due from other banks and bankers . . Real estate, furniture, and fixtures... Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency S pecie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total . H. Ex. 3- -45 $54, 040 ( Capital stock paid in. 2, 426 01 | 30, 000 00 I Surplus fund Other undivided profits National bank notes outstanding State bank notes outstanding 15,397 14 Dividends unpaid . 2.069 11 9, 302 86 Individual deposits 5, 137 50 United States deposits 1,037 79 . S. T. COLLINS, Cas II $50,000 00 | 8,034 15 27, 000 00 41,402 52 Deposits of U. S. disbursing officers. 954 00 Due to other national banks 36 05 Due to State banks and bankers 147 84 10, 073 00 Notes and bills re-discounted. Bills payable 3,551 26 1, 583 43 400 00 1,350 00 || 131,971 36 764 REPORT OF THE COMPTROLLER OF THE CURRENCY. COLORADO, First National Bank, Trinidad. No. 2300. FRED. D. WIGHT, President. GEO. R. SWALLOW, Cashier. Liabilities. Loans and discounts Overdrafts U. S= bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes TJ. S. certificates of deposit Due from U. S. Treasurer Total. $69, i Capital stock paid in Surplus fund Other undivided profits 30, , 138 09 National bank notes outstanding State bank notes outstanding $50, 0C0 00 j | 8,000 00 6, 885 28 27, 000 00 Dividends unpaid 423 49 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. 1 146, 00 Notes and bills re-discounted Bills payable Total. 54, 362 97 REPORT OF THE COMPTROLLER OF TPIE CURRENCY. 765 UTAH. Deseret National Bank, Salt Lake City. W. H. HOOPER, President. No. 2059. L. S. HILLS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid . Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $271, 287 72 ! Capital stock paid in 19, 707 72 ! 50, 000 00 | Surplus fund " "2*5 "665" 66'j Other undivided profits 10,328 05 1,477 08 9,211 86 45, 000 00 8, 113 03 2,815 21 312 24 7,198 723 4, 757 107,118 00 55 40 00 """2*256"66" 565,299 86 National bank notes outstanding State bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable Total $200, 000 00 35, 000 00 29,821 81 45, 000 00 108 00 253, 336 41 2, 033 64 565, 299 86 766 REPORT OF THE COMPTROLLER OF THE CURRENCY. MONTANA. First National Bank, Bozeman. No. 20-27. GEO. W. FOX, President. JAS. OX. DOW, Cashier. Resources. Loans and discounts j Overdrafts ' U. S. bonds to secure circulation \ U. S. bonds to secure deposits | U. S. bonds on hand ! Other stocks, bonds, and mortgages..; Due from approved reserve agents.. J Due from other banks and bankers .. i Real estate, furniture, and fixtures...j Current expenses and taxes paid Premiums paid j Checks and other cash items | Exchanges for clearing house ' Bills of other banks Fractional currencv Specie ". i Legal tender notes i U. S. certificates of deposit i Due from U. S. Treasurer | Total | $30,586 35 2, 90L 43 50, 000 00 50, 0U0 00 Capital stock paid in j $50, 000 00 Surplus fund Other undivided profits National bank notes outstanding | i j 5, 250 00 6, 532 57 45, 000 00 6, 265 31 : 788 59 State bank notes outstanding . 5, 950 00 Dividends unpaid 1, 613 86 14, 000 00 Individual deposits j 64 80 United States deposits j 337 00 Deposits of U. S. disbursing officers..; 8 30 Due to other national banks 3 04 79 Due to State banks and bankers 4, 000 00 Notes and bills re-discounted 2, 250 00 Bills payable 168,870 43 Total 30, 489 21 23, 651 74 2, 174 00 5, 772 91 3 68, 870 43 First National Bank, Deer Lodge. S. E. LARABIE, Cashier. W. • A. CLARK, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation . . . . U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie , Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. $90, 807 99 Capital stock paid in. 5,248 15 50, 000 00 Surplus fund Other undivided profits. 13, 498 99 National bank notes outstanding 60 91 • State bank notes outstanding 14, 752 75 Dividends unpaid ., 9, 135 26 760 85 4, 500 00 Individual deposits United States deposits. 43, 909 56 Deposits of U. S. disbursing officers 495 00 22 00 11,500 00 Due to other national banks Due to State banks and bankers . . . Notes and bills re-discounted. Bills payable $50, 000 00 50, 000 00 9, 907 73 44, 400 00 90,186 40 1,123 86 1, 323 47 ""2,250 00 ' 246,941 46 246, 941 46 Total. First National Bank, Helena. S. T. HAUSER, President. Loans and discounts | Overdrafts '• U. S. bonds to secure circulation \ U. S. bonds to secure deposits i U. S. bonds on hand j Other stocks, bonds, and mortgages.-! Due from approved reserve agents...! Due from other banks and bankers ..j Real estate, furniture, and fixtures. ..j Current expenses and taxes paid j Premiums paid j Checks and other cash items I Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit , Due from U. S. Treasurer , Total . No. 1649. $422, 298 06 9, 010 02 50, 000 00 100,000 00 18, 059 53 54,111 89 14,512 70 16,528 91 6, 144 79 17, 460 25 69, 406 43 1,846 00 3,046 97 6, 088 09 28, 500 00 E. W. KNIGHT, Cashier. Capital stock paid in . Surplus fund Other undivided profits National bank notes outstanding . . . State bank notes outstanding $100, 000 00 20, 000 00 28, 842 98 44, 434 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable 524,194 54 19, 596 78 58,276 32 3, 637 53 20,281 49 2, 250 00 819, 263 64 Total . 819,263 64 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 767 MONTANA. People's National Bank, Helena. No. 2L05. C. L. DAHLER, President. GEO. W. FOX, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures.. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house... Bills of other banks Fractional currency..... c Specie . Legal tender notes . „ U. 8. certificates of deposit Due from U. S. Treasurer Total. $129, 821 52 I Capital stock paid in 4,332 07 56, 000 00 Surplus fund Other undivided profits 7, 635 96 National bank notes outstanding 485 02 State bank notes outstanding 11,484 33 8, 376 51 2 891 77 6* r00 00 ' #JI 44, 032 73 $1.00, 000 00 2, 000 00 13, 515 07 50, 350 00- \\ Dividends unpaid. ii '' Individual deposits j | United States deposits |i Deposits of U. S. disbursing officers.. 4, 049 00 1 Due to other national banks . . . 1 26 96 1 Due to State banks and bankers 1 3,204 01 20, 400 00 Notes and bills re-discounted || Bills payable 2, 520 00 107, 405 40 2, 225 48 26, 263 93 Total. 301, 759 88 Missoula National Bank, Missoula. C. P. HKTGINS, President. No. 2106. FERD. KENNETT, Cashier, Lonrv. :nid di^eoiuiH ' *"4 ">l n ; Ov.-vmfN L ')»i) ' ' t;. S. bonds to s*>enro cireubitiou ' , 3) « 0 0) lT. ?». houdrf to secure (1(Ji)u->itri • V. S . b o n d - o-.; h i u u l . . . . ' i...., O*hoi' stocks, i>omlj. a n d mortgngos . . ' 3o1 M N * ^ M 1 1 I !c T o*•"<>. o Du-;vo'.nS.ni,rovo,lrf.S.'rvca3fn^...i Due iYrna other b a n k s and b a n k e r : . . . '} D v.l ' r > •>! 1~, > t.'h' o'.cs and oi!u-r cash Uc-m< Kxcii.:i.2'-. > for ('!i-;irii:r>; IMIII,-! Friici.>i:til currencyS i " i Duo from U. -S. Treas'u-'r Total , i ) 10 ) } 7 ) ; U I ) lu (0 1*3 iJ . I, 350 00 : 116,507 32 CamMMxkpuLi <* v tAa f 11 I . <*t( r n i < l ' \ i l ' pi m ! V l t h l , 8, 589 44 2(5. 500 00 ^ >r ^ ""* * l^uii -i. .1 i I) j.) >M* $50, 000 00 . I , .. . * i L b f3i->i ui-n ^ officers. Du^tooil< i 1 'on J b i ' v ! . . . . | D i to s t u !> lk-, m l b a ikers. , . . . | j \< i «, i n d 'Ml t M U C ) m t d i IhlNpi^b* .! | Total. 187 02 13, 791 32 768 REPORT OF THE COMPTROLLER OF THE CURRENCY. IDAHO, First National Bank of Idaho, Boise City. J. H. MCCARTY, President No. 1668. JOHN* HUNTOON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. 8. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents . Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid... Premiums paid Checks and other cash items Exchanges for clearing house ' Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $63,613 95 ! Capital stock paid in. 6, 728 80 ; 100, 000 00 ! Surplus fund , Other undivided profits 58,972 97 j National bank notes outstanding State bank notes outstanding 85, 474 88 ; 7, 033 33 ' Dividends unpaid. 1,648 58 i Individual deposits United States deposits „ 455 00 Deposits of U. S. disbursing officers.. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total ,. $100, 000 00 20,333 15 9, 325 81 86, 500 00 131,264 00 15, 895 75 363,318 71 REPORT OF THE COMPTROLLER OF THE CURRENCY. 769 DAKOTA. First National Bank, Yankton. J . C. McYAY, President. No. 2068. Resources. Loans and discounts , Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages. Due from approved reserve agents.. Due from other banks and bankers . Real estate, furniture, and fixtures-. Current expenses and taxes paid Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. W. H. MCYAY, Cashier. Liabilities. $70, 896 32 181 72 50, 000 00 50,000 00 Capital stock paid in. Surplus fund Other undivided profits 513 38 National bank notes outstanding 49,149 99 State bank notes outstanding 17, 859 57 Dividends unpaid. 10, 536 35 1,713 63 I 11,747 92 Individual deposits United States deposits | 1,073 76 Deposits of U. S. disbursing officers.. I 2, 375 00 170 58 3, 783 15 7,358 00 $50, 000 00 10, 000 00 4, 305 73 43, 300 00 575 00 128, 344 69 40, 660 95 2, 475 00 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted . Bills payable. 2, 250 00 279, 661 37 279, 661 37 770 REPORT OF THE COMPTROLLER OF THE CURRENCY. WYOMING, First National Bank, Cheyenne. A. R. CONVERSE, President. No. 1800. J. E. WILD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Other stocks, bonds, and mortgages..! Due from approved reserve agents Due from other banks and bankers .. Real estate, furniture, and fixtures. ..j Current expenses and taxes paid j Premiums paid Checks and other cash items Exchanges for clearing house Bills of other banks Fractional currency •Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer Total. Liabilities. $127,717 14 6 857 73 , 30, 000 00 $75, 000 00s Capital stock paid in. Surplus fund Other undivided profits 8,199 47 National bank notes outstanding j 7, 839 14 j j State bank notes outstanding 53,167 35 Dividends unpaid., 4, 184 00 12, 602 46 j I Individual deposits 2,898 53 United States deposits 11,341 15 Deposits of U. S. disbursing officers . 27, 312 00 Due to other national banks 100 24 1,667 60 j Due to State banks and bankers 38,094 00 j Notes and bills re-discounted ' Bills payable 4, 350 65" 336,330 8L j j i I 25,033 18 25,800 00 205, 255 68 5, 113 78 127 97 336,330 81 Wyoming National Bank, Laramie City. E D W A R D IVINSON, President. Loans and discounts , Overdrafts U. S, bonds to secure circulation . . . U. S. bonds to secure deposits U. S.bonds on hand Other stocks, bonds, and mortgages Due from approved reserve agents. Due from other banks and bankers. Real estate, furniture, and fixtures.. Current expenses and taxes paid... Premiums paid Checks and other cash items p]xchange.s for clearing house Bills of other banks Fractional currency Specie Legal tender notes U. S. certificates of deposit Due from U. S. Treasurer C. B. ROOT, Cashier. No. 2110. l.r $50,000 00 il 3J, H)0 00 (I p.olit-s Ot u' V- >> k u > t ' , o i 24,600 00 10, 137 17 i , 7 () n 1,0 Mi x )2 ~> > I 20, 505 00 3,-193 31 I).' I( i T D - 'uvud - 1,. 1 i - p p ^ N ) , - , , ! U. »S.\i. r Tr'+; n.il b ink-. . . . „, 7") 0 P i t 17 > f ) D ie « e b.ui'vi and b i il i. \ . ' I) 1*2 9,13 0) "Nh+r I 1 > ill r ^ ' L ^ o u u f o l INDEX OF TOWNS.* A. Abington, Mass Adams, Mass Adams, X. Y Adrian, Mich Afton, Iowa Akron, Ohio Albany, N. Y Albia, Iowa Albion, N. Y Albion, Mich Alexandria, Va Allegan, Mich Allegheny, P a Allentown, P a Allerton, I o w a Alliance, Ohio Alton, 111 Altoona, P a Araonia, N. Y Araericus, G a A m e s b u r y , Mass Ainherst,"Mass Amsterdam, N. Y An am sa, I o w a . Anderson, S. C Andes, N. Y An do ver, Mass Angelica, X . Y A n n Arbor, Mich Annapolis, Md Ansonia, C o n n . . . Anthony, R . I Appleton, Wis Arcola, 111. A«huwav, R. I , Ma Ashland, Pa , - ........ - - 173 Big Kanids, Mich . 216 B.ugliMinron. X. Y 115 iiirn iniiliam, (Joim. 247 Biinunj»l.;i.u. P a . . 6.V) Binrin^iiain. A l a . . 1 >.$ Bi.iii^villi', P a 2! 1 IMo'.^ui-ton. \vA . 193 i51n(,iiin::,M,»n 111 <:-."> Jil.M'ii-si.iirg. P a -O 9 lilu.p.i.'i.ir X.J.. I:-1! ?J.>^< C i ' \ . 1 i.'ho.. * , X. Y , In.l. ~ »n B .•> Mo 5."; B«>-c >We!. W i s 7 17 Boston. M i s s . 3<i2 B'm »l >!/>iwun, Me 477 Bowling Gieen, K y . 52! Boyertown, P a . 5 115 5 , Mont. 477 Braidwood. Ill 6 i 0 Brandon, Yx 576 BraUleboro". Vt. 116, 269 Hrcw.-te^, X. Y .. 59 Bridgeport, Conn , 247 Bridgeport, Ohio . 576 Bi idgeton, X. J . 60 Brighton, Mass . 478 Brighton, Iowa . 248 Bristol, R. I . 576 Bristol, Conn 610 Bristol, P a 4^9 Brock port, X. Y . . 725 Brockton, M a s s . . . Brooklyn, Conn . . Brooklyn, X. Y Brookville, I n d . . . Brownsville, P a . 249 Brownvil , Xeb. 249 Brunswick, Me . 443 Bryan, Ohio 61 Buchanan, Mich . . 685 Bucksport, Me 521 Bucyrus, Ohio 98 Buffalo, X. Y 116 Burlington, V t . . . . 98 Burlington, N. J . . 250 Burlington, Wis . . 521 Burlington, Iowa . :j..l B. . . Ashland! Ohio A s h t a b u l a , Ohio . Atchison, Kau.-j Athens, P a Athens, Ga Athens, Ohio Athol, Mass Atlanta, G a Atlanta, 111 Attica, Ind Attleboro', Mass Auburn, Me Auburn, X. Y Auburn, Ind Augusta, Me Augusta, Ga Aurora, X. Y Aurora, Ind Aurora, 111 Austin, Tex Austin, Minn Baldwinsville, X. Y Ballston Spa, X. Y Baltimore, Md Bangor, Me Baraboo, Win Barnesville, Ohio Barre, Vt Barre, Mass Barton, Vt Batavia, X. Y Batavia, Ohio Batavia, 111 Page. 114 Bath, Me 114, 109 Bath, X. Y 242 Battle Creek,, Mich 658 Bay City, Mich . . 699 ' Beiiver bam. Wis. 519 • Bedford, lad 242 , B-lfa-t. Me . . . . 699 , Bellair.-. Ohio . 211 Belle Maine, lo 658 Bellefontaine, Ohio . 456 Bellefonte. Pa i'>:^ Br-lli ville, 111 35;' Bellevue, Ohio . . . 360 ' Bellows Falls, V t . . 6')!» IJeloit, W i s , 5!9 Belvid-re. X. J . . . r '(h) Brlvidere. Ill 361 B»imin;rt'>;i. Vt . . . 215 | B< rea, Ohio 477 ' Berwick, Pa !63 I W I I M . Vt 114 Bethl.'h^in, P a 215 Beverlv, .Mass Page. 61L 63 250 659 659 686 577 65 522 700 522 362 611 98 G86 336 612 99 523 363 99 363 11 .7 65 660 251 214 412 482 364 612 3f>4 7(> 8 7i)0 B-.. *For list of States and reserve cities, see page 15. 577 736 117 494 6! 2 99 ] 00 252 214 523 336 I, 132 701 193 216 365 253 137 216 253 578 365 753 66 523 660 67 524 254 101 337 637 701 772 REPORT OF THE COMPTROLLER OF THE CURRENCY. 'age. f 747 613 866 736 Burlington, Kans . Bushnell, 111 Butler, Pa Butler, Mo . . . Clinton, Mo Coatesville, Pa Cobleskill, N. Y Cohoes, N. Y Coldwater, Mich Colorado Springs, Col Columbia, Pa Columbia, S. C Columbia, Tenn Columbia, Mo Columbus, Ga Columbus, Ohio .« , Columbus, Ind 138, Columbus, Wis Columbus Junction, Iowa Concord, N. H oncord. Mass 138 ; Comiesiutville. Pa . 68 ; ConiR-Jlsvillf-, Pa 337 i Connersville Iud Pa C. Cadiz, Ohio Cairo, 111 Calais, Me Caldwell, Ohio California, Mo Cambridge, Mass Cambridge, N. Y Cambridge, Ohio Cambridge City, Ind Cambridgeport, Mass C am den, Me Camden, N. J Canajoharie, N. Y Canandaigua, N. Y Canastota, N. Y Candor, N. Y Canton, Mass Canton, Ohio Canton, 111 Carbondale, Pa Cardington, Ohio Carlinville, 111 Carrael, N. Y Carthage, 111 Carthage, Mo Cassopolis, Mich Castleton, Vt Castleton, N. Y Catasauqua, Pa Catskill, N. Y Cedar Falls, Iowa Cedar Rapids, Iowa Central City, Col Centralia, 111 Centerville, Iowa Centreville, R. I Centreville, Ohio Centreville, Iud Centreville, Mich Chambersburg, Pa (^hampaign, 111 Qhamplain, N. Y Chariton, Iowa Charles City, Iowa Charleston, S. C Charleston, 111 Charlestown, N. H Charlestown, Mass Charlestown, W. Va Charlotte, N. C Charlotte, Mich Chattanooga, Tenn Chelsea, Vt Chelsea, Mass Cherry Valley, N. Y Chester, N. Y Chester, Pa Qhester, S. C £,hestertown, Md n heyenne, Wyo ghicago, 111 hicopee, Mass ^hillicothe, Ohio c h i p p e w a Falls, Wis . Chittenango, N. Y Cincinnati, Ohio Circleville, Ohio Claremont, N. H Clarinda, Iowa Clarion, Pa Clarksburg, W. Va . . . Clarksville, Tenn Clearfield, Pa Cleveland, Tenn Cleveland, Ohio Clinton, Mass Clinton, Conn Clinton, N. J Clinton, 111 , Clinton. Iowa . Page. 737 369 260 260 662 761 369 474 511 737 479 532 . . 579 687 705 83 140 370 370 579 370 > 141 261 „ 526 i Cortland, X. Y 613"! Corunna, Mich 366 ; < Joshocton, < >hio 526 : Council Bluffs, Iowa 614 | Council Grove, Kaus 257 j Covingtou, Ky 614 | Coxsackie, X. Y 737 ! Crawfordsville, Ind 661 Crown Point, Ind 102 Cuba, N. Y 258 Cumberland, R. 1 366 Cumberland, M d 258 Cynthiana, K y 702 702 761 614 703 194 Dallas, Tex 526 Damariseotta, Me 578 Danbury, Conn 66 L Dansville, N. Y 367 Danvers, Mass 615 Danville, Vt 259 Danville, Pa 704 Danville, Va 704 Danville, Ky 473 Danville, Ind 615 Danville, 111 83 ! Davenport, Iowa 121, 128 |Dayton, Ohio 463 ! Decatur, 111 , 468 Decatur, Mich Deckertown, N. J Decorah, Iowa Dedham, Mans Deep River, Conn Deer Lodge, Mont Defiance, Ohio 367 Delavan, Wis 474 Delaware, Ohio 448 Delaware City, Del 770 Delhi, N. Y 616 Delphi, Ind 140 Delphos, Ohio 527 Denison, Tex 687 Denver, Col 260 Deposit, N. Y 528 Derby Line, Vt 530 Derry, N. H 83 Des Moines, Iowa 704 Detroit, Mich 368 Dexter, Me 463 Dixou, III 510 Dorchester, Mass 368 Dover, N. H 510 Dover, N. Y 530 Dover, N. J 140 Dover, Del 217 Dowagiac, Mich 338 Downingtown, Pa 621 Doylestown, Pa 705 Dubuque, Iowa 261 663 533 . 48 494 262 579 580 262 194 448 495 D. . - 489 68 217 263 14J 102' 371 456 496 580 621 706 53 4 621 663 338 707 141 218 766 535 688 535 438 263 580 536 489 762 263 103 84 707 664 68 622 119 84 264 339 438 665 372 372 708 REPORT OF THE COMPTROLLER OF THE CURRENCY. E. East Cambridge, Mass East Greenwich, R. 1 EastHaddam, Conn East Hampton, Mass East Jaffrey, N. H E a s t Liverpool, Ohio E a s t Saginaw, Mich E a s t o n , Mass Easton, Pa Easton, Md Eastport, Me E a t o n . Ohio E a u Claire, W i s E d g a r t o w n , Mass Elgin, I I I , Elizabeth, N. J E l k a d e r , Iowa Elkhart, Ind Elk Horn, Wis Elkton Md Ellenviile, N. Y Elmira, N. Y Elyria. Ohio Emporia, Kans Erie, Pa Essex, Conn Eufaula, Ala Evansville, Ind Exeter, N". H • Page. 142 195 218 142 P.") 530 665 H-.) 31 i 4 JO 69 3 if) ( : -8 113 Vri-i IU) 7<l!) ."•< I tW AV) '.'h 1 265 537 118 373 218 482 581 86 F. Fairbury, 111 Fairfield, Me Fairfield, Iowa Fairhaven, Vt Fairhaven. Mass Fairmont, W. Va FallRiver. Mass Falls Village, Conn Falmouth, Mass Faribault, Minn FarmerCity, 111 Farmington, Me Farmington, N. H Fayetteville, N. Y Fayetteville, N. C Fayetteville, Tenn Fergus Falls, Minn Findlay, Ohio Fishkill,N.Y Fiahkill Landing, K". Y Fitchburg, Mass Flemingsburg, Ky Flemington, N . J Flint, Mich Flora, 111 Fond du Lac, Wis Fonda, N. Y Fort Atkinson, Wis Fort Dodge, Iowa Fort Edward, N. Y Fort Plain, N. Y Fort Scott, Kans. Fort Smith, Ark Fort Wayne, Ind F o x L a k e , Wis Framingham, Mass Francestown, N. H Frankfort, Ind Franklin, Mass Franklin, N. Y Franklin, P a Franklin, Ky Franklin, Tenn Franklin, Ohio Franklin, Ind Frederick, Md Fredericksburg, Va Fredonia, N. Y Freehold, N . J Freeport, Pa Freeport, 111 Fremont, Ohio Fremont. Neb Frenchtown, N . J Friendship, N. Y 623 69 709 103 143 463 143 219 146 725 623 69 86 265 469 511 726 537 266 266 146 496 340 666 624 689 266 689 710 267 267 749 493 583 689 147 86 583 148 267 375 497 511 537 584 449 457 268 340 375 624 538 753 341 268 773 Page. . . 268 Fulton, N. Y . G. G-ainesville, Ala Galena. Ill Galesburg. Ill Galion, Ohio Gal!u>olis, Ohio 482 625 625 538 539 OJIIVM, 111 626 Gal vtMoi,, Tex daniiher, Mo 490 70 (U-i , X. Y . , ill . Geneva. X. Y (.r-iieva, Ohio Geor<>('to«\u. Mass Georgetown, 1). C , nn>\\n Ohio , l mrg, Pa d. P a , Glen Hock, P a Glen's Falls, N. Y Glenwood, Iowa Gloucester, Mass Gloversville, N. Y Gonic, N. H Goshen, N. Y Goshen, I n d Grafton, Mass G r a n d Haven, Mich Grand Rapids, Mich Grand Rapids, Wis Granville, N. Y Granville, Ohio Great Barrington, Mass Great Falls, N. II Green Bay, W i s Green Castle, P a Green Castle, I n d Green Spring. Ohio Greenfield, Mass Greenport, N. Y . . . . . . Greensboro', N. C Greensburgh, I n d Greenville, R. I Greenville, P a Greenville, S. C Greenville, Ohio Greenville, 111 Greenville, Mich Greenwich, U . I Greenwich, N. Y Griffin, G a Griggsville, 111 Grinnell, I o w a Groton, N. Y : 539 269 626 269 540 - . . 148 454 763 540 375 376 376 270 710 149 271 87 271. 584 150 667 667 690 272 540 151 87 690 377 585 541 151 272 470 585 195 377 475 541 627 668 195 273 479 627 7LI 273 H. Hackensack, N. J Hackettstown, N . J Hagerstown, Md Hallowell, Me Hamilton, N. Y Hamilton, Ohio Hancock, Mich Hannibal, Mo Hanover, N. H Hanover, Pa Harmony, Pa Harrisburg, Pa Harrisonburg, Va Harrodsburg. Ky Hartford, Conn Harwich, Mass Hastings, Mich Hastings, Minn Hatboro', Pa Havana, N. Y Havana. Ill Haverhill, Mass Haverstraw, N. Y Helena, Mont Henderson, Ky 34 L 342 451 71 273 541 668 738 88 378 378 378 457 497 219 152 668 726 379 274 628 152 274 766 497 774 REPORT OF THE COMPTROLLER OF THE CURRENCY. Henry, 111 Hightstown, N. J Hillsborough, N. H Hillsborough, Ohio Hillsdale, Mich Hinghani, Mass Hobart, N. Y Hoboken, N. J Hollidaysburg, P a Holliston, Mass Holly, Mich Holyoke, Mass Honesdale, Pa Honeybrook, P a Hope Valley, R . I Hopkinton, Mass Hopkinton, R . I Hornellsville, N. Y Houghton, Mich Houston, T e x Hudson, N. Y Hudson, Wis Huntingdon, P a Huntington, Ind Huntsville, Ala Hyannis, Mass Hyde Park, Vt : - Page. 628 342 88 542 669 154 274 343 379 154 669 154 380 j 380 I 195 155 195 ^75 670 490 275 (i!» 1 ''SO 5-<6 4s3 155 103 Page. 512 "... 632 713 58i> 382 Knoxville, Tenn Knoxville, 111 Knoxville, Iowa Kokomo, Ind Kutztown, Pa L. La Fayette, Ind La Grange. Ind L a Porte, Ind Lacon, 111 Laconia, X. H Lake City. Minn Lambertville, X. J Lanark, 111 , Ma ,ancast"f, Pa Lancaster, Ky lancaster. Ohio mcasti-r, Mo :iiwliik, Pa iin-hi'.?, Mich „ in-h)g, I o w a IJMVI-, Alii-ii .. Jity, W y e , Ma j;uv!'' M(ie, KaiSS . .<• 1 .. Iiiiaca, N. Y . . 714 673 770 15« V4tV , Ind . I. Ilion, N. Y, Independence, Iowa Independence, Mo Indiana, Pa Indianapolis, Ind Tndianola. 1 o wa Ionia, Mid; Iowa City. Iowa Ironton, Ohio 590" 591 592 632 90 727 344 632 63 156 382 49 < 545 740 383 672 276 71! 738 3M 5-6 712 •:?.') 7 i \' ;.t.{ jT-." K'MV. X. V . iivi'imvi'tli, Kans . •• l»:«i o n . X . I I 157 457 J57 !5H, 673 -r, M,i,S. J. J (\ I U I T i j mi 1 11 i . si) «>i » \ 1 ^ i \ n < i \ i) J * r .to ^ ^ ••• i, X - b . ) i, i .v,-. 1 '•'! 1 ; ' ; > J ( i 1^-011, 1 f ^ JL'U i^on,(} > Jut i - o n ( t\, M) 2S0 493 90 386 28 L 546 594 546 500 158 674 ' 282 458 104 160 282 714 !'.•>(•:•:, A r k . 313 62!> Jfhn»to\Mi Pa .. Joliet, 111 K. 714 m. FaiU, X. Y. k i k i n t >v n P i . r-^v ( i t > \ j . I 1-sf > \ lilt. I 1 . . . Kalamazoo, Mich Kankakee, 111 Kansas, 111 Kansas City, Mo Kasson, Minn Keene, N. H Keeseville, N. Y Keithshurg, 111 Kendall ville, Ind Kennebunk, Me Kenosha, Wis Kent, Ohio Keokuk, I o w a Kewanee, III Killingly, Conn Kinderhook, N. Y Kingston, R . I Kingston, N. Y Kingwood, W . Va Kirkwood, 111 Kittanning, P a Knightstown, Ind !:!. 672 630 630 739 726 88 278 631 589 71 692 544 712 631 239 278 196 279 464 631 382 - . 589 M-t, x.' Y V . L< O'.iio , L<>» a import, Ind London. Ohio Louisville, Ky Lowell, Mass Lowell, Mich Lowville, X. Y Lvnchburtr, Va Lyndon. Vt Lynn, Mass Lyon*. X . Y . : Lyons, I o w a M. Macomb, 111 Macoc, G a Madison, Ind Madison, Wis Mahanoy City, P a Maiden, Mass Malone, N. Y Malta, Ohio Malvern, Iowa Manchester, X. H Manchester, Vt Manchester, Ohio Manhattan, Kans 633 4£0 594 692 38? 16L 282 54G 715 91 104 547 750 REPORT OF THE COMPTROLLER OF THE CURRENCY. Ma, lieim, Pa. M iiiitowoc, Wis Mankato, Minn Mansfield, Ohio Maquoketa, Iowa Mavblehead, Mass Marengo, 111 Marietta, Pa M arietta, Ohio Marion, Iowa Marlboro', MasS Marquette, Mich Marseilles, 111 Marshall, Mich Marshalltown, Iowa Martiusburg, W. Va Martinsville, Ind Mason, Mich Mason City, 111 Massillon, Ohio Mattoon, 111 Mauch Chunk, Pa May field, Ky McArthur, Ohio McConnelsville, Ohio McGregor, Iowa McKeesport, Pa McMinnville, Tenn MeadviUe, Pa Mechanicsburg, Pa Mechanicsburg, Ohio Medford, N. J Media, Pa Medina, Ohio Memphis, Tenn Menasha, Wis Mendota, 111 Mercer, Pa Meriden, Conn Merrimac, Mass Methuen, Mass Meyersdale, Pa Michigan City, Ind Middlebury, Vt Middleport, Ohio Middletown, Conn Middletown, N. Y Middietown, Pa Middletown, Del Middletown, Ohio Mifflinburg, Pa Milford, N. H Mil ford, Mass Milford, Del Miilbury, Mass Millersburg, Pa Millerstown, Pa Millville, N. J Milton, Pa Milwaukee, Wis Minneapolis, Minn Minersville, Pa Minerva, Ohio Missoula, Mont Mobile, Ala Mohawk, N. Y Moline, 111 Monmouth, III Monroe, Mich Monroe, Wis Monroe, Iowa Monson, Mass Montgomery, Ala Monticello, N. Y Monticello, Ky . Monticello, Ind Montpelier, Vt Montrose, Pa Moravia, N. Y Morganfield, Ky Mo.rgantown, W. Va Morris, 111 Morrison, 111 Morristown, N. J Morrisville, N. Y Mo nt Carroll, III Mount Gilead, Ohio Mount Holly, N. J \ Page. . . 367 692 727 547 715 162 634 - 387 547 715 162 674 634 674 716 464 595 . . . . . . 675 . . . . . . 635 54H 635 - - 36r< 502 548 549 7.6 388 513 389 389 549 345 390 549 513 693 636 390 223, 240 163 163 . - - . 391 595 105 550 223 283 391 438 550 392 92 163 439 164 - . 392 392 345 393 693 728 393 551 767 483 284 636 637 676 694 716 164 484 284 503 595 105 394 284 503 465 638 638 346 285 639 551 346 775 Mount Joy, Pa Mount Morris, N. Y Mount Pleasant, Pa Mount Pleasant, Ohio.. Mount Pleasant, Iowa . Mount Sterling, Ky Mount Vernon, Ohio... Mount Vernon, Ind i\i ount Vernon, 111 Muir, Mich . Muncie, Ind , Muncy, Pa Muri'reesboro', Tenn. Muscatiue, Iowa. Mu skegon, Mich Mystic, Conn Mystic Bridge, Conn. Mystic River, Conn.. 394 285 395 55 L 717 503 552 596 639 676 596 395 515 717 676 224 Nan tuel-: et, Mass. Napoleon, Ohio... Na*lma, N. II . . . . Nashville, Tenn . Natick, Mass . Nebraska City, Neb Neenah, Wis Negaunee, Mich New Albany, Ind New Bedford, Mass New Berlin, N. Y New Berne, N. C New Brighton, Pa New Britain, Conn New Brunswick, N. J - . . New Canaan, Conn New Castle, Me New Castle, Pa New Castle, Ky New Castle, Ind New Haven, Conn New Lisbon, Ohio New London, Conn New London, Ohio New Market, N. H New Milford, Conn New Orleans, La New Paltz, N. Y New Philadelphia, Ohio. New Richmond, Ohio . . . New Ulm, Miun New Windsor, Md New York, N. Y Newark, N. Y Newark, N. J Newark, Del . Newark, Ohio Newberry, S. C Newburgh, N. Y New bury, Vt Newburyport, Mass . . . Newnan, Ga. Newport, N. H Newport, Vt Newport, R. I Newport, N. Y . Newport, Del . . Newport, K v . . . Newton, Mass . . . Newton, N. J Kewton, Iowa Newtown, Pa Newville, Pa Nicholasville, Ky . Niles, Mich. Nokomis, 111 , Norfolk, Va Norristown, Pa North Adams, Mass North Attleboro', Mass.. North Bennington, Vt ., North Berwick, Me North East, Pa North Easton, Mass North Granville, N. Y . North Providence, R. I . 165 552 92 515 165 754 694 677 597 165 287 470 395 225 347 226 72 396 504 598 226 553 228 553 93 230 486 287 554 554 729 451 288 285 348 439 553 475 112 167 480 94 106 196 287 439 504 168 351 718 396 397 505 677 639 458 397 169 169 106 73 398 169 3H3 199 776 REPORT OF THE COMPTROLLER OF THE CURRENCY. Page. 373 644 419 353 310 755 741 173 419 556 599 679 466 644 557 644 679 311 451 311 680 311 Pa North Scituate, R. I Northampton, Mass Northboroua-h, Mass Xorthfield, Yt Nortbtield, Minn Northumberland, Pa. Norwalk, Conn Norwalk, Oliio Norway, Me Norwich, Conu Norwich, N. Y Nunda, N. Y Nyack,N. Y . . . , 230 554 73 231 304 304 304 O. Oakland, 111 Oakland, Cal Oberlin, Ohio Odessa, Del Oil City, Pa Olean, N. Y Oluey, HI Omaha, Neb Oneida, N. Y Oneonta, N. Y Orange, Mass Orange, N. J Oregon, 111 Orono, Me Orwell, Vt Osage, Iowa Oshkosh, Wis Oskaloosa, Iowa Oswego, N. Y Ottawa, III Ottawa, Kans Ottumwa, Iowa Owatonna, Minn Owego, N. Y Owenton, Ky Owosso, Mich Oxford, Mass Oxford, N. Y Oxford, Pa - ,... 640 757 555 440 398 305 640 755 305 305 171 352 640 73 107 718 695 719 306 641 750 719 730 307 505 678 171 308 399 P. Paducah, Ky Painesville, Ohio Palmer, Mass Palmyra, N. Y Palmyra, Mo Paola, Kans Paris, 111 Paris, Mo Parker&burg, W. Va Parsons, Kaus Pascoag, R . I Paterson, N. J P a w Paw, Mich Pawcattick, Conn Pawling, N. Y Pawtucket, R . I Peabody, Mass Peekskill, N. Y Pekin, 111 Pella, Iowa Penn Yan, N. Y Pennsburg, Pa Peoria, 111 Peru, Ind Peru, 111 Petaluma, Cal Peterborough, N. II Petersburg, Va Phenix, R. 1 Philadelphia, Pa Phillips, Me Phillipsburg, N. J Phoenixville, Pa Piedmont, W. Va Pine Plains, N. Y Piqua, Ohio Pittsburgh, Pa Pittsfield, N. H - ... 505 555 172 308 740 751 641 741 465 751 198 352 678 234 309 198 172 309 642 720 309 399 642 599 643 757 94 459 199 400 74 353 410 466 310 556 411 94 Pittsfield, Mass Pittsfield, III Pittston, Pa Plainfield, N. J Pittsburgh, N. Y Plattsmouth, Neb Pleasant Hill, Mo Plymouth, Mass Plymouth, Pa Plymouth, Ohio Plymouth, Inrl Mich. Ply» Point Pleasant, W. Va Polo, 111 Pomeroy, Ohio nti; , 111. ! Pontiac, Mich i Port Chester, N. Y Port Deposit. Md Port Henry, N. Y Port Huron, Mich Port Jervis, N. Y Portland, Me Portland, Conn Portland, Oregon Portsmouth, N. H Portsmouth, Ohio Potsdam, N. Y Pottstown, Pa Pottsviile, Pa Poughkeepwie. N. Y Poultuey, Vt.' Prairie City, III Princeton, N. J Princeton, Ind Princeton, 111 Proctorsville, Vt Prophetstown, 111 Providence, R. I ivineetown Mass , Pueblo. Col Pulaski, N. Y Pulaski, Tenn Putnam, Conn „. 234 756 95 557 312 419 420 312 107 645 354 600 645 107 646 200 174 763 314 517 234 Q. Quaker City, Ohio Quinev, M a s s . . . Quiucy, 111 559 174 646 R. Racine, Wis Rahway, N. J Raleigh, N. C Randolph, Vt Ran dolph, Mass Ravenna, Ohio Reading, Pa Red Bank, N. J Red Hook, N. Y Red Oak, Iowa Red Wing, Minn Rhinebeck, N. Y Richmond, Me Richmond, Va Richmond, Ky Richmond, Ind . id Ripley, Ohio Ripon, Wis Rising Sun, Ind Rochelle, 111 Rochester, N. H Rochester, N. Y Rochester, Minn Rock Island, 111 Rockford, 111 Rockland, Me Rockport, Mass Rockville, Conn Rockville, Ind Rolia, M o . Rome, N. Y Romeo. Mich Rondout, N. Y Roxbury, Mass , 695 354 470 112 175 559 421 355 315 720 731 315 76 - . 459 506 600 560 696 601 647 96 315 731 649 647 77 175 . 235 601 741 316 680 317 132,,135 REPORT OF THE COMPTROLLER OF THE CURRENCY. S. Saco, Me Sacramento, Cal Saginaw, Mich Salem, Mass Salem, N. Y Salem. N. J Salem, Va Salem, N. C Salem, Ohio Salem, Ind. Salem, 111 Salisbury, Mass Salt Lake City, Utah : an Antonio, Tex San Francisco, Cai San Jose, Cal San dusky, Ohio Sandy Hill, N. Y Santa Barbara, Cal Santa F6, N. Mex Saratoga Springs, N. Y Saugerties, N. Y Savannah, Ga Scbeneetady, N. Y Schoharie, N. Y Schuylerville, N. Y Schwenksville, Pa Scituate, R. 1 Scran ton, Pa Seaford, Del Sedalia, Mo Selins Grove, Pa Selma, Ala Seneca Falls, N. Y Sevmour, Ind Shakopee, Minn Shamokin, P a Sharon, Pa Shawneetown, III Sheboygan, W i s . . . Shelburne Falls, Mass Shelby, Ohio Shelbyville, Tenn Shelbyville, Ind Shelbyville, 111 Sherburne, N . Y . . . . Shippensburg, Pa Sidney, Ohio •Sigourney, Iowa Sing Sing, N. Y Sioux City, Iowa Skowhegan, Me Siatersville, R . I Slatington, Pa Smithfield, R . I Smithfield, Ohio Smyrna, Del Somers, N. Y Somerset, Ky Somersworth, N. H Somerville, N. J Souderton, Pa South Bend, Ind South Berwick, Me South Charleston, Ohio South Danvers, Mass South Haven, Mich South Norwalk, Conn South Reading, Mass South Weymouth, Mass Southbridge, Mass Southport, Conn Sparta, Wis Spartanburg, S. C Spencer, Mass Spring City, Pa ., SpringhVld, Vt Springfield, Mass Springfield, Ky Springfield, Tenn, Page. 563 651 742 109 652 743 681 565 682 110 322 682 743 744 732 733 236 236 508 461 652 565 734 182 759 237 426 Page. 108 602 650 507 108 Royalton, Vt Rushville, Ind Rushville, 111 RussellvUle, Ky Rutland, Vt .• - Springfield, Ohio Springfield, 111 Springfield, Mo St. Albans, Vt , St. Charles, 111 St. Charles, Mo St. Glair, Mich St. Clairsville, Ohio 77 St. Johns, Mich 758 St. Johnsbury, Vt 68 L St. Johnsville, N. Y 176 ST. Joseph, Mich 318 St. Joseph. Mo 356 St. Louis, Mo 461 St. Paul, Minn 471 St. Peter, Minn 560 Stafford Springs, Conn 602 Stamford, Conn 650 Stanford, Ky 178 Stauntou, Va 765 Sterling, III 491 Steubenviile, Ohio 758 Stillwater, Minn 759 Stockbridge, Mass 561 Stockton, Cal 318 Stonington, Conn 759 Strasburg, P a 760 Stre 111. 318 Sturgis, Mich „ 319 Suffield, Conn 480 Sullivan, Ind Siuibury, Pa 320 320 Sut-quehanna Depot, P a 320 Sycamore, 111 422 Syracuse, N. Y 198 422 Swanton, Vt 440 T. 742 423 484 Taraa City, Iowa 321 Tamaqua, Pa 603 Tarentum, Pa 732 Tarry town, N. Y 423 Taunton, Mass . 424 Tell City, Ind 650 Terre Haute, Ind 696 Thomaston, Me • 178 Thompson, Conn 562 Thorntown, Ind 517 Three Rivers, Mich 603 Tiffin, Ohio 651 Tilton, N.H 32L Titusville, Pa 424 Toledo, Ohio 562 Tolland, Conn 721 Toms River, N. J Towanda, Pa 322 Topeka, Kans 721 Townsend, Mass 78 Tremont, Pa 208 Trenton, N. J 425 Trinidad, Col 208 Troy, N. Y 563 Troy, Ohio 440 Tunkhannock, Pa 322 Turner's Falls, Mass 508 Tuscola, 111 87 Tuskaloosa, Ala 356 425 U. 603 79 Union, S. C 563 Union City, Pa 172 Union City, Ind 681 Union City, Mich 235 Union Mills, Pa 184 Union Springs, N. Y 179 Uniontowu, P a 179 Upper Sandusky, Ohio 236 ITrbana. Ohio 697 Utica, N. Y 476 Uxbridge, Mass 179 425 V. 109 180 Valparaiso, Ind 508 Van Wert, Ohio 518 Vandnlia. Ill 777 682 237 604 426 426 653 323 Ill , 722 427 427 324 182 604 605 79 238 605 683 566 96 427 566 238 356 752 428 183 428 357 764 325 568 429 184 654 485 476 429 606 683 429 328 429 568 569 328 184 606 570 654 <78 REPORT OF THE COMPTROLLER OF THE CURRENCY. Page. I .. Ill i . . 329 ; . . 606 ! 607 357 655 Vergennes, Vt Vrrnoii, X. Y Y.vay, Iud Vineennes, Ind Vincentown, N. J Virginia, 111 W. Wabash, Ind Waco, Tex Wnkefieid, Mass Wakefield. K.I Wuldoboro', Me Walthain, Mass Ware, Mass Wareham, Mass Warner, N. H Warren, R . I Warren, Pa Warren, Ohio Warrensburg, Mo Warsaw, N. Y Warsaw, Ind Warsaw, III Warwick, R.I. Warwick, N. Y Washington, N. J Washington, Pa Washington, D. C Washington, Ind Washington, Iowa Washington C. H., Ohio Waterbury, Vt . . ' Waterbury, Conn Waterloo, N. Y Waterloo, Iowa Watertown, Mass Watertown, N. Y Watertown, Wis Waterville, Me Waterville, N. Y WTatseka, 111 Waukegan, 111 Waukesha, Wis Waverly, N. Y Waynesboro', Pa Waynesburg, Pa Waynesville, Ohio Wrebster, Mass Webster City, Iowa Wellington, Ohio Wells River, Vt Wellsborough, Pa Wellsburg, W. Va Wellsville, Ohio West Chester, Pa West Greenville, Pa West Killingly, Conn West Meriden, Conn Wrest Randolph, Vt West Troy, N. Y West Union, Iowa West Waterville, Me West Winfield, N. Y West Winsted, Conn Westboro', Mass Westerly, R. 1 WestfieM Mass Westiield, N. Y Westminster, Mass. Westminster, Md. Western, W. Vs Westport, Co Weymouth, Mass. Wheeling, W. Va Whitehall, N. Y Whitewater, Wis 607 Whitinsville, Mass 492 Wickford, R. 1 184 Wilkes Barre, Pa. 208 Williamsburgh, Ohio 80 Williamsport, Pa 185 Williamsport, Md 185 Wilmington, Del 185 Wilmington, N. C. 97 Wilmington, Ohio 209 Wilmington, III 430 Wilson, N. C 570 Winchendon, Mass 746 Winchester, N. H 330 Winchester, Va 61)8 Winchester, Ky 655 Winchester, Ind 194 Winchester, 111 330 Windham, Conn 358 Windsor, Vt 431 Winnsboro 1 , S. C 454 Winona, Minn 608 Winsted, Conn 722 Winston, N. C . 571 Winterset, Iowa I l l Winthrop, Me 238 Wiscasset, Me 330 Woburn, Mass. 723 Wolf borough, N. H 186 Woodbury, N. J 331 Woodstock, Vt 697 Woodstock, 111 80 Woodstown, N. J 332 Woonsocket, R . I 656 Wooster, Ohio 656 Worcester, Mass 697 Wrenlhain, Mass... 332 Wrightsville, Pa 43L Wyandott, Kans 431 Wyoming, Iowa. 571 186 723 571 112 Xenia, Ohio. 432 467 572 432 377 Yankton, Dak 239 Yarmouth Port, Mass 239 Youke "unkers, N. Y 112 York, Pa. 333 Youugstown, Ohio 723 Ypsilanti, Mich 82 333 240 186 210 Zanesville, Ohio, -. • ^ _ Page. . . 187 . . 333 . . 387 . . 452 . . 467 . . 240 188 467 334 698 188 211 433 572 434 453 441 572 656 472 188 97 462 509 608 657 241 112 476 734 240 724 82 82 189 97 358 113 657 358 211 573 189 192 436 752 724 Y. 769 192 335 436 574 684 Z. 575